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HomeMy WebLinkAboutVillage Audit Report-1962 I Village of Brooklyn Center AUDIT REPORT For the Year Ended December 31 1962 I TABLE OF CONTENTS Exhibit Pa ge Numb er Numb er Opinion 1 2 General Comments 3 thr ough 8 Village Officials December 31, 1962 9 FINANCIAL STATEMENTS Combined Balance Sheet Al1 Funds and Groups (Condensed Form) December 31, 1962 1 10 General Fund Statements Balance Sheet December 31 1962 2 11 Analysis of Chan es in Unappropriated Surplus g Year 1962 3 12 Statement of Revenue Estimated and Actual Year 1962 4 13, 14 Statement of Ex enditures A ro riations and P PP P Encumbrances Year 1962 5 15 Statem ent of Expenditur e s and Encumbrance s Classified as to Activity, Character and Object Year 1962 6 16 Special Revenue Funds Statements Combined Balance Sheet December 31 1962 7 17 Combined Analysis of Changes in Unappropriated Surplus Year 1962 8 18 Village of Brooklyn Center AUDIT REPORT For the Year Ended December 31, 1962 TABLE OF C�NTENTS Exhibit Page Number Number Special Revenue Funds Statements �Cont'd) Park Board Fund (a special revenue fund) Statement of Revenue Estimated and Ac�ual Year 1962 9 19 Statement of Expenditures, Appropriations and Encumbrances Year 1962 10 ZO Statement of Expenditures and Encumbrances Classified as to Activity, Character and Object Year 1962 11 21 Poor Fund (a special revenue fund) Statement of Revenue and Expenditures Year 1962 12 22 Bond Funds Statements Combined Statement of Revenue and Expenditures Year 1962 13 23 Cornbined Statement of Expenditures Compared With Appropriations December 31 1962 14 24 Debt Service Funds Statements Combined Balance Sheet December 31, 1962 15 25 Combined Statement of Revenue, Expenditures and Surplus Year 1962 16 26 Village of Brool�lyra. Center I AUDIT REPORT For the Year Ended December 31, 1962 TABLE OF CONTENTS Exhibit Page Number l�urnber 5pecial Assessment Funds Statements Combined Balance Sheet December 31, 1962 17 27 Combined Statement of Revenue, Ex enditures P and Unappropriated Surplus for Debt Retirement Year 1962 18 28 Statement of Construction Expenditures Compared to Appropriations Year I962 19 29 Statement of Long Term Debt (Principak Amount) December 31, 1962 20 30 Public Service and Enterprise Funds Municipal Li uor Fund q Balance Sheet December 31, 1962 21 31 Analysis of Ghanges in Surplus Year 1962 22 32 Statement of Income and Ex ense Year 1 62 23 3 p 9 3 Statement of Long Terxn Debt December 31 1 62 2 9 4 34 Public Utilities Fund Balance Sheet Decernber 31, 1962 25 35 Statement of Income and Earned Surplus Year 1962 26 36 Water Department Operating Expenses Year 1962 �7 37 Sewer Department Operating ExpensEs Year 1962 28 38 Village of Brooklyn Genter AUDIT REPORT For the Year Ended Decexrxber 31, 1962 TABLE OF GONTENTS Exhibit Page Number Number Public Service and Enterprise Funds (Cont'd) Public Utilities Fund (Cont'd) Summar Statement of Plant and Pro ert Y P Y And Provisa.ons for Depreciation December 31, I962 29 39 Suxnmary of Source of Funds Invested in Plant and Property December 31, 1962 30 40 Agency Funds Statements Combined Balance Sheet December 31, 1962 31 41 Cambined Statement of Revenue, Expenditures And Fund Balanees, Year 1962 32 42 Investment Trust Fund (A fund to accomodate investment of temporary cash surpluses) Balance Sheet Decexnber 31, 1962 33 43 Statement of Earnings Year 1962 34 44 Changes in Participating Fund Balances Year 1962 35 45 General Fixed Assets Susnmary Statement of General Fixed Assets As of Decer�ber 31, 1962 36 46 1 Village of Broaklyn Centex AUDIT REPqRT For the Year Ended Decexnber 3]„ 1962 TABLE OF CONTEI�T5 I Exhibit Page Nurnb e r umb e r General Long Term Debt and Interest Summary Statement of General Long Term Debt and Interest December 31, 1962 37 4? Schedule of General Long Term Debt and Interest By Maturities December 31 1962 38 48 Notes to Financial Statements 49, 50, 51 1 1 1 1 1 1 1 1 1 t OIVA PENTTILA CERTIFIED PUBLIG ACCOUNTANT 1210 GLENWOOD AVENUE MINNEAPOLIS 5, MINNESOTA To the Village Council Village of Brooklyn Center Brooklyn Center, Minnesota Gentlem en: We have examined the financial statements of the various funds of the Village of Brooklyn Center as of Deeember 31, 1962 and fpr the calendar year then ended. Our examination was made in accordance with generally accepted auditing standards and, accordingly, included sueh tests of the accounting records and sueh other auditing procedures as we considered necessary in the circumstances, Audit Defined In accordance with the terms of our engagement, we conducted a''Limited Genexal' Audit", which is de�ined as "an examination which consis.ts of a review of internal control and accounting pxocedures and the details of a1L reeords (including subsidiary records and supporting data) as to mathematical accuracy, propriety, and completeness of all transactions, on a test basis. This type of audit presumes that the a,uditor is expected to rend�;r an opinion (subject to such qualifications .as may seem necessary) concerning all of the transactions and recoxds even though he has not examined all of them in detail. Scope of Examination 1 Our examination covered all financial transactions and funds of the Village as included in the records maintained by the Depa.r�ment of Finance. r Qualification A portion of the funds obtained for recrea�io�.a1 purpases consists of collections for transportation, registration and sale of supplies and sundries related to recreation activities. It was not feasible to confirm these various receipts by ou�side verification and our examination relating to such nnonies was limited to a review of amounts as recorded on the books. 1 -1- In our opinion (subject to the above qualification) the accompanying balance sheets and related statements of revenue, expenditures and surplus, together with the notes appended thereto, present fairly the financial position of the various �unds of the Village of Brooklyn Center on December 31 1962 and the results of thear operations for the year then ended, in conforxnity with generally accepted principles of governmental accounting, applied on a basis consistent with that of the previous year� Respectfully submitted, .�t.l Oiva Penttila Certified Public Accountant Field work completed May 7, 1963 Report signed May 17, 1963 _2_ Village of Brooklyn Center Audit Year 1962 GENERAL COMMENTS Or�,anization The Village of Brooklyn Center was incorporated as a village on February 14, 19T1, pursuant to Minnesota Statutes (MSA �C�iapter 4I2j The Village is governed by a Council, consistiz�g of the mayor, a clerk and three trustees, The general policies of the Village are formulated by the Council with the assistance of various ad.ministrative -and adv.isory commissions and boards. The administration of Village affairs is directed by a Village`Administrator appointed by the Cou�eil and he acts as t13e executive officer for the �ouncil. During the year 1962 the judicial requirernents of the Village were erforrned b two elected justices of the peac�, Effective January 1, 1963, P Y the Village adopted a municipal court system, whereby the judiciaJ. process�s of government are to be administered by a municipal judge th�ough the "Municipal Court of the Village of Brooklyn Center" as organized under and pursuant to the Municipal Court Act, Minneso�a Statutes�(Chapter 488). A general continuity of government for the Village is assured by a system of s:ta ered terms of office for all elected offieials, gg _3- Village of Brooklyn Center Audit Year 1962 GENERAL COM11,iiENTS The Bud�et The preliminary budget proposals for the ensuing year.'s operatior�s are prepared jointly by the Department of Finance and �he Village Adxninistrator. After cor�sideration, review and evaluatiqn of the reliminar bud et b the P Y g Y Council, the final proposal known as the "budget doc�ment" is evolved and adopted by resolution. The bud et document is entered on the records of the Villa e and becor�es g g an integral part of the Village budgetary system. The Council retains excl�usive authority over all budget rnatters and amendments are permitted only� wi�h the s ecific a roval of the n il h uncil x ci s co trol ov� p pp Cou c. T e Co e er se n r governmental spendin� by periodically determxning if actual costs �.re in line with budg�t estimatcs (appropriations) and by reviewiMg unexpended apprqpriation b 1 a ances. Governmental budget procedures are not used in connection with th,� operation of public service enterprises (liquor stores and public utilities) beeause such enterprises are primarily of a commercial na�ure. A summary of the T962 budget document is shown belaw: �4 r 1 Village of Brook yn Center Audit Year 19b2 CtENERAL COMMENTS Pro osed Ex enditures Pubiie Service Enter rises.Excluded A P p Village operations {General Fund) $6I9, 873 Park General Fund 69, 082 Poor Relief 20, OQ0 t Firemen's-Relief Association I9, 480 Debt Service 59, 56$ Public Employees Retirement Association 23, 635 County Park Systern (remitted direct and not accounted for by th� Village) 4, 385 Tota1 Proposecl Expenditures -$816, 023 Propased Method of Financing Taxatian (see below) $469, 486 General fund surplus (prior years) 53, 733 Park Board fund surplus 504 From state and federal agencies (share of taxes and aids) 91, 400 Local revenues: Liquor fund transfers 72, 600 Rental of park properties 2, 820 5ervices to special assessment funds 52, 200 Services to public utilities fund 8, 280 Permits, licenses, fines, fees, reixnbursements, etce 65, 000 Total Proposed Financing $816, 023 5 1 Vi11a e of Brooklyn Cent�r Audit Year 1962 GENERAL COM1vIENTS I Tax Lev (Certified 1961 Collectible in 1962) Y Mil1 Rate Amount VilJ.age operations (General Fund) 30, 35 $294, 338 Park general fund 4, 97 4$, 200 Poor relief 2. 07 20, 075 Firemen's Relief Association 2. 00 19, 396 Debt service Certificate of Indebtedness 2e 22 21, 529 Park bond redemption 3. 77 36, 562 State loan repayment e 26 2, 522 P. Ee R. A. 2. 44 23, 663 `County park system (remitted direct) 46 4, 461 Tota1 Levy 48. 54 mills $�470, 746 Taxation as proposed by budget 4b9, 4�6 Overage caused by County adjustment of mill rate fractions 1, 260. Assessed Valuation 1961 1962 Real estate $8, 207, 283 $8, 567, 267 Personal property 1, 164, 640 1, 130, 8�7 Total assessed valuation $9, 371, 923 $9 698 11� Actual results of opera�ions and comparis:on of these results to budget I estimates for the year are set forth by applieable funds within the financial statements section of this report. -6- Village of Brooklyn Cen.ter r Audit Year I962 GENERAL COMMENTS A c counting The Village adheres to generally accepted accounting principles and principles related to governmental accounting as set forth by the National Committee on Governmental Accounting in the maintenance of its records. Except for the Public Utilities Fund, the classifications of accounts, used by the Village, are i,n accord with classifications prescribed by the State Public Exaxniner's office. The classification of accounts for the_ Public Utilities Fund follows recommendations set forth by the Manual of Wa�er Works Accountin� (developed by the Municipal Finance Officers Association-and the American Water Works Association). This class- ification is permissible under the examiner's order es�ablishing account classifica.tions for Villages. A complete budgetary system of accounts is maintained for those funds where governmental budgetary principles are applicable and, in addition, the-Village maintains a performance cost accounting system which provides invalu�.ble information concerning projects and activities carried I out by the Village� Internal Controls and Safeguards The Vi.11age maintains a well integrated system of internal check and controlK The usual separation of activities from record keeping and from custodianship of funds, necessary for adequate control, is carefully maintained and supplemented by satisfactory internal audit techniques. 7 i Village of Brooklyn Center Audit Year 1962 GENERAL COMMENT S Adda�ional Reports Submitted A separate supplementary report covering the exarnination of records and accounts of the Vil.la e has been prepared and directed to the Couneil under g separate cover. This report is not a financial report but contains observations of the auditor relating to matters of a financial nature. It is designed to a5sist the governing body of the Village in the adminiatration o£ Village affairs and� nothing contained therein,is rnaterially relevant to this audit repoxt. 1 1 1 1 1 1 _8_ 1 Village of Brooklyn Center 'LISTING OF VILLAGE OFFICII�LS Dec�;mber 31, 1962 Term af Office Term Expi,res Village Council (�iec�ed) Mayor Gordon Ms Erickson Two y�ars 12-31 �63 Village Clerk Henry A. Dorff Two Years 12-37 -62 Trustee Howard W.-Hecl� Three Years 12-31-63 Trustee Car1 G. Carlson Three Years I2-31-62 Tx°us`tee John W. Leary Three Years 12-3I -64 Other Elected Officials Justice of Peace Raymond Benson One Year 12-31 -62 Justice of Peace John WiMgard Two Years 12-31 -62 Village Treasurer Theodor:e L. Willard Two Years 12-3I �63 Village Assessor John Nordberg Two Years 12-3I-62 Officials Not Elected Village Administrator A. J. Lee Administrative Assistant Al1en S. Lindman Department Heads Finance R. T. Bullock Engineering Donald G. Poss Police Thomas G. O'hehir Fire Carl Anderson Protective Inspection Donald 5tark Givil Defense Don LeTourneau `Public Utilities Fr�.nk Smith, Jr. Streets and Highways Henry Davis Liquor Stores Truman Nelson Farks and Recreation Eugene f3agel Health Officer Rs I. Shragg, Me D. Fire'Marshal-Irvin Mill�r Park Board Paul Bullen, Chairman `Francis Irvin Da11as Lawrence -9 1 Note 1 Combined Explanation T otal Assets and Resources Cash on hand and in depositories 866, 127 Temporary investments 1, 255, 356 Due from other funds 152, 934 Accounts receivable 86 99$ Accrued revenue 40, 802 Cash held by County Treasurer's office 12, 272 Taxes receivable 4net� 10, 042 Special assessment fund receivables 4, 411, 510 Cash held by paying agents for debt and interest 847� 893 Tnventories and supplies 102 503 Tnvestment inventories 840, 000 Prepaid expenses 2, 518 Fixed assets (net af depreciation where applicable} 1A, 593, 708 Unassessed construction 566, 286 Amount available general debt and interest 18, �97 Amount to be provided general debt and interest ?07, 970 Totals $20, 515, 016 i Liabilitie s Vouchers and accounts payable 78, 150 Contracts payable 136, 314 Assessments payable 142, 356 Accrued expenses 36, 653 t Due to other funds 152, 934 Construction loans payable 690 000 Bonds and interest not redeemed from paying agents 840, 169 j Customer and contractor deposits 103 359 Bonds and certificates payable 5, 347, 400 Due funds participating in investment trust 1, 255„ 356 Interest payable in future periods �general debt� 146, 483 Total Liabilities 8, 929, 174 Surplus, Reserves and Fund Balances Surplus and surplus reserves set aside 646, 935 Contributed surplus 6 612, 190 Investment in fixed assets �general} 4, 031, 886 Unexpended appropriations, authorizations and balances 294, 831 Total Surplus, Reserves and Fund Balances $11, 585, 842 Totals $20, 515, 016 Village of Brooklyn Center Exhibit I COMBINED BALANCE SHEET -ALL FUNDS A1VD GROUPS �CONDENSED FORM} December 31, 1962 Special Debt Special Public General Debt General Revenue Service Assessment Liquor Utilities Agency Investment General and Fund Funds Funds Funds Fund Fund Funds Trust Fund Fixed Assets Interest 71, 787 47, 980 22, 253 160, 578 80, 026 45, 612 23, 456 414, 435 12, 486 l 561 I, 038, 065 20, 082 183, 162 60, 202 60 32 92, 485 134 21 996 118 32, 161 98 46 653 6, 972 6, 876 19, 641 14, 285 4, 472 277 2, 483 4, 856 184 6, 699 1, 158 1, 268 84 833 4, 411, 510 839, 489 8, 404 10, 276 89, 352 2, 875 840, 000 1, 532 986 34, 146 6, 527, 676 $4, 03I, 886 566, 286 18, 097 ?07, 970 $166, 918 49, 593 27, 597 $7, 152, 39� $233, 640 $6, 826, 739 31, 466 $1, 268, 720 $4, 031, 886 $726, 067 9, 925 1, 326 27, 825 22, 160 16, 914 88, 486 47, 828 142, 356 f 341 705 16, 867 7, 021 4, 719 4, 111 36, 340 9, 500 66 267 3, 818 32, 898 690, 000 I 839, 489 680 89, 995 13, 364 4, 828, 000 130, 000 389, 400 l, 255, 356 146, 483 21, 377 38, 371 9, 500 $6, 556, 934 $163, 679 144, 526 $1, 268, 720 $726, 067 $145, 541 11, 222 350, 188 69, 96� 70, 023 6 612, 190 $4, 031, 886 18, 097 245, 268 31, 466 $145, 541 11, 222 18, 097 595, 456 69, 961 $6, 682, 213 31, 466 $4, 031, 886 $166, 91g 49, 593 27, 59? $7, 152, 390 $233p 640 $6 826, 739 3I, 4b6 $1, 268, 720 $4, 031, 886 $726, 067 (See accompanying notes to financial statements� This statement is an integral part of report dated May 7, 1963 10 Exhibit 2 Village of Brooklyn Center General Fund BALANCE SHEET December 31, 1962 ASSETS Assets Cash on hand and in depositories 71, 787 Temporary investments 12, 486 Returned checks on hand 26 Accounts receivable 970 Due from other funds 60, 202 Cash held by County Treasurer's office 4, 472 Taxes receivable: Real estate and personal property taxes: Levied during 1961, collectible in 1962 4, 108 Prior years' levies 2, 591 6, 699 Inventories of supplies: Material� and supplies 5, 207 Small tools 5, 069 10 276 Totals $166, 91.8 LIABILITIES, R�SERVES AND SURFLUS Liabilitie s Vouchers payable 9, 925 Accrued payroll 7, 313 Accrued expenses 28 Due to other funds 4, 111 Total Liabilities �1, 377 Sur plus Surplus reserves: Reserve for 1962 budget encumbrances 826 Reserve for imprest cash and inventories 11, 464 Total Surplus Reserved 12, 290 Unappropriated surplus (Exhibit 3) 133, 251 Total Surplus 145, 541 Totals $166, 918 S �See notes to financial statements) This statement is an integral part of report dated _Ivlay 7, 1963. 11 Exhibit 3 Village of Brooklyn Center General�Fund ANALYSIS OF CHANGES IN UNAPFROPRIATED SITRPLUS December 31, 1962 A ctual Budget Over (Under) A ctual E stimate Estixnate Unappropriated Surplus January 1, 1962 $144, 816 $144, 816 Add: Revenue (Exhibit 4) 581, 453 566, 140 $15, 313 Reductions to reserves for assets set aside for particular uses 12, 433 12, 433 Total Balance and Additions $738, 702 $710 956 $27 7�6 Deduct: Expenditures (Exhibit 5) $604, 625 $619, 873 ($15, 248) Encumbrances (Exhibit 5) 826 826 Total Deductions $605, 451 $619, 873 ($14, 422) Unappropria.ted Surplus-December 31, 1962 $133, 251 91, 083 $42, 168 (See notes to financial statements) This statement is an integral part of report dated May 7, 1963. 12 t Exhibi� 4 Village of Brooklyn Center General Fund STATEMENT OF REVENUE-ESTIMAT�D AND AGTUAL Year 1962 A ctual Budget Over(Under) Actual Estimate Estimate T axe s Real estate and personal property $294 168 $294 260 92) Penalties and interest on delinquent taxes 3, 178 3, 178 Total Taxes $297, 346 $294, 260 3, 086 Licenses, Permits and Fines Fanes 27, 974 Building permits 9, 948 Heating permits 5, 115 Electrical permits 4, 970 Plumbing permits 4, 366 Sewage and water permits 3, 295 Dog licenses and pound fees 2 289 Bicycle licenses l, 587 Electrical licenses l, 065 Certificates of occupancy 919 Plumbing licenses 883 i Heating licenses 685 Cigarette licenses 540 Gas piping, licenses 355 House moving licenses 350 Service station licenses 334 Bowling alley licenses 317 Zoning charges and special permits 299 Well driliers licenses 235 Cesspool cleaning permits 228 Malt offsale licenses 1$0 W ell permits i 55 Garbage an.d rubbish hauling licenses 140 Water softener permits 124 Cesspool cleaners and installers licenses 121 Taxicab licenses 80 Benc�a licenses 84 Vending tx°uck licenses 75 Miscellaneous licenses 70 Total Licenses, Permits and Fines 66 1 H3 vO 000 6, 783 Revenue From Other Agencies Share state cigarette and liquor taxes 70, 632 72, 000 1, 368) State aid for streets 15, 675 17, 000 1, 325) Mortgage registxy taxes 5, 582 5, 582 Total Revenue From Othex A�encies 91, 889 $$9, 000 2, 889 13 I Exl3ibit 4 C ont' d Village of Brooklyn Center General Fund STATEMENT OF REVENUE-ESTIIvIAT�D AND ACTUAL Year 1962 A ctual Budget Over (Under) Actual Estimate Estimate Charges for Current Services Recreation (tx°ansportation, registration, etc) 6, 990 5, 000 1, 990 Assessment searches and map sales 872 872 Platting fees 315 315 Work order charges to outsiders 244 z44 Total Charges for Current Services 8, 421 5, 000 3, 421 Charges to Other Governmental Units Engineering fees 31, 719 45, 400 ($13, 681) Rent and administrative charge- Public Utilities 8, 280 8, 280 Wox°k order charges 6, 325 6, 325 Clerical fees 4, 914 6, 800 1, 886 Mileage reimbursements 1, 914 l, 914 Expens e r eimbur s ements Liquor Fund 1, 160 1, 16 Q Total Charges to Other Governmental Units 54, 312 60, 480 6, 168) Other Interest on temporary investments 3, 916 Right of way settlements-Minnesota Highwa,y Department 2, 018 Rent-Minnesota Highway Department 643 Hall rental 262 Forfeited contractor deposits 200 Ice control at Brookdale 146 Plzotostats of accident reports 135 Refund of prior year expenses 117 Bicycle auction 103 Miscellaneous (sale of supplies, charges for police service, civil def�nse refunds, etc. 162 Total Other 7, 702 2, 400 5, 302 Transfers In Municipal Liquor Fund 55, 000 55, 000 $-0- Total Revenue $58I, 453 $566, 140 $15, 313 (See notes to financial statements) This statement is an integral part of report dated lulay 7, 1963. 14 Exhibit 5 Village of Brooklyn Center General Fund STATEMENT OF EXPENDITURES, APPROPRIATIONS AND ENCUMBRANCE5 Y.ear 1962 Expenditures and Encumbrances December 31, (Over Expended`} 1962 Budget 1962 1962 Under Expended Appropriation Expenditure s Encumbrance s Appropriations General Government Mayor, Council and Treasurer 14, 315 10, 788 25 3, 502 Elections and voter registration 10, 505 10, 121 384 Municipal Court 26 26� Finance Municipal Clerk 70 252 69 207 23 1, 022 Assessor 8, 800 8, 298 502 Accounting and internal audit 17, 931 17, 615 316 Independent accounting and audit 4, 500 4, 775 275� Legal 6, 000 5, 790 210 General government buildings 25 000 25, 960 16 4 976� j Total General Government $157, 303 $152, 580 64 4, 659 Public Safety and Welfare Police protection $123, 321 $128, 622 5, 301� Fire protection 17, 006 16 715 $700 409� Protective inspection 38, 635 30, 919 7, 716 Civil defense 4, 854 1, 932 2, 922 Animal control 2, 500 3, 202 ?02� Nursing services 6, 100 6, 089 11 Total Public Safety and Welfare $192, 416 $187, 479 $700 4, 237 Highways Engineering 59, 563 54, 035 25 5, 503 Streets and equipment maintenance shop 154, 456 154, 574 17 135� Street lighting 25, 000 23, 220 I, 780 Total Highways $239, 019 $231, 829 42 7, 148 Recreation Supervision of recreation 8, 125 8, 362 237� Adult programs 1, 900 3, 198 1, 298� Summer playgrounds 8, 020 8, 287 267� Summer sports and programs 8, 040 7, 809 231 Fall and winter sports 5, 050 5, 08I 20 51 r Total Recreation 31,� 135 32, 737 20 1, 622} Grand Total $619, 873 $604, 625 $826 $I4, 422 i �See notes to financial statements) This statement is an integral part of report dated May 1963. 15 Exhibit E Village of Brooklyn Center General Fund STATEMENT OF EXPENDITURES AND ENCUMBRANCES CLASSIFIED AS TO ACTIVITY, CHARACTER AND OBJECT Year 1962 Total Encumbrances Total Cuxrent Expense Classification Total and Current Personal Contractual Capital Outlay Capital Expenditures Classification Expenditures Expense Services Services Commodities Other Expenditures Land Buildings Equipment General Government Mayor, Council and Treasurer 10, 813 10, 813 10, 270 543 Elections and voter registration 10, 121 10, 121 1, 884 6, 267 1, 970 Municipal Court 26 26 26 Finance Municipal Clerk 69, 230 68, 944 41 968 12, 075 5, 198 9 9 ?03 286 2g6 Assessor 8, 298 8, 298 8, 298 Accounting and internal audit 17, 615 17, 615 17, 561 24 30 Tndependent accounting and audit 4, 775 4, 775 4, 775 Legal 5, 790 5, 79� 5, ?90 General government buildings 25 976 16, 480 7, ?18 5, 994 2, 768 9, 496 831 1, 665 Total General Government $152, 644 $142, 862 98, 264 $24, 336 8, 016 $12, 246 9, ?82 7, 831 1, 665 286 Public Safety and Welfare Police protection $128, 622 $120, 993 $106, 598 623 8, 148 5, 624 7, 629 7, 629 Fire protection 17, 415 12, 992 9 101 1, 725 1, 724 442 4, 423 4, 423 Protective inspection 30, 919 30, 919 29, 250 1, 579 90 Civil defense 1, 932 1, 932 1, 233 447 252 Animal control 3, 202 3, 202 3, 202 Nursing services 6, 089 6, 089 6, 089 Total Public 5afety and Welfare $188, I79 $176, 127 $155, 473 4, 374 $I0, 124 6, 156 $I2„ 052 $12, 052 Highways Engineering 54, 060 53, 660 51, 835 155 1, 642 28 400 400 Street and equipment maintenance shop 154, 591 140, 911 88, 063 2, 039 48, 526 2, 283 13, 680 13, 680 5treet lighting 23, 220 23, 220 23, 220 Total Highways $231, 871 $217, 791 $139, 898 $25, 414 $50, 168 2, 311 $14, 080 $14, 080 t Recreation Supervision �f recreation 8, 362 8, 362 7, 549 476 Adult programs 3, 198 3, 198 2, 587 6�11 36 i Summer playgrounds 8, 287 8, 287 7, 569 718 Summer sports and programs 7, 809 7, 809 7, OI4 795 Fall and winter sports 5, 101 5, 101 5, 046 55 Total Recr.eation 32, 757 32, 757 29, 765 476 2, 480 36 Grand Total $605, 451 $569, 537 $423, 400 $54, 600 $70, 788 $20, 749 $35, 914 7, 831 l, 665 $26, 418 �See notes to financial statements� This statement is an integral part of report dated May 7, 1963. 16 Exhibit 7 Village of Brooklyn Center Special Revenue Funds CQMBINED BALANCE SHEET December 31, 1962 I Combined Park Board Foor Total Fund Fund ASSETS Assets Cash on hand and in depositories $47, 980 $37, 556 $10, 424 Accounts receivable 118 118 Due from other funds 6o bo Cash held by County Treasurer's office 277 196 81 Taxes receivable: Real estate and personal property taxes Levied during 1961 collectible 1962 953 673 280 Prior years' lev�es 205 149 56 Totals $49, 593 $38, 752 $10, 841 LIABILITIES, RESERVES AND SURPLUS Liabilitie s Vouchers a able 1 326 125 1 201 P Y Accrued expenses 705 705 Due to other funds 36, 340 36, 328 12 Total Liabilities $38, 371 $37, 158 1, 213 Surplus Reserve for 1962 budget encumbrances 6 6 Unappropriated surplus (Exhibit 8) 11, 216 1, 588 9 E�2$ Totals $49, 593 $38, 752 $10, 841 I (See notes to financial statements) This statement is an integral part of report dated May 7, 1963. 17 Exhibit 8 Village of Brooklyn Center Special Revenue Funds COM$INED ANALYSIS OF CHANGES IN UNAPPROPRIATED SURPLUS Year 1962 Combined Park Board Poor Total Fund F'und Unappropriated 5urplus, January l, 1962 $10, 236 9, 444 792 A dd: Revenue (Exhibits 9 and 12) 90, 882 70, 531 20, 351 Deduct: Expenditux°es and encumbrances (Exhibits 10 and 12) 89, 902 78, 387 1 l, 515) Unappropriated Surplus December 31, 1962 $11, 216 1, 588 9, 628 (See notes to financial statements) This statement is an integral part of report dated May 7, 1963. i 1 i 1 i _�8_ L Exhibit 9 Village of Brooklyn Center Park Board Fund (A Speci.al Revenue Fund) STATEMENT OF REVENUE-ESTIMATED AND ACTUAL Year 1962 Actual Budget Over(Under) Actual Estimate Estimate General property tax special ad valorem levy $48, 172 $48, 158 14 Rents 2, 092 2, 820 728) Concessions 2, 125 2,125 Contributions 3 69 3 69 Transfers frorn liquor funds 17, 600 17, 600 Refunds prior year charges and other 173 173 Total Revenues $70, 531 $68, 578 l, 953 See notes to financial statements 1 This statement is an integral part of report dated May 7 1963 t i 1 1 1 1 1 19 Exhibit 10 Village of Brooklyn Center Park Board Fund �A Special Revenue Fund} STATEMENT OF EXPENDITURES, APPROPRIATIONS AND ENCUMBRANCES Year 1962 Expenditures and Encumbrances (Over Expended� 1.962 Budget 1962 1962 Under Expended Function Appropriation Expenditures Encumbrances Appropriations General park administration $41, 752 $41, 548 204 General park maintenance 7, 200 11 209 6 4, 009p Park garage 650 719 69} Special facilities Orchard Park �formerly Donnay Park� 12, 635 9, 1 S1 3, 454 Willow Lane Park 3, 200 2, 188 1, 012 Grandview Park �formerly Triangle Park� 1, 350 7, 025 5, 675) Bellvue Park �formerly Southeast Park� 725 796 71) Kylawn Park �formerly Poplar Lane Park} 635 54 581 Northport Park 350 4, 406 4, 056� Garden City Park 300 246 54 Happy Hollow Park �formerly Rice Park� 200 986 786} Wangstad Park 50 11 39 Evergreen Park �formerly Northeast Park� 35 12 23 Total $69, 082 $78, 381 6 9, 299} �See notes to financial statements} This staternent is an integral part of report dated May 7 1963 -20- Exhibit 11 Village of Brooklyn Center Park Board Fund �A Special Revenue Fundp STATEMENT OF EXPENDTTURES AND ENCUMBRANCES CLASSIFIED AS TO ACTIVITY, CHARAC i ER AND OBJECT Year 1962 Total Encumbrances Total Current Expense Classification Total Capital Outlay Classification and Current Personal Contractual Capital Outlay Land Expenditures Expense Services Services Commodities Other Expenditures Improvements Buildings Equipment A ctivity General park administration $41, 548 $34, 533 $32, 571 532 425 I, 005 7, 015 6, 210 805 General park maintenance 11, 215 3, 733 3, 174 559 7, 482 1, 241 6, 241 Park garage 719 719 681 38 Special facilities: Orchard Park 9; 181 42 42 9, 139 8, 861 278 Willow Lane Park 2, 188 139 140 I� 2, 049 2, 049 Grandview Park 7, 025 614 586 28 6, 411 2, 963 2, 655 793 Bellvue Park 796 122 50 72 674 674 Kylawn Park 54 54 43 11 Northport Park 4, 406 396 172 224 4, O10 3, 809 100 101 Garden City Park 246 146 l 16 30 100 100 Happy Hollow Park 986 127 118 9 859 859 Wangstad Park 11 11 11 Evergreen Park 12 12 12 12 Total $78 387 $40, 648 $32, 571 2 492 4, 021 1, 564 $37, 739 $25 992 2, 855 8, 892 �5ee notes to financial statements� This statement is an integral part of report dated May 7, 1963 21 Exhibit 1 Z I, Village of Braoklyn Center Poor Fund (A Special Revenue Fund) STATEMENT OF' REVENUE AND EXPENDITURES Year 1962 Revenue General property tax special ad valorem levy $2�, 043 Relief grants 308 Total Revenue $20, 351 Expenditur e s Subsistenc-e care and support payinents 9, 502 1 Professional and consultants' fees 2, 013 Total Expenditures $11, 515 Excess of Revenue Over Ex enditures 8 836 P (See notes to financial statements) This statement is an integral part of r�port dated May 7 1963 i i 1 1 1 i 1 i 22 Exhibi� 13 Village of Brooklyn Center Bond Funds COMBINED STATEMENT OF REVENUE AND EXP�NDITURES Year 1962 Park Cert. of CombinEd Bond Indebt. #7 Total Fund Fund Revenue 1 Total Revenue of Year 19b2 -0- -0- $-0- Expenditur e s I Purchase of Peter Pirsch Model 64A Fire Tru�k $21, 447 $21, 447 Expenditures for park development: Evergreen Park 4, ?61 4; 761 Grandview Park 331 331 Unused autharizations transferred to debt service fund 3 3 Total Expenditures of Year 1962 $26 542 5, 092 $21, 450 (See notes to financial statements) This statement is an integral part of report dated-May 7, 1963. 23 Exhibit 14 t Village of Brooklyn Center Bond Funds COMBINED STATEMENT OF EXPENDITURES COMPARED WITH APPROPRIATIONS December 31, 1962 Park Gert. of Combined Bond Indebte #7 Total Fund Fund Amounts appropriated for the acquisition of equipment, and park property and development: Reserve for Authorized Expenditures 1 a From sale of general obligation bonds and ceptificates $438, 000 $400, 000 3�, 000 2� Contributions from Osseo school district to cover share of grading at Willow Lane Park 2, 5Q0 2, 500 3, Interest earned from temporary investments 1, 430 1, 377 53 Total Amount Appropriated $441, 930 $403, 87? 38, 053 Less: Expenditures for Authorized Purposes Year 1958 $197, 463 $197, 463 Year 1959 111, 337 111, 337 Year 1960 62, 492 62, 492 Year 1961 44, 096 27 493 16, 603 Year 1962 (See Exhibit 13) 26, 542 5, 09z 2]:, 450 Total Expenditures $441, 930 $403, 877 38, 053 Reserve for Authorized' Expenditures December 31, 1962 None None None (See notes to financial statements) This statement is an integral part of report datec� May 7 1963 -24- L Exhibit 15 Villa e of Brookl n Center g Y Debt Service Funds COMBINED BALANCE SHEET December 31, 1962 Redemption Funds Certificates State Loan Combined Park of (Cash Basis Assets Tota,l Bonds Indebtedness Fund) Cash on hand and in depositories $22, 253 $15, 554 699 Temporary investrr�ents 1, 561 �14 947 Due from other funds 32 16 1� Cash held by Gounty Treasurer's office 2, 4�3 15? 98 2, 228 Taxes receivable: Real estat'e and personal propex°ty: Levied 1961 collectible 1962 812 511 301 Prior years' levies 456 194 2�i2 Totals $27, 597 $17, 046 8, 323 2, 228 Liabilities and-Surplus Liabilities Due to other funds 9, 500 9, 500 Sur lus P Unappropriated surplus (Exhibit 16) 1$, 097 7, 546 8, 323 2, 22� Totals $27, 597 $17, Q46 8, 323 2, 228 j (See notes to financial statements) This statement is an integral part of report dated _May 7, 1963e 25 Exhibit 16 Villa e of Brooklyn Center g Debt Service Funds COMBINED STATEMENT OF REVENUE, EXPENDITURES AND SURPLUS Year 1962 Certificates State Laan Combined Park Indebtedness (Cash Basis Total Bonds Fund Fund) Unappx°opriated Surplus, Jan� 1, 1962 $12, 312 5, 147 5, 869 1, 296 Add: Revenue Balance from bond fund 3 3 General property tax levies 60, 534 36, 538 21 496 2, 500 Interest-temporary investments 1,OT 3 540 473 Total Balance and Additions 73, 862 $42, 225 $27, 841 3, 796 Deduct: Expenditures Debt retirement $39, 300 $20, 000 $1�, 000 300 Interest expenses 16, 403 14, 617 1, 518 268 Service charges (paying agent) 62 62 Total Expenditures $55, 765 $34, 679 $19, 518 1, 568 Unappropriated' Surplus Decembex° 31, 1962 $18, 097 7, 546 323 2, 228 r (See notes to financial statements) 1 This statement is an integral part of report elated May 7, 1963s i 1 26 Combined Totals Assets All Funds Cash on hand and in depositories 160, 578 t Temporary investments 1� 038, 065 Accounts receivable 32, 161 Due from other funds 92, 485 �ash held by County Treasurer's office 4, 856 Taxes receivable �delinquent� 84 Assessments receivable. Future year installments 4Principalp 3, 345, 369 1961 collectible in 1962 �Principal and interest} 35, 504 Delinquent �Principal and interest� 21, 188 From Park Board Fund �Principal-no interest char.ge� 86, 363 From Village General Fund �Principal-no interest charge� 55, 993 From University of Minnesota �Earl Brown properties� 380, 949 Tnterest applicable to 1962 on installments to be collected during 1963 6, 876 General Village share for future taxation �Principal only� 486, 144 Authorization to assess for construction in progress 566, 286 Cash held by paying agents for debt and interest 839, 489 Totals 7, 152, 39� Liabilitie s Vouchers payable 24, 817 Contracts payable 88, 486 Due to other funds 66, 267 Rebates due Northport school and contractors 3, 008 Accrued expenses �Interest and financing costs� 16, 867 Construction loans payable 690, 000 Bonds payable 4, 828, 000 Bonds and interest not redeemed �funds with paying agent�: Bonds maturing January 1, 1963 392, 500 Bonds called January 1, 1963 300, 000 Interest coupons maturing January 1, 1963 130, 039 Premium on January 1, 1963 called bonds 9 000 Bonds and interest matured not redeemed `7, 950 Total Liabilities 6, 556, 934 Surplus and Appropriation Balances Unappropriated surplus �deficit} for debt retirement 350, 188 Unexpended appropriations for construction 245, 268 Totals 7, 152, 390 {See notes to financial statements) This statement is an integral part of report dated May 7, �g63 Village of Brooklyn Center Exhibit 17 Special Assessment Funds COMBINED BALANCE SHEET December 31 1962 Note 2 Bond Fund 1955 A 1956 AC 1956 s 1957 AB 1958 A 1958 B 1959 AB 1960 AB 1961 AB Number 1 Fund Fund Fund Fund Fund Fund Fund Fund Fund 10, 393 8, 833 26, 936 3, 703 13, 700 18, 658 1I, 096 15, I56 3, 463 48, 640 43, 485 I30, 457 395, 879 94, 595 122, 883 50, 908 149, 432 299 2, 275 47, 852 32, 161 6, 268 10 l, 349 l, 657 4p 139 45, 644 4, 837 28, 58I 205 430 1,356 318 208 125 35 592 969 618 84 130, 549 94, 008 279 963 70, 338 150, 972 306, 457 125, 118 337, 387 1, 005, 317 845, 260 578 827 1, 997 382 1, 050 3, 303 1, 131 868 19, 294 6, 074 390 894 2, 089 1, 172 I, 529 8, 217 272 353 6, 272 7, 202 12, 421 3, 020 14� 357 3, 775 32, 08I I3, 507 1, 713 460 901 486 15, 978 36, 455 62, 161 5I, 950 32, 222 219, I17 I5 499 121 8 234 6, 513 2, 705 4, 319 44, 585 15I, I48 203, 214 80, 173 566, 286 30, 003 26, I84 69, 841 54, 400 377, 259 38, 017 25, 430 47, 722 150 949 19, 684 $221, 871 $331, 090 $846, 486 $226, 565 $676, 653 $472, 724 $362, 260 $603, 438 $1, 664, 000 $I, 747, 303 49 61 24, 707 88, 486 42 300 1, 019 786 3, 521 60 599 l, 343 1, 665 16, 867 I 690, 000 178, 000 235, 000 685, 000 $150, 000 205, 000 $405, 000 3I Op 000 560� 000 1, 505, 000 595, 000 26, 500 21, 000 55, 000 50, 00�0 55 000 30, 000 20, 000 35, 000 100, 000 300, 000 I 3, 503 4 160 14, 246 4, 400 I 1, 979 8, 017 5, 430 12, 482 46, 138 19, 684 g, 000 I, 024 595 1, 280 240 4, 81 I $208, 045 $261, 484 $757, 203 $204, 400 $582, 308 $443, 017 $336, 216 $609, 448 $1, 659, 470 $lp 495, 343 13p 826 69 606 89 283 22, 165 94, 345 29 707 26, 044 6, OIO� 14, 484} 25 706 19 OI4 226, 254 $221, 871 $331, 090 $846 486 $226, 565 $676 653 $472, ?24 $362 260 $603, 438 $I 664, 000 $I, 747, 303 27 Exhibit 18 1 Villa e of Brooklyn Center g Special Assessment Funds i COMBINED STATEMENT OF REVENUE, EXPENDITURES AND UNAPPROPRIATED SURPLU5 FOR DEBT RETIREMENT Year 1962 1 Combined Note 2 Total Bond Fund 1955 A 1956 AC 1956 B 1957 AB 1958 A 1958 B 1959 AB 1960 AB 1961 AB All Funds No. 1 Fund Fund Fund Fund Fund Fund Fund Fund Fund Unappropriated Surplus �Deficit� January 1, 1962 $329, 651 $11, 617 $65, 494 $85, 551 $22, 338 $102 183 $21, 935 $23, 441 4, 151� l, 277 35} Add: Revenue for 1962 Interest income on current levy $189, 608 7, 423 5, 494 $16, 652 4, 398 10, 637 $20, 448 8, 385 $23, 003 $64, 579 $28, 589 Last quarter of 1962 interest included in 1963 levy on new assessments 6, 876 123 8 234 6, 5I1 Income from temporary investments 50, 309 2, 003 4, 583 13, 693 4, 326 15, 042 2, 100 5, 027 253 1, 930 I, 352 I Interest accrued on University of Minnesota contract �Earl Brown properties� 17, 241 2, 703 2, 1 64 1, 399 10, 376 599 Excess of assessments over cost of projects completed credited to debt retirement purpo se s- 4, 745 4, 745 Total Revenue for 1962 $268, 779 9, 426 $12, 780 $32, 509 8, 724 25, 679 $23, 947 $13, 535 $23, 264 $77, 1 19 $41, 796 Deduct: Expenditures for 1962 Interest expense on bonded debt $236, 662 7, 005 8, 320 $28, 492 8 800 23, 958 $16, 035 $10, 860 $24 9b3 $92, 322 $15, 907 Premium pazd on called bonds 9, 000 9, 000 Paying agent charges 1, 561 79 47 140 85 515 78 52 106 410 49 r Roll processing charges to county 758 89 84 145 12 44 62 20 54 149 99 Adjustments to levies 261 44 217 Total Expenditures for 1962 $248, 242 7, 217 8, 668 $28, 777 8, 897 33, 517 $16, 175 $10, 932 $25 123 $92, 881 $16, 055 Unappropriated Surplus (Deficit) December 31, 1962 $350, 188 $13, 826 $69 606 $89 283 $22, 165 94, 345 $29, 707 $26, 044 6, 010� �$14, 484� $25, 706 (See notes to financial statements� This statement is an integral part of report dated May 7, 1963 1 1 _28_ Exhibit Village of Brooklyn Center Special Assessment Funds STATEMENT OF CONSTRU�TION' EXFENDITUR.ES COMPARED TO APPROPRIATTONS Year 19b2 l Combined Total 19�0 AB 1961 AB Al1 Funds Fund Fund Original Appropriation I At January 1, 1962 $3, 731, 04� $1, 814, 911 $1, 91.6, 133 Add: Appropriations for new pxojects initiated during 1962 349, 593 349, 593 Total Appropriations $4, 0�0, 637 $1, $I4, 911 $2, 265, 726 Deduct; Expenditux°es for construction During years prior to 1962 $3, 006, 308 $1, ?84, 778 $1, 221, 530 During 1962 551, 839 11, 119 540, 720 Total Expenditures for Construction $3, 558, I4? $1, 795, 897 $'I, 762, 250 Appropriation Balance 522, 490 9, 014 503, 476 Deduct> �xcess of original appropriations over actual completed project costs (actual cost assessed and bala�ce remaining in appropriation for project cancelled) 277, 222 277, 222 Unexpended Appropriation for Construction December 31, 1962 245, 2�8 19, 014 226, 254 1 I (SEe notes to financial statements) This statement is an integral part of report dated May 7 1963 i 24 Village of Brooklyn Center Exhibit 20 Special Assessment Funds STATEMENT OF LONG TERM DEBT �PRINCIPAL AMOUNT} December 31, 1962 Bond Redemption Balance Final Interest Rates on Bonds Outstanding Year of Total Deposits to Unpaid Installment Regular Coupons Additional Coupons Fund Is sue Is sue Paying Agt. 12 -31-62 Due Series Principal Rate Period Rate Bond Fund No. 1 Storm Sewer 1 serial issue 1952 304, 000 160, 000 144, 000 1-1-72 $144, 000 3. 50% Sanitary 5ewer 1 serial issue 1952 48, 000 28, 000 20, 000 1-1 -73 20, 000 3, 20 1953 A serial issue 1953 30, 000 29, 000 1, 000 1-1-64 1, 000 3. 25 1953 B serial issue 1953 55, 000 48, 000 7, 000 1-1-69 7 000 3. 30 1954 A serial issue 1954 37, 000 32, 000 5, 000 1-1-65 5, 000 3. 00 1954 C serial issue 1954 22, 500 21, 50Q 1, 000 1-1 -65 I, 000 2, 50 Total Bond Fund Number One 496, 500 3I8, 500 178, 000 1955 A Serial is sue 1955 497, 000 262, 000 235, 000 1-1 -76 235, 000 3. 25 1956 AC Serial issue 1956 A 1956 535, 000 180, 000 355, 000 1-1 -77 355, 000 3. 75 Serial issue 1956 C 1956 550, 000 220, 000 330, 000 1-1 -77 330, 000 3.90 1956 B Serial issue 1956 200, 000 200, 000 -0- 1-1 -62 3. 30 {Refunding� Serial issue 56 B 1960 200, 000 50, 000 150, 000 1-1-66 150, 000 3. 40 1957 AB Serial issue 1957 A 1957 430, 000 300, 000 130, 000 I-1-67 1960-64 30, 000 3. 34 1965-67 100, 000 4. 00 Serial issue 1957 B 1957 350, 000 275, 000 75, 000 1-1 -67 1961 -67 75, 000 4. 50 1958 A Serial issue 1958 530, 000 125, 000 405, 000 1-1 -79 1960-66 80, 000 3. 10 67-69 75, 000 3. 60 70-72 75, 000 3.90 73 -79 175, 000 4. 00 1958 B Serial issue 1958 390, 000 80, 000 310, 000 1-1-79 1960-68 $100, 000 3. 00 69-71 60, 000 3. 20 72-74 60, 000 3. 50 75-79 90, 000 3. 60 1959 AB Serial issue 1g59 AB 1960 630, 000 70, 000 560 000 1-1 -81 1960-65 70, 000 3. 75 66 -69 105, 000 4, 00 70-74 200, 000 4. 25 75 -81 185, 000 4. 50 1960 AB Serial issue 1960 A 1960 768, 000 9g, 000 670, 000 1-1 -81 1960-67 $190, 000 4. 50 1960-63 1. 50% 68-78 390, 000 4.20 1960-63 1. 50 79-81 90, 000 3, o0 1960-63 1. 50 Serial issue 1960 B 1961 885, 000 50, 000 835 000 1-1 -81 1961 $200, 000 3. 80 1962 1. 80% 68-70 140, 000 4, o0 1962-63 1. 80 71 -74 180, 000 4. 10 1962-63 1. 80 75-81 315, 000 4..20 1962-63 1. 80 1961 AB Serial issue 1961 A 1962 595, 000 -0- 595, 000 I-1-82 1964-69 $205, 000 3. 00 7(1 /62-7/1 /63 1. 50% 70-73 120, 000 3.40 7�1/62-7/1/63 1.50 74-7? 120, 000 3. 70 7/1 /62-7/1 /63 1. 50 78-82 150, 000 3e 75 7/1 /62-7 jl /63 1. 50 �See notes to financial statementsp $7, 056, 500 $2, 228, 500 �4, 828, 000 This statement is an integral part of report dated May 7, 1963. -30- Exhibit 21 Village of Brooklyn Center Municipal Liquor Fund BALANCE SHEET December 31, 1962 ASSETS LIABILITIES AND SURPLUS Current Assets Current Liabilities Cash on hand and in depositories 80, 026 Accounts payable 22, 160 Tempoprary investments 20, 082 Bonds, coupons and call premiums �matured but not Miscellaneous receivables 98 presented to the paying agent� 680 Merchandise inventory �valued at cost� 89, 352 Due to other funds 3, 818 Prepaid expenses 1, 532 Accrued PERA �Public Employees Retirement Association� Cash on deposit with paying agents revenue certificate account contribution 3, 095 Note 3 8, 404 Accrued salaries and wages 1, 202 Accrued interest payable on revenue certificates 2, 724 Certificates payable portion due within one year (see below) 5, 000 Total Current Assets $199 494 Total Current Liabilities 38, 679 Fixed A s s ets Long T erm Liabilitie s Provision for Revenue certificates payable �Exhibit 25} $130, 000 Depreciation Book Less: Portion due within one year Cas above� 5, 000 Cost Amortization Value Fixtures and Equipment Total Long Term Liabilities 125, 000 Lyndale Avenue store $11, 420 9, 762 1, 658 Osseo Road store 14, 053 5, 006 9, 047 Total Liabilities $163, 679 Brookdale store 10, 873 900 9, 973 Leasehold improvements Surplus �Brookdale) 16, 162 2 b94 13, 468 $52, 508 $18, 362 Restricted per terms of resolution authorizing the Total Book Value of Fixed Assets 34, 146 issuance of revenue certificates Note 3 18, 247 Undistributed surplus 51, ?14 Total Surplus 69 961 Total Assets $233, 640 Total Liabilities and Surplus $233 640 I I (See notes to financial statements� This statement is an inte ral art of re ort dated Ma 7 1 63 b P Y 31 1 Exhibit 22 Village of $rooklyn Center Municipal Liqupr Fund ANALYSIS OF CHANGES IN SURPLUS Year 1962 Surplus, January 1, 1962 6�, 497 I Add: Net income (Exhibit 24) 78, 064 1 Total Balance and Addi�ions $142, 561 Deduct: Transfers to other Funds 1 General. Fund $55, 000 Park Board Fund 17, 600 72, 600 Sux°plus, December 31, 1962 69, 961 (See notes to financial statements) i This statement is an integral part of report dated May 7, 1963e 32 Exhibit 23 Village of Brooklyn Center Municipal Liquor Fund STATEMENT OF INCOME ,AND EXPENSE Year 1962 Combined #1 #2 #3 Total Lyndale Ave. Osseo Road Brookdale All Stores Store Store Store Sales $683, 395 $I89 990 $348, 580 $I44, 825 Deduct: Cost of inerchandise sold 523, 233 146, 754 269, 2II 107, 268 Gross Margin on Sales $160 162 43, 236 79, 369 37, 557 Less: Operating expenses requiring funds Salaries and wages 52, 184 17, 176 2I, 622 I3, 386 Rent Note 4 7, 367 7, 367 Utilities and �eat 3, 644 1, 160 1, 500 984 Insurance 1,820 769 596 455 Supplies I 667 393 583 691 Public employees retirement fund 1, 213 518 527 168 Auditing 850 445 405 Repairs and maintenance 724 137 406 I81 Telephone 716 224 264 228 Protection service 641 150 216 275 Mileage 202 94 61 47 Inventory variance and adjustments I81 30 106 45 Laundry 171 105 36 30 Licenses and taxes 164 57 59 48 Miscellaneous 163 15 18 130 Breakage gl 23 33 35 Legal 55 55 Provision for bad checks {net of recoveries) 6 l OD 16 Cash {over) and short 18� 9) 20� 11 Total Operating Expenses Requiring Funds 7I, 84I 2I, 277 26, 428 24, 136 Net Operating Income Before Depreciation and Amortization 88, 32I 2I 959 52, 941 I3, 421 Less: Depreciation and amortization of leasehold improvements 6, 220 1, 061 I 566 3, 593 Net Operating Income 82, 101 20, 898 51, 375 9, 828 Add: Ynterest on temporary investments and check cashing fees 1, 430 Deduct: Interest and paying agent charges on revenue certificates 5, 467� Net Income 78, 064 Explanation The operating results as reflected for �See notes to financial statements) Store #3 {Brookdale) are for the period beginning This statement is an integral part of report dated May 7, 1963. March 8, 1962 �date at which the new store opened} through December 31, 1962, 33 Exhibit 24 Village of Brooklyn Center Municipal Liquor Fund STATEMENT OF LONG TERM DEBT December 31, 1962 Interest Revenue Certificates Principal Revenue Certificates Interest Coupons Certificate Coupon Outstanding Retired Outstanding Dates of Outstanding Retired Outstanding Numbers Rate 1-1-62 1962 i 2-31-62 Maturity 1-I -62 1962 12-31 -62 6-10 5, 000 5, 000 -0- 1-1 -62 4, 005. 00 4, 005. 00 -0- 7-1 -62 2, 723. 75 2� 723s 75 -0- 11-16 4. 00% 5, 000 5, 000 1-1 -63 2, 723e 75 2, 723. 75 7-1 -63 2, 623. 75 2, 623. 75 17-28 4. 00 13, 000 I3, 000 1-1 -64 2, 623. 75 2, 623 75 7-1 -64 2, 363. 75 2p 363. 75 29-41 4. 00 13,`000 13, 000 1-1 -65 2� 363. 75 2, 363. 75 7-1-65 2, 103. 75 2, 103. 75 42-54 4. 25 13, 000 13, 000 1-1 -66 2� I03e 75 2, 103. 75 7-1 -66 1, 827. 50 I, 827. 50 55-67 4e 25 13, 000 13, 000 1-1 -67 1, 827. 50 1, 827. 50 7-1 -67 1, 551. 25 1 551. 25 68-80 4. 25 13, 000 13 000 1-1 -68 l, 551, 25 1, 551. 25 7-1 -68 1, 275. 00 1, 275. 00 81-95 4. 25 15, 000 15, 000 1-1 -69 1, 275. 00 1, 275. 00 7-1-69 956. 25 956. 25 96-110 4 25 15, 000 15, 000 1-I -70 956 25 956 25 7-1 -70 637. 50 637. 50 111 -125 4. 25 15, 000 15, 000 1-I I 637. 50 637. 50 7-1 -71 318. 75 318. 75 126-140 4. 25 15, 000 15, 000 1-1 -72 318. 75 318. 75 $135, 000 5, 000 $130, 000 $36, 767. 50 6, 728. 75 $30, 038, 75 i General Provisions of Issue a. Obligations are payable solely from net operatians of the Municipal Liquor Stores and are in no way a general tax liability of the Village. b All certificates share on a parity basis in total net revenue of all stores. c. All certificates which mature after January 1, 1968 are subject to redemption 4ca11} in inverse numerical order fln January 1, 1965 or any interest payment date thereafter upon payment as followso 1 e If redeemed prior to January I, 1968 at par 4$1, 000� plus accrued interest, plus premium of $30. 00 on each certificate redeemed. 2. If redeemed on or after January I, 1968 at par plus accrued intereste da Pursuant to terms of the `resolution authorizing and directing issuance of certificates, certain �ovenants require a restriction of surplus available for transfer and the periodic setting aside of funds to meet principal and interest maturitiese (See accompanying notes to financial statements� This statement is an inte ral art of re ort dated Ma 7, 1963. g P P Y -34- I Exhibit 25 Village of Brooklyn Center Public Utilities Fund BALANCE SH�ET December 31, 1962 ASSETS LIABILTTIES Current Assets Current Liabilities Cash on hand and in depositories 45, 612 Vouchers payable 16, 914 Temporary investments 183, 162 Accrued PERA �Public Employees Retirement Association} 3, 878 Accounts receivable Utility customer services 28, 952 Accrued salaries and wages 841 Accrued revenue receivable �estimated'unbilled salesp 19, 641 Due to other funds 32, 898 Accounts receivable (Other than utility services} 17, 701 Due from other funds 134 Inventory of stores and supplies 2, 875 Total Current Liabilities 54, 531 Prepaid expenses 986 Total Current Assets 299 063 Other Liabilities Plant and Property Customers' meter deposits 89, 995 Water and sewer utility in service �Exhibit 29� $6, 835, 781 Total Liabilities 144, 526 Less: Provision for depreciation 4Exhibit 29} 308, 242 Contributions in Aid of Construction Total Book Value of Plant and Property 6, 527, 539 Sewer Department $4; 341, 591 Water Department 2, 270, 599 Other Assets Total Contributed Surplus 6, 612, 190 Construction in progress 137 Earned Surplus �Deficitj �Exhibit 26� Sewer Department 4, 344� Water Department 74, 367 Total Earned Surplus 70, 023 Total Assets $6, 826, 739 Total Liabilities and Surplus $6, 826, 739 {See notes to financial statements� This statement is an inte ral art of re ort dated Ma 7, 1963 g P P Y i i 35 Exhibit 26 Village of Brooklyn Center Public Utilities Fund STATE1v1ENT OF INCOME AND EARNED SURPLUS Year 1962 Water Sewer Combined Department Department Total I,' Service to customers 95, �76 $120, 355 $215, 831 Sewer permits 4, 900 4, 900 Customer penalties 282 3, 91 1 4, 193 Interest earned on temporary investments 2, 355 2, 355 4, 710 1 Other income 451 522 973 Gross Operating Revenues 98, 564 $132, 043 $230, 60? Less: Operating Revenue Deductions Operating expenses .(Exh. 27 and 28) 43, 209 $$9, 193 $132, 402 Depreciation 39 686 42 782 82, 468 Total Operating Revenue Deductions 82, 895 $131, 975 $214, 870 Net Income 15, 669 68 15, 737 Earned surplus (deficit) January 1, 1962 58, 698 4, 412) Earned Surplus (Deficit) DecembEr 31, 1962 74, 367 4, 344) (See notes to financial statements) This staternent is an integral part of report dated May 7 1962 1 i -36- Exhibit 27 Village of Brooklyn Center Public Utilities Fund WATER DEPARTMENT OPERATING EXPENSES Year 1962 Sour c e of Supply Power 5, 914 Purification supplies Z 769 Labor 2, 667 Pump repairs Z, 204 Supplies 511 Fuel heating 3 61 Materials 159 Sma1T tools 143 Operation and maintenance 109 Repairs to structures 27 $14, 864 Transmission Labor 2, 340 Repairs to mains 931 Materials 592 Supplie s 52 I Small tools 44 Equipment rental 29 3, 9g8 A dministr ation Salaries and wages $11, 176 Rent and administration(to Village of Brooklyn Center) 4, 140 Mileage l, 084 Provision for `Public Emplayees Retirement Fund 1, 062 Insurance 916 Consulting fees 405 Operation and maintenance of equipment 332 Water charge refunds 197 Supplie s 172 Fuel equipment 154 Printing 124 Small tools 95 Schools and conferences 37 Dues and subscriptions 30 Uncollectible accounts 23 Postage 22 Penalty refunds 7 Other 12 19,988 Customer Accounting and Collection Salaries and wages 2, 888 Postage 997 Printing 437 Supplie s 33 Operation and maintenance of equipment 14 4, 369 Total Wa�er Department Operating Expenses $43, 209 (See notes to financial statements) This statement is an integral part of report dated May 7 1963 37 r Village of Brooklyn Center Exhibit 28 Fublic Utilities Fund SEWER DEPARTMENT OPERATING EXPENSES Year 1962 DisposalSource Rent City of Minneapolis $55, 431 Rent Village of Crystal 2 949 $58, 380 1 Puxnping Power 3, 119 Labor 3, 043 Repairs to lift stations 330 Fuel heating 109 Alarm system 80 Materials 78 Operation and maintenance of equipment 50 Supplies 49 Pump repairs 21 Small tools 20 Repairs to structures IO Equipment rental 9 6, 918 Transmission Labor 3,157 Materials 801 Repairs to mains 221 Equipment rental 16$ I Supplie s 140 Power 7 Y Operation and maintenance of equipment 37 Small tools 33 4, 628 Administration Salaraes and wages 7, 584 Rent and administration (to Village of Brooklyn Cente�) 4, 140 Consulting fees 1,205 Provision foar Public Employees Retirement Fund 1, 06� Ivlil,eage 1, 048 Tnsurance 536 Operation and maintenance of equipment 349 Sewer charge refunds 171 Fuel equipment 154 P rintin g 124 Su.pplies 74 Schools and conferences 20 Postage 19 �efunds sewer penalties 19 Uncollectible accounts 14 Other 18 16, 537 Customer Accounting and Collection Salaries and wages 2, 240 Postage 407 Frinting 36 Supplie s 3 3 Operation and maintenance of equipment 14 2� 730 Tota.1 Sewer Department Operating Expenses -$89, 193 (See notes to financial statementsj This statement is an integral part of report dated May 7 1963 3 8 Exhibit 29 Village of Brooklyn Center Public Utilities Fund SUMMARY STATEMENT OF PLANT AND PROPERTY AND PROVISION FOR DEPRECIATION December 31, 1962 Assets Provisions for Depreciation Balance Balance Balance Balance Depreciable Assets 1-1 -62 Additions Ded'ns 12-31 -62 1-1 -62 Addition� Ded'ns 12-31 -62 Life Water Department Assets Mains and lines $1, 800, 758 93, 079 $1, 893, 837 49, 746 18 043 67, 789 I00 years Structures 361, 232 891 362, 123 20, 344 l I, 449 31, ?93 30 years Consumer meters in use 74, 657 9, 9�8 84, 565 9, 690 3, 733 13, 423 20 years Equipment 131, 268 4, 424 I35, 692 13, 105 6, 461 19, 566 5, 10, 20 25 years Total Water Department Assets $2, 367, 915 $148, 302 -0- $2, 476, 217 92, 885 39 686 $-0- $132, 571 Sewer Department Assets Mains and lines $4, 255, 824 93, 711 $4, 349, 535 $130, 556 42p 261 $172 817 100 years Equipment 5, 211 818 10, 029 2, 333 521 2, 854 10 years Total Sewer Department Assets $4, 261, 035 98, 529 $-0- $4, 359, 564 $132, 889 42, 782 $-0- $175, 671 Total of Both Departments $6, 628, 950 $206, 831 $-0- $6, 835, 7$1 $225, 774 82, 468 $-0- $308, 242 (See notes to financial statements� This statement is an integral part of report dated May 7 1963 39 Exhibit 30 Village of Brooklyn Center Public Utilities Fund SUMMARY OF SOURCE OF FUNDS INVESTED IN PLANT AND PROPERTY December 3I, 1962 Year 1962 T Balance �See Balance January 1, Explanation� December 31, 1962 Additions Adjustments 1962 Original Cost of Plant and Property �Exhibit �9� $6, 628, 950 $206, 831 $6, 835, 78I I Source of Funds Invested Contributions in aid of construction received from special assessment districts and contractors: Water department assets $2, 199, 960 81, 724 I1, 085) $2, 270, 599 Sewer department assets 4, 249, 722 91, 869 4, 34I, 591 From operating funds of the public utility: Water department assets 167, 955 26, 578 11, 085 205, 618 Sewer department assets 8, 970 6, 660 15, 630 Total Funds Invested b Source $6 626 607 $206, 831 -0- $6, 833, 438 Y Add: Adjustment for depreciation provisions applicable to years prior to 1957e At the inception of the public utilities fund during 1957 assets were recorded at original cost and depreciation applicable to prior periods was charged to contributed surplus 2, 343 2, 343 Total as Above $6, 628, 950 $206, 831 -0- $6, 835, 78I Explanation of Adjustment: During the year 1962 the public utilities fund paid special assessment fund 19b0 AB �See notes to financial statements) the amount of $11, 085e 43. The purpose of this payment was to pay up a portion of water projects (water towers, etc. �not assessed to property owners and carried on This statement is an integral part of report dated May 7 1963 the records of the 1960 AB Fund as general Village share of project costs. Tn the original instance all water projects constructed by this fund were capitalized and transferred to the public utilities fund and credited ta contributed surplus. The payment of $11, 085. 43 has been charged to contributed surplus and represents a partial reimbursement by the public utility fund �from operating monies� to the 1960 AB Fund for water department assets constructed and transferred to the public utility during previous years. 40 E�hibit 31 Village of Brooklyn Center Agency'Funds CQMBINED BALANCE SHEET j Decernber 31, 1962 Agent for i Fire Public Department Employees Coznbined Relief Retirernent Total ASSOCiation Associat�on Assets Cash on hand and in banks $23, 456 35 $23, 421 Cash held by County Treasurer's office 184 84 100 i Due from other funds 21 11 10 Taxes receivable; Levied in 1961 collectible in 1962 601 270 331 Prior years' tax levies 232 132 100 PERA contributions due from enterprise funds 6, 972 6 972 Totals �31 4fifi 532 �30 934 Fund Balance s Fund balances (See Exhibit 32) $31, 466 532 $30, 934 Totals $31, 466 532 $30, 934 (See notes to financial statements) This statement is an integral part of report dated May 7, 1963 r i 4.1 EXl�ibit 2 3 Village o£ Brooklyn Center Agency Funds COMBINED STATEMENT OF REVENUE, EXPENDITURES AND FUND BALANCES Year 1962 Agent for Fire Public Department Employees Combined Rel,ief Retirement Total Association` Association Fund Balance, January l, 1962 $11, 474 473 $11, 001 Add: Revenue Taxes levied 196I due 1962 $43, 030 19, 38Z 23, 648 Public employees retirement fund contributions froxn enterprise funds: Liquor stores 1, 213 1, 213 Public utility fund 2, 123 2, 123 Balance and Additions $57, 840 $19, 855 $37, 985 Deduct: Expenditures Payments to principal of agEncy $26, 355 $19, 304 7, 051 WritE off 1956 tax levy balance 19 19 Total Expenditures $26, 374 $19, 323 7, 051 Fund Balance December 31, 1962 $31, 466 532 $30, 934 t (�ee notes to financial statements) This statement is an integral part of report dated' May 7, 1963. -42- 1 I' Exhibit 33 I Village of Brooklyn Center Investrnent Trust Fund BALAN�E SHEET December 31, 1962 ASSETS Cash in depQSZtories 414, 435 Accrued interest receivable 14, Z85 Investments: Face Value Cost Basis United States government securities $100, 000 $100, 000 Brooklyn Center securities 50, 000 50, 000 Construction loans-1961 AB Fund 690, 000 690, 000 $840, 000 Total Investments 840, 000 Total s 1 268 720 A sets LIABILITIES Due to contractors (contract performance deposits) i3, 364 Due to participating funds: Special assessment funds $1, 038, 065 Public Utilities fund 183, 162 Municipal liquor fund 20, 082 General fund 12, 486 Certificate of indebtedness fund 947 Park bond redemption fund 614 Total Due to Participatin� (See Exhibit 34) 1, 255 356 Total Liabilities $1, 268, 720 (See notes to financial statements) This statement is an integral part of report dated May 7, 1963, 43 Exhibit 34 Village of Brooklyn Center Investxnent Trust Fund STATEMENT OF EARNINGS Year 1962 Interest Income Construction loans $30, 539 United States government securities 24, T57 Brooklyn Center securities 4, 630 Certificates of deposit 2, 124 Total In�erest Income $61, 450 Expens es Audit 321 Net- Income Distributed to Parta.ci atin Funds 61 129 P g (See Exhibit 35 for detail of income distribution) Explanation: The Invest�nent Trust Fund was established during 1956 to provide for the investrnent of temporary surpluses of cash. Net income cf the fund is distributed annually to each of the participating funds on the basis of the average yearly investment maintained by each funde The net inco�e and the effective rate of return on average investmen�t by participating funds is shown below by years. Rate of Net Year Return Income 1962 3. 17% $61, 129 1961 3. 05 55, 939 1960 3. 62 57, 908 1959 3. 27 33, 494 1958 2e 62 14, 835 1957 3.12 9,938 1956 2. 77 1, 832 1 Total Distributed Earnings Since Inception of Fund $235, 075 (See notes to financial statements) This statement is an integral part of report dated May 7, 1963. _44_ i Exhibit 35 Village of Brooklyn Genter Investment Trust Fund CHANGES IN PARTICIPATING FUND BALAN�ES Year 1962 Balance Net Fund Incoxne of Balance January 1, Additions 1962 Deeember 31, 1962 (Withdrawals) Distributed 1962 Special Assessment Funds 1956 AC 402, 736 20, 550) $13, 693 395, 879 1958 B 143, 755 650 5, 027 149, 432 1955 A 133, 724 7, 850) 4, 583 130, 457 1g57 AB 460, 846 353, 005) 15, 042 122, 883 1956 B 127, 834 37, 565) 4, 326 94, 595 1958 A 40, 363 8, 445 2, 100 50, 908 1g61 AB 65, 087 18, 587) 1, 352 47, 852 t Bond Fund Number 1 51, 417 9, 935� 2, 003 43, 485 1960 AB 13, 745 13, 400) l, g30 2, 275 1959 AB 646 600) 253 299 Total Special Assessment Funds $1, 440, 153 ($452, 397) $50, 309 $1, 03$, 065 Public Utilities Funds 138, 452 40, 000 4, 710 183, 162 Municipal Liquor Fund 78, 901 60 000) l, 181 20, 082 General Fund 8 370 200 3 916 12 486 Certificate of Indebtedness Fund 14, 984 14, 510D 473 947 Park Bond Redemption Fund 224 150) 5�0 614 Park Bond Fund 9, 377 9, 377) -0- -0- Total Al1 Funds $1 690 461 ($496, 234) $61, 129 $1, 255, 356 (See notes to financial statements) This statement is an integral part of report dated May 7, 1963 i 1 45 Exhibit 36 Village of Brooklyn Center SUMMARY STATEMENT OF GENERAL FIXED ASSETS December 31, 1962 Relocations -Clas sifications January 1, Year 1962 Year �962 Balance Investment 1962 Acquisitions Disposals Additions Decrease Dec. 31, 1962 Land and land improvements 22, 878 8, 737 3I, 615 Buildings-Osseo Road and 63rd Avenue 100, 535 54 100, 589 Building-65th and Lyndale 84, 251 84, 251 Building-Municipal Hall 53, 226 1, 365 i, 505 53, 086 Other buildings 34 662 1 p 653 36, 315 Park properties {includes buildings) Northport 101, 713 4, Ol2 105, 725 Grandview 76, 353 6, 830 83, 183 Willow Lane 52, 307 2, 049 54, 356 Bellvue 47, 228 779 48, 007 Garden City 33, 717 205 33, 922 Happy Hollow 31, 526 859 32, 385 Kylawn 26, 261 105 26, 366 Evergreen 19, 337 4, 761 24, �98 Orchard 6, 178 9, 092 15, 270 South Creek 5, 655 5, 655 Wangstad 63 63 Undistributed costs 15, 114 6, 183 21, 297 Equipment Street and highway 185, 415 13, 237 1, 22? 3, 765 193, 660 Fire protection 58, 941 25, 760 120 84, 581 Recreation 12, 946 6, 241 3, 429 22, 616 Civil defense 10, 729 277 10, 452 Police 7, 986 9 396 4, 862 12, 520 Furniture and fixtures Note 5 33, 370 l, 877 1, 841 37, 088 Storm sewer and street projects 2, 443 969 470 817 2, 914, 786 Totals $3, 464, 360 $574, 012 6, 486 5, 270 5, 270 $4, 031, 886 Source of Investment General indebtedness 551, 782 26, 559 250 578, 091 Ad valorem levies 272, 417 76 176 6, 236 342, 357 Liquor store revenues and certificates 188, 546 188, 546 Contributions received 7, 647 459 8, 106 Special assessment projects �storm sewers and streets� Owners' and contractors' share 2, 399, 644 470, 818 2, 870, 462 Brooklyn Center 24, 324 24, 324 Hennepin County 20, 000 20, 000 Totals $3, 464, 360 $574, 012 6, 486 $4, 031, 886 �See notes to financial statements) This statement is an integral part of report dated May 7, 1963 46 Exhibit 37 Village of Brooklyn Genter SUMMARY STATEMENT OF GENERAL LONG TERM DEBT A1VD INTEREST December 31, 1962 Arnount Available And to be Provided Amount Available in Debt Service Funds (See Exh. 16) Park bond redemption fund 7, 546 Certificates of indebtedness redemption fund 8, 323 State loan fund 2, 228 General Fund levies Note 6 Park Board fund levies Note 6 Total Amount Available 18, 097 Amount to be Provided in Future Periods For interest $146, 483 For principal 561,, 487 `Total Amount to be Provided 707, 970 Total Amount Available And to be Provided $726, 067 General Debt and Interest to be Paid in Future Periods General Debt (Principal Portion) Bonds and certificates: Park acquisition bonds $355, 000 Certificates of indebtedness 25, 000 State loan certificates 9, 400 $389, 400 Contracts and special assessments; Contract payable Voting machines Note 5 47, 828 Assessments on Village properties 142, 356 190, 184 Total General Debt (See Exhibit 38) �579, 584 Interest Pa able in Future Periods See Exhibit 38 Y Bonds and certificates $137, 095 Contracts payable 9, 388 Assessments on Village and park properties None Total Interest Payable in Future Periods (See Exhibit 38) 146, 483 Pe io s 726 067 Total General Debt and Interest to be Paid in Future r d t See notes to financial statements) This statement is an integral part of report dated May 7 1963 47 Village of Brooklyn Center Exhibit 38 SCHEDULE OF OUTSTANDTNG GENERAL LONG TERM DEBT AND INTEREST Decpmber 31 1962 General Debt 4Principal) Assessments Tnterest Payable Payment Park Certificates State on Park Certificates due Total Acquisition of Loan Contracts Villa�e Property Total Acquisition of State Loan Contracts During Principal Bonds Indebtedness Certificate Payable General Parks Interest Bonds Indebtedness Certificat,es Payable 1963 16, 481, 78 1, 300 00 6, 267. 40 1� 712, 97 7, 201. 41 g, 787e 26 6, 962. 50 437 50 235. 00 2, 152� 26 1964 49, 164. 79 20, 000. 00 $13, 000. 00 1, 300. 00 6, 267. 40 l 360. 90 7, 236. 49 16, 298. 97 13, 578, 75 647. 50 202. 50 1, 870 22 1965 50, 096 90 20, 000. 00 12 000, 00 1, 300. 00 6, 267. 40 3, 292. 00 7, 237. 50 14, 854. 44 12, 886. 25 210. 00 170. 00 1, 588. 19 1966 37, 871. 28 20, 000. 00 1, 300, 00 6, 267. 40 3, 292. 00 7, 011. 88 13, 631. 15 12, 187. 50 137. 50 1, 306e 15 1967 37, 971, 29 20, 000. 00 1, 400. 00 b, 267. 40 3, 292. 00 7, 01 1. 89 12, 599e 12 11, 470, 00 105. 00 1 024 12 o 1968 39, 855. 40 20, 000, 00 1 00 6, 267.40 3 292. 00 8, 896. 00 l l 542. 09 10, 730. 00 70. 00 742. 09 1969 39, 858. 99 20, 000, 0o I, 400. 00 6, 267. 40 3, 295. 59 8, 896. 00 10, 468. 81 9, 973. 75 35. 00 460. 06 1970 38, 648. 12 20, 000. 00 2, 461. 00 7, 291, 12 8, 896. 00 9, 371, 77 9, 193. ?5 178, 02 1971 38, 847. 09 20, 000. 00 1, 495. 00 7, 291, 12 10, 060. 97 8, 463. 53 8, 396. 25 67. 28 1972 41, 206. 19 20, 000. 00 7 291. 12 13, 915. 07 7, 598. ?5 7, 598. 75 1973 27, 291, 12 20, 000. 00 7, 291, 12 6, 796. 25 6, 796.25 1974 27, 291. 12 20, 000. 00 7, 291. 12 5, g88. 75 5, 988. 75 1975 20, OOQ. 00 20, 000. 00 5, 175. 00 5, 175. 00 I 1976 20, 000. 00 20, 000. 00 4, 355e 00 4, 355. 00 1977 20, 000. 00 20, 000. 00 3, 535. 00 3, 535. 00 1978 20, 000. 00 20, 000. 00 2, 715. 00 2, 715. 00 1979 20, 000, 00 20, 000. o0 1 895� 00 1 8 5 00 9. 1980 20, 000. 00 20, 000. 00 l 075. 00 '1, 075. 00 1981 15, 000. �0 15, 000. 00 332e 50 332. 50 Tota.ls $579, 584. 07 355 000. 00 25 000. 00 9 400. 00 47 827 80 55 3 06 86 363 21 14b 48 1 8 9 99 p 3. 39 34, 45. 00 1, 295. 00 955s 00 9, 388. 39 (See notes to financial statements� This statement is an integral part of report dated May 7p 1963. t 48 Village of Brooklyn Center NOTES TO FINANCIAL 3TATEMENTS Year 1962 r Note 1: The "Cambined Balance Sheet All Funds and Groups (Condensed Form)", Exhibit 1, is presented as an information statement only, The reader is instructed that the figures as shown under the "Combined Total"' column represent a combining of unlike purpose groups �funds) and can not be construed as I,' indicative of the over-all financial position of the Village. The financial position of each fund should be ascertained by reference to the individual exhibits as submitted for that fund within this report. Note 2: (Special Assessment Funds) Bond Fund Number 1 was established by Council resolution on June 11, 1962 by combining Storm Sewer Number 1 Fund, Sanitary Sewer Number 1 Fund, 1953 AB Fund, 1954 A Fund and 1954 C Fund into one common funde The purpose of combining these funds was to f�,cilitate accounting and tax distribution procedures and eliminate certain probable inequities between the combined funds which were the result of incorrect tax allocations during earlier years. As of the effective date of consolidation (January 1, 1962) the 1953 AB fund had a recorded deficit of $5, 014e 53, and the remaining funds ha,d recorded surpluses totalling $16, 631. 79e The deficit of the 1953 AB Fund was offset against total surplu,s of the other four funds and the resultant net surplus of $11, 617. 26, together with all assets and liabilities of the individual funds, was transferred to the newly established Bond: Fund Number One. Note 3: (Munici al Li uor Fund P �1. Pursuant to terms of the resolution directing and authori.zing the issuance of revenue certificates, certain restrictive covenants have been enacted for the benefit of certifieate holders. Paragraph.5c provides that at least quarterly the following year's principal and interest be segregated and set aside in cash for benefit of certificate holderse As of December 31, 1962, cash in the amount of $7, 723. 75 (representing interest and prineipal falling due on January l, 1963) had been transferred to the paying agent. Paragraph 5d requires a restriction of surplus equal to the next ensuing year°s principal and interest requirement. As of Dece 31, 1962 restricted surplus totalled $18, 247e 50 ($13, 000 principal due January 1, 1964 and interest for the year 1963 in the amount of $5, 247e 50). 49 1 Village of Brooklyn Center NOTES TO FINANCIAL STATEMENTS Year 1962 Note 4: Munici al Li uor Fund) P q Store #1 (Lyndale Avenue Store) and Store (Osseo Road Store) are located on Village owned properties. Store #3 is located in the Brookdale shopping center and the premises are occupied pursuant to terms of a five year lease which expires on February 28, 1967. The rental for store and warehouse facilities is fixed at $666e 67 per month. The rental for parking and mall facilities is dependent upon the maintenanee and upkeep expend- itures made by the landlord and is adjustable yearly. Ncke 5: (Suznmary Statement of General Fixed Assets) Contracts payable to the Rockwell Manufacturing Company for rental/purchase of forty automatic voting machines at a total cost of $62, 674s 00 plus future interest at 4 1/2% per annum provide that the Village may choose to either rent or purchase these voting machinese The Village, upon written notice, may return the machines during anyyear with the provision that the n�xt installment due after the date of returning the machines is paide The unpaid principal as of December 31, 1962 on these contracts totals $47, 827. 80 and the last scheduled payment is due in 1971. The cost value of these voting machines ($62, 674. 00� is not 1 reflected in furniture and equipment as of December 31 1962 It is the intent of the Village to capitalize these assets xn the future when and if title is accepted and the transaction is deemed a purchase. Note 6: (Summary Statement of General Long Term Debt and Tnterest) Special assessments relating to impx°ovements benefitting Village owned properties totalled $142, 356s 27 as of Decernber 31, 1962 The payment for these improvements, with no interest 1 charge, have been scheduled over a period extending through 1974. These assessments are the obligation of the park board fund and general fund and payment is planned under general budget procedures whereby x°equired installments will be appropriated during the budget years in which they becorne due. (See Exhibit 38). -50- i Village of Brooklyn Genter NOTES TO FINANCIAL STATEMENTS Year 1962 Note 7: The �irm of Lindquist, Fraser and Magnuson, attorneys for the Village, was contacted as of May 14, 1963 concerning possible contingent liabilities or pending lawsui.ts in which the Village is involved. We were informed that the Villag� has appealed an 1 original award of $2, 081. 25 relating to condemnation of property by the Village. Cross appeals have been filed in the amount of $6, 500. 00 and the matter is cux°rently the subject of a 1 lawsuit s i 1 1 t 1 1 1 i 1 1 1 51