1. 2011 Budget PresentationBuilding Inspections
BACKGROUND
Phone: 952.227.1180
CITY OF
Fax: 952227.1190
This evening, each department will present a PowerPoint showing their detailed
Engineering
MEMORANDUM
C H'Y' SE
couple different work sessions. In an effort to improve efficiency, last year we
Fax: 952.227.1170
- °' -
TO:
Mayor and City Council
7700 Market Boulevard
PO Box 147
FROM:
Greg Sticha, Finance Director
Chanhassen, MN 55317
Fax: 952.227,1110
DATE:
August 23, 2010
Administration
Phone: 952.227.1120
August 9 work session. Secondly, the attached memo outlines the budget
Phone: 952.227.1100
SUBJ:
2011 Budget Discussion —Detailed Department Presentations
Fax: 952.227.1110
Recreation Center
Building Inspections
BACKGROUND
Phone: 952.227.1180
Fax: 952227.1190
This evening, each department will present a PowerPoint showing their detailed
Engineering
budget. In previous years, staff did these presentations in late October over a
Phone: 952.227.1160
couple different work sessions. In an effort to improve efficiency, last year we
Fax: 952.227.1170
held the discussion at one meeting. This year, our goal was to have the detailed
budget discussion earlier so that the council had more time before setting the
Finance
preliminary levy in September.
Phone: 952.221.1140
Fax: 952.227,1110
As staff goes through the presentations, please keep the following things in mind.
Park & Recreation
First, the presentations are based on Scenario #1 which was discussed at the
Phone: 952.227.1120
August 9 work session. Secondly, the attached memo outlines the budget
Fax: 952.227.1110
assumptions used in preparing the budgets and the three scenarios discussed at our
last meeting.
Recreation Center
2310 Coulter Boulevard
Phone: 952.227.1400
The city council asked what impacts there might be on the budget if we go from
Fax: 952.227.1404
Scenario #1 to Scenario #2. The last slide of each department's presentation
includes the amount of expenses that would most likely need to be cut in each
Planning &
department. Staff will be discussing the impact each of those reductions could
Natural Resources
have on the budget and/or services.
Phone: 952.227.1130
Fax: 952.227.1110
Lastly, it is important to note that because we are discussing the detailed budgets
Public Works
much earlier than in prior years, there is the possibility that some of the
1591 Park Road
information could change between now and when we set the final levy in
Phone: 952.227.1300
December. Specifically building permit revenue, healthcare costs, interest income
Fax: 952.227.1310
revenue, and utility & fuel costs could still fluctuate somewhat between now and
December. Staff put the budget together with the best information available at the
Senior Center
time.
Phone: 952.227.1125
Fax: 952.227.1110
RECOMMENDATION
Web Site
wwadchanhassen.mn.us
Based on all the information stated above, staff believes setting a preliminary levy
as described in Scenario #1 would give the most flexibility before setting a final
Chanhassen is a Community for Life - Providing for Today and Planning for Tomorrow
2011 Budget Discussion — Detail Presentations
August 23, 2010
Page 2 of 2
levy in December. Since the final levy can only go down from the preliminary
levy, staff believes setting a levy lower than Scenario #1 would not give the city
as much flexibility to recover from any potential adverse factors that could impact
the budget.
NEXT STEP
On September 13, the city council will set a preliminary tax levy that will be
certified to the county.
ATTACHMENTS
1. PowerPoint Presentations
2. Memo from August 9 th Work Session Meeting
F: \GregS \Budget\201 I Budget \8 -23 Detail bud discussion - I.docx
Services Provided
Legislative, 1110
Salaries, special meeting reimbursements, travel, and
training for the City Council
Chanhassen Connection
All memberships, i.e., League of Minnesota Cities
Publication of ordinances and agendas
Legislative - 1110
2011
2010
$32,300
Percent 0%
Change
Significant Changes:
•None
Contractual Total
Services Budget
• :11 I 1 • 11
$200 $76,800 $109,300
0% 0% 0%
Potential Cost Reductions: $1, 000 (Contractual Services)
$32,300 $200
$I 10 ONTre re
Administration 1120
"Provides for the administration of the
entire City organization, including
human resource activities, economic
development, contract and records
management, coordination of the
budget and CIP, and general
departmental support. "
Services Provided /Outcomes
Administration, 1120
Staff: City Manager, Assistant City Manager, Office Manager,
Receptionists (2)
Human Resources
Prepare City Council packets
Licensing
Economic Development
Customer and Support Services
City communications — Connection, electronic message center,
website, etc.
Postage
Administration - 1120
2011
2010
$395,700
Percent +3.1%
Change
Significant Changes:
*None
Contractual Total
Services Budget
I ON 11
$500 $65,000 $461,200
0% -2.2% +2.4%
Potential Cost Reductions: $2,700 (Contractual Services)
$408,000 $500
Services Provided /Outcomes
Finance, 1130
Staff: Finance Director, Accountant II, and two accounting
clerks.
The audit contract and related accounting services
represents all of the $39,000 in professional services
The department produces the CAM (audit), Budget, CIP,
and all other long -term financial planning documents
The department manages payroll, utility billing,
investments, accounts payable /receivable, and all other
accounting and financial reporting functions.
Finance - 1130
Personal Materials Contractual Capital Total
Servic Supplies Services Outlay Budge
1 1 ' • :11 ' 11 ' 1 11 ' 11 ' 11
Percent +3.7% 0%
Change
L es
H '�
+3.0%
Significant Changes:
•There are no significant changes in the Finance Department budget.
Potential Cost Reductions: $2, 000 (Contractual Services)
Services Provided
Legal, 1140
Contract with Campbell Knutson for City Attorney,
prosecutorial services, etc.
Fees for other legal services — i.e. Bond Counsel,
T I F, etc.
Legal - 1140
Contractual Total
Services Bud 4 0
2011 $145,000 $145,000
2010 $148,000 $148,000
Percent -2% -2%
Change
Significant Changes:
*Reduced Budget to reflect actual spending
Potential Cost Reductions: $3, 000 (Contractual Services)
Services Provided
Property Assessment, 1150
Contract with Carver and Hennepin Counties
Property Assessment, 1150
2011 $112,100
2010 $110,000
Percent +1.9%
Change
Significant Changes:
Total -7m
ud
$112,100
$110,000
+1.9%
•Provides for increased per parcel rate and small increase in number of
parcels to be assessed.
Potential Cost Reductions: None identified.
Services Provided /Outcomes
MIS, 1160
Staff: MIS Coordinator /PC Specialist
Acquisition, Service &Support for Network Servers,
Printers, and Infrastructure
Acquisition, Service &Support of End User
Computers and Devices
Support PC Software Applications, Manage Vendor
Software
Acquisition, Service &Support Telecommunications
Hardware and Software
MIS - 1160
2011
2010
$173,000
Percent +3.5%
Change
Significant Changes:
$2,400
1 Ylee
Contractual Total
Services Budget
$72,400
$247,800
+5.5%
+4.1%
*Software Maintenance — Disk to Disk Backup Software, $3,300
*Software Maintenance Fee — Email Retention Software, $1,500
*Balance: Other Software Maintenance Fee Increases
Potential Cost Reductions: $1,500 (Contractual Services)
$179,100 $2,400
Services Provided /Outcomes
City Hall, 1170
Staff: Building Maintenance
Cleaning and Waste Removal
Insurance: Auto, Property, General Liability
Office Supplies
City Hall - 1170
2011
2010
$69,900
Percent +3.1%
Change
Significant Changes:
*None
$48,300
+2.3%
Contractual Total
Services Budget
$301,300
+0.1%
$419,500
+0.9%
Potential Cost Reductions: $14,200 (Materials & Supplies and
Contractual Services)
$72,100 $49,400
Services Provided /Outcomes
Elections, 1180
Staff: Election Judges (PT, temporary positions)
The City budgets one -half of election costs each
year to avoid budget fluctuations
No Elections in 2011.
Elections - 1180
Contractual Personal •
Budget Service Services
2011 $21,500 $6,700 $28,200
2010 $21,500 $6,400 $27,900
Percent 0% +4.7% +1.1%
Change
Significant Changes:
*None
Potential Cost Reductions: None Identified. Most activities mandated.
Services Provided /Outcomes
Library, 1190
Staff: none (provided by Carver County).
City is responsible for
Cleaning
Waste removal
Utilities
Phones
Building maintenance
Library - 1190
Contractual Total
Services Budge
2011 $3,000 $126,300
2010 $3,000 $134,200
Percent 0% -5.9%
Change
Significant Changes:
$129,300
$137,200
'A
*Utility costs did not increase as much as anticipated in 2009/2010, line
item has been adjusting to reflect actual spending.
Potential Cost Reductions: $2, 000 (Contractual Services)
Services Provided /Outcomes
Police Administration, 1210
Staff: Crime Prevention Specialist
Contract with Carver County Sheriff's Office to
provide Liaison Lieutenant, School Resource
Officer, Investigator, 2 Corporals, and 10
Deputies
Participate in Southwest Metro Drug Task Force
Police Administration - 1210
2011
2010
$78,200
Percent +3.2%
Change
Significant Changes:
$1,553,000
+1.4%
fi
Total -JMl
ud
$1,655,700
$1,631,200
+1.5%
*No changes to Staffing Levels
*City benefited from changes in the way that the cost allocations for
police vehicles are calculated
Potential Cost Reductions: None Identified.
$80,700 $1,575,000
G 10 Offre re
Fire Department 1220
"The mission of the Chanhassen Fire
Department is to minimize loss of life,
property and the environment in the City of
Chanhassen from fires, natural disasters, life
threatening situations and to assist other
emergency agencies."
Services Provided /Outcomes
Fire Department, 1220
Staff: Fire Marshal, Deputy Fire Marshal, and Paid -on-
Call Firefighters
Services: Fire protection, fire suppression, emergency
medical and rescue services, HAZMAT response, support
for various non - emergency city events, i.e. parades,
public gatherings
Fire Department - 1220
2011
2010
$485,000
Percent +5.1%
Change
Significant Changes:
$47,100
—1.1%
Contractual Total
Services Budget
1 11 •a 11
$116,000
$648,100
+13.8%
•Increased Personal Service to reflect increased call volumes
*Increased Contribution for Retirement
+6.2%
Potential Cost Reductions: $11, 000 (Materials & Supplies and
Contractual Services)
$509,500 $46,600
$I 10 ONTre re
Community Service 1260
"Provides Animal Control, Code Enforcement,
and Supports Law Enforcement. "
Services Provided /Outcomes
Community Service, 1260
Staff: 2 PT Community Service Officers (30 hrs per week)
Respond to domestic and wild animal calls
Vehicle Lockouts
Assist with traffic direction, stalls, and medical calls
Community Education
Code Enforcement (i.e. Weeds & Grass)
Community Service - 1260
Personal Materials & Contractual Total
Service Supplies ••
2011 $57,600 $5,000 $12,600 $75,200
2010 $56,000 $5,000 $13,700 $74,700
Percent +2.9% 0% -8.0% +0.7%
Change
Significant Changes:
*Reduced repair and maintenance expenses (replaced vehicle in 2010)
Potential Cost Reductions: $1, 000 (Materials & Supplies and Contractual
Services)
Services Provided
Engineering , 1310
Staff: 7 Employees — 3 of which are part -time
Significant contracts —Annual bridge inspection and certification,
street condition survey and data collection, contract survey work as
needed.
The Engineering Department is responsible for:
Design and Project Management Services for roadways, sanitary and storm sewers,
storm water management, water distribution mains and other civil engineering
projects funded in the City's Capital Improvement Program
Mapping —GIS services used for all departments
Plan Review for Developments
Pavement Management
Traffic Counts
Traffic Complaints
Permits — Approximately 1,200 permits issued annually
Variance, Encroachment Agreement & Vacation Requests
Work with other agencies such as MnDOT and Carver County on joint projects
Engineering - 1310
Personal Materials &
Contractual q1 Service •
Supplies ••
2011 $546,700 $1,300 $30,600 $578,600
2010 $530,400 $1,300 $31,200 $563,200
Percent +3.1% 0% -1.9% +2.7%
Change
Significant Changes:
•None
Potential Cost Savings: None Identified
Street Maintenance 1320
"The mission of the Street Department is to provide
the highest quality public works services to the public
and other City departments, balanced through efforts
to maintain a cost effective operation and to provide
these services in a responsible and efficient manner.
This mission is accomplished through the prudent
use of resources, technology, innovations, teamwork,
and coordination with other service providers. "
Services Provided
Street Maintenance Department 1320
Staff: 8 Employees
Significant Contracts - Joint purchase of salt with MnDOT
Responsibilities of Street Department:
Snow Removal and Ice Control
Pothole patching and Crack Sealing
Tree Trimming and Mowing Activities
Traffic Sign Installation and Maintenance
Traffic Signal & Street Light Maintenance
Pavement Marking
Street Sweeping
Storm Sewer Maintenance
Pond Cleaning
Street Department - 1320
Personal Materials & Contractual Total
Supplies Service ••
2011 $666,600 $134,600 $32,700 $833,900
2010 $641,200 $141,600 $34,400 $818,500
Percent +4.0% -4.9% -4.9% +1.9%
Change
Significant Changes:
• Materials & Supplies — Decrease in Equipment and Vehicle Supplies
• Contractual Services — Decrease in Maintenance of Signs
Potential Cost Saving - $6, 000 (Materials & Supplies and Contractual Services)
Services Provided
City Garage, 1370
Staff:4 Employees
3 Mechanics
1 Office assistant responsible for entire Public Works,
Utility and Park Departments.
Significant contract -Joint Fuel Purchase with State of
Minnesota
Maintain over $8 million worth of equipment
City Garage - 1370
i
2011
2010
Percent
Change
$267,000
$259,400
+2.9%
Significant Changes:
$148,400
$168,400
-11.9%
$95,500
$96,400
-0.9%
•Materials & Supplies — Decrease in Fuel Budget
$5,500
$3,000
+83.3%
$516,400
$527,200
-2.0%
Potential Cost Saving - $11,400 from Materials and Supplies and Contractual
Services
Services Provided
Street Lighting and Signals, 1350
Staff: Most Maintenance work completed by
Street department
Significant contracts:
Xcel Energy
Minnesota Valley Electric Cooperative
Street Lighting &Signals - 1350
41 Materials & Contractual Total
Supplies Services Budget
2011 $5,000 $340,400 � $345,400
2010 $5,000 $343,400 $348,400
Percent 0% -0.9% -0.9%
Change
Significant Changes:
• Lowered Maintenance Budget
Potential Cost Reductions: None Identified
Planning Commission 1410
"The Commission conducts public hearings and
makes recommendations to the City Council on
proposed changes affecting zoning and land
uses within the City, considers site plan reviews,
conditional use permits, variances, special use
permits, and other planning
related matters. "
Services Provided
Planning Commission, 1410
7 Member Commission — no salary
Subscription to Planning Commission
Journal &Training (Government
Training Service)
75% of budget for public hearing
notices
Planning Commission 1410
Materials & Contractual Total
Supplies Services Budget
2011 $200 $4,000 $4,200
2010 $200 $4,000 $4,200
Percent 0% 0% 0%
Change
Significant Changes:
•None
Potential Cost Reductions: None Identified
Planning Administration 1420
"Identify community needs and goals to guide
amendments to the Comprehensive Plan. The
Planning Staff prepares and maintains the
Comprehensive Plan for the City and advises the
City Council on matters regarding implementation
of the plan. Review development/redevelopment
plans for compliance with City ordinances."
Services Provided
Planning Administration, 1420
Staff :
Community Development Director,
Senior Planner (2),
Planner,
Planning Secretary
Staff Support to the Planning Commission & City
Council
Maintain, Update and Enforce the City Code
Coordinate City statistical data: demographics, permit
activity, available land inventory, etc.
Economic Development
Planning Administration - 1420
2011
2010
$394,100
Percent +3.8%
Change
Significant Changes:
•None
Contractual Total
Services Budget
$700 $14,100 $408,900
0% 0% +3.6%
Potential Cost reductions: $1,500 (Contractual Services)
$409,000 $700
$I [IN ONTre re
Senior Commission 1430
"The Senior Commission examines the
needs of senior citizens in the community.
They review issues such as housing,
information and referral services,
and transportation. "
Services Provided
Senior Commission, 1430
Staff:
25% of Senior Planner Salary
7 Member Commission — no salary
Fees for Services provides contract with
services for CAP (Community Action Program)
to manage congregate dining program
Senior Commission 1430
Contractual Personal •
Budget Service Services
2011 $22,700 $10,700 $33,400
2010 $22,000 $10,700 $32,700
Percent +3.2% 0% +2.1%
Change
Significant Changes:
•None
Potential Cost reductions: $1, 000 (Contractual Services)
$I [IN ONTre re
Code Enforcement 1250
"Provide for the health safety and welfare
of the City through the administration of
building and fire codes. "
Services Provided
Code Enforcement, 1250
Staff:
Building Official
2 Building Inspectors
2 Mechanical Inspectors
2 Support Staff
Responsibilities include plan review, permit issuance, inspections of
building, plumbing and mechanical systems, fire sprinklers, alarm
systems and individual sewage treatment systems.
Also responsible for inspections of existing buildings for fire code
violations, administration of the rental licensing program.
Staff support to the City law enforcement and community service staff.
Code Enforcement 1250
2011
2010
$577,000
$6,100
Contractual Total
Services Budget
ON I ON
40 •11 '.•1• 111
Percent +2.4% -16.4% -4.4% +1.9%
Change
Significant Changes:
•Decrease in Books & Periodicals
*Decrease in Printing & Publishing
Potential Cost reductions: $5, 000 (Contractual Services)
$590,700 $5,100
Park &Recreation Commission 1510
"The Park and Recreation Commission provides
recommendations and advice to the City Council
regarding parks, recreation and leisure services.
The Commission is comprised of seven
members appointed by the City Council for
staggered three -year terms."
Services Provided /Outcomes
Park & Rec Commission, 1510
Staff: Supported by Park and Recreation Director
Prepares park and recreation section of
comprehensive plan.
Subdivision review (Parks /Open Space /Trails)
Advisory capacity to Council in all matters relating to
parks and recreation in the City.
Park & Rec Commission - 1510
Materials & Contractual Total
Supplies Services Budget
2011 $200 $2,000 $2,200
2010 $200 $2,000 $2,200
Percent 0% 0% 0%
Change
Significant Changes:
*None
Potential Cost Reductions: None Identified
Park & Rec Administration 1520
"The bark and Recreation Administration budget
manages leisure time activities in the community.
This function physically plans and develops parks,
open space, trails and indoor recreation facilities.
Staff also coordinates programs with school districts,
local athletic associations and other groups."
Services Provided /Outcomes
Park& Rec Administration, 1520
Staff: Park and Recreation Director
Developing a park and open space plan
Encouraging citizen participation
Developing a comprehensive interconnected
trail /sidewalk system
Facilitating cooperative efforts between local school
systems and the City in acquisition, development and
usage of recreational lands and facilities
Park & Rec Administration - 1520
Personal Materials & Contractual Total
Service A Supplies Services Budget
2011 $129,200
2010 $124,700
$1,000 $10,700
$1,000 $24,700
Percent +3.6%
Change
Significant Changes:
$140,900
$150,400
0% -56.7% -6.3%
*Elimination of the Park and Trail Map in Contractual Services
Potential Cost Reductions: $2, 700 (Contractual Services)
$I 10 ONTre re
Recreation Center 1530
"The Recreation Geriter provides fitness
activities, recreational opportunities and meeting
spaces for the community. Year -round indoor
and outdoor recreational programs are offered.
The facility was constructed under a joint powers
agreement with /SD 112 and is operated through a
lease agreement with the District. "
Services Provided /Outcomes
Recreation Center, 1530
Staff: 1 Rec Center Manager, 11 Facility Supervisors,
1 Dance Coordinator, and 4 Dance Instructors
Fitness and recreational programs for community
members of all ages
Facility rental space
Activity space for local school, city, county, and state
governments provided at no charge. In 2009, we
provided 5000 hours of free space, valued at $88,000, for
these agencies
Recreation Center - 1530
2011
2010
$219,700
Percent +2.0%
Change
Significant Changes:
*None
$47,300
-1.3%
Contractual Total
Services Budget
: :11 • 11
$79,300
1 • '�
$346,300
+0.9%
Potential Cost Reductions: None Identified
$224,000 $46,700
Lake Ann Park Operations 1540
"This department provides for the
operations at Lake Ann Park. Revenues,
which offsets 40% of expenses, include
facility rental, watercraft and equipment
rental, and concession fees."
Services Provided /Outcomes
Lake Ann Park Operations, 1540
Staff: 4 seasonal concession employees
Lifeguard contract - $28,000
Coordination of concessions /watercraft rental
operation
Work with MCES to provide a safe beach
environment
Coordination of facility rentals &reservations
Lake Ann Park Operations - 1540
Personal • Total
Supplies Service ••
2011 $12,900 $9,500 $45,900 $68,300
2010 $13,400 $9,500 $45,400 $68,300
Percent -3.7% 0% +1.1% 0%
Change
Significant Changes:
*None
Potential Cost Reductions: $6,200 (Personal Services and Materials &
Supplies)
$I 10 ONTre re
Park Maintenance 1550
"Maintains and cares for City park and open space
sites, play equipment, athletic facilities, and trails.
Also responsible for landscaping maintenance of
the downtown business district including City
Center Park, Old Village Hall, Train Depot,
boulevards, lighting, banners and related items. "
Services Provided /Outcomes
Park Maintenance, 1550
Staff: 7 full time & 14 seasonal park maintenance
employees
Maintenance of 37 parks, 80 miles of trails,
48 athletic fields, 17 tennis courts, skate park
and the downtown
Landscaping maintenance for 2 fire stations, City
Hall, Library, Old Village Hall and Train Depot
Park Maintenance - 1550
Personal • ntractual Capital Total
Supplies Service Outlay Budget
2011 $728,700 $81,300 $93,400 $5,000 $908,400
2010 $704,700 $81,300 $94,600 $4,000 $884,600
Percent +3.4% 0% -1.3% +25.0% +2.7%
Change
Significant Changes:
*None
Potential Cost Reductions: $4,600 (Materials & Supplies and Contractual Services)
G 10 O.Iffie re
Senior Citizens Center 1560
"The Senior Center budget plans and implements a
variety of year -round programs, special events,
monthly one -day tours, and health and wellness
activities for older adults. The Center provides a
welcoming setting which improves the quality of life
and use of leisure time for all seniors. Programs and
activities are funded through a combination of fees,
property tax levy and community partnerships."
Services Provided /Outcomes
Senior Citizens Center, 1560
Staff: Senior Center Coordinator in addition to
100+ volunteer hours per month
Maintains a strong and respected reputation for providing
quality senior services
Relevant and affordable programs are offered
Friendly and welcoming environment
Networked with other local service providers
Valued partnerships are formed with local business
community
Senior Citizens Center - 1560
Contractual Personal Materials & •
Supplies Service ••
2011 $44,900 $4,500 $20,600 $70,000
2010 $44,000 $4,500 $20,600 $69,100
Percent +2.0 0% 0% +1.3%
Change
Significant Changes:
*None
Potential Cost Reductions: $600 (Materials & Supplies)
G 10 O.Iffie re
Recreation Programs 1600
"To provide a year -round recreational program
that reflects a variety of interests in the
community and develops a social, physical,
cultural, and aesthetic quality for our citizens.
These programs are funded by a combination
of fees, property tax levy, and a community
sponsorship program. "
Services Provided /Outcomes
Recreation Programs, 1600
Staff: Recreation Superintendent, Recreation Supervisor,
33 Seasonal Positions
4t" of July Fireworks contract - $23,000
Plan and host special events and recreation programs
Summer playground program, warming houses, and
skate park attendant
Recreation Programs - 1600
Personal Materials & Contractual Total
Service Supplies Services Budget
2011
2010
Percent
Change
$174,500 $19,100
$169,800
sw '�
$19,100
Ylee
$94,200
$94,600
1"Ies
$287,800
$283,500
Significant Changes:
*None
+1.5%
Potential Cost Reductions: $4,100 (Contractual Services)
Self- Supporting Programs 1700
"This department funds adult programs,
craft and instructional classes that
coverall costs from fee revenue. New
programs may be started from this
budget and not recover all costs in their
first years. Activities are expected to
become self - sufficient in following
years and are evaluated annually."
Services Provided /Outcomes
Self Supporting Programs, 1700
Staff: Program instructors and Softball Umpires
Adult sporting leagues
Assist other departments with programs; i.e.,
Safety Camp, Miracle Kids Triathlon,
Homecoming Parade
Children's enrichment programs
Variety of sporting lessons and camps
Self Supporting Programs 1700
Personal Materials &
Contractual •
Supplies Service ••
2011 $30,400 $9,000 $43,000 $82,400
2010 $28,700 $8,600 $46,000 $83,300
Percent +5.9% +4.7% -6.5% -1.1%
Change
Significant Changes:
*None
Potential Cost Savings: $400 (Materials &
Supplies)
2U1 U Budget
6� AN
Recreation Sports 1800
"Recreation Sports provides preschool and
school age children a safe, educational, and
healthy experience in sports where recreation and
fun are emphasized."
Services Provided /Outcomes
Recreation Sports, 1800
Staff: 1 Coordinator and 3 Youth Sports Leaders
A variety of preschool sports and after school sports
for elementary age children
Increased customer service and program quality
over previously offered contracted services
Recreation Sports - 1800
Personal Materials & Total
Service Supplies Budget
2011 $10, 500 $9,400 $19,900
2010 $9,500 $8,900 $18,400
Percent +10.5% +5.6% +8.2%
Change
Significant Changes:
*These programs have experienced positive growth and are self- supporting
Possible Cost Reductions: $500 (Materials and Supplies)
0
CITY OF
CHANgASSEN
7700 Market Boulevard
PO Box 147
Chanhassen, MN 55317
Administration
Phone: 952.227.1100
Fax: 952.227.1110
Building Inspections
Phone: 952.227.1180
Fax: 952.227.1190
Engineering
Phone: 952.227.1160
Fax: 952.227.1170
Finance
Phone: 952.227.1140
Fax: 952.227,1110
Park & Recreation
Phone: 952.227.1120
Fax: 952.227.1110
Recreation Center
2310 Coulter Boulevard
Phone: 952.227.1400
Fax: 952.227.1404
Planning &
Natural Resources
Phone: 952.227.1130
Fax: 952.227.1110
Public Works
1591 Park Road
Phone: 952.227.1300
Fax: 952.227.1310
Senior Center
Phone: 952.227.1125
Fax: 952.227.1110
Web Site
www.6chanhassen.mn.us
MEMORANDUM
TO: Mayor and City Council
FROM: Greg Sticha, Finance Director (n,j
DATE: August 9, 2010 D�V
SUBJ: 2011 Budget Discussion
BACKGROUND
This evening we will be discussing the 2011 Budget. Staff will present three
different scenarios for setting the preliminary levy. We will be reviewing the
budget assumptions made when putting together the budget document, the result
each scenario has on the average home, and lastly, staff's recommendation for
setting the preliminary levy.
Attached is the budget document that will be used to present the detailed
PowerPoint presentations at our next meeting on August 23. The preliminary
levy will be set at the September 13 meeting.
BUDGET ASSUMPTIONS
We have prepared the preliminary budget based on the following assumptions:
1. A two percent wage increase for employees in 2011
2. The transfer for roads will remain at $50,000
3. Increasing building permit revenue slightly to $35,000
4. An increase in healthcare costs of 25%
5. There was a 1.06% increase in new construction, which results in
approximately $108,200 in new tax levy dollars for 2011
The assumptions noted above were discussed in great detail by staff over the past
couple months. In 2010, city employees received a zero percent wage increase.
We are expecting healthcare costs to jump significantly in 2011. We also
increased permit revenues slightly for 2011. The amended 2009 permit revenue
budget was exactly the same as the budgeted permit revenues for 2010. Staff felt
comfortable increasing this line item based on the fact that in 2009 we exceeded
the amended budget by $50,000, and are projecting to exceed budgeted permit
revenues by even more than the $35,000 we have estimated in 2011. We expect
that trend of a minimal increase in building permit activity to continue into next
year.
Chanhassen is a Community for Life - Providing for Today and Planning for Tomorrow
A
2011 Budget Discussion
August 9, 2010
Page 2 of 3
We have not heard official word from our insurance broker; however, based on
the amount of claims filed versus premiums paid by the city this last year, we are
expecting a significant hike in our healthcare premiums. We budgeted for a 25%
increase in the premiums, which amounts to approximately $66,000 to the general
fund. We are estimating that every 5% change in the 25% budgeted amount
would result in about a $13,000 change in the actual cost of the premiums. Once
staff receives more information, we will adjust this line item to reflect the actual
anticipated healthcare cost increase.
Lastly, the city experienced a 1.06% increase in new construction. This results in
about $108,200 in new property tax dollars available to the city.
SCENARIOS
When discussing the following scenarios, it is important to note that the average
home in Chanhassen decreased in value by about 4% for budget year 2011.
Therefore, the value of individual homes compared to the average home will
dictate the final outcome of individual property tax bills.
Scenario #1: The first scenario includes an increase in the total levy from the
previous year of $230,100 or 2.25 %. Included in that amount is $108,200 in new
property tax dollars, thus resulting in only a 1.18% or $10 annual increase in the
property tax bill for the average home in the city
Scenario #2: The second scenario includes an increase in the total levy of
$108,200 or 1.06 %, which is exactly the amount of new construction discussed
earlier. This would result in a zero percent increase in the city portion of the
property tax bill on the average home in the city. In order to get to this scenario,
staff would have to cut $121,900 from the staff presented budget in Scenario #1.
Scenario #3: The third scenario includes an increase in the total levy of only
$8,200 or .08% from the previous year. This would result in almost a 1% or $8
annual decrease in the city portion of the property tax bill on the average home.
In order to get to this scenario, staff would have to cut $221,900 from the budget
in Scenario #1.
RECOMMENDATION
Based on all the information stated above, staff believes setting a preliminary levy
as described in Scenario #1 would give the most flexibility before setting a final
levy in December. Staff has researched all estimated costs and revenues to the
fullest extent possible at this point in the year; however, a number of factors could
either adversely or positively impact the budget between now and December.
Since the final levy can only go down from the preliminary levy, staff believes
F: \GregS \Budget \2011 Budget\8 -09 prelim bud discussion - I .docx
2011 Budget Discussion
August 9, 2010
Page 3 of 3
setting a levy lower than Scenario #1 would not give the city as much flexibility
to recover from any potential adverse factors that could impact the budget.
NEXT STEP
No action is required on this item. At our August 23 work session, department
heads will present their proposed 2011 budgets. Their presentations will be based
on Scenario #1 and will highlight any significant changes in their departments.
ATTACHMENTS
1. Levy Impact Scenarios
2. KFS General Fund 5 year budget projection
3. Detailed General Fund Expenditure & Revenue Budget
F: \GregS \Budget\201 I Budget \8 -09 prelim bud discussion- l.docx
CITY OF CHANHASSEN (DECEMBER)
TAX LEVY
2011 Budget
TAX CAPACITY BASED TAX LEVY
General Fund
Capital Replacement Fund (for equipment)
Pavement Mgmt Fund (Sealcoating)
General Obligation Debt (212 Bonds)
Audubon
Public Works Facility
Debt of Other Agencies (EDA)
TOTAL TAX CAPACITY BASED TAX LEVIES
MARKET VALUE TAX LEVY
Library Referendum
TOTAL MARKET VALUE TAX LEVY
Use of cash reserves to buy down debt levies
TOTAL TAX LEVY
Dollar Increase
Taxes applied to
Tax Generation Capacity
General Fund
Capital Replacement
Pavement Mgmt
Total Levy subject to levy limits
Bond Funds
Audubon
Reduction in DS Levy
Total
2010
2011
Percent
Levy
Levy
Increase
$7,380,000
$7,610,100
3.12%
824,000
824,000
0.00%
200,000
200,000
0.00%
337,500
336,800
-0.21%
253,795
256,570
1.09%
599,300
594,000
-0.88%
122,195
126,420
3.46%
$9,716,790
9,947,890
2.38%
496,400 495,400 -0.20%
$496,400 $495,400 -0.20%
$0 $0
$10,213,190 $10,443,290 2.25%
$230,100
Scenario 1 Scenario 2 Scenario 3
$7,610,100
$7,488,200
$7,388,200
824,000
824,000
824,000
200,000
200,000
200,000.
$8,634,100
$8,512,200
$8,412,200
1,552, 620
1,552,620
1,552,620
256,570
256,570
256,570
0
0
0
$10,443,290 $10,321,390 $10,221,390
Prior Year
$10,213,190
$10,213,190
$10,213,190
New Construction
$108,200
$108,200
$108,200
Exsiting MV Inc
$0
$0
$0
TIF Dist 1
$0
$0
$0
Eden Trace TIF
$0
$0
$0
Gateway TIF
$0
$0
$0
Total Capacity $10,321,390 $10,321,390 $10,321,390
Estimated Effect on avg Taxpayer
1.18% 0.00% -0.97%
$230,100
Estimated Dollar Effect on avg Taxpayer $ 9.90 $ - $ (8.20)
CITY OF CHANHASSEN
KEY FINANCIAL STRATEGIES
Inflation Assumptions for General Fund Revenue 3.00%
Expenses 3.00%
GENERALFUND
2005
ACTUAL
2006
ACTUAL
2007
ACTUAL
2008
ACTUAL
2008
ACTUAL
2010
Budget
2011
Prelim. Levy
2012
PROJECTED
2013
PROJECTED
2014
PROJECTED
2015
PROJECTED
REVENUE
1,822,354
1,859,326
1,910,079
1,881,342
1,832,354
1,938,200
1,962,700
2,021,581
2,082,228
2,144,695
2,209,036
GENERAL PROPERTY TAX
6,229,593
6,185,311
6,385,431
6,581,268
6,933,324
7,210,000
7,440,100
7,663,303
7,893,202
8,129,998
8,373,898
LICENSES
132,932
99,809
131,999
113,266
139,402
126,300
138,500
142,655
146,935
151,343
155,883
PERMITS
1,027,205
1,346,154
1,543,207
1,264,737
911,552
674,800
711,200
732,536
754,512
777,147
800,461
FINES & PENALTIES
104,962
162,946
145,682
124,633
122,496
133,500
131,500
135,445
139,508
143,693
148,004
INTERGOVERNMENTAL REVENUE
219,511
237,109
403,683
302,947
227,268
285,000
265,000
272,950
281,139
289,573
298,260
CHARGES FOR CURRENT SERVICES
697,532
699,228
511,357
592,597
622,316
707,800
643,000
662,290
682,159
702,624
723,703
OTHER REVENUE
390,112
386,321
618,319
454,105
274,309
420,000
385,200
396,756
408,659
420,919
433,547
TOTAL REVENUE
8,801,847
9,116,878
9,739,678
9,433,553
9,230,667
9,557,400
9,714,500
10,005,935
10,306,114
10,615,297
10,933,756
EXPENSES EXCL. CAPITAL COSTS
GENERAL GOVERNMENT
1,822,354
1,859,326
1,910,079
1,881,342
1,832,354
1,938,200
1,962,700
2,021,581
2,082,228
2,144,695
2,209,036
PUBLIC SAFETY
2,525,399
2,614,437
2,710,853
2,835,279
2,943,095
2,960,000
3,036,700
3,127,801
3,221.635
3,318,284
3,417,833
PUBLIC WORKS
1,823,564
1,967,815
1,998,169
2,108,722
2,090,027
2,257,300
2,274,300
2,342,529
2,412,805
2,485,189
2,559,745
COMMUNITY DEVELOPMENT
362,100
383,979
433,750
420,495
426,916
445,800
461,400
475,242
489,499
504,184
519,310
PARKS AND RECREATION
1,592,911
1,670,616
1,742,091
1,850,446
1,796,135
1,906,100
1,929,400
1,987,282
2,046,900
2,108,307
2,171,556
OTHER USES
-
2,751,497
273,720
946,836
150,000
50,000
50,000
51,500
53,047
54,638
56,276
TOTAL EXPENSES
8,126,328
11,247,670
9,068,662
10,043,120
9,238,527
9,557,400
9,714,500
10,005,935
10,306,114
10,615,297
10,933,756
SE i �1+ �"�
;1! �i,5 i',3
Fund Balance
6,951,062
4,820,270
5,491,286
4,881,719
4,873,859
4,873,859
4,873,859
4,873,859
4,873,859
4,873,859
4,873,859
Policy for Cash Flow
3,211,210
3,394,557
3,442,108
3,580,296
3,747,500
3,852,550
3,968,127
4,087,171
4,209,786
4,336,079
-
Catastrophic Reserve "
1,687,151
1,200,000
1,200,000
1,200,000
1,200,000
1,200,000
1,200,000
1,200,000
1,200,000
1,200,000
1,200,000
4,898,361
4,594,557
4,642,108
4,780,296
4,947,500
5,052,550
5,168,127
5,287,171
5,409,786
5,536,079
1,200,000
Percentage of Fund Balance Per Policy
50.0%
50.0%
50.0%
50.0%
50.0%
50.0%
50.0%
50.0%
50.0%
50.0%
Excess Fund Balance
2,052,701
225,713
849,179
101,423
(73,641)
(178,691)
(294,268)
(413,312)
(535,927)
(662,220)
Assumptions - Added On
2005
2006
2007
2008
2009
2010
2011
2012
2013
2014
2015
Expenses
General Government
Law Enforcement * **
Public Works
Parks and Recreation
CITY OF CHANHASSEN
2011 BUDGET
Expenditures
GENERAL GOVERNMENT
1110
Legislative
1120
Administration
1130
Finance
1140
Legal
1150
Assessing
1160
MIS
1170
City Hall
1180
Elections
1190
Library Building
109,300
TOTAL
LAW ENFORCEMENT
1210
Law Enforcement
1220
Fire
1250
Building Inspection
1260
CSO
1550
TOTAL
PUBLIC WORKS
1310
Engineering
1320
Street Maintenance
1350
Street Lighting
1370
Vehicle Maintenance
1550
TOTAL
COMMUNITY DEVELOPMENT
1410 Planning Commission
1420 Planning Administration
1430 Senior Commission
* TOTAL
PARKS & RECREATION
1510
Park & Rec. Commission
1520
Park Administration
1530
Recreation Center
1540
Lake Ann
1550
Park Maintenance
1560
Senior Center
1600
Recreation Programs
1700
Self- Supporting Programs
1800
Recreation Sports
109,300
TOTAL
Total Operational Expenditures
Transfer for Roads
** TOTAL GENERAL FUND
Personal
Materials &
Contractual
Capital
2011
2010
%
Services
Supplies
Services
Outlay
Total
Total
Change
32,300
200
76,800
-
109,300
109,300
0.00%
408,000
500
63,600
-
472,100
461,200
2.36%
235,200
200
50,100
200
285,700
277,300
3.03%
-
-
145,000
-
145,000
148,000
-2.03%
-
-
112,100
-
112,100
110,000
1.91%
179,100
2,400
76,300
-
257,800
247,800
4.04%
72,100
49,400
301,700
-
423,200
419,500
0.88%
21,500
-
6,700
-
28,200
27,900
1.08%
-
3,000
126,300
-
129,300
137,200
-5.76%
948,200
55,700
958,600
200
1,962,700
1,938,200
1.26%
80,700
-
1,575,000
-
1,655,700
1,631,200
1.50%
509,500
46,600
132,000
-
688,100
648,100
6.17%
590,700
5,100
21,900
-
617,700
606,000
1.93%
5 7,600
5,000
12,600
-
75,200
74,700
0.67%
1,238,500
56,700
1,741,500
-
3,036,700
2,960,000
2.59%
546,700
1,300
30,600
-
578,600
563,200
2.73%
666,600
134,600
32,700
-
833,900
818,500
1.88%
-
5,000
340,400
-
345,400
348,400
- 0.86%
267,000
148,400
95,500
5,500
516,400
527,200
-2.05%
1,480,300
289,300
499,200
5,500
2,274,300
2,257,300
0.75%
-
200
4,000
-
4,200
4,200
0.00%
409,000
700
14,100
-
423,800
408,900
3.64%
22,700
-
10,700
-
33,400
32,700
2.14%
431,700
900
28,800
-
461,400
445,800
3.50%
-
200
2,000
-
2,200
2,200
0.00%
129,200
1,000
10,700
-
140,900
150,400
- 6.32%
224,000
46,700
78,800
-
349,500
346,300
0.92%
12,900
9,500
45,900
-
68,300
68,300
0.00%
728,700
81,300
93,400
5,000
908,400
884,600
2.69%
44,900
4,500
20,600
-
70,000
69,100
1.30%
174,500
19,100
94,200
-
287,800
283,500
1.52%
30,400
9,000
43,000
-
82,400
83,300
-1.08%
10,500
9,400
-
-
19,900
18,400
8.15%
1,355,100
180,700
388,600
5,000
1,929,400
1,906,100
1.22%
5,453,800
583,300
3,616,700
10,700
9,664,500
9,507,400
1.65%
50,000
50,000
9,714,500 1
9,557,400
1.64%
CITY OF CHANHASSEN
2011 BUDGET
REVENUE
101 General Fund
2009 2010 2010 2011 Inc Over
ACCOUNT DESCRIPTION ACTUAL BUDGET PROJECTED BUDGET I PYBudget
GENERAL PROPERTY TAX
3010
Current Property Tax
3002
Allowance for Delinquent Taxes
3011
Delinquent Property Tax
3041
MVHC
3090
Other Property Taxes
3500
Local Government Aid
*
TOTAL GENERAL PROPERTY TAX
6,783,921 7,380,000
- (270,000)
149,403 100,000
6,933,324 7,210,000
7,380,000
7,610,100
(270,000)
(300,000)
100,000
130,000
7,210,000
7,440,100
3.1%
LICENSES
3203
Dog Kennel
878
800
800
800
3205
Dog or Cat
10,452
6,000
6,000
10,000
3213
Solicitor
850
500
500
700
3226
Liquor On and Off Sale
89,622
84,000
84,000
90,000
3230
Rental Housing Licenses
34,900
30,000
30,000
34,000
3284
Rubbish
2,700
5,000
5,000
3,000
*
TOTAL LICENSES
139,402
126,300
126,300
138,500
PERMITS
60,000
3301
Building
3302
Plan Check
3305
Heating & A/C
3306
Plumbing
3307
Trenching
3308
Gun
3309
Sprinkler
3311
Sign
3320
Stable
3330
Elec Permit App Forms
3331
Firework's Application Fee
3390
Misc. Permits
*
TOTAL PERMITS
FINES & PENALTIES
473,097 350,000
227,918 175,000
96,300
60,000
64,541
50,000
24,558
15,000
1,320
1,000
14,726
14,000
5,750
7,500
220
300
200 -
2,922 2,000
911,552 674,800
3.2%
9.7%
350,000
360,000
175,000
175,000
60,000
70,000
50,000
60,000
15,000
20,000
1,000
1,400
14,000
15,000
7,500
7,500
300
300
2,000
2,000
674,800
711,200 5.4%
3401
Traffic & Ordinance Violation
118,310
125,000
125,000
125,000
3402
Vehicle Lockouts
1,550
2,500
2,500
2,500
3404
Dog /Cat Impound
2,636
6,000
6,000
4,000
3405
Other Fines and Penalties
5
-
-
*
TOTAL FINES & PENALTIES
122,501
133,500
133,500
131,500 -1.5%
INTERGOVERNMENTAL REVENUE
3503
Reimbursement from School District
13,278
45,000
45,000
45,000
3509
Other Shared Taxes
119,628
160,000
160,000
130,000
3510
Grants -State
94,363
80,000
80,000
90,000
*
TOTAL INTERGOVERNMENTAL REV
227,268
285,000
285,000
265,000 -7.0%
CITY OF CHANHASSEN
2011 BUDGET
REVENUE
101 General Fund
DESCRIPTION
2009 2010 2010 2011 1 Inc Over
ACTUAL BUDGET PROJECTED BUDGET PY Budget
CHARGES FOR CURRENT SERVICES
3601
Sale of Documents
3602
Use & Variance Permits
3603
Rezoning Fees
3604
Assessment Searches
3605
Plat Recording Fees
3607
Election Filing Fees
3613
Misc. - General Government
3614
Admin. Charge -2% Constr.
3615
Admin. Charge -5% Street Re- Constr
3615
Admin. Charge -5% Utility Projects
3617
Engineering General
3619
Investment Management Fee
3629
Misc. - Public Safety
3630
Recreation Program Fees
3631
Recreation Center
3633
Park Equipment Rental
3634
Park Facility Usage Fee
3635
Watercraft Rental
3636
Self- Supporting Programs
3637
Senior Programs
3638
Food Concessions
3639
Misc. -Park & Rec.
3641
Youth Sport Donation
3642
Recreation Sports
3649
Misc. - Public Works
3651
Merchandise Sales
3670
Internment Fee
*
TOTAL CURRENT SERVICES
OTHER REVENUE
3801
Interest Earnings
3802
Equipment Rental & Sale
3803
Building Rental
3804
Land Sale
3807
Donations
3808
Ins. Recoveries & Reimburse
3816
SAC Retainer
3818
Sur -Tax Retainer
3820
Misc. Other Revenue
3829
Interest/Penalties-Other
3903
Refunds /Reimbursements
3910
Misc. Revenue
3980
Cash Short/Over
*
TOTAL OTHER REVENUE
** TOTAL GENERAL FUND REVENUE
1,860
1,000
1,000
1,000
8,945
22,000
22,000
10,000
25
2,000
2,000
2,000
345
500
500
500
2,300
7,000
7,000
3,000
3,152
5,000
5,000
5,000
12,791
25,000
25,000
20,000
18,976
24,000
24,000
30,000
75,144
84,000
84,000
20,000
75,000
75,000
75,000
75,000
11,401
6,000
6,000
10,000
32,220
40,000
40,000
40,000
235,372
221,000
221,000
230,000
150
300
300
300
13,684
14,000
14,000
14,000
4,229
4,500
4,500
4,500
70,831
98,000
98,000
97,000
29,038
28,000
28,000
30,000
10,562
12,000
12,000
12,000
1,051
1,000
1,000
1,200
12,301
31,000
31,000
31,000
600
5,000
5,000
5,000
2,191
1,500
1,500
1,500
150
-
-
-
622,316
707,800
707,800
643,000
53,522
200,000
150,000
130,000
146,309
140,000
140,000
180,000
5,960
4,000
4,000
5,000
1,600
-
-
-
26,365
20,500
20,500
25,200
-
5,000
5,000
-
3,402
5,000
5,000
5,000
615
1,000
1,000
1,000
210
1,000
1,000
1,000
-
500
500
-
36,319
43,000
43,000
38,000
420,000
370,000
385,200
274,301
9,230,664
9,557,400
9,507,400
9,714,500 1.6%
TOTAL GENERAL FUND EXPENDITURES
9,714,500
NET LEVY REMAINING (Use of Gen Fund Reserves)
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1110 Legislative
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4020
Salaries & Wages -Temp
29,700
30,000
30,000
0.0%
4030
Contributions - Retirement
2,109
2,200
2,200
0.0%
4050
Workers Compensation
-
100
100
0.0%
*
TOTAL PERSONAL SERVICES
31,809
32,300
32,300
0.0%
4210
Books & Periodicals
-
200
200
0.0%
*
TOTAL MATERIALS & SUPPLIES
-
200
200
0.0%
4300
Fees, Services
1,667
4,300
3,000
(30.2 %)
4330
Postage
6,633
3,500
6,800
94.3%
4340
Printing & Publishing
29,236
36,000
36,000
0.0%
4360
Subscriptions & Memberships
21,943
25,000
25,000
0.0%
4370
Travel & Training
3,762
5,000
5,000
0.0%
4375
Promotional Expense
494
3,000
1,000
(66.7 %)
4933
Sales Tax
4
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
63,738
76,800
76,800
0.0%
** TOTAL LEGISLATIVE 95,547 109,300 109,300 0.0%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1120 Administration
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4010
Salaries & Wages -Reg
315,945
316,000
322,400
2.0%
4020
Salaries & Wages -Temp
110
1,000
1,000
0.0%
4030
Contributions - Retirement
43,755
46,300
48,100
3.9%
4040
Contributions - Insurance
31,808
31,700
35,800
12.9%
4050
Workers Compensation
438
700
700
0.0%
*
TOTAL PERSONAL SERVICES
392,055
395,700
408,000
3.1
4120
Supplies- Equipment
112
200
200
0.0%
4130
Supplies- Program
-
100
100
0.0%
4210
Books & Periodicals
68
200
200
0.0%
*
TOTAL MATERIALS & SUPPLIES
180
500
500
0.0%
4300
Fees, Services
5,334
7,000
7,000
0.0%
4310
Telephone
3,825
2,900
4,000
37.9%
4330
Postage
15,510
16,000
16,000
0.0%
4340
Printing & Publishing
340
1,000
1,000
0.0%
4360
Subscriptions & Memberships
4,081
4,000
4,500
12.5%
4370
Travel & Training
4,544
8,000
8,000
0.0%
4380
Mileage
4,675
7,200
7,200
0.0%
4410
Rental- Equipment
13,224
18,500
15,500
(16.2 %)
4530
Repair & Maintenance -Equip
-
300
300
0.0%
4807
Property Tax Expense
1,481
100
100
0.0%
*
TOTAL CONTRACTUAL SERVICES
53,013
65,000
63,600
(2.2 %)
4703
Office Equipment
-
-
-
0.0%
*
TOTAL CAPITAL OUTLAY
-
-
-
0.0%
** TOTAL ADMINISTRATION 445,249 461,200 472,100 2.4%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1130 Finance
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET %INC/ DEC
4010
Salaries & Wages -Reg
177,722
176,500
180,000
2.0%
4011
Overtime
-
-
-
0.0%
4030
Contributions - Retirement
25,033
25,900
26,900
3.9%
4040
Contributions - Insurance
22,510
24,000
27,900
16.3%
4050
Workers Compensation
248
400
400
0.0%
4060
Unemployment
3,118
-
-
0.0%
*
TOTAL PERSONAL SERVICES
228,631
226,800
235,200
3.7%
4120
Supplies- Equipment
-
100
100
0.0%
4210
Books & Periodicals
-
100
100
0.0%
*
TOTAL MATERIALS & SUPPLIES
-
200
200
0.0%
4300
Fees, Services
4,410
10,000
10,000
0.0%
4301
Fees, Financial /Audit
30,495
30,000
30,000
0.0%
4310
Telephone and Communications
301
500
500
0.0%
4330
Postage
-
200
200
0.0%
4340
Printing & Publishing
1,503
1,800
1,800
0.0%
4360
Subscriptions & Memberships
460
400
400
0.0%
4370
Travel & Training
2,891
7,100
7,100
0.0%
4530
Repair & Maintenance -Equip
-
100
100
0.0%
4901
Refunds /Reimbursements
(154)
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
39,907
50,100
50,100
0.0%
4703 Office Equipment
* TOTAL CAPITAL OUTLAY
200 200 0.0%
200 200 0.0%
** TOTAL FINANCE 268,538 277,300 285,700 3.0%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1140 Legal
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC)
4302 Fees, Legal 135,725 148,000 145,000 (2.0 %)
TOTAL CONTRACTUAL SERVICES 135,725 148,000 145,000 (2.0 %)
— TOTAL LEGAL 135,725 148,000 145,000 (2.0 9/6)
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1150 Property Assessment
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4300 Fees, Services 104,314
4340 Printing & Publishing -
* TOTAL CONTRACTUAL SERVICES 104,314
** TOTAL PROPERTY ASSESSMENT 104,314
109,900 112,000 1.9%
100 100 0.0%
110,000 112,100 1.9%
110,000 112,100 1.9%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1160 M.I.S.
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4010
Salaries & Wages -Reg
136,689
135,700
138,400
2.0%
4030
Contributions - Retirement
19,208
20,000
20,700
3.5%
4040
Contributions - Insurance
15,876
17,000
19,700
15.9%
4050
Workers Compensation
189
300
300
0.0%
*
TOTAL PERSONAL SERVICES
171,962
173,000
179,100
3.5%
4150
Maintenance Materials
812
1,300
1,300
0.0%
4210
Books & Periodicals
300
600
600
0.0%
4220
Software Licenses
-
-
-
0.0%
4260
Small Tools & Equipment
307
500
500
0.0%
*
TOTAL MATERIALS & SUPPLIES
1,420
2,400
2,400
0.0%
4300
Fees, Services
83,704
44,600
52,800
18.4%
4310
Telephone
1,355
1,500
1,900
26.7%
4320
Utilities
3,900
13,800
8,100
(41.3 %)
4370
Travel & Training
5,877
7,500
8,500
13.3%
4530
Repair & Maintenance -Equip
3,802
5,000
5,000
0.0%
4933
Sales Tax
237
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
98,876
72,400
76,300
5.4%
4703 Office Equipment
* TOTAL CAPITAL OUTLAY
_ 0.0%
0.0%
** TOTAL M.I.S. 272,257 247,800 257,800 4.0%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1170 City Hall
2010 to
2009 2010 2011 2011
XCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC)
4010
Salaries & Wages -Reg
50,539
50,800
51,800
2.0%
4011
Overtime -Reg
3,150
3,500
3,500
0.0%
4030
Contributions - Retirement
7,678
7,500
7,800
4.0%
4040
Contributions - Insurance
6,045
6,400
7,400
15.6%
4050
Workers Compensation
1,441
1,700
1,600
(5.9 %)
*
TOTAL PERSONAL SERVICES
68,853
69,900
72,100
3.1%
4110
Supplies -Office
33,958
43,000
43,000
0.0%
4120
Supplies- Equipment
942
1,000
1,000
0.0%
4140
Supplies - Vehicles
31
1,000
1,000
0.0%
4150
Maintenance Materials
4,064
3,000
4,000
33.3%
4260
Small Tools & Equipment
377
300
400
33.3%
*
TOTAL MATERIALS & SUPPLIES
39,372
48,300
49,400
2.3%
4300
Fees, Services
7,209
7,000
9,000
28.6%
4310
Telephone
10,462
16,000
12,000
(25.0 %)
4320
Utilities
46,436
60,000
55,000
(8.3 %)
4350
Cleaning & Waste Removal
31,584
35,700
35,700
0.0%
4370
Travel & Training
88
-
200
100.0%
4440
License & Registration
-
100
100
0.0%
4483
Insurance - General Liability
169,885
170,000
176,000
3.5%
4510
Repair & Maintenance - Building
4,971
10,000
10,000
0.0%
4520
Repair & Maintenance - Vehicles
167
400
400
0.0%
4530
Repair & Maintenance -Equip
2,763
2,000
3,000
50.0%
4933
Sales Tax
267
100
300
200.0%
*
TOTAL CONTRACTUAL SERVICES
273,832
301,300
301,700
0.1%
**
TOTAL CITY HALL
382,058
419,500
423,200
0.9%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1180 Elections
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4020 Salaries & Wages -Temp
4030 Contributions - Retirement
4060 Unemployment
* TOTAL PERSONAL SERVICES
4110
Office Supplies
4300
Fees, Services
4340
Printing & Publishing
4370
Travel & Training
*
TOTAL CONTRACTUAL SERVICES
** TOTAL ELECTIONS
10,118 20,500 20,500 0.0%
- 1,000 1,000 0.0%
220 - - 0.0%
10,338 21,500 21,500 0.0%
- 200
200
0.0%
- 3,000
3,000
0.0%
4,395 2,000
2,300
15.0%
- 1,200
1,200
0.0%
4,395 6,400
6,700
4.7%
14,733 27,900
28,200
1.1%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1190 Library Building
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4150
Maintenance Materials
2,629
4260
Small Tools & Equipment
662
*
TOTAL MATERIALS & SUPPLIES
3,291
4300
Fees, Services
6,248
4310
Telephone
1,766
4320
Utilities
60,061
4350
Cleaning & Waste Removal
32,028
4510
Repair & Maintenance - Building
2,357
4530
Repair & Maintenance -Equip
8,178
4933
Sales Tax
5
*
TOTAL CONTRACTUAL SERVICES
110,643
** TOTAL LIBRARY 113,934
3,000
3,000
3,000
3,000
4,000
6,500
2,200
1,800
80,000
70,000
34,000
34,000
7,000
7,000
7,000
7,000
134,200 126,300
137,200 129,300
0.0%
62.5%
(18.2 %)
(12.5 %)
0.0%
0.0%
0.0%
(5.8 %)
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1210 Police Administration
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/ DEC
4010
Salaries & Wages -Reg
62,307
62,100
63,400
2.1%
4030
Contributions - Retirement
8,987
9,100
9,500
4.4%
4040
Contributions - Insurance
6,106
6,500
7,500
15.4%
4050
Workers Compensation
190
500
300
(40.0 %)
*
TOTAL PERSONAL SERVICES
77,589
78,200
80,700
3.2%
4130
Program Supplies
4,639
5,000
5,000
0.0%
4300
Fees, Services
1,483,759
1,543,000
1,565,000
1.4%
4370
Travel & Training
-
500
500
0.0%
4375
Promotional Expense
4,659
4,500
4,500
0.0%
4933
Sales Tax
315
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
1,493,372
1,553,000
1,575,000
1.4%
**
TOTAL POLICE ADMINISTRATION
1,570,961
1,631,200
1,655,700
1.5%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1220 Fire Prevention Administration
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC)
4010
Salaries & Wages -Reg
134,121
133,600
136,300
2.0%
4011
Overtime
256
1,000
1,000
0.0%
4020
Salaries & Wages -Temp
156,954
150,000
160,000
6.7%
4030
Contributions - Retirement
197,518
165,000
175,000
6.1%
4040
Contributions - Insurance
21,810
23,400
27,200
16.2%
4050
Workers Compensation
9,167
12,000
10,000
(16.7 %)
TOTAL PERSONAL SERVICES
519,825
485,000
509,500
5.1%
4120
Supplies- Equipment
11,845
11,000
11,000
0.0%
4130
Supplies- Program
2,393
2,000
2,500
25.0%
4140
Supplies - Vehicles
5,469
12,000
12,000
0.0%
4150
Maintenance Materials
516
500
500
0.0%
4170
Motor Fuels and Lubrication
268
-
-
0.0%
4210
Books & Periodicals
681
600
600
0.0%
4240
Uniforms & Clothing
7,455
10,000
9,000
(10.0 %)
4250
Merchandise for Resale
35
-
-
0.0%
4260
Small Tools & Equipment
3,478
6,000
6,000
0.0%
4290
Misc. Materials & Supplies
5,904
5,000
5,000
0.0%
TOTAL MATERIALS & SUPPLIES
38,043
47,100
46,600
(1.1 %)
4300
Fees, Services
13,613
10,000
11,000
10.0%
4310
Telephone
3,571
6,000
5,000
(16.7 %)
4320
Utilities
22,037
28,500
25,000
(12.3 %)
4330
Postage
44
-
-
0.0%
4350
Cleaning & Waste Removal
4,768
6,000
5,000
(16.7 %)
4360
Subscriptions & Memberships
1,390
2,000
2,000
0.0%
4370
Travel & Training
-
10,000
10,000
0.0%
4375
Promotional Expense
7,034
9,000
9,000
0.0%
4483
Insurance - General Liability
-
1,000
1,000
0.0%
4510
Repair & Maintenance - Building
5,476
7,000
6,000
(14.3 %)
4520
Repair & Maintenance - Vehicles
4,550
8,000
8,000
0.0%
4530
Repair & Maintenance -Equip
18,689
11,000
15,000
36.4%
4531
Repair& Maintenance - Radios
1,993
5,000
5,000
0.0%
Contribution for Performance
-
12,500
30,000
140.0%
4901
Refund /Reimbursements
4
-
-
0.0%
4933
Sales Tax
611
-
-
0.0%
TOTAL CONTRACTUAL SERVICES
83,782
116,000
132,000
13.8%
"*
TOTAL FIRE PREVENTION ADMIN
641,650
648,100
688,100
6.2%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1250 Code Enforcement
2010 to
2009 2010 2011 2011
►CCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC)
4010
Salaries & Wages -Reg
511,773
442,600
452,800
2.3%
4011
Overtime -Reg
143
-
-
0.0%
4020
Salaries & Wages -Temp
-
-
-
0.0%
4021
Overtime -Temp
-
-
-
0.0%
4030
Contributions - Retirement
71,033
65,600
67,500
2.9%
4040
Contributions - Insurance
66,876
67,400
69,000
2.4%
4050
Workers Compensation
1,353
1,400
1,400
0.0%
*
TOTAL PERSONAL SERVICES
651,178
577,000
590,700
2.4%
4120
Supplies- Equipment
83
500
500
0.0%
4130
Supplies- Program
578
500
500
0.0%
4140
Supplies - Vehicles
2,090
1,700
1,700
0.0%
4210
Books & Periodicals
185
2,500
1,500
(40.0 %)
4240
Uniforms & Clothing
46
500
500
0.0%
4260
Small Tools & Equipment
32
400
400
0.0%
*
TOTAL MATERIALS & SUPPLIES
3,013
6,100
5,100
(16.4 %)
4300
Fees, Services
200
-
-
0.0%
4310
Telephone
3,526
4,000
4,000
0.0%
4340
Printing & Publishing
888
3,000
2,000
(33.3 %)
4360
Subscriptions & Memberships
450
1,000
1,000
0.0%
4370
Travel & Training
3,627
11,000
11,000
0.0%
4375
Promotional Expense
-
200
200
0.0%
4440
License & Registration
479
200
200
0.0%
4520
Repair & Maintenance - Vehicles
103
500
500
0.0%
4530
Repair& Maintenance -Equip
1,553
2,000
2,000
0.0%
4901
Refunds /Reimbursements
510
1,000
1,000
0.0%
4933
Sales Tax
61
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
11,397
22,900
21,900
(4.4 %)
**
TOTAL CODE ENFORCEMENT
665,588
606,000
617,700
1.9%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1260 Community Service
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC)
4020
Salaries & Wages -Temp
43,282
47,000
48,000
2.1%
4021
Overtime -Temp
544
1,400
1,400
0.0%
4030
Contributions- Retirement
6,331
6,000
6,500
8.3%
4040
Contributions - Insurance
590
600
700
16.7%
4050
Workers Compensation
812
1,000
1,000
0.0%
*
TOTAL PERSONAL SERVICES
51,558
56,000
57,600
2.9%
4120
Supplies- Equipment
347
1,500
1,200
(20.0 %)
4130
Supplies- Program
1,046
700
1,000
42.9%
4140
Supplies - Vehicles
1,267
1,000
1,000
0.0%
4210
Books & Periodicals
-
200
200
0.0%
4240
Uniforms & Clothing
185
1,600
1,600
0.0%
*
TOTAL MATERIALS & SUPPLIES
2,844
5,000
5,000
0.0%
4300
Fees, Services
9,009
9,600
9,000
(6.3 %)
4310
Telephone
601
1,000
1,100
10.0%
4340
Printing & Publishing
162
500
300
(40.0 %)
4360
Subscriptions & Memberships
103
300
200
(33.3 %)
4370
Travel & Training
200
700
700
0.0%
4520
Repair & Maintenance - Vehicles
-
1,000
700
(30.0 %)
4530
Repair & Maintenance -Equip
368
300
300
0.0%
4531
Repair & Maintenance - Radios
16
300
300
0.0%
4933
Sales Tax
31
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
10,490
13,700
12,600
(8.0 %)
**
TOTAL COMMUNITY SERVICE
64,893
74,700
75,200
0.7%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1310 Engineering
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4010
Salaries & Wages -Reg
402,783
409,800
418,000
2.0%
4011
Overtime -Reg
20
1,500
1,500
0.0%
4020
Salaries & Wages -Temp
5,593
15,000
15,000
0.0%
4030
Contributions - Retirement
57,622
60,000
62,300
3.8%
4040
Contributions - Insurance
39,949
42,600
48,400
13.6%
4050
Workers Compensation
1,114
1,500
1,500
0.0%
*
TOTAL PERSONAL SERVICES
507,081
530,400
546,700
3.1%
4120
Supplies- Equipment
1,117
400
500
25.0%
4140
Supplies - Vehicles
62
800
700
(12.5 %)
4150
Maintenance Materials
15
-
-
0.0%
4210
Books & Periodicals
320
100
100
0.0%
*
TOTAL MATERIALS & SUPPLIES
1,514
1,300
1,300
0.0%
4300
Fees, Services
17,653
18,000
18,000
0.0%
4310
Telephone
3,185
2,100
3,200
52.4%
4330
Postage
-
400
400
0.0%
4340
Printing & Publishing
430
600
600
0.0%
4360
Subscriptions & Memberships
814
1,500
1,400
(6.7 %)
4370
Travel & Training
1,693
4,200
3,000
(28.6 %)
4380
Mileage
43
500
500
0.0%
4440
License & Registration
-
300
-
(100.0 %)
4520
Repair & Maintenance - Vehicles
-
500
-
(100.0 %)
4530
Repair & Maintenance -Equip
3,722
3,000
3,500
16.7%
4531
Repair & Maintenance- Radios
-
100
-
(100.0 %)
4901
Refunds /Reimbursements
10
-
-
0.0%
4903
Bad Debt Expense
2,435
-
-
0.0%
4933
Sales Tax
66
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
30,050
31,200
30,600
(1.9 %)
4705 Other Equipment
* TOTAL CAPITAL OUTLAY
300 - (100.0 %)
300 - (100.0 %)
** TOTAL ENGINEERING 538,645 563,200 578,600 2.7%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1320 Street Maintenance
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC)
4010
Salaries & Wages -Reg
459,600
457,800
466,900
2.0%
4011
Overtime -Reg
18,749
8,000
18,000
125.0%
4020
Salaries & Wages -Temp
9,582
10,000
10,000
0.0%
4021
Overtime -Temp
197
-
-
0.0%
4030
Contributions - Retirement
68,964
67,100
70,000
4.3%
4040
Contributions - Insurance
59,247
61,900
71,700
15.8%
4050
Workers Compensation
27,818
36,400
30,000
(17.6 9 /6)
*
TOTAL PERSONAL SERVICES
644,158
641,200
666,600
4.0%
4120
Supplies- Equipment
34,275
44,000
40,000
(9.1%)
4140
Supplies - Vehicles
16,872
25,000
23,000
(8.0 %)
4150
Maintenance Materials
70,990
65,000
64,000
(1.5 %)
4210
Books & Periodicals
-
100
100
0.0%
4240
Uniforms & Clothing
4,224
4,800
4,800
0.0%
4260
Small Tools & Equipment
1,556
2,700
2,700
0.0%
*
TOTAL MATERIALS & SUPPLIES
127,917
141,600
134,600
(4.9 %)
4300
Fees, Services
446
1,000
1,000
0.0%
4310
Telephone
3,252
3,800
3,800
0.0%
4330
Postage,
28
-
-
0.0%
4340
Printing & Publishing
-
300
300
0.0%
4350
Cleaning & Waste Removal
-
300
300
0.0%
4360
Subscriptions & Memberships
1,085
1,200
1,200
0.0%
4370
Travel & Training
1,940
1,500
2,000
33.3%
4410
Rental- Equipment
323
1,500
1,500
0.0%
4440
License & Registration
35
600
600
0.0%
4510
Repair & Maintenance - Building
-
500
500
0.0%
4520
Repair & Maintenance - Vehicles
140
3,500
3,500
0.0%
4530
Repair & Maintenance -Equip
8,203
5,500
6,000
9.1%
4531
Repair & Maintenance - Radios
-
500
-
0.0%
4540
Repair & Maintenance - Streets
1,921
500
2,000
300.0%
4560
Repair & Maintenance -Signs
8,081
13,700
10,000
(27.0 %)
4933
Sales Tax
1,511
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
26,966
34,400
32,700
(4.9 %)
4703
Office Equipment
-
300
-
(100.0 %)
4705
Other Equipment
-
1,000
-
(100.0 %)
*
TOTAL CAPITAL OUTLAY
-
1,300
-
(100.0 %)
**
TOTAL STREET MAINTENANCE
799,041
818,500
833,900
1.9%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1350 Street Lighting & Signals
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4120 Supplies- Equipment
1,331
5,000
5,000
0.0%
* TOTAL MATERIALS & SUPPLIES
1,331
5,000
5,000
0.0%
4300
Fees, Services
-
300
300
0.0%
4310
Telephone
575
600
600
0.0%
4320
Utilities
311,330
315,000
315,000
0.0%
4530
Repair & Maintenance -Equip
-
2,500
2,500
0.0%
4560
Repair & Maintenance -Signs
2,427
-
-
0.0%
4565
Repair & Maintenance - Lights &Signals
17,026
25,000
22,000
(12.0 9 /6)
*
TOTAL CONTRACTUAL SERVICES
331,358
343,400
340,400
(0.9 %)
**
TOTAL STREET LIGHT & SIGNALS
332,688
348,400
345,400
(0.9 %)
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1370 City Garage
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC)
4010
Salaries & Wages -Reg
187,697
185,700
189,400
2.0%
4011
Overtime -Reg
7,436
6,500
6,500
0.0%
4030
Contributions - Retirement
26,906
27,200
28,200
3.7%
4040
Contributions - Insurance
28,227
30,600
35,700
16.7%
4050
Workers Compensation
7,074
9,400
7,200
(23.4 %)
*
TOTAL PERSONAL SERVICES
257,340
259,400
267,000
2.9%
4120
Supplies- Equipment
1,159
3,300
3,300
0.0%
4140
Supplies - Vehicles
96
500
500
0.0%
4150
Maintenance Materials
668
1,000
1,000
0.0%
4170
Motor Fuels & Lubricants
111,988
158,000
138,000
(12.7 %)
4240
Uniforms & Clothing
824
1,200
1,200
0.0%
4260
Small Tools & Equipment
2,597
4,400
4,400
0.0%
*
TOTAL MATERIALS & SUPPLIES
117,332
168,400
148,400
(11.9 %)
4300
Fees, Services
1,635
1,300
1,300
0.0%
4310
Telephone
2,731
4,000
4,000
0.0%
4320
Utilities
23,624
70,000
66,000
(5.7 %)
4330
Postage
11
-
-
0.0%
4340
Printing & Publishing
-
100
100
0.0%
4350
Cleaning & Waste Removal
6,388
10,000
12,000
20.0%
4360
Subscriptions & Memberships
-
200
200
0.0%
4370
Travel & Training
323
1,500
1,500
0.0%
4410
Rental- Equipment
-
500
500
0.0%
4440
License & Registration
30
500
500
0.0%
4510
Repair & Maintenance - Building
4,153
4,000
7,000
75.0%
4520
Repair & Maintenance - Vehicles
-
300
300
0.0%
4530
Repair & Maintenance -Equip
1,175
3,900
2,000
(48.7 %)
4531
Repair & Maintenance - Radios
-
100
100
0.0%
4933
Sales Tax
298
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
40,368
96,400
95,500
(0.9 %)
4703
Office Equipment
-
500
500
0.0%
4705
Other Equipment
4,613
2,500
5,000
100.0%
*
TOTAL CAPITAL OUTLAY
4,613
3,000
5,500
83.3%
**
TOTAL CITY GARAGE
419,653
527,200
516,400
(2.0 %)
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1410 Planning Commission
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4210 Books & Periodicals
TOTAL MATERIALS & SUPPLIES
200 200 0.0%
200 200 0.0%
4340 Printing & Publishing 3,817 3,000 3,000
4360 Subscriptions & Memberships - 200 200
4370 Travel & Training 249 800 800
TOTAL CONTRACTUAL SERVICES 4,066 4,000 4,000
0.0%
0.0%
0.0%
** TOTAL PLANNING COMMISSION 4,066 4,200 4,200 0.0%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1420 Planning Administration
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4010
Salaries & Wages -Reg
303,521
304,900
311,000
2.0%
4030
Contributions - Retirement
41,711
44,700
46,300
3.6%
4040
Contributions - Insurance
40,068
43,900
51,100
16.4%
4050
Workers Compensation
421
600
600
0.0%
*
TOTAL PERSONAL SERVICES
385,722
394,100
409,000
3.8%
4120
Supplies- Equipment
75
300
300
0.0%
4130
Supplies- Program
-
100
100
0.0%
4140
Supplies - Vehicles
305
100
100
0.0%
4210
Books & Periodicals
-
200
200
0.0%
*
TOTAL MATERIALS & SUPPLIES
380
700
700
0.0%
4300
Fees, Services
20
5,000
5,000
0.0%
4310
Telephone
-
200
200
0.0%
4340
Printing & Publishing
-
200
200
0.0%
4360
Subscriptions & Memberships
1,126
1,500
1,500
0.0%
4370
Travel & Training
4,988
6,400
6,400
0.0%
4440
License & Registration
-
600
600
0.0%
4520
Repair & Maintenance - Vehicles
-
200
200
0.0%
*
TOTAL CONTRACTUAL SERVICES
6,134
14,100
14,100
0.0%
**
TOTAL PLANNING ADMINISTRATION
392,237
408,900
423,800
3.6%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1430 Senior Commission
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/ DEC
4010
Salaries & Wages -Reg
4030
Contributions - Retirement
4040
Contributions- Insurance
4050
Workers Compensation
*
TOTAL PERSONAL SERVICES
4300
Fees, Services
8,467
10,000
10,000
4370
Travel & Training
116
200
200
4375
Promotional Expense
-
500
500
*
TOTAL CONTRACTUAL SERVICES
8,583
10,700
10,700
**
TOTAL SENIOR COMMISSION
30,614
32,700
33,400
17,931
2,538
1,538
25
22,031
17,700
2,600
1,600
100
22,000
18,000
1.7%
2,700
3.8%
1,900
18.8%
100
0.0%
22,700
3.2%
0.0%
0.0%
0.0%
2.1%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1510 Park & Rec Commission
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4130
Supplies- Program
-
100
100
0.0%
4210
Books & Periodicals
-
100
100
0.0%
*
TOTAL MATERIALS & SUPPLIES
-
200
200
0.0%
4340
Printing & Publishing
1,691
900
1,100
22.2%
4360
Subscriptions & Memberships
550
700
600
(14.3 %)
4370
Travel & Training
337
400
300
(25.0 %)
*
TOTAL CONTRACTUAL SERVICES
2,578
2,000
2,000
0.0%
** TOTAL PARK & REC COMMISSION 2,578 2,200 2,200 0.0%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1520 Park & Rec Administration
2010 to
2009 2010 2011 2011
►CCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC
4010
Salaries & Wages -Reg
4030
Contributions- Retirement
4040
Contributions - Insurance
4050
Workers Compensation
*
TOTAL PERSONAL SERVICES
4120
Supplies- Equipment
4130
Supplies- Program
4210
Books & Periodicals
4240
Uniforms & Clothing
*
TOTAL MATERIALS & SUPPLIES
4300
Fees, Services
4310
Telephone
4330
Postage
4340
Printing & Publishing
4360
Subscriptions & Memberships
4370
Travel & Training
4380
Mileage
*
TOTAL CONTRACTUAL SERVICES
** TOTAL PARK & REC ADMINISTRATION
101,563
99,500
101,500
2.0%
14,015
14,500
15,200
4.8%
9,907
10,500
12,300
17.1%
140
200
200
0.0%
125,625
124,700
129,200
3.6%
333
500
500
0.0%
-
200
200
0.0%
-
100
100
0.0%
-
200
200
0.0%
333
1,000
1,000
0.0%
36
1,100
1,000
(9.1 %)
1,483
900
1,400
55.6%
-
2,000
2,000
0.0%
-
14,000
-
(100.0 %)
1,343
1,600
1,600
0.0%
3,927
4,800
4,400
(8.3 %)
105
300
300
0.0%
6,894
24,700
10,700
(56.7 %)
132,852
150,400
140,900
(6.3 %)
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1530 Recreation Center
2010 to
2009 2010 2011 2011
LCCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC
4010
Salaries & Wages -Reg
54,027
53,900
55,000
2.0%
4020
Salaries & Wages -Temp
126,457
130,000
130,000
0.0%
4021
Overtime -Temp
79
-
-
0.0%
4030
Contributions - Retirement
25,544
28,000
29,000
3.6%
4040
Contributions- Insurance
6,060
6,400
7,500
17.2%
4050
Workers Compensation
2,975
1,400
2,500
78.6%
4060
Unemployment
658
-
-
0.0%
*
TOTAL PERSONAL SERVICES
215,799
219,700
224,000
2.0%
4120
Supplies- Equipment
4130
Supplies- Program
4150
Maintenance Materials
4240
Uniforms & Clothing
*
TOTAL MATERIALS & SUPPLIES
4300
Fees, Services
4310
Telephone
4320
Utilities
4360
Subscriptions & Memberships
4370
Travel & Training
4375
Promotional Expense
4510
Repair & Maintenance - Building
4530
Repair & Maintenance -Equip
4590
Misc. Contractual Services
4933
Sales Tax
*
TOTAL CONTRACTUAL SERVICES
1,464
4,000
3,500
(12.5 %)
36,769
42,000
42,000
0.0%
201
500
500
0.0%
23
800
700
(12.5 %)
38,457
47,300
46,700
(1.3 %)
45,692
32,000
34,000
6.3%
607
2,500
1,500
(40.0 %)
27,650
37,500
36,000
(4.0 %)
158
300
300
0.0%
8
400
400
0.0%
838
1,600
1,600
0.0%
1,895
3,000
3,000
0.0%
1,036
1,000
1,000
0.0%
841
1,000
1,000
0.0%
11
-
-
0.0%
78,737
79,300
78,800
(0.6 %)
** TOTAL RECREATION CENTER 332,992 346,300 349,500 0.9%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1540 Lake Ann Park Operations
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4020
Salaries & Wages -Temp
4021
Overtime -Temp
4030
Contributions - Retirement
4050
Workers Compensation
*
TOTAL PERSONAL SERVICES
4130 Supplies- Program
4240 Uniforms & Clothing
* TOTAL MATERIALS & SUPPLIES
4300
Fees, Services
4310
Telephone
4320
Utilities
4340
Printing & Publishing
*
TOTAL CONTRACTUAL SERVICES
** TOTAL LAKE ANN PARK OPERATIONS
5,237
12,200
12,200
0.0%
-
400
-
(100.0 %)
401
600
500
(16.7 %)
85
200
200
0.0%
5,723
13,400
12,900
(3.7 %)
6,124
9,000
9,000
0.0%
-
500
500
0.0%
6,124
9,500
9,500
0.0%
30,600
30,000
31,000
3.3%
1,208
2,000
1,500
(25.0 %)
12,013
13,000
13,000
0.0%
-
400
400
0.0%
43,822
45,400
45,900
1.1%
55,668
68,300
68,300
0.0%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1550 Park Maintenance
2010 to
2009 2010 2011 2011
4CCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DECD
4010
Salaries & Wages -Reg
455,038
448,100
457,100
2.0%
4011
Overtime -Reg
11,884
15,000
15,000
0.0%
4020
Salaries & Wages -Temp
83,829
90,000
90,000
0.0%
4021
Overtime -Temp
3,755
4,000
4,000
0.0%
4030
Contributions - Retirement
71,602
69,000
73,000
5.8%
4040
Contributions- Insurance
62,835
67,400
78,400
16.3%
4050
Workers Compensation
8,773
11,200
11,200
0.0%
*
TOTAL PERSONAL SERVICES
697,716
704,700
728,700
3.4%
4120
Supplies- Equipment
30,997
38,000
34,000
(10.5 %)
4140
Supplies - Vehicles
2,656
8,000
8,000
0.0%
4150
Maintenance Materials
31,704
27,000
31,000
14.8%
4151
Irrigation Materials
1,809
3,000
3,000
0.0%
4240
Uniforms & Clothing
2,077
2,800
2,800
0.0%
4260
Small Tools & Equipment
327
2,500
2,500
0.0%
*
TOTAL MATERIALS & SUPPLIES
69,570
81,300
81,300
0.0%
4300
Fees, Services
21,771
22,000
22,000
0.0%
4310
Telephone
2,596
2,700
2,700
0.0%
4320
Utilities
13,097
8,600
8,600
0.0%
4340
Printing & Publishing
370
200
400
100.0%
4350
Cleaning & Waste Removal
6,189
8,000
8,000
0.0%
4360
Subscriptions & Memberships
-
400
400
0.0%
4370
Travel & Training
372
2,000
1,500
(25.0 %)
4400
Rental -Land & Buildings
32,745
31,500
32,500
3.2%
4410
Rental- Equipment
728
2,000
2,000
0.0%
4440
License & Registration
108
700
700
0.0%
4510
Repair & Maintenance - Building
252
3,000
2,500
(16.7 %)
4520
Repair & Maintenance - Vehicles
113
2,500
2,500
0.0%
4530
Repair & Maintenance -Equip
4,996
6,500
6,500
0.0%
4531
Repair & Maintenance - Radios
-
500
100
(80.0 %)
4560
Repair & Maintenance -Signs
972
4,000
3,000
(25.0 %)
4933
Sales Tax
190
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
84,498
94,600
93,400
(1.3 %)
4705
Other Equipment
-
4,000
5,000
25.0%
*
TOTAL CAPITAL OUTLAY
-
4,000
5,000
25.0%
**
TOTAL PARK MAINTENANCE
851,785
884,600
908,400
2.7%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1560 Senior Citizens Center
2010 to
2009 2010 2011 2011
►CCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC
4010
Salaries & Wages -Reg
4030
Contributions- Retirement
4040
Contributions - Insurance
4050
Workers Compensation
*
TOTAL PERSONAL SERVICES
4120
Supplies- Equipment
4130
Supplies- Program
*
TOTAL MATERIALS & SUPPLIES
4300 Fees, Services
4340 Printing & Publishing
4350 Cleaning & Waste Removal
4360 Subscriptions & Memberships
4370 Travel & Training
4375 Promotional Expense
4380 Mileage
* TOTAL CONTRACTUAL SERVICES
38,304
38,200
39,000
2.1%
5,512
5,600
5,800
3.6%
295
-
-
0.0%
54
200
100
(50.0 %)
44,164
44,000
44,900
2.0%
197
300
300
0.0%
3,150
4,200
4,200
0.0%
3,347
4,500
4,500
0.0%
20,283
19,600
19,600
0.0%
-
100
100
0.0%
160
200
200
0.0%
79
100
100
0.0%
241
300
300
0.0%
75
200
200
0.0%
90
100
100
0.0%
20,927
20,600
20,600
0.0%
** TOTAL SENIOR CITIZENS CENTER 68,439 69,100 70,000 1.3%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1600 Recreation Programs
2010 to
2009 2010 2011 2011
1CCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC /(DEC
4010
Salaries & Wages -Reg
90,380
88,900
91,000
2.4%
4020
Salaries & Wages -Temp
46,753
55,500
54,500
(1.8 %)
4021
Overtime -Temp
393
1,100
1,100
0.0%
4030
Contributions- Retirement
16,454
17,000
18,000
5.9%
4040
Contributions - Insurance
7,533
7,100
8,900
25.4%
4050
Workers Compensation
888
200
1,000
400.0%
*
TOTAL PERSONAL SERVICES
162,401
169,800
174,500
2.8%
4120
Supplies- Equipment
1,450
2,000
2,000
0.0%
4130
Supplies- Program
10,996
15,600
15,600
0.0%
4240
Uniforms & Clothing
1,267
1,500
1,500
0.0%
*
TOTAL MATERIALS & SUPPLIES
13,712
19,100
19,100
0.0%
4300
Fees, Services
51,731
58,000
54,000
(6.9 %)
4310
Telephone
1,192
3,200
3,200
0.0%
4320
Utilities
2,876
3,500
3,000
(14.3 %)
4330
Postage
-
200
200
0.0%
4340
Printing & Publishing
5,544
4,400
4,400
0.0%
4360
Subscriptions & Memberships
105
-
-
0.0%
4370
Travel & Training
666
400
600
50.0%
4380
Mileage
77
200
100
(50.0 %)
4400
Rental -Land & Buildings
20,365
6,500
6,500
0.0%
4410
Rental- Equipment
4,702
18,200
22,200
22.0%
4933
Sales Tax
73
-
-
0.0%
*
TOTAL CONTRACTUAL SERVICES
87,330
94,600
94,200
(0.4 %)
** TOTAL RECREATION PROGRAMS 263,444 283,500 287,800 1.5%
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1700 Self- Supporting Programs
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4010
Salaries & Wages -Reg
4020
Salaries & Wages -Temp
4030
Contributions - Retirement
4040
Contributions- Insurance
4050
Workers Compensation
*
TOTAL PERSONAL SERVICES
22,595
22,300
3,130
900
3,478
3,400
1,883
2,000
74
100
31,160
28,700
23,500
5.4%
900
0.0%
3,700
8.8%
2,200
10.0%
100
0.0%
30,400
5.9%
4120 Supplies- Equipment
4130 Supplies- Program
* TOTAL MATERIALS & SUPPLIES
- 600 1,000 66.7%
6,449 8,000 8,000 0.0%
6,449 8,600 9,000 4.7%
4300 Fees, Services 36,431 46,000 43,000 (6.5 %)
4933 Sales Tax 14 - - 0.0%
* TOTAL CONTRACTUAL SERVICES 36,445 46,000 43,000 (6.5 %)
** TOTAL SELF - SUPPORTING PROGRAMS 74,054 83,300 82,400 (1.1 %)
CITY OF CHANHASSEN
2011 BUDGET
101 General Fund
1800 Recreation Sports
2010 to
2009 2010 2011 2011
ACCOUNT DESCRIPTION ACTUAL BUDGET BUDGET % INC/(DEC)
4020
Salaries & Wages -Temp
4030
Contributions - Retirement
4050
Workers Compensation
*
TOTAL PERSONAL SERVICES
4120
Supplies- Equipment
4130
Supplies- Program
4240
Uniforms & Clothing
4375
Promotional Exepnses
*
TOTAL MATERIALS & SUPPLIES
4300
Fees, Services
*
TOTAL CONTRACTUAL SERVICES
**
TOTAL RECREATION SPORTS
2,896
8,400
10,000
19.0%
221
1,000
400
(60.0 %)
29
100
100
0.0%
3,146
9,500
10,500
10.5%
2,892
2,000
2,000
0.0%
3,337
2,100
2,100
0.0%
-
4,800
4,300
(10.4 %)
-
-
1,000
100.0%
6,229
8,900
9,400
5.6%
4,947
-
-
0.0%
4,947
-
-
0.0%
14,322 18,400 19,900 8.2%