2019 City of Shakopee Budget
137
2019 BUDGET CAPITAL IMPROVEMENT FUND
2018
2018
2016
2017
Original Budget
Revised Budget
2019
Actual
Actual
Budget
Revenue Capital Improvement Fund Levy
$
- -
$
385,000 773,819 647,838
$
200,000 750,000 404,218
$
200,000 800,000 540,000
$
200,000 765,000 409,000
Franchise Fees
Special Assessments
830,701
Federal Grants
-
-
1,200,000 1,365,000
-
-
State Aid Construction
1,039,329
1,072,240
1,365,000 100,000
1,365,000
Interest
61,376
61,957
30,000
30,000
Miscellaneous/Donations SPUC
47,000
4,012
640,000
464,000
330,000 8,400,000 11,499,000
Other
-
-
1,000
Total Revenues
1,978,406
2,944,866
4,589,218
3,470,000
Expenditures
Trail Rehabilitation CR 101 Trail ext. CR 101 Improvement Quarry Lake Trail Bituminous Overlay Reconstruction Project CSAH 16 Reconstruction 3rd Avenue Reconstruction 4th Avenue Reconstruction
-
-
100,000
320,000
80,000
759
(16,215) 271,142 23,564 918,854 902,494
- - -
- - -
- - -
-
959
918,112 34,170 306,399
1,310,000 2,740,000
1,380,000 1,880,000
2,200,000 2,300,000
- - - - - - - -
- - - - - - - - - - - - - - - - - - - -
- - - - - - - - - - - - - - - - - - - - -
- - - - - - - - - - - - - - -
1,075,420 1,877,708 317,068
65,711
Reclamation Concrete Alleys
-
420,000
CSAH 17/Vierling Inter. Improv. CSAH 78/79 Trail Extension
83
- - - - -
138,484
1,200,000
2,662,000
Eagle Creek Blvd - Vierling Dr Round-a-b Canterbury Commons- City Infrastructure Canterbury Commons- County Project (Ci Lewis Street Alley & Parking Lot Southbridge Traffic Signal Modification
15,600,000
764,000
593,426
524
-
SPUC Assessment Project Street Lighting Valley View Road Vierling Dr Extension
-
3,587
12,415
179,075 (22,624) 365,387
- - - - - - - -
Vierling Drive - C.R. 69 to Taylor St. Streetlight Wood Pole Replacement CSAH 16 School Pedestrian Vierling Drive Trail Reconstruction 12th Avenue Trail
- - - -
1,500,000
60,000
240,000
-
550,000
89,751 70,972 3,100
- - -
Whispering Oaks Miscellaneous
20,708
Total Expenditures
4,564,325
3,586,708
7,270,000
6,482,000
21,554,000
Bond Proceeds Transfers In: General Fund
-
-
-
-
7,964,000
1,200,000
-
- - - - -
- - -
- - - - -
Amazon TIF Fund Debt Service Funds
- - - - - -
1,892,029
4,934
429,509 25,000
777,000 84,000 300,000 160,000
EDA Fund
Tree Replacement Fund
Sewer Storm
-
420,000 535,000 955,000
115,000 375,000 8,454,000
138,917 2,490,389
Other Financing Sources (Uses)
1,200,000
1,321,000
Excess (deficiency) of Sources over Uses
(1,385,919)
1,848,547
(1,725,782)
(1,691,000)
(1,601,000)
Fund Balance January 1
6,130,194
4,744,275
6,592,822
6,592,822
4,901,822
Fund Balance 12/31
$
4,744,275
6,592,822 $
4,867,040 $
$
4,901,822
$
3,300,822
Made with FlippingBook Annual report