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#299 12-08-71 Amend Resolution 280 Adopting Property Tax Levy1.26 Resolution No. 299 December 8, 1971 Member Stockman introduced the following resolution and MOVED its adoption: RESOLUTION AMENDING RESOLUTION NO. 280 ADOPTING FOR 1972 AND CERTIFYING THE VILLAGE PROPERTY TAX LEVY FOR 1971 COLLECTIBLE IN 1972 WHEREAS, pursuant to the provisions of Minnesota Statutes 412.701 and 412.711, this Village Council did on October 4, 1971, adopt a budget for 1972 and set the amount of monies to be raised by taxes on real and personal property and, WHEREAS, the Legislature of the State of Minnesota, meeting in special session, subsequently revised the budgeting limitations for Villages and the formula for State Aids in Extra Session Laws 1971, Chapter 31 and, WHEREAS, said Extra Session Law requires re -certification of the budget and tax levy for 1971 collectible in 1972, NOW THEREFORE: BE IT RESOLVED by the Village Council of the Village of Golden Valley, Minnesota, as follows: 1. That the following amended appropriations for 1972 expenditures are hereby made. GENERAL FUND 401 Council and Manager $ 52,405 402 Administration 33,883 404 Elections 8,697 405 Finance 65,669 406 Assessor 58,330 407 Attorney & Court Cost 43,100 408 Civic Buildings 61,730 409 Human Rights 18,103 410 Streets 345,623 411 Planning 12,400 412 Engineering 125,854 413 Street Lighting 25,950 416 Storm Sewers 26,900 420 Inspection Services 64,440 421 Police 486,953 422 Fire 101,235 4�3 Civil Defense 11670 424 Civil Service 800 426 Relief & Social Service 14,725 427 Weed Eradication 81290 430 Park Maintenance 115,846 431 Recreation 9a,o6o 435 Park Maintenance Shop 19,421 441 General Insurance 58,275 445 Retirement 123,000 446 Special Assess.on Village Property 37,500 497 Contingencies 90,000 499 Transfers to other Funds 179 750 $2,2 1 1 1 127 Resolution No. 29' Utility Operating Fund December 8, 1971 21-414 Utility Overhead $ 129,211 21-415 Sewer Maintenance 131,,063 21-117 Water Maintenance 86,548 21-471 Water Purchases 165,000 21-477 Resale Meters 12,000 21-4,72 Sewage Disposal 150,000 21-499 Transfers to Other Funds279,603 956,425 1 Park Construction Fund 43-480 Park Improvements $ 71,413 Brookview ODeratina Fund 44-432 Golf Operation $ 28,317 44-438 Grill 27,180 4444-439 Pro Shop 28, 950 44-433 Course Maintenance 77,100 44-434 Swimming Pool 19,197 44-436 Community Center 28, 235 U,437 Driving Range 101800 44-4c'9 Transfers to Other Funds 9,700 44-44,6 Special Assessments 1231832 $ 2442,611 Motor Vehicle License Fund 15,429 Operating Costs $ 24,665 15-4199 Repay Advance 5,000 $ 29,665 2. That the Village Clerk is authorized and directed to advise the County Auditor to raise the sum of $1,306,949 through real and personal property taxes for general purposes plus the sum of one-tenth mill for the Fire Depart- ment Relief Association and to further advise the Auditor that the above sum includes the necessary levy for Public Employees Retirement Association and that the per capita state aid monies have been taken into consideration and have not been included in the amount requested above. The Village Clerk is also authorized and directed to file with the County Auditor and State Tax Department forms Number 279 and 280 along with supporting documents which forms show the levy limitations and the fact that this levy meets said limit- ations and listing thereon the "Special Levies" as defined in the above law which, except Bonded Indebtedness are in the above levy. 12S Resolution No. 299 December 8, 1971 3. That the Village Manager is authorized and directed to enforce all provisions of said budget, Mayor Attest: Tillage Clerk The motion for the adoption of the foregoing resolution was duly seconded by Member Paulson, and upon vote being taken thereon, the following members voted in favor thereof: Hoover, Paulson, Stockman, Teresi, and Ulstad; and the following voted against the same: None, whereupon said resolution was declared duly passed and adopted, signed by the Mayor and his signature attested by the Village Clerk. 1 1