City of Milbank Ordinance
ORDINANCE 827
2020 Appropriation Ordinance
AN ORDINANCE PROVIDING APPROPRIATIONS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2020, AND ENDING DECEMBER 31, 2020.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF MILBANK, SOUTH DAKOTA.
Section 1. The following sums of money are hereby appropriated for the purpose of providing funds to meet lawful expenses and liabilities of said City for the fiscal year ending December 31, 2020.
General Sales Tax 3rd Penny
Fund Fund Fund
General Government
411 Executive $46,950 $0 $0
411.5 Contingency $100,000
413 Elections $0 $0 $0
414 Financial Administration $398,800 $0 $0
414.1 Finance Capital Outlay $7,000 $0 $0
Total General Government $552,750 $0 $0
Public Safety
421 Police $600,900 $0 $0
421.1 Police Capital Outlay $16,000 $0 $0
422 Fire $120,620 $0 $0
422.1 Fire Capital Outlay $71,300 $0 $0
Total Public Safety $808,820 $0 $0
Public Works
431 Highways and Streets $533,800 $0 $0
431.1 Street Capital Outlay $450,000 $0 $0
432 Rubble Site $40,405 $0 $0
432.1 Rubble Site Capital Outlay $0 $0 $0
435 Airport $26,400 $0 $0
435.1 Airport Capital Outlay $430,000 $0 $0
Total Public Works $1,480,605 $0 $0
Culture and Recreation
452 Park and Cemetery $297,600 $0 $0
452.1 Park Capital Outlay $500,000 $0 $0
Total Culture and Recreation $797,600 $0 $0
Economic Development and Assistance
465 Economic Development and
Assistance $0 $0 $183,773
Debt Service
470 Debt Service $212,515
Capital Outlay - Sales Tax Fund
485 Capital Outlay $0 $707,224 $0
Total 2020 Appropriations $3,639,775 $919,739 $183,773
Section 2. The following designates the fund(s) to which money derived from the following sources applied.
General Sales Tax 3rd Penny
Governmental Funds Fund Fund Fund
Undesignated Fund Balance $250,748 $(27,261) $73,473
Transfers In/(Out) $450,000 $(305,000)
Taxes
311 Property Tax $826,410
Sales and Gross Receipt
Tax $1,250,000 $1,250,000 $110,000
110 Total Taxes $2,076,410 $1,250,000 $110,000
320 Licenses and Permits $16,100 $0 $0
330 Intergovernmental
Revenues $709,565 $0 $0
340 Charges for Goods and
Services $40,610 $0 $0
350 Fine and Forfeitures $1,560 $0 $0
360 Miscellaneous Revenue $40,060 $2,000 $300
377 Campground $22
385 Airport $54,600 $0 $0
390 Other Sources $100 $0 $0
Total Means of Finance $3,639,775 $919,739 $183,773
Section 3. The following designates the revenue and expenditures of the proprietary funds.
Water Wastewater
Proprietary Funds Fund Fund
Unappropriated Fund Balance $364,713 $268,307
Designated Bond Funds $255,026 $319,834
Estimated Revenue $579,770 $742,920
Total Estimates Balance and Revenue $1,199,509 $1,331,061
Less Appropriations $549,176 $735,040
Estimated Surplus (Deficit) $650,333 $596,021
Less Estimated Surplus Retained $650,333 $451,021
Estimated Surplus to be Transferred
to Governmental Funds $0 $145,000
Section 4. The Finance Officer is directed to certify the dollar amount of tax levies, $820,000; made in this ordinance to the County Auditor. Banked CPI=2.4%
Aye: 5 Nay: 0 Absent: Mike Hanson
CITY OF MILBANK
/s/ Pat Raffety, Mayor
ATTEST:
/s/ Cynthia Schumacher, Finance Officer
First Reading: 8-12-19
Second Reading: 9-9-19
Adopted and Approved: 9-9-19
Publish: 09-18-19
Published once at an approximate cost of $162.92.
