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HomeMy WebLinkAboutAnnual Audited Financial Report-1969 ANNUAL AUDITED FINANCIAL REPORT of the CITY MANAGER e °f BROOKLYN CENTER MINNESOTA For The Yeor Ended December 31, 1969 POSS CITY MANAGER DONALD G. Prepared by THE DEPARTMENT Of fINANCE Paul W. Holmlund, Director I I (Member of Municipa) Finance Officers Association of the United Srotes and Canada) C ity of B rooklyn C ente r ANNUAL FINANCIAL REPORT For t he Year En de d Decem ber 3 1 1 9 6 9 �TABLE OF CONTENTS Exhibit Page Numbe r Numbe r �ecial R�e,venue Funds Statement s Combined Balance Sheet, December 31 1969 7 26 Combined Analysis of Changes in Unappropriated Surplus Year 1969 8 27 Combined Statement of Revenue and Expenditures Year 1969 q 28 Capital Projects Fund Statements Combined Balance Sheet December 31 1969 10 29 30 Combined Statement of Appropriations and Expenditures Year 1969 11 31 32 Debt 5ervice Funds Statements Combined Balance Sheet December 31, 1969 12 33 34 Combined Statement of Revenue, Expenditures and Surplus Year 1969 13 35, 36 Special Assessment Funds 5tatements Combined Balance Sheet December 31 1969 14 37, 38 Combined Statement of Revenue, Expenditures and Unappropriated Surplus for Debt Retirement I Year 1969 15 39, 40 Statement of Construction Expenditures, Compared to Appropriations and Assessment of Costs Year 1969 16 41, 42, 43, 44 City of Brooklyn C�nter ANNUAL FINA1vCIAL REP�RT For the Year Ended December 31, 1969 TABLE OF CONTENTS Exhibit Page Numb e r Nunnb e r Certificate of Conformance 1, 2 Listir�g of City Of�icials 3, 4 Organizati.on Chart 5 Location of City Pro�aerties 6 Letter of Transmittal 7 General Comrr�en�s 8, 9, 10, 11, 12 13 Financial Statements Section Auditor�s Report 14, 15 Combined Balance Sheet Decernber 31, 1969 1 16, 17 General Fund Sta,tements Balance Sheet Deeember 3i, 1969 18 Analysis of Changes in Unappropriated Surplus Year 1969 3 19 Statement of Revenue Estimated and Actual Year 1969 4 20, 21 Statement of Ex enditures, A ra riations P PP P And Encumbrances Year 1969 5 22, 2� St te ent of Ex enditures and Encumbr nce a m p a s Classified as to Activity, Charaeter and Objeet Year 19b9 6 24, 25 I Gity of Brooklyn Center ANNUAL FINANCIAL REPORT For the Year Ended December 31 1969 TABI.E OF CONTENT5 Exhibit Page Number Number Special Assessment Funds 5tatements, Cont'd Statement of Long- Te rm Debt Principal Amount) December 31, 1969 17 45, 46 Public Service and Enterprise Furids Statements Municipal Liquor Fund Balance Sheet December 31 1969 18 47 48 Analysis of Changes in Surplus Year 19b9 19 49 Statement of Income and Ex ense Year 1 6 p 9 9 20 50, 51 Statement of Long- Te rm Debt December 31, 1969 21 52, 53 Public Utilities Fund Balance Sheet December 31, 1969 22 54, 55 Statement of Operations and Earned 5urplus Year 19b9 23 56 Water De artment O p perating Expenses Year 1969 24 57, 58 Sewer Department Operating Expenses Year 1969 25 59, 60 Summary Statement of Plant and Property and Provisions for Depreciation December 31, 1969 26 61, 62 Statement of Long-Term Debt Bonds Payable and Contracts Payable December 31, 1969 27 63, 64 65, b6 City of Brooklyn Center ANNUAL FINANCIAL REPORT For the Year Ended December 31, 1969 TABLE OF CONTENT5 Exhibit Page Numbe r Numbe r Trust and A�ency Funds Statements Combined Balance Sheet December 31 1969 28 67 68 Combined 5tatement of Revenue, Expenditures and Fund Balances Year 1969 29 69, 70 Investment Trust Fund (A fund to accomodate the investment of temporary cash surpluses) Balance �5heet December 31, 1969 30 71 Statement of Earnings Year 1969 31 72 Changes in Participating Fund Balances Year 1969 32 73 General Fixed Assets and General Lon�-Term Debt Summary Statement of General Fixed Assets December 31, 1969 33 74, 75 Summary Statement of General Long-Term Debt and Interest December 31 1969 34 76 Schedule of General Long-Term Debt and Interest by Maturities December 31 1969 35 77, 78 Notes to Financial Statements Note 1 All Funds 79 Note 2 Special Assessment Funds 79, 80 Note 3 Municipal Liquor Fund $Q Note 4 Municipal Liquor Fund $1 Note 5 Public Utilitie s Fund $1, 82 Note 6 Public Utilities Fund 82, 83 Note 7 Surr�mary Statement of General Lon�-Term Debt and Interest 83 Note 8 All Funds 83, 84 'City of Brooklyn Center ANNUAL FINANCIAL REPORT For the Year Ended December 31 1969 TABLE OF CONTENTS Page 5chedule Number Statistical Information Seetion Assessed Value and Estimated True Value and Market Value of All Taxable Property by Budget Years 1 85, 86 Tax Rates and Tax Levies Years 1950 Through 1970 II g7, gg Notes to Tax Rates and Tax Levies III 89 Tax Levies and Tax Collections Years 1961 Through 1969 IV 90, 91 Special Assessment Collections Years 1961 Throizgh 1969 V 92, 93 Revenues Other Than Property Taxes and Special Assessments Years 1961 Through 1969 VI 94, 95 Expenditures for Selected Functions Years 1961 Through 1969 VII 96 Ratio of Net Bonded Debt to A s se s sed Value and Net Bonded Debt Per Capita Years 1961 Through 1969 VIII 97, 98 Statement of Legal Debt Margin December 31 19b9 IX 99 Computation of Direct and Overlapping Debt December 31, 1969 X 100 Ratio of Annual Debt Service Expenditures for General Bonded Debt to Total General Expenditures Last Nine Years XI 101, 102 Schedule of Revenue Bond Coverage Last Nine Years XII 103, 104 Miscellaneous Statistical Facts XIII 105 106 107 THE MUNICIPAL FINANCE OFFICERS ASSOCIATION OF THE UNITED STATES AND CANADA �t���t� THE ANNUAL FINANCIAL REPORT OF `��t�e Ctt of Brookl. n y �en ter, .Mlnn e.. ��a �or the Year �nded Decernber31, SUBSTANTIALLY CONFORMS `TO THE PRINCIPLES AND STANDARDS OF PUBLIC FINANCIAL REPORTING AS PROMULGATED BY THE �u�tici�ai ,�ina�tcc �ffucr�c �g�ociation .lND THE .�tionai �Cotnmittce on f obcr�tt�untai �uountittg Presenced September �9,1yG7. ClVir�m�, Cen�nittee on decoswun� Esecrarr Diroetor I i I i i �i i i CITY OF BROOKLYN CENTER, MINNESOTA CERTIFICATE OF CONFORMANCE On September 19 1967 the MUNICIPAL FINANCE OFFICERS ASSOCIATION OF THE UNITED STATE5 AND CANADA certified that the Annual Audited Financial Report of the City of Brooklyn Center, Minnesota For The Year Ended December 31 1966 conformed to the principle s and standards of public financial reporting as promulgated by the Municipal Finance Officers Association and the National Committee on Governmental Accounting. A Certificate of Conformance is awarded by the Municipal Finance Officers Association of the United States and Canada only to the governmental unit whose financial report is judged to conform substantially to the high standards for financial reporting established by the Association. These standards are contained in publications of the National Committee on Governmental Accounting, We believe our present annual report for the year ended December 31 1969 continues to conform substantially to such standards. DEPARTMENT OF FINANCE CITY OF BROOKLYN CENTER City of Brooklyn Center LISTING OF CIT Y OFFICIA LS For the Year Ended December 31 1969 �lected Officials Term of Office Term Expires Mayor Philip Cohen Two Years 12 -31-69 Councilman Howard Heck Three Years 12-31-69 Councilman John Leary Three Years 12-31-?0 Councilman Theodore Willard Three Years 12-31-71 Councilman Earl Rydberg Two Years 12-31 (Jfficials Not Elected City Manager ponald G. Poss City Clerk Allen 5. Lindman City Treasurer Paul W. Holmlund City Attorney Richard Schieffer Administrative Assistant Bambridge E. Peterson Administrative Assistant Robert L, Haarman Department Heads: Finance Paul W Holmlund Public Works Charles Van Eeckhout Police Thomas G. O'Hehir Fire Donald Mason Protective Inspection Jean R. Murphey Civil Defense Edwin Coleman Parks and Recreation Eugene Hagel Assessment John Nordberg Liquor Stores Truman Nelson Street Superintendent Henry Davis Public Utilities Superintendent Frank Smith, Jr. Assistant City Engineer James R. Merila Health Officer R. I. 5hragg, M. D. Fire Marshall Robert Cashman Sanitarian Robert Hutchison _3_ r City of Brooklyn Center LISTING OF CITY OFFICIALS At May 28, 1970 Elected Officials Terrn of Of£ice Term Expires Mayor Philip Cohen Tvvo Years 12-31-71 Councilman Howard Heck Three Years 12-31-72 Councilman John Leary Three Years 12-31-70 Councilman Theodqre Willard Three Years 12-31-71 Councilman Vernon Ausen Three Years 12-31-72 Officials Not Elected City Manager ponald G. Poss C ity C le rk A llen S. Lindman City Treasurer Paul W, Holmlund City Attorney Richard Schieffer Admi.nistrative Assistant Bambridge E. Peterson Department Heads: Finance Paul W. Holmlund Public Works James Merila Police Thomas G. O'Hehir Fire Donald Mason Protective Inspection Jean R. Murphey Civil Defense Edwin Coleman Parks and Recreation Eugene Hagel Assessment Tohn Nordbexg I,iquor Stores Truman Nelson Street Superintendent Henry Davis Public Utilities Superintendent Frank Smith, Jr. Health Officer R. I. Shragg, M, D. Fire Marshall Robert Cashman Sanitarian Robert Hutchison -4- ORGANIZATION �HART CITY OF BROOKLYN CENTER, MINNESOTA ELECTORATE ADVISORY CharteX Commission CITY COUNCIL ADVISORY Mayor CITY ATTORNEY Capital Improvements Review Board 4 Councilmen ADMINISTRATIVE ASSISTANT ADVISORY City Clerk Citizens Architectural Committee �CITY MANAGER Purchasing Officer ADVISORY ADMINISTRATIVE ASSISTANT Human Rights Commission Planning ADVISORY ADMINISTRATIVE ASSISTANT Planning Commission Research v+ ADVISORY Park and Recreation Commission I���� I DIRECTOR DIRECTOR CITY TREASURER CHIEF INSPECTOR CHIEF MANAGER DIRECTOR ASSESSOR Park Finance Department Protective Volunteer Liquor Civi1 Tax Recreation Inspection Fire Store Defense Assessment Department Department Department CHIEF Police Department DIRECTOR Public Works Department i 4 Lieutenant Lieutenant Lieutenant City Engineer Superintendent Superintendent Patrol Administrative Detective Engineering Street Public Utilities Division Division Division Division Division Division I w r �r r at �r �r �s r� 4/� �r� �w �unn p -n v.. �n I �4�m�� �I���'I �.����u �muu�e♦`1�' :IC� �C '/.:C :;p��iu�_n���� I�CI�: nunnu� a� �I� j %�I�iqp� mmim� �ii�i .I:�S: �1 -oa�� y :7 pi P�S Pu'yn� :=1" S� i1w/�'�/ ����'.CI77f� mmmn -5+_!-�= �7 C: i� T:: ��11 C �T�N���� I �am�mv C SC 1�i i A 'J 1 iiiiiniiii i�i ui :o F 1 s �1Ur 3 Y m i 5�I ,/i� �G I w nr u���.�� ��rs 7 ;S j :�I -I''' (il�L. r l °ti F T •.,T T n°: i' �+/�a•j 1 �iiiiiiill ff�� m�i,���r 1 i I►•, I o f a:�s L C.. �C m 's': 1 nJ�e�ui� I s O�� 1 ��:i� m�,�: ��I��€ml��nu��. 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I���nn�������� tl11�M7 `l C �nn�np. mmn1�11111 o m� r�imnn r� �u�u�.'-�'C° �nnnllN un���,,��n 111��4��, :�un�r� i I m�1q1 _IIII I, nn '�J�i�u �m�up 1��\ .1111111� 1 ���q1 11�111� =�m a� �u nm�v iu►\ m.i e .F n �nnr u��� r"�n��r7 �r I��\ np�nn� u�� j n ��u �h�lIIIIII� A /t �h, i��e�e G: 6 C? 11- 1 °'N ����1��� I n q i e�A�'�' �1� 1 I 7 Itlt�i�llNll�T. i'E 7� r" 7 711� S 11= I�� 11111� S6 S IIP' �nu r ..�a I= I� I II-��� s��.�„� ''r� .13�t 8i f i�•�u� i���� 11� �I n ii iD���►niiii� i �r ���:I.' i iiiiii�l��'��i �iT:i I �S �::��I c i i! riiiii� .��,y* sE� r I w� I' ����1� �nnnn `1 n ���innnu L `I�' p p u �a S� rmnoi� i� I r ���imemq ■-�i T=_ �.l mmu� ,�I I�� a�\ Ti i ume �i �p;0��"p,� CS y T� C�-:� o mm�n ,t' ��Op� u �n� ��un �i1��� ii1��,f. 1� a I� �"I' �1� V i m nm��nm�.�.�a_ i i i n �m�� �n �nmaun�uru�� e s �i� u� ������io�� �S 3 g L� C�.�� �����1\► S� i� Q 133I U e T 111 C_ C� I- 11� �IFi�� �..1 Iliiiiiii.-' I s 3 s ����qn��ta��I�ll/1..x1_ �'�1.�• -��I6°_I2i�I �e _��_�''I II"=1uT1����-��� �i. T. �'x�� nn n��:�; A INHHpP. ��C �in �i �ia .A�,� �I�i C �r3� t�� ��—�1��/1Sl�..l���g� ���g I i� y �q[Aqq�W� '�ga ��i'x, i�tl 1���=.� 1�IU =��IIII�III�a� �Yillili� L w L CITY OF ADMINISTRATIVE OFFICE t OOK LY N 7100 OSSEO ROAD BROOKLYN CENTER. MINNESOTA 55429 l TELEPHONE 561-5440 MINNEAPOLIS i 1 june 2, 1970 To the Mayor and Council r City of Brooklyn Center, Minnesota Gentlemen: Section 7.12 of the City Charter requires the City Manager to sub it an a m udited report to the Council covering the entire financial operations of the City for the past year on or before the t last day of june. A summary of that report shall be published in the official city newspaper on or before July 31 of each year. The annual audited financial report of the City for the year nd d D e e ecember 31, 19 69 prepared by the Department of Finance under my general supervision, is submitted for your consideration. The summary of the report will be published in the Brooklyn Center Post on july 23, 1970. i spectfully su .�nitted, I l i r� ..c�v�a Donald G. ss City Manager 7- �2e �uc��2e City of Brooklyn Center GENERAL COMMENTS Or�anization Brooklyn Center was incorporated as a Village on Feb�uary 14, 1911, and became a City of the second class on December 8, 1966 thirty days from the adoption of the City Charter by a referendum vote of the eo le. P P The form of government established by the Charter is the "Council- Manager Plan". The Council exercises the legislative power of the City and determines all matters of olic The Council is com p y posed of a Mayor and four Councilmen who are elected at large. Eaeh Councilman serves a term of thxee years and the Mayor serves a term of two years. The City Manager is the head of the Administr tive br n h a a c of the City government and is responsible to the Gouncil for the proper administration of all affairs relating to the City. The City Manager is the chief accounting officer of the City and must provide such information about the finances of the City as the Council may require. The offices of City Clerk and City Treasurer are subordinate to and appointed by the City Manager. The City Clerk has duties in connection with the keeping of the public records. The City Treasurer has duties in connection with the receipt, disbursement and custody of public funds. The City Attorney is appointed by the Council. All other o£ficers and employees of the City are appointed by the City Manager. Appointment or removal� of department heads are made final upon a majority vote of the Council. -8- City of Brooklyn Center GENERAL COMMENT5 Financial Control and the Bud et The City Charter grants the City Council full authority over the financial affairs of the City. The Charter requires that all funds of the City except funds made up of proceeds of bond issues, public service enterprise funds, and special assessment funds, be budgeted. The City Manager is charged with the responsibility of preparing the estimates of the annual bud et and the enforcement of the rovisions of the bud et as g P g specified in the budget resolution. Upon adoption of the annual budget resolution by the Council it becomes the formal budget for City operations. After the bud et resolution is ado ted, the Council can increase the bud et g P g only if actual receipts exceed the estimates or from accumulated surplus in the amount of an unexpended appropriation from the previous fiscal year. Financial reports, which compare actual performance with the budget are prepared monthly and presented to the Council so the Council is able to review the financial status and measure the effectiveness of the budgetary controls, Governmental budget procedures are not used in connection with the liquor stores or public utilities operations, because these operations are primarily of commercial nature and employ concepts peculiar to revenue producing entitie s A summary of the budget document for the calendar year 1969 follows: -9- C ity of B rooklyn C ente r ENE G RAL COMMENTS Financial Control, Cont'd Proposed Expenditures (Public Service Ente�l�rises Excluded) City operations (General Fund) $.1, 392, 149 r Poor relief 4, 000 Firemen's Relief A s sociation 37, 320 Debt service 55, 497 Public Employees' Retirement 63, 400 Policemen's Pension Fund 53, 443 Capital Projects Fund 200, 000 Total Proposed Expenditures $1, 805, 809 Proposed Source of Financin� Taxation see summary of taxation presented below) $1, Q67, 542 Shared taxes (state and federal) 289, 073 Civil Defense reimbursement 4, 039 Local revenues: Liquor stores $127, 151 Permits, penalties, licenses and fines 9�, 650 Engzneerzng and clerical fees 60,:000 Services to public utilities fund 12; 660 Recreation receipts 23, 325 Se'rvices and other 48, 520 Rent 20,000 382,306 General fund surplus 62, 849 Total Proposed Financing $1, 805, 809 -10- C ity of B rooklvn C ente r GENERAL COMMENTS F' C inancial ontrol� Cont d Ad valorem tax levies for the current year 1969 and for the two paevious years (1968 and 1967j are summarized and presented below: 6 19 9 1968 1967 Mill Rate Amount Mill l�ate Amount Mill Rate Amount Tax Levy City operations 31. 18 653, 882 37. 58 $631, 987 42. 38 $660, 827 Poor relief 20 4, 000 42 7, 000 64 10, 000 Firemen's Relief Association 1. 78 37, 320 2. 18 36, 706 10 1, 560 Debt service 2. 67 55, 497 4. 43 74, 378 5. 52 86, 052 Public Employees' Retirement 3. 02 63, 400 4. 55 76, 567 2. 74 42, ?58 Policemen's Pension Fund 2. 55 53, 443 2. 51 42 169 County park system 24 3, 653 Capital Projects 9. 54 200, 000 Total Levy 50. 94 $1, 067, 542 51. 67 $868, 807 51. 62 $804, 850 19b9 1968 1967 Assessed Valuation Real estate $19, 340, 587 $15, 242, 320 $14, 290, 018 Personal property 1, 603, 159 1, 574, 574 1, 301, 952 Total Assessed Valuation $20, 943, 746 $16, 816, 894 $15, 591, 970 The financial condition of each fund as of December 31 1969 and the xesults of each fund's o erations for the ear to ether with a com rison of P Y g Pa these results to bud et estim tes is resen ci w'thin the fin nci 1 s tem n s g a p te i a a ta e t section of this report. The City carries surety bonds on the positions of: City Manager, Clerk, Treasurer Assessor De ut Assess L' M n A p y or, iquor Store a ager and ssistant I -11- City of Brooklyn Center GENERAL COMMENTS Financial Control, Cont'd i Manager. In addition, the City is covered by an Honesty Blanket Position bond on all othe r City employee s. General Operations The City, in addition to the usual activities of general government, public safety and welfare, highways and recreation, operates three off-sale liquor stores and a public sewer and water utility. Net revenues produced in excess of working capital requirements by municipal liquor store operations have been used towards financing current expense and capital outlay programs of the City General Fund. The net revenues of the public utility have been retained within the Public Utilities Fund and employed for sewer and water utility purposes. Accountin� System The accounting for all activities of the City is divided into various purpose groups or funds as required by statute and/or good accounting practice. Except for minor variances, all funds are maintained on an accrual basis and in conformity with generally accepted accounting principles applicable to governmental entities as set forth by the National Committee On Governmental Accountin�. -12- 1 City of Brooklyn Center GENERAL COMMENTS Accounting System, Cont'd TY�e accounts of the City are classified in conformance with classifi- cations prescribed by the Public Examiner's office (Classification of Accounts for Use by Fiscal Officers in Cities and Villa�es as iss.ued pursuant to Minnesota Statutes Section 215. 10). The accounting system which is used for the Public Utilities Fund is adopted from a system specifically designed for municipally- owned utilities by the American Water Works Association and is permissible under the Examiner's order establishing account classifications for municipalities. Accounting and bookkeeping for all City activities are centralized under the Department of Finance. The responsibility for maintaining and pre- scribin all financial records, establishing and maintaining internal control, g and preparing financial and budgetary reports are delegated to this department. i �'INANCIAL I� S T A T E M E N T S S E C T I O N MOEN PENTTILA CERTIFIED PUBLIC ACCOUNTANTS 1210 GLENWOOD AVENUE MINNEAPOLIS, MINNESOTA 55408 DIAL 877.8180 To the City Council City of Brooklyn Center, Minnesota Gentlemen: We have examined the financial statements of the various funds of the City of Brooklyn Center as of December 31 1969 and for the calendar year then ended. Our examination wa s made in accordance with generally accepted auditing standards, and accordingly included such tests of the accounting records and such other auditing procedures as we considered necessary in the circumstances. Audit Defined In accordance with the terms of our engagement, we conducted a"Limited General Audit" wh ich is defined as an "examination which consists of a review of internal control and accounting pro- cedures and the details of all records (including subsidiary records and supporting data) as to mathematic�,l accuracy, propriety and completeness of all transactions, on a test basis. This type of audit presumes that the auditor is expected to render an opinion subject to such qualifications as may seern necessary) concerning all of the transactions and records even though he has not examined all of them in detail. Scope of Examination Our examination covered all financial transactions and funds of the City as included in the records maintained by the Department of Finance. -14- I City Council Brooklyn Center In our opinion, the accompanying balance sheets and related statements of revenue, expenditures and surplus (Exhibits 1 through 35), together with the notes appended thereto, present fairly the financial position of the various funds of the City of Brooklyn Center on December 31, 1969 and the results of their operations for the year then ended, in conformity with generally accepted governmental accounting principles, applied on a basis consistent with that of the preceding year. Respectfully submitted, l� ��U'� .�G�n�1�7�atJ Oiva Penttila Certified Public Accountant MOEN PENTTILA Field work completed May 28, 1970 Report signed June 1, 1969 -15- Coxnbined Explanation Total (Note 1) Assets and Resources Cash on hand and in depositories 94, 755 Temporary investments 6, 527, 097 Accounts receivable 80, 790 Contract receivable sale of library 85, 981 Accrued revenue 148, 590 Due from other funds 415, 244 Cash held by County Treasurer's office 966 Monie s on depo sit with State of Minne sota 1 469 Taxes receivable 55, 479 Special assessment receivables 4, 655, 111 Cash held by paying agents for debt and interest 669, 527 Inventorie s and supplie s 151, 188 Securities held for investment and securities authorized for sale 3, 584, 785 Prepaid expenses and deferred charges 9 649 Fixed assets (net of depreciation where applicable) 19, 826 906 Unassessed construction 2, 313, 588 Amount available general debt and interest 59, 655 Amount to be provided general debt and interest 4, 769, 597 Totals n $43, 450 377 Liabilitie s Vouchers and accounts payable 201, 532 Accrued sales tax payable 108 Contracts payable 1, 487, 209 Assessments payable 193, 880 Accrued expenses 161, 005 Due to other funds 415, 244 Construction and debt redemption loans payable 2, 218, 000 Customer and contractor deposits 225, 818 Bonds and certificates payable 8, 571, 400 Due funds participating in investment trust 3 662 321 Interest payable in future years (general debt) 1, 972, 155 Total Liabilitie s $19 108 672 Surplus, Reserves and Fund Balances Surplus and surplus reserves set aside 2, 942, 820 Contribute.d surplus 9, 170, 933 Investment in general fixed assets 9, 518, 481 Unexpended appropriations, authorizations and balances 2, 709, 471 Total Surplus, Reserves and Fund Balances $24, 341, 705 Totals $43, 450, 377 -16 City of Brooklyn Center Exhibit 1 �OMBINED BALANCE SHEET ALL FUNDS AND GROUPS (CONDENSED FORM) December 31, 1969 Special Capital Debt �pecial lv,lunicipal Public General General Debt General Revenue Projects Service Assessment Liquor Utilities Agency Investment Fixed Assets and Fund Funds Funds Funds Funds Fund Fund Funds Trust Fund Group Interest Group (Exhibit 2) (Exhibit 7) (Exhibit 10) (Exhibit 12) (Exhibit 14) (Exhibit 18) (Exhibit 22) (Exhibit 28) (Exhibit 30) (Exhibit 33) (Exhibit 34) 20,770 996 554 276 1,298 28,094 10,613 24,600 7,554 417,543 80,697 2,603,770 55,116 1,664,309 71,894 1,516,220 117,548 12,108 2,102 101 66,479 85, 981 44,985 3,274 100,331 136,756 1,846 264,855 93 10,390 1,304 966 1,469 42,634 549 5,884 6,412 4, 263 4, 554 660 96 188 552,313 15 ,956 43,075 58,183 8,259 128,982 13,947 t 3, 584, 785 5,008 2,555 2,086 4,59Z 10,303,833 $9,518,481 2, 313, 588 59, 655 4, 769, 597 3 168 223 2 613 523 60 621 353 125 252 267 12 107 816 3 3 $64 ,078 $9, $15 ,1 8 $3,692,670 $9,518,481 $4,887,435 56,91b 600 46,522 56,801 34,949 5,726 18 108 514,825 242,163 900 729,321 193,880 138,832 2,516 19,657 10, 237 5, 570 376, 541 2, 135 3, 261 17, 500 2,218,000 195, 487 30, 331 4, 905, 000 45, 000 900, 000 2, 721, 400 3, 662, 321 1,972,155 67,153 600 520,395 $7,927,058 $107,460 1,882,675 23,226 $3,692,670 $4,887,435 $575,925 $167,623 7,201 863,144 $144,807 $.1,054,208 $129,912 i 9,170,933 $9, 518, 481 2,085,927 60,621 562,923 I $575,925 $167,623 $2,093,128 60,621 $1,426,067 $144,807 $10,225,141 $129 $9 ,518,481 $643,078 $168,223 $2,613,523 60,621 $9,353,125 $252,267 $12,107,816 $153,138 $3,692 $9 ,518,481 $4,887,435 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -17- MOEN PENTTILA Exhxbit 2 -Citv of Brooklvn Center General Fund BALANCE SHEET December 31, 1969 ASSETS Assets Gash on hand and in depositories Z0, 770 Temporary investments 417, 543 Accounts receivable 12, 1Q8 Due from other funds 136, 756 Work in progress 5, 008 Taxes receivable: Real estate and personal property taxes: Levied during 1968, collectible in 1969 19, 248 Prior years' levies 23, 386 42, 634 Inventories of supplies: Materials and supplies 6, 918 Sma�ll tools 1, 341 8, 259 Total $643, 078 LIABILITIE5, RESERVES AND SURPLUS Liabilitie s Vouchers payable 56 916 Due to other funds 10, 237 Total Liabilities 67, 153 Surplus Reserve for 1969 budget encumbrances 14, 144 Reserve for imprest cash and prepaid or deferred expenditures 8, 709 Unappropriated surplus (Exhibit 3) 553, 072 Tot Su 1 al rp us 575, 925 Total $643, 078 i See note s to financial statements This statement is an integral part of report dated May 28, 1970. -18- Exhibit 3 Citv of Brooklvn Center General Fund ANALYSI5 OF CHANGES IN UNAPPROPRIATED SURPLUS Year 1969 Actual Budget Over (Under) A ctual E stimate E stimate Unappropriated Surplus, January 1, 1969 367, 464 367, 464 Add: Revenue (Exhibit 4) 1, 607, 722 1, 395, 300 212, 422 Decrease to reserves for assets set aside for specific use 318 318 Total Balance and Additions $1, 975, 504 $1, 762, 764 212, 740 Deduct: Expenditures (Exhibit 5) $1, 408, 288 $1, 49?, 643 89, 355) Encumbrances (Exhibit 5) 14, 144 14, 144 Total Deductions $1, 422, 432 $1, 497, 643 75, 211) Unappropriated Surplus, December 31, 1969 553, 072 265, 121 287, 951 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -19- City of Brooklyn Center Exhibit 4 General Fund S.TATEMENT OF REVENUE ESTIMATED AND ACTUAL Year 19b9 A ctual Budget Over (Under) Actual E stimate E stimate T axe s Real estate and personal property taxes $653, 884 $653, 882 2 Penalties and interest on tax bills 6, 296 10, 000 3, 704) Total Taxes $660, 180 $663, 882 3, ?02) Licenses and Permits Business licenses and permits: Food 1, 9 51 Malt 1, 167 Cigarette 1, 049 Heating 1, 016 V ehicle 998 Service station 668 Gas piping 480 Taxicab 471 Garbage haulers 335 Fire alarm 300 Burglar alarms 235 Bowling alley 220 All other business licenses permits 938 Total Business Licenses Permits 9, 828 6, 000 3, 828 Non-Business Permits: Building 22, 294 Electrical 18, 218 Plumbing 12, 003 Heating 7, 448 Sewer and water 3, 945 All other non-business permits 4, 037 Total Non-Business Permits 67, 945 51, 650 16, 295 Court Fines 44, 031 24, 000 20, 031 Grants Federal 1, 004 1, 004 Shared Taxes Sales $159, 873 $159, 873 Cigarette taxes 59, 313 58, 700 613 Liquor taxes 47, $72 44, 500 3, 372 Gaso].ine (State Aid Road Maintenance) 21, 210 20, 000 1, 210 Mortgage registry, mobile homes and bank excise 8, 371 6, 000 2, 371 Total Shared Taxes $296, 639 $289, 073 7, 566 -20- Exhibit 4 �ity o f Brooklyn Center Cont'd General Fund STATEMENT OF REVENUE ESTIMATED AND ACTUAL Year 1969 Actual Budget Over Under) A ctual E stimate E stimate Char�es for Current 5ervices Recreation 22, 571 23, 325 754) Sale of maps, assessment searches, etc. 1, 91I 1, 700 �11 Zoning and special use permits 1, 283 800 483 Platting fees 252 200 52 Total Char�es for Current Services 26, 017 26, 025 8) Char�es to Other Funds Engineering and clerical fees 220, 293 90, 000 130, 293 Public Utilities Fund (rent and administration) 12, 660 12, 660 Liquor Fund (heat and light) 660 660 Work order charges use of equipment 27, 024 16, 820 10, 204 Total Charges to Other Funds 260, 637 119,480 141, 15? Othe r Interest income 20, 440 4, 000 16 440 Civil Defense reimbursements 4, 348 4 q39 309 Rental of property 79? 797 Refunds and reimbursements 85, 159 76, 500 8 659 Police towing fees 1, 733 1, 300 433 Sale of property 96 96 Other income 1, 717 2, 200 483) Total Other 114, 290 88, 039 26, 251 Transfers In Municipal Liquor Fund 127, 151 127, 151 Total Revenue $1,$07, 722 $1, 395, 300 212, 422 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -21- 1969 Budget Appropriations Original Amendments Durin� 1969 1969 Budget Yncreases Decreases General Government Mayor and Council 37, 816 450 12, 500 Election voter registration 3, 912 1, 200 Finance Administrative Office 119, 885 3, 000 Assessor 24,231 3,000 Accounting internal audit 30, 042 Independent audit 5, 800 Z, 300 Legal 21,300 Charter Cornmission 1, 500 General government buildings 29, 530 Total General Government 274, 016 9, 950 12, 500 Public Safety and Welfare Police protection 338, 680 Fire protection 34, 773 Protective inspection 42, 806 1, 350 Civil defense 14, 469 Animal control 6, 000 2, 200 Regulations and inspections 8, 500 Nursing service 8, 882 Library building 13, 780 Total Public Safety Welfare$ 467, 890 3, 550 Hi�hways Engineering 109, 699 30, 000 Street department 232, 724 35, 000 Maintenance shop 45, 892 Street lighting 38, 000 Total Hi�hways 426, 315 65, 000 Recreation Parks Supervision of recreation 109, 921 Adult programs 11, 550 Summer playgrounds 22, 236 r Summer programs 23, 111 Fall and winter sports 17, 950 Park maintenance improvement 39, 160 39 494 Total Recreation 223, 928 39, 494 Grand Total $1, 392, 149 117 994 12, 500 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -22- I r City of Brooklyn Center Exhibit 5 General Fund STATEMENT OF EXPENDITURES, APPROPRIATION5 AND ENCUMBRANCES Year 1969 Expenditures and Encumbrances (Over Expended) Final 1969 Dec. 31, 1969 Under Expended 1969 Budget Expenditures Encumbrances Appropriations 25 ,766 15 ,743 10,023 5,112 4,640 472 122,885 119,T63 22 3,700 27,231 27,171 60 30, 042 29, 637 405 8,100 8,084 16 21,300 18,369 2,931 1, 500 1, 500 29, 530 28, 006 6 1, 518 271,466 250,813 28 20,625 338 680 31 211 4 056 9, 15, 413 34, 773 31, 583 590 2, 600 44,156 44,112 44 14 469 7 675 4, 848 1, 946 8,200 8,227 27) 8, 500 6, 376 2, 124 8,882 8,882 13,780 13,866 86) 471,440 439,932 9,494 22,014 139 134,020 100 5,579 267,724 258,874 3,982 4,868 45,892 49,326 52 3,486) 38, 000 37, 800 200 491, 315 480, 020 4, 134 7, 161 109,921 114,736 4,815) 11, 550 11 946 396) 22,236 I9,228 8 3,000 23, 111 27, 600 4, 489) 17,950 15,590 313 2,047 78,654 48,423 167 30,064 263, 422 237, 523 488 25, 411 $1,497,643� $1,408,288 14,144 75,211 -23- Total Encumbrancef� Total and Current Personal Expenditure.� Expense Services General Government Mayor and Council 15, 743 15, 743 11, 368 Elections voter registration 4, 640 3, 40q 2, 403 Finance Administrative Office 119, 185 117, 245 70, 867 Assessor 27,171 27,171 24,593 Accounting Internal Audit 29, 637 29, 637 29, 587 Independent Audit 8, 084 8, 084 8, 084 Legal 18,369 18,369 17,910 General government buildings 28, 012 23, 302 12, 006 Total General Government 250, 841 242, 960 176, 818 Public Safety and Welfare Police protection 323, 267 313 899 297, 074 Fire protection 32, 173 25, 501 21, 126 Protective inspection 44, 112 44, 112 42, 542 Czvil defense 12, 523 8, 344 4, 391 Animal control 8, 227 8, 227 8, 22? Regulations and inspections 6, 376 6, 376 6 376 Nursing 8, 882 8, 882 8, 882 Library building 13 866 13 866 6, 419 Total Public Safety Welfare 449, 426 429, 207 395, 037 Hi �hways Engineerin g 134, 120 133, 476 130, 376 Street department 262, 856 228, 023 190, 064 Maintenance shop 49, 378 48 916 Street lighting 37, 800 37, 800 Total Hi�hways 484, 154 448, 215 320, 440 Recreation and Parks Supervision of recreation 114, 736 112, 614 108, 579 Adult programs 11, 946 11, 946 6, 093 Summer playgrounds 19,236 19,236 17,269 Summer programs 27, 600 27, 600 19, 435 Fall and winter sports 15, 903 15, 903 14, 517 Park maintenance irnprovennent 48 590 19, 565 Total Re,creation 238, O11 206, 864 165, 893 Grand Total $1, 422, 432 $1, 327, 246 $1, 058, 188 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -24- City of Brooklyn Center Exhibit 6 !General Fund STATEMENT OF EXPENDITURE5 AND ENCUMBRANCES �LAS5IFIED A5 TO ACTIVITY, CHARACTER AND OBJECT� Year 1969 Current Expense Classification ,Capital Expenditures Contractual CapitalOutlay Classification Services Gommodities Other Expenditures I�,and Equipment 4, 375 9�5 101 1, 231 1, 231 19, 414 8, 575 18, 389 1, 940 1, 940 1, 543 464 571 50 459 8,174 3,122 4,710 4,710 30,495 12,161 23,486 7,881 4,710 3,171 5,694 7,028 4,103 9,368 9,368 2, 234 1, 13b 1, 005 6, 672 6, 672 1, 570 1,258 916 1,779 4,179 4,179 6, 621 826 15,807 9,906 8,457 20,219 20,219 2,615 485 644 644 36,309 1,650 34,833 34,83:3 1, 696 42, 681 4, 539 462 462 37, 800 39, 49b 81, 605 6, 674 35 939 35, 9�9 2,518 543 974 2,122 2,122 5, 8 53 1, 967 8,165 1,386 7,289 12,229 47 29,025 10,891 I8,134 9,807 30,143 1,021 31,147 10,891 20,256 95,605 $133,815 39,638 95,186 15,601 79,585 -25- Exhibit 7 City of Brooklyn Center Special Revenue Funds COIvIBINED BALANCE SHEET December 31, 19b9 Group Park Library Combined Poor Training Concessions Sales Total Fund Fund Fund Fund ASSETS Cash on hand and in depositories gq6 39 b3 880 14 Temporary investments 80, 697 1, 433 871 78, 393 Taxes receivable: Real estate and personal property: Levied during 1968, collectible during 1969 152 152 Prior years' levies 397 397 Contract receivable sale of library 85, 981 85, 981 Totals $168, 223 2, 021 63 1, 751 $164, 38$ LIABILITIES, RESERVES AND SURPLUS Vouchers payable 600 600 Unappropriated surplus (Exhibit 8) 167, 623 1, 421 b3 1, 751 $1b4, 388 Totals $168, 223 2, 021 63 1, 751 $164, 388 {5ee notes to financial statements) This statement is an integral part of report dated May 28, 1970. -26- i Exhibit 8 C ity of B rooklyn C ente r Special Revenue Funds COMBINED ANALY5IS OF CHANGES IN UNAPPROPRIATED SURPLUS Year 1969 Group Park Library Combined Poor Training Concession Sales Total Fund Fund Furid Fund Unappropriated surplus, Januarv 1, 1969 8, 651 6, 926 63 1, 662 -0- Add: Revenue (Exhibit 9) 207, 032 4, 412 4, 832 197, 788 Deduct: Expenditures .and encumbrances (Exhibit 9) 48, 060) 9, 917) 4, 743) 33, 40C1) Unappropriated Surplus, December 31 19b9 $167 623 1, 421 63 1, 751 $164, 388 See note s to financial statements This statement is an integral part of report dated May 28, 1970. i i _27_ Exhibit 9 City of Braoklyn Center Special Revenue Funds COMBINED STATEMENT OF REVENUE5 AND EXPENDITURES �ear 1969 Park Libraxy CCornbined Poor Concessions Sales Total Fund Fund Fund Revenue Sale of libra.ry $185, 505 $185, 505 General property tax special ad valorem levy 4, 191 4,191 Interest earned on contracts receivable 9, 590 9, 590 Concessions receipts 4, 832 4, 832 Tnterest earned on temporary investments 2, 914 221 2, 693 Total Revenue $247, 032 4, 412 832 $197, 788 Expenditure s Transfers to D�bt 5ervice Fund 33, 400 33, 40q Subsistence, care and support payment �4, 940 4, 940 Adzninistra�ive charge 4, 977 4, 977 Purchases for resale 3, 590 3, 590 Purchases of equipment 1, 153 1, 153 Total Expenditures 48, O60 9, 917 4, 743 33, 400 Excess of Revenue Over Expenditures $158, 972 5, 505) 89 $164, 38$ (See notes to financial staterr�Ents) i This statement is an integral part of report dated May 28, 1970. -28- G ombined Total A SSET S Ca,sh in bank 554 Taxes receivable 5, 884 Due from other funds 1, 846 Temporary investments 2, 603, 770 Monies on deposit with State of Minnesota 1, 469 Totals $2, 613, 523 LIABILITIES AND SURPLUS Due to other funds 5, 570 Contract payable 514, 825 Reserve for authorized expenditures (Exhibit 11) 2, 085, 92? Unappropriated surplus 7, 201 i Totals $2, 613, 523 i (See notes to financial stateznents) This statem.ent is an integral part of report dated May 28, 1970. -29- Exhibit 10 C ity of B rooklyn C ente r �apital Projects Funds i COMBINED BALANCE SHEET December 31, 1969 Municipal Certificates Certificates State Aid of of for Library Indebtedness Indebtedness Highway Capital Bonds #10 #11 Construction Projects 46 89 419 5, 884 1,846 1,859 716 378 438,701 2,162,116 1, 469 1,905 716 378 $442,105 $2,168,419, 4, 459 1, 111 514, 82 5 433, 44�# 1, 652, 4$3 1,905 716 378 4,202 1,905 716 378 $442,105 $2,168,419 -30- G ombined Total Reserve for Authorized Expenditures General obligation issues bonds sold during 1966 250, 000 bonds sold during 1969 2, z 50, 000 Certificates of indebtedness sold during 1966 44, 000 sold during 1967 9, 500 State aid for highways from 1968 and pxior years 369, 368 from 19b9 164,898 Transfers from other funds 3, 000 Interest on temporary investments 76, 172 Ad valorem taxes 200, 065 Sale of property 37, 543 Total Amount Appropriated $3, 40�4, 546 Less: Expenditures for authorized purposes: Year 1964 12, 779 Year 1965 197,074 Year 1966 61, 222 Year 1967 29, 483 Year 1.969 and Year 1968 5treet construction 100, 8�0 Civic center 154, 174 Municipal service building 617, 058 Parks and playgrounds 137, 562 Legal and vacating costs 1, 246 Total Expenditures $1, 311, 41$ Reserve for Authorized Expenditures December 31, 19b9 $2.085, 927 Unappropriated Surplus December 31, 1969 7, 201 S notes to fin nci 1 st temen s ee a a a t) This statement is an integral part of repprt dated May 28, 1970. -31- �I, Exhibit 11 City of Brooklyn Center Capital Pro,jects Funds COMBINED STATEMENT OF APPROPRIATIONS A,ND E�PENDITURES Year 19b9 Municipal Certificates Certificates 5tate Aid of of for Library Indebtedness Indebtedness Highway Capital Bonds #10 #11 Constxuction Projects $250,000 $2, 250, 000 44,000 9, 500 369,368 164,898 3,000 1,145 142 16 4,200 70 ,669 204, 065 37, 543 $251,145 44,142 9,516 $538 $2 ,561,277 12, 779 197, 074 30,863 30,359 7,278 13,067 9,�38 $100,820 154,174 617,058 137, 562 1, 246 $249,240 43,426 9,138 $100,820 908,794 $433, 444 $1, 652, 48� 1,905 716 378 4,202 -0- I -32- �ornbined Total ASSETS Cash on hand and in depasitories �76 Temporary investments 55, 116 Cash held by County Treasurer's office 966 Taxes receivable: Real estate and personal property: Levied in 1968 collectible in 1969 1, 599 Prior year levies 2, 664 Totals 60, 621 LIABILITIES AND SURPLUS Unappropriated surplus 60, 621 Totals 6 6 o, 21 (See notes to financial statements) This statexnent is an integral part of report dated May 2$, 1970. r -33- E�.ibit 12 City of Brooklyn Center Debt Service Funds COM$INED BALANCE 5HEET December 31, 1969 Certificates 1969 Building Park Library of Improvement B'onds �onds Indebtedness State Loan Bonds 96 65 17 qg 21,848 20,543 2,685 10,040 966 903 696 1,288 394 982 24,135 21,002 4,380 966 10,1.38 24,135 21,002 4,380 966 10,138 24,135 21,002 4,380 966 10,138 -34- C ambined Total Unappropriated Surplus, January 1 19b9 27 976 Add: Revenue Transfer from Library Sales Fund 33, 400 General property tax levies 55, 854 Bond proceeds to cover discount on xssue 30, 000 Inte re st on tempo rary inve stments 2, 119 Total Balance and Additions $149, 349 Deduct: Expenditures Princ�.pal paid 51, 000 Interest paid 37, 608 Service charges (paying agent) gg Write off tax levy balances 32 Total Expenditures 88, 728 Una�propriated Surplus, December 31, 19b9 60 b21 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -35- Exhibit 13 City of Brooklyn Center Debt 5ervice Funds COMBINED STATEMENT OF REVENUE, EXPENDITURES AND SURPLUS Year 1969 Certificates 1969 Building Park Library of Improvement Bonds Bonds Indebt edness State Loa� Bonds r 20 ,994 3,397 2,414 1,�71 33,400 31,454 23,170 1,230 30,000 1, 352 243 284 2�40 53,800 37,040 25,868 2,401 30,240 20, 000 10, 000 19, 600 1, 400 9, 593 6, 000 1, 878 35 20, 102 50 38 22 10 29, 665 16, 038 21, 488 1, 435 20, 102 24, 135 21, 402 4, 380 966 10, 138 -3b- All Funds Combined Bond Fund .ASSETS Total No. 1 Cash on hand and in depositories 1, 298 77 Temporary investments (Exhibit 30) 1 664 309 41, 148 Accounts receivable 2, 102 Due from other funds 264, 855 Assessments receivable: Future installments (principal) 4, 165, 640 26, 193 Delinquent assessments (principal interest) 143, 002 877 City General Fund (principal no interest charge)� 193, 880 Interest applicable to 1969 on installments due in 1970 23,190 Installments applicable to tax forfeit property 28, 948 128 Authorization to assess for construction in progresa 2, 313, 588 Cash held by paying agents for debt and interest 552, 313 18, 967 Totals $9, 353, 125 87, 390 LIABILITIES Vouchers and contracts a able 288 685 P Y Accrued expenses and costs r 56, 519 Due to other funds r� 376, 541 �5: Construction Ioans payable 2, 218, 000 Bonds and interest not redeemed (monies with paying agent): Bonds maturin Januar 1 1970 470 000 18 000 b Y Interest coupons maturing January 1, 1970 82, 313 967 Bonds payable future years (Exhibit 17) 4, 435, 000 38, 000 Total Liabilities $7, 927, 058 56, 967 Unappropriated surplus (deficit) for debt retirement (Exhibit 15) 863, 144 30, 423 Unexpended appropriations for construction (Exhibit 16) 562, 923 Totals $9, 353, 12 87, 390 (See notes to financial statements) This sta"tement is an integral part of report dated May 28, 1970, -37- City of Brooklyn Center Exhibit 14 5pecial Assessment Funds GOMBINED BALANCE SHEET December 31 19b9 1955 A 1956 AC 1956 B 1957 AB 1958 A 1958 B 1959 AB 1960 AB 1961 AB 1963 1965 1966 1968 1970 Fund Fund Fund Fund Fund Fund Fund Fund Fund' �Fund Fund Fund Fund Fund 28 13 46 92 31 54 88 17 ?8 6 33 57 82 596 139,116 156,496 12,125 93,642 121,495 179,682 152,018 255,131 214,648 126,155 29,753 26,031 116,869 2,102 39, 271 96, 513 32, 100 13, 141 12, 936 44, 836 26, 058 57,847 114,063 21,063 42,778 135,334 53,462 159,148 550,232 331,070 296,618 186,171 532,501 706,233 952,927 7, 540 8, 049 398 559 9, 184 642 2, 019 46, 887 37, 589 15, 944 1, 512 6, 721 5, 081 6,288 1,632 1,818 33,332 52,378 4,975 13,578 12,579 11,706 55,594 164 11,269 11,757 304 1,389 642 100 764 724 310 9,480 13,269 315 1,214 309 25, 792 2, 287, 796 18,934 28,b15 29,963 23,310 42,669 104,065 62,402 52,480 34,772 89,673 46,463 $230,057 $310,257 34,274 $137,171 $298,589 $257,874 $356,252 $1,038,579 $807,947 $528,593 $280,174 $706 $944,641 $3,334,728 46,125 242 560 19,878 18,657 56,519 2,682 92,444 242,880 2,218,000 17,000 25,000 25 000 20 000 35 000 8 5,000 50,000 45,000 30,000 75,000 45,000 1,934 3,616 4,963 3,310 7,669 19,065 12,402 7,480 4,772 14,673 1,462 102,000 155,000 225,000 170,000 315,000 855,000 640,000 400,000 225,000 600�,000 710,000 $120,934 $183,616 19,878 $254 $193,310 $357 977,722 $702,402 $455,162 $259,772 $689,673 $895,031 $2,759 10 23 26 9,1 1,641 34,274 117,293 43 ,626 64,564 1,417) 60,857 105,545 73,431 20,402 16 ,926 49,610 11,846 562, 923 $230,057 $310,257 34,274 $137,171 $298,589 $257,874 $356,252 $1,038,579 $807,947 $528,593 $280,174 $706 $944,641 $3,334,728 -38- MOEN PENTTILA Combined Bond Total Fund 1955 A 1956 AC 1956 B 1957 AB All Funds No. 1 Fund �'und Fund Fun.d Unappropriated Surplus January l, 1969 $744 ,672 27,870 $101,191 $117,7$8 32,521 $129,418 Add: Revenue 1969 Interest Assessments $222, 527 1, 778 3, 432 6, ?98 1, 321 3, 108 Interest Investments 91, 446 2, 806 8, 447 9, 412 437 4, 666 Revenue 1969 $313, 973 4, 584 11, 879 16, 210 1, 758 7, 774 Less; Expenditures 1969 Interest $173, 935 1 936 3, 868 7, 230 Agent charges 1, 687 95 78 127 5 21 Abatements (additions) 2 1 1 5torm sewer completion cost 19,877 19,877 Expenditures 1969 $195 501 2, 031 3, 947 357 5 19, 899 Unappropriated Surplus Decen�ber 31 1969 $863 144 30, 423 $109, 12� $126, 641 34, 27�4 $117, 293 See notes to financial statements This statement is an ir�tegral part of report dated May 28, 1970. -39- Exhibit 15 City of Brooklyn Center Special Assessment Funds COMBINED STATEMENT OF REVENUE, EXPENDITURES .AND UNAPPROPRIATED SURPLUS FOR DEBT RETIREMENT Year 1969 T958 A 1958 B 1959 AB 1960 AB 1961 AB 1963 1965 1966 1968 i97o Fund Fund Fund Fund Fund Fund Fund F�and Fund Fund $36,825 $56,823 $(6,237) $48,884 95,242 $60,605 $17,2p7 $16,935 9,600 9,325 3,643 $10,750 $37,38? 22,789 $20,586 $10,874 $31,723 $47,167 $11,846 7, 501 10, 771 9, 526 13, 034 32, 492 7, 329 1, 962 1, 931 1, 132 $16,826 $14,414 $20,276 $50,421 35,281 $27,915 $12,836 $33,654 $48,299 $11,846 9,925 6,620 $15,337 $38,130 24,805 $14 9,545 $33,395 8,184 100 53 118 319 174 128 96 268 105 1 1) 1) 1 0 25 6 673 15 456 38 448 24 978 15 089 9 641 33 663 8 28 $1 ,0 9 $43, $64 ,564 $(1,417) $60,857 $105,545 $73,431 $20,402 $16 $49 ,610 $11,846 -40- Projects Closed Durih� 1969 Appropriations (Note 2) Project Original (Added) Final �Vumber Description Appropriations Cancelled Appropriation 67-43 5treet 11, 870. 00 1, 958. 2I' 13, 828. 2� 68-2 Water 26, 314. 00 8, 642, 77) 17, 671. 23 68-3 Street 62 557 00 16, 3,86. 11) 46, 170. 89 68-4 Street 12, 229, 00 257. 74 12, 486. 74 68-6 Water 24, 362. 00 4, 798. 27) 19, 563. 73 68-7 Street 22, 033. 00 3, 550. 89) 18, 482. 11 68-8 Water 15, 765. 00 5, 166. 93) 10, 598. 07 68-9 Street 9, 490. 00 777. O1) 8, 712. 99 68-10 5treet 41, 803. 00 4, 758. 53 46, 561. 53 68-11 Street 11, 776. 00 478. 47) 11, 297. 53 68-12 Storm sewer 45, 909. 00 5, 274. 44) 40, 634. 56 68-13 Water 16, 931. 00 845. 43) 16, 085. 57 68-16 Water 26, 072. 00 6, 320. 35) 19, 751. 65 68-17 Street 17, 528. 00 238. 37) 17, 289. 63 68-24 Water 7, 949. 00 2, 717. 84) 5, 231. 16 68-25 Street 4, 397. 00 266. 13) 4, 130. 87 68-28 Street 8, 040. 00 4, 017. 77 12, 057. 77 68-30 Street 8, 820. 00 606. 64) 8, 213. 36 68-31 Water 68, 979. 00 19, 932. 74) 49, 046. 26 68-32 Street 55, 604. 00 11, 719. 59) 43, 884. 41 68-33 Water 39, 527. 00 6, 022. 64) 33, 504. 36 68-34 Street 27, 145. 00 2, 158. 75) 24, 986. 25 68-35 Water 6, 833. 00 2, 326. 00) 4, 507. 00 68-36 Street 2, 728. 00 43. 41 2, 771. 41 68-37 Water 25, 103. 00 2, 792. 90) 22, 310. 10 68-38 Street 9, 223. 00 1, 358. 21) 7, 864. ?9 68-39 Water 6, 549. 00 723. 14) 5, 825. 86 68-40 5anitary sewer 8, 912. 00 486. 20) 8, 425. 80 68-41 Street 214. 00 3, 001. 60 10, 215. 60 68-42 Water 31, 017. 00 4, 183, 85) 26, 833. 15 68-43 Street 20, 078. 00 3, 093. 11) 16, 984. 89 68-45 Wa.ter 29, 404. 00 2, 836. 97) 26, 567. 03 68-46 5treet 22, 416. 00 176. 15) 22, 239. 85 68-47 Street 745. 88 803. 67 1, 549. 55 68-48 Storm sewer 4, 825. 00 1, 054. 37 5, 879. 37 68-49 Sanitary sewer 5, 717. 00 185. 56 5, 902. 5b 68-50 Water 9, 269. 00 1, 518. 04) 7, 750. 96 68-51 Street 18, 089. 00 646. 68 18, 735. 68 68-52 Street 8, 528. 00 474. 17 9, 002. 17 68-53 Street 44, 835. 00 26$. 77) 44, 566. 23 69-61 Sanitary sewer 7, 130. 00 845. 17) 6, 284. 83 69-62 Storm sewer 5, 801. 00 261. 84) 5, 539, 16 69-66 Storm sewer 52, 774. 00 3, 781, 25) 48, 992. 75 69-75 Curb gutter 50, 000. 00 6, 483. 15) 43, 516, 85 i Total Projects Closed $942, 290. 88 109, 836. 41) $832, 454. 47 -41- City of Brooklyn Center Exhibit 16 Special Assessment Funds CONSTRUCTION EXPENDITURES COMPARED TO APPROPRIATIONS AND ASSESSMENT OF COSTS Year 1969 Expenditures (Note 2) Costs Assessed Assessed Compared to Cost �alance During Tota.l State Aid �ro�perty Under) Over Applied to Water 1/1 /1969 1969 Expenditures Share Share ,'Total Assessed Utility (Note 2) 12, 437. 34 1, 390. 87 13, 828. 21 13, 874. 73 13, 8Z4. 73 46, 52 18, 640. 17 968. 94) Y7, 671. 23 26, 950. 00 26, 950. 00 9, 278. 77 40, 001. 89 6, 169. 00 46, 170. 89 38, 753. 03 7, 415. 55 46, 168, 58 2. 31) -11, 583, 23 903. 51 12, 486. 74 121. 1-0 12, 365. 64 12, 486. 74 19, 747. 76 184. 03) L9, 563. 73 28, 342. 53 28, 342. 53 8, 778. 80 15, 623, 63 2, 858. 48 18, 482. 11 18, 482. 06 18, 482, 06 05) 10, 957. O1 358. 94) 10, 598. 07 12 740. 00 12, 740. 00 2, 141. 93 7. 534. 62 1, 078. 37 8, 712 99 8 700. 32 8, 700. 32 12. 67) 46, 318. 69 242, 84 46, 561. 53 41, 173. 25 5, 388. 27 46, 561. 52 Ol) 10, 608. 57 688. 96 11, 297. 53 1, 540. 10 9, 757. 44 11, 297. 54 O1 41, 289. 25 654 69) 40, 634: 56 40, 634.42 40, 634.42 14) 15, 821. 87 263. 70 16, 085. 57 32, 052. 43 32, 052. 43 15, 966. 86 19, 803. 44 51 79) 19 ?51. 65 35 960 00 35 960 00 16, 208. 35 15, 656. 24 1, 633. 39 17, 289. 63 17, 289. 46 17, 289. 46 17) 5, 206, 27 24. 89 5, 231. 16 6, 370. 00 6, 370. 00 1, 138. 84 3, 862. 13 268. 74 4, 130, 87 4, 130. 90 4, 130. 90 03 10, 832. 67 1, 225. 10 12, 057. 77 12, 057. 77 12, 057. 77 7, 303, 71 909. 65 8, 213, 36 8, 213, 43 8, 213. 43 07 48, 779. 48 266. 78 49, 046. 26 65, 834. 97 65, 834. 97 16, 788. 71 44, 970. 66 1, 086. 25) 43, 884. 41 43, 870. 04 43, 870. 04 14. 37) 34, 156. 58 652. 22) 33, 504. 36 40, 470. 00 40, 470. 00 6, 965. 64 20, 673, 95 4, 312, 30 24 986 25 24 986 64 24 986 64 39 5, 104. 87 597. 87) 4, 507. 00 5, 655. 80 5, 655. 80 1, 148. 80 2, 650, 68 120. 73 2, 771. 41 2, 771. 41 2, 771. 41 I 22, 622. 84 312. 74) 22, 310. 10 25, 312. 82 25, 312. 82 3, 002. 72 7, 885. 52 20. 73) 7, 864. 79 7, 864. 52 7, 864. 52 27) 5, 817. 34 8. 52 5, 825. 86 7, 928. 10 7, 928. 10 2, 102. 24 6, 466 96 l, 958. 84 8, 425. 80 8, 425. 69 8, 425. 69 11) i 3, 977. 21 6, 238. 39 10, 215. 60 10, 213. 61 10, 213. 61 1. 99) 26, 062. 47 770. 68 26, 833. 15 31, 850, 00 31, 850. 00 5, 016. 85 13, 335, 56 3, 649, 33 16, 984. 89 16, 985. 22 16, 985. 22 33 26, 156. 50 410, 53 26, 567. 03 38, 710. 00 38, 710. 00 12, 142. 97 21, 685. 94 553. 91 22, 239. 85 22, 072. 02 22, 072. 02 167, 83) 1, 468 29 81. 26 1, 549 55 1, 579 8 5 1, 579. 8 5 30. 30 5, 476. 50 402. 87 5, 879. 37 5, 879. 07 5, 879. 07 30) 5, 454. 71 447. 85 5, 902, 56 5, 902. 61 5, 902. 61 05 7, 274. 30 476. 66 7, 750. 96 25, 29b. 29 25, 296, 29 17, 545. 33 17, 121. 39 1, 614. 29 18, 735. 68 18, 735. 67 18, 735. 67 O1) 9, 330. 26 328. 09) 9, 002. 17 9, 002. 08 9, 002. 08 09) 41, 346. 62 3, 219. 61 44, 566. 23 44, 565. 80 44, 565. 80 43) 7, 034, 75 749. 92) 6, 284. 83 6, 284. 90 6, 284. 9� 07 5, 435. 98 103. 18 5, 539. 16 5, 539. 27 5, 539. 27 11 47, 618. 06 1, 374. 69 48 992 75 48, 992. 53 48, g92. 53 22) 41, 615. 84 1, 901. O1 43, 516. 85 43, 516. 52 43, 516. 52 33) $792, 851. 75 39, 602. 72 $832, 454. 47 81 587. 48 $868, 970. 38 $950, 557. 86 123. 42) $118, 226. 81 -42- MOEN PENTTILA Projects in Process 12/31/1969 Appropriated Expenditures Unexpended Project During During Balance Number Description 1969 1969 (Overexpended) 69-2 Water 4, 363. 00 3, 73$. 76 624. 24 69-3 Street 2, 525. 00 3, 070, 42 545. 42) 69-4 Water 25, 525. 00 24, 636. 32 888. 68 69-5 Street 21,401.00 8,286.b7 13, 114.33 69 Water 12, 962. 00 10 422 92 2 539 08 69-? Water 10, 870. 00 13, 303. 55 2, 433. 55) 69-g Water 18, 536. 00 16, 827. 78 1, 708. 22 69-9 Street 16, 575. 00 18, 160. 90 1, S$5. 90) 69-10 Water 23, 773. 00 22,471.20 1, 301.$0 69-11 Street 21 455 00 20, 768. 58 6$6. 42 69-12 Water 17, 908. 00 15, 634. 45 2, 273. 55 69-13 Street 13, 686 00 13 668.08 17. 92 69-1� Water 31, 950, 00 28, 071. 45 3, 878. 55 69-15 Street 19, 479. 00 17, 853, 41 1, 625. 59 69-16 Street 27, 910. 00 47, 424. 3p 19, 514. 30) 69-17 Curb and gutter 7, 800. 00 9, 463. 65 1, b63. 65) 69-18 Water 24, 493. 00 19, 726. 41 4, 766. 59 69-19 Street 22, 456. 00 21, 419. 97 1, 036. 03 69-20 Water 34, 525. 00 25, 378. 77 9, 146. 23 69-21 Street 26, 155. 00 27, 487. 6? 1, 332. 67) 69-22 Water 26, 060. 00 20, 685. 03 5, 374. 97 69-23 St'reet 21, 048. 00 20, 943. 43 104. 57 69-24 Water 6, 699. 00 7, 319. O1 620, 01) 69 -25 5tr,�et 6, 884. 00 8, 330. 05 1, 446, 05) 69-26 Water 14, 660. 00 12, ?84: 75 1, 875. 25 69-27 Street 11, 614. 00 14, 496. 60 2,$82. 60) 69-28 Water 9, 780. 00 8, 861. 85 918. 15 69-29 Street 7, 159. 00 8, 053. 02 894, 02) 69-30 Water 26, 20b. 00 21, 487 84 4 718. 16 1 69-31 Street 22, 500. 00 19, 638. ?2 2, 861. 28 69-32 Wa.ter 252, 586. 00 231, 944. 07 20, 641. 93 69-33 Sewer 17, 635. 00 16, 019. 16 1, 615. 84 69-34 Street 13, 949. 00 14, 798. 59 849. 59) 69-35 Curb and gutter 5, 520. 00 5, 712. 03 192. 03) b9-36 Sewer 221, 266. 00 200, 281. 00 20, 985. 00 69-37 Street 599, 920. 00 417, 868. 27 182, 051. 73 69-38 Curb and gutter 54, 330. 00 -0- 54, 330. 00 69-39 Sewer 472, 570. 00 429. 892. 13 42, 677. 87 69-40 Water 19, 171. OQ 17, 483. 74 1, 687, 26 69-41 Sewer 32, 354. 00 29, 404. 92 2, 949. 08 -43- �ity of Brooka.yn Center Exhibit 16 Special Assessment F'unds Cont'd CONSTRUCTION EXPENDITURES COMPARED TO �PPROPR�ATIOIV5 AND ASSESSMENT OF COSTS Pro.jects in Process 12/31/1969 Appro riated Ex enditures Une ended P p xp Proj ect During During $�lance Number Deacription 1969 1969 (Overexpended) 69�43 5txeet 33, 359. 00 29, 407, 14 3, 951. 86 69 T44 Curb and gutter 5, 040. 00 8, 324, 05 3, 284. 05) 69-�5 Sewer 71, 744. QO 64, 961. 50 6, 782. 50 69-46 Street 46, 064. 00 44, 570. 11 1, 493. 89 69-47 Curb and gutter 9, 066. 00 8, 905. 23 160, 77 69-48 Street 8, 000. 00 10, 475. 76 2, 475. 76) 69-49 Curb and gutter 6, 509. 00 7, 602, b3 1, 093. 63) 69-51 Street 245, 645. 00 148, 628. 03 97, 016. 97 69-52 Curb and gutter 23, 060. 00 -0- 23, Q60, 00 69-53 Water 30, 652. 00 28, 013. 00 2 639 00 69-54 Sewer 46, 421. 00 42, 166. 60 4, 254. 40 �9-55 Sewer 43, 387. 00 39, 638. 49 3, 748, 51 69- 56 Street 111, 339. 00 14, 2'70, 3? 97, 068. 63 69-57 Curb and gutter 21, 860. 00 -0- 21, 860, 00 69-58 Sewer 5, 094. 00 640. 63 453.3? 69-6p Water 8, 463. 00 7, 811. 09 651. 91 69-63 Street 7, 943. 00 7, 603. 20 339. 80 69-64 Water 17, 549. 00 15, 312. 70 2, 23b. 30 69-50 Street 14, 524. 00 14, 313. 40 210. 60 69-6? Street 25, 892. 00 30, 146, 35 4, 254. 35) 69-6$ Sewer 494. 00 5, 003. 12 490. 88 69-69 Sewer 6, 768. 00 6, 117. 00 651. 00 69-70 Water 10, 237. 00 7, 957. 44 2, 279, 56 69-71 Street 3, 617. 00 3, 167. 34 449. 66 69-72 Sewer 23, 819. 00 23, 167. 99 b51. O1 69 -73 Water 12, 406. 00 11, 477. 25 928. 75 69-74 Sewer 9, 365. 00 9, 976. 99 611. 99) Unallocated costs 49, 174. 74 49, 174. ?4) Unex ended A ro riations for P PP P Construction (To Exhibit 14) $3, 079, 575. 00 $2, 516, 651. 62 $562, 923. 33 (See notes to financial statements) This statement is an integral part of report dated May 28, 1974. -44- B ond Redemption Year caf Total Monies to Fund Description of Issue Issue Issue Pavin� A�ent -Bond Fund 1 5torm Sewe r#1 serial issue 1952 304, OOD 272, 000 Sanitary Sewer #1 serial issue 1952 48, 000 42, 000 1953 B serial issue 1953 55, 000 55, 000 1955 A 1955 A serial issue 1955 497, 000 395, 000 1956 AC 1956 C serial issue 1956 550, 000 395, 000 1957 AB 1957 A serial issue 1957 430, 000 430, 000 1957 B serial i,ssue 1957 350, 000 350, 000 1958 A 1958 A serial issue 1958 530, 000 305, 000 1958 B 1958 B serial issue 1958 390, 000 220, 000 1959 AB 1959 AB serial issue 19b0 b30, 000 315, 000 1960 AB 1960 A serial issue 1960 768, 000 408, 000 1960 B serial issue 1961 885, 000 390, 000 1961 AB 1961 A serial issue 1962 595, 000 235, 000 1961 B serial issue 1963 43Q, 000 150, 004 1963 Fund 1963 A serial issue 1964 636, 000 236, 000 1965 Fund 1965 A Improvement bonds 1966 345, 000 120, 000 i 1968 Fund 1968 Improvement bonds 1968 ?50, 000 150, 000 1969 Fund 1969 Improvement Funds 1969 755, 000 45, 000 $8,948,000 $4,513,000 (See notes to financial statements) This statexnent is an integral part of report dated May 28, 1970. i -45- Exhibit 17 City of Brooklyn Center Special Assessment Funds $TATEMENT OF LONG-TERM DEBT (PRINCIPAL AMOUNT OUTSTANDING) December 31, 1969 Balance Last Unpaid Installment 12-31-69 Due on Goupon Rates on Outstandin� Bonds 32,000 �-1-72 3.50% 6,000 1-1-73 3.20 1-1-69 3.30 102,000 1-1-76 3,25 155, 000 1-1-?7 3. 90 1-1-67 4.00 1-1-67 4.50 225, 000 1-1-79 175 M Q 4.00%; 75 M@ 3. 90%; 25 M.@ 3. 60% 170, 000 1-1-79 90 M� 3. 60%; 60 M� 3, 50%; 60 M� 3. 20% 315, 000 1-1-81 185 M Q 4. 50%; 200 M(� 4. 25% 360, 000 1-1-81 90 M@ 4. 50%; 350 M� 4. 20% 495, 000 1-1-81 315 M� 4. 20%; 180 M@ 4. 10%; 90 M@ 4. 00% 360, 000 1-1-82 150 M@ 3. ?5%; 120 M(�3. 70%; 120 M@3. 40%; 30 M@3. 00% 280, 000 1-1-84 100 M@ 3. 70%a; 120 M Q3. 60%; 80 M�3. 30%; 20 M@2. 80% 400, 000 1-1-85 75 M@ 3. 60%; 80 M@3. 50%; 90 M Q3. 40%; 245 M@3. 20% 225, 000 1-1-86 110 M� 3. 80%; 175 M Q3. 70% 600, 000 1-I-88 225 M@4, 00%; 210 M Q4.20%; 165 M�A4. 50%; 1Q0 M@4. 70%; 50 M @4. 80% 710, 000 1-1-89 6. 50% on all bonds $4, 435, 000 -46- ASSET5 -Current Assets Cash on hand and in de ositories 28, 094 P Temporary investments 71, 894 Miscellaneous receivables (net) 101 Due from other funds 93 Cash held by paying agent revenue certificate account (Note 3) 15, 956 Merchandise inventory (valued at cost) 128, 982 Prepaid expenses 2, 555 Total Current Assets $247, b75 Fixed Assets Provision for Depreciation Boak Cost Amortization Value Fixture s and Equipment Lyndale Avenue Sto re $11, 420 $11, 369 51 Osseo Road Store 20, 808 17, 580 3, 228 Brookdale Store 10, 935 9, 622 1, 313 Leasehold Improvements Brookdale Store (Note 4) 16, 779 16, 779 $59, 942 $55, 350 Total Bpok Value of Fixed Assets 4, 592 Total Assets $252, 2b7 (5ee notes to financial statements) This statement is an integral part of report dated May 28, 1970. -47- Exhibit 18 City of Brooklvn Center Municipal Liquor Fund BALANCE SHEET December 31, 1969 r LTABILI'TIE5 AND 5URPLU5 Current Liabilities Accounts payable 56, $O1 Accrued sales tax payable 108 Accrued interest payable on revenue certificates 956 Accrued insurance payable 217 Accrued wages payable 1, 343 Due to othe r fund s 2, 13 5 Certificates payable portion due within one year see below) 15, 000 Total Current Liabilities 76,560 Lon�-Term Liabilities Revenue certificates payable (Exhibit 21) $45, 000 Less: Portion due within one year (as above) 15, 000 $30, 000 Contract payable 900 Total Long-Term Liabilities 30, 900 Total Liabilities 107 460 5urplus (Exhibit 19) Restricted per terms of resolution authorizing the issuance of revenue certificates (Note 3) $16, 275 Undistributed surplus 128, 532 Total Surplus 144, 807 Total Liabilities and Surplus $252, 267 r i t -48- r Exhibit 19 G ity of B rooklyn C ente r Municipal Liquor Fund ANALY5IS OF CHANGES IN 5URPLUS Year 1969 Surplus, January 1, 1969 96, 074 Add: Net income (Exhibit 20) 175, 884 Balance and Additions $271, 958 Deduct: Transfers to other Funds General Fund 127, J.51 Surplua, December 31, 1969 (To Exhibit 18) $144, 807 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. i _49_ Sale s Less: Cost of sales Gross Mar�in on Sales O eratin Ex enses Re uirin Funds P P q Salaries and wages Rent (Note 4) Utilities and heat Insurance Payroll taxes Supplie s Repairs and maintenance Auditing Protection service T e lephone Laundry Inventory variance and adjustments 1Vlileage Provision for bad checks (net of recoveries) Taxes and licenses Miscellaneous Breakage Cash (over) and short Total Operating Expenses Requirin� Funds Net Operatin� Income Before Depreciation and Amortization Less: Depreciation and amortization of leasehold irnprovements i Net Ope rating Income Add: Interest on temporary investments and miscellaneous income Deduct: Interest and paying agent charges on revenue certificates Net Income Exhibit 19 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -50- r Exhibit 20 City of Brooklyn Center M.unicipal Liquor Fund STATEMENT OF INCOME AND EXPENSE Year 1969 C ombined 1 #2 #3 To�al Lyndale Ave, Osseo Road Brpokdale All Stores Store Store Store $1, 247, 329 $331, 343 $516, 956 $399, Q30 941,201 253,057 392,259 2q5,$85 306,128 78,286 $124,697 $103,145 87,049 25,093 34,b95 27,26i 12,309 12,309 6,126 1,157 2,503 2,4b6 5,232 1,357 �,288 1,587 5, 824 1, 780 2, 258 1, 786 3,018 788 1,284 946 1, 194 442 462 290 r 1,090 28? 470 333 804 174 240 390 664 223 221 220 750 101 41,4 235 4�49 105 139 205 280 94 94 92 531 116 185 230 149 50 50 49 67 22 23 22 5 4 1 323 69 170 84 125,864 31,862 45,497 4$,505 180,264 46,424 79,200 54,640 2, ?46 35 1, 612 1, 099 177, 518 46, 389 77, 588 53, 54I -r- 303 1 175, 884 -51- Interest Revenue Certificates Principal Certificate Coupon Outstanding Retired butstanding Numbers Rate 1-1-69 1969 12-31-69 81-95 4. 25 $15, 000. 00 $15, 000. 00 2 96 -110 4. 5 15, 000. 00 $15, 000. 00 11�-125 4.25 15,000.00 15,.000.00 126-140 4. 25 15, 000. 00 15, 000, 00 $60, 000. 00 $15, 000. QO $45, 000. 00 General Provisions of Issue A. Obligations are payable solely from net operations of the Municipal Liquor Stores and are in no way a general tax liability of the City. B, All certificates share on a parity basis in total r�et revenue of all store s C: All certificates which mature after January 1, 1968,are subject to redemption (call) in inverse numerical order on January 1 1965 or any interest payment date thereafter upon payment as follows: 1. If redeemed prior to January 1 1968 at par ($1, 000) plus accrued interest, plus premium of $30. 00 on each certificate redeemed. 2. If redeemed on or after January 1, 1968, at par plus accrued interest. D. Pursuant to terms of the resolution authorizing and directing issuance of certificates, certain covenants require a restriction of suxplus available for transfer and the periodic setting aside` of funds to meet principal and interest maturities. (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. 52- City of B rooklYn C ente r Exhibit 21 Municipal Liquor Fund STATEMENT OF LONG-TERM DEBT December 31 1969 Revenue Certifi.cates Interest Coupons Dates of Outstanding Retired =Outstanding Maturity 1-1-69 1969 T2-31-69 1-1-69 1, 275. 00 1, 275. 00 7-1-69 956.25 956.25 1-1-70 956.25 956.25 7-1-70 637, 50 637. 50 1-1-71 637. 50 637. 50 7-1-71 318.75 318.75 1-1-72 318.75 318.75 5, 100. 00 2, 231. 25 2, 868. 75 -53- ASSETS AND OTHER DEBITS Plant, Eguipment and Construction Funds (Note 6) Mains Lines 9, 818 796 Structures 442,065 Equiprnent 2$3, 565 Meters 197, 741 Land 18,821 Construction work in progress -(financed through bond issue): Water mains $598, 331 Freeway crossings 26, 809 Water tank site 5 993 631 133, Total Construction in Pro�ress (Note 5) Construction funds (unexpended bond proceeds): Investments $520, 672 Cash in checking account 584 Total Constr.uction Funds (Note 5) 521, 256 Total Plant, Equipment and Construction Funds $11, 913, 37? Invested and 5peciatl Funds Investments $862, 548 Deferred assessments receivable 89, 806 Debt retirement funds (Note 5): Cash with paying agent 43, 075 Cash in account 7, 738 Investments 133, 000 Accrued interest receivable 2, 441 186, 254 Total Invested and Special Funds 1, 138, 608 Current and Accrued Assets Cash in account 2, 291 Accounts receivable 66, 479 Accrued revenue (pumped but not billed) 42; 544 Materials and supplies 13, 947 Prepayments 2, 086 Due from other funds 10, 390 Assessments receivable 6, 382 Total Current and Accrued Assets 144, 119 Tot 1 Assets h D a and Ot er ebits $13 196 104 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -54- City of Brooklyn Center Exhib�t 22 Public Utilitie s Fund BALANCE SHEET ,December 3�, 1969 TOTAL LIABILITIE5 AND OTHER CREDIT5 •Lon�-Term Debt Revenue bonds payable (see Exhibit 27) (Note 5) 875, 000 Contracts payable (see Exhibit 27) 691,424 Surplus and Reserves Invested in Fixed Assets From special assessment projects and contractors $9� 170, 933 Debt redeemed 190, 358 5urplus accumulated for construction 152, 389 Plant and equipment charged to income 127, 428 Depreciation provisions represented as investment in plant (Note 6) 705, 845 Total Surplus and Reserves Invested In Fixed Assets 10, 346, 953 Total Invested in Plant, Equipment and Construction Funds $11, 913, 377 Reserves Depreciation provisions represented as not invested in plant (Note 6) 382, 443 Debt service reserves (Note 5) 143, 182 Customer meter deposits held 195, 363 Reserve funds held by paying agent for: (Note 5) Revenue bond principal $�5, 0.00 Revenue bond intexest coupons 18, 075 43, 075 Total Reserve Balances 764, 063 Current and Accrued Liabilities V oucher s payable 34 949 Contracts and notes payable 37, $97 Accrued salaries payable 739 Accrued payroll taxes (PERA) 843� Due to other funds 3, 261 Meter deposits due (transfers) 124 Total Current and Accrued Liabilities ?7 813 Balance of Retained Eaxnin�s (see Exhibit 23) 440, 851 Total Liabilities and Other Credits $13, 196, 104 55- Exhibit 23 �ity of Brooklyn Center Fublic Utilitie s Fund STATEMENT OF OPERATIONS AND EARNE�D SURPLUS Year 1969 Water Sewer Department Department Total Operatin� Income Residential sales $209, 039 $103, 584 $312, 623 Commercial sales 97, 539 42 965 140, 504 Other governmental unit sales 60 947 60 947 Service hookup charges 23, 101 23, 101 Penalties 592 4, 600 5, 192 Other (permits, ser�vice charges, etc. 4, 371 1, 501 5, 872 Gross Revenue $334, 642 $213, 597 $548, 239 Less Operatin� Revenue Deductions Operating expense (Exhibits 24 25) 87 693 $14b 692 $234, 385 Depreciation (Exhibit 26) 65, 492 86, 437 151 929 Total Operatin� Revenue Deductions $153, 185 $233 129 $386 314 Net Operatin� Income $181, 45? 19, 532) $161, 925 Add: Extraneous Income Interest income on monies invested 54, 860 Deduct: Income Deductions Interest on long-term debt 59, 370 Redem.ption of debt 41, 0$7 Total Income Deductions 100, 457) In me Av il ble fo Tr nsfer to Retained Earnin s Net co a a r a $116, 328 Retained earnings January 1, 1969 328, 173 Amounts transferred from surplus to debt service reserves 3, 650) Balance of Retained Earnin s, December 31 1969 To Exhibit 22 440 851 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -56- Source of 5 up.Ly Labor 7, 336 Electricity 14, $41 Purification s�pplies 6, 662 Materials 1, 123 Rent administration Equipment operation 494 Payroll taxes Insurance Supplie s 1, 199 Postage Fuel heating 817 Consulting fees Refunds customer P rinting 6 5 Fuel Equipment Schools conferences Equipment rental 42 Small tools 118 Repairs 54 Other Mileage Refunds of penalties Totals 32, 751 (5ee notes to financial statements) This statement is an integral part of report dated May 28, 1970. 57- Exhibit 24 City of Brooklyn Center Public Utilitie s Fund WATER DEPARTMENT OPERATING EXPENSES Year 19b9 Classification By Function Custom.er Department Transmission Administration Accountin� Total 6, 607 18, 765 9, O61 $�i, 769 14, 841 6,662 1,269 1,324 3,716 6, 330 6 330 66 863 138 1, 561 3,248 3,248 1, 512 1, 512 30 63 3 1,295 15 2,416 2,431 817 625 625 612 612' 278 482 825 533 533 487 487 6 48 16 81 215 54 42 42 55 55 15 15 ,994 34,848 12,100 87,693 -58- Disposal Pumpin� Shared cost joint facilities Minneapolis 95, 230 Crystal 3, 744 Labor 5, 250 Rent administration Eleetricity 5, 279 Equipment operation 92 Payroll taxe s Materials 565 Insurance Po stage Consulting fees Fuel equipment Printing Supplie s 13 9 Repairs stations mains 130 Fuel heating 143 Equipment rental 24 Alarm system 157 Small toals Refunds Mileage Schools conferences Totals $110, 753 (See notes to financial statements) This statement is an integral part of report da�ed May 2$, 1970. -59- I ity of B ro oklyn C ente r Exhibit 2 5 P.ublic Utilities Fund i SEWER DEPARTMENT OPERATING EXPENSES Year 19b9 Classification By Function Custome r Department Transmission Administration Accountin� Total 95, 230 3 744 6, 110 9, 908 3, 972 25, 240 6,330 6,330 5, 279 853 138 1,083 1,965 1,965 1, 069 1, 634 1, 500 1, 500 15 908 923 462 462 533 533 53 28 81 38 35 212 349 479 143 231 8 263 22 179 16 6 22 1,283 1,283 56 56 i 51 5]. 7, 813 23, 080 5, 04b $146, 692 60 Assets Balance Balance 1-1-69 Additions 1�2-31-69 Water Department Mains and lines $3, 215, 162 594, 108 809, 270 Stxuctures 403, 206 38, 859 442, 065 Consumer meters in use 169, 067 28, 674 197, 741 Equipment 269, 859 3, 676 273, 535 Total Water Department $4, 057, 294 665, 317 722, 611 Sewer Department Mains and lines $5, 626, 115 383, 411 $6, 009, 526 Equipment 10, 030 10, 030 Total Sewer Department $5 636 145 383, 411 $6, 019, 556 Total Water and Sewer Departments $9, 693, 439 $1, 0,48, 728 $10, 742, 167 (See notes to financial staternents) This statement is an integral part of report dated May28, 1970. -61- Exhibit 26 Citv of Brooklyn Center Public Utilitie s Fund 5UMMAR Y 5TATEMENT OF PLANT AND PROPERT Y AND PROVISION FOR DEPRECIATION December 31, 1969 Provision for Depreciation $alance Balance Depreciable 1-1-69 Additions Ded'ns 12-31-69 Life (Years) $206,350 31,361 ;237,711 100 104, 267 13, 440 117, 707 30 46,343 8,761 55,104 20 '77, 787 11, 930 5, ?41 83, 976 5, 10, 20, 25 $434,747 65,492 5,741 494,498 $499 ,305 85,855 585,160 100, 45, 50 8, 048 582 8, 630 $507,353 86,437 593,790 $942,100 $151,929 5,741 $1,088,288 -62- Revenue Bonds Payable P rincipal Inte re st Year Certificate Interest Outstanding Coupons Out- of Numbers Rate 12 -31-69 standing 12-31-69 Maturity 21-25 3. ?5%0 25, 000. 00 34, 368. 75 1970 26-31 3. 75 30, 000. 00 33, 337. 50 1971 32-37 3. 75 30, 000. 00 32, 212. 50 1972 38-43 3. 75 30, 000. 00 31, 087. 50 1973 44-49 3. ?5 30, 000. 00 29, 962. 50 1974 50-55 3. ?5 30, 000. 00 28, 837. 50 1975 56-61 3. 90 30, 000. 00 27, 690. QO 1976 62-68 3. 90 35, 000. 00 26, 422. 50 1977 6g-75 3. 90 35, 000. 00 25, 057. 50 1978 76-82 3. 90 35, 000. 00 23, 692. 50 1979 83-89 3. 90 35, 000. 00 22, 327. 50 1980 90-96 3.90 35,000.00 20,962.50 1981 97-104 3. 90 40, 000. 00 19, 500. 00 1982 105-112 3.90 40,000.00 17,940.00 1983 113-120 3,90 40,000.00 16,380.00 1984 121-128 3.90 40,000.00 14,820.00 1985 129-137 3.90 45,000.00 13,162,50 1986 138-146 3. 90 45, 000. 00 11, 407. 50 1987 147-155 3. 90 45, 000. 00 9, 652. 50 1988 156-164 3.90 45,000.00 7,897.50 1989 165-173 3. 90 45, 000. 00 6, 142 50 1990 174-182 3. 90 45, 000. 00 4, 387. 50 1991 183-191 3. 90 45, 000. 00 2, 632. 50 1992 192-200 3. 90 45, 000. 00 877. 50 1993 1994 1995 $900,000.00 $460,758.75 (See Exhibit 22) -63- Exhibit 2 7 Citv of Brooklvn Center Public Utilities Fund �TATEMENT OF LONG-TERM DEBT (�ONDS PAYABLE CONTRACT5 PAYABLE) I)ecember 31, 19b9 Contract PaYable Sanitary 5ewer Facilities (Installments Payable Quarterly) Principal Intexest Installment Interest Outstanding Included in Number Rate 12 -31-69 Installment I 17 3 1/2°jo on balance �4, 110. 24 6, 049. 76 18-21 3 1/2% on balance 16, 802. 95 23, 837. 05 22-25 3 1/2% on balance 17, 398. 82 23, 241. 1$ 26-29 3 1/2% on balance 18, 015. 82 22, 62�4. 18 30-33 3 1/2% on balance 18, 654 69 21 985. 31 34-37 3 1/2% on balance 19, 316. 24 21, 323, 76 38-41 3 1/2% on balance 20, 001. 23 20, 63$, 77 42-45 3 1/2% on balance 20, 710. 50 19 929. 50 I 46-49 3 1/2% on balance 21, 444. 95 19, �95. 05 50-53 3 1/2% on balance 22, 205. 43 18, 434. 57 54-57 3 1/2% on balance 22 992 87 17, 647. 13 58-61 3 1/2% on balance 23, 8Q8. 25 16, 831. ?5 i 62-65 3 1/2% on balance 24, 652. 55 15, 987. 45 i 66-69 3 1/2% on balance 25, 526. 77 15, 113. 23 70-73 3 1/2% on balance 26, 432. 00 14, 208. 00 74-77 3 1/2% on balance 27, 369. 34 13, 270. 66 78-81 3 1/2% on balance 28, 339. 91 12, 300. 09 82-85 3 1/2% on balance 29, 344. 90 11, 295. 10 86-89 3 1/2% on balance 3Q, 385. 53 10, 254. 47 90-93 3 1/2% on balance 31, 463. 07 9, 176. 93 94-97 3 1/2% on balance 32, 578. 81 8, 061. 19 98-101 3 1/2% on balance 33, 734. 13 6, 905. 87 102-105 3 1/2% on balance 34, 930. 41 5, "109. 59 106-109 3 1/2% on balance 36, 169. 11 4, 470. 89 110-113 3 1/2% on balance 37, 451. 74 3, 188. 26 114-117 3 1/2% on balance 38, 779. 86 1, 860. 14 118-120 3 1/2% on balance 28, 803. 92 495. 26 $691 424. 04 $364, 035. 14 (See Exhibit 22) -64- General provisions of issue: A. Obligations are payable solely from net operations of the Public Utilities and are in no way a general tax liability of the City. B. All bonds which mature on January l, 1982 or thereafter are subject to redemption (call) on January 1, 1974, or any interest payment date thereafter in inverse numerical order, at par and accrued interest and premium as follows: 1. If redeemed prior to January 1, 1977, premium of 3 �o 2. If redeemed January 1, 1977, or thereafter prior to January 1, 1981, premium of 1-1 /2%. 3. If redeemed January 1, 1981, or thereafter, no premium. C. The resolution authorizing and directiz�g the issuance of these bonds contains certain covenants and rest"rictions enacted for the general purpose of protecting the bondholders. Paragraph 8 of the resolution provides for the segregation of assets and the restriction of surpluses for debt retixement purposes and defines the manner in which the activities of the Public Utilities Fund will be accounted for. Note 5 of "Notes to Financial Statements" refers to various accounting requirements in more detail and should be referred to. e (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -65- Exhibit 27 City of Brooklyn Center Cont'd Public Utilities Fund STATEMENT OF LONG-TERM DEBT (BONDS PAYABLE CONTRACTS PAYABLE) December 31, 1969 General provisions of contract: A. On November 10 1966 the City entered into an agreement with the City of Minneapolis relating to the use and joint ownership of sewer facilities. Under the terms of this contract the City of Brooklyn Center has acquired an equity in existing facilities at a total cost of $884, 210. B. The contract is payable in quarterly installments of $10,160 which includes inter.est at 3 1/2°jo per annum. -66- r r ASSETS Cash on hand and in depositories Temporary investments Accrued revenue PERA contributions due from enterprise funds Taxes receivable: Levied in 1968 collectible in 1969 Prior years' tax levies Total Assets LIABILITIES AND FUND BALANCES Accounts payable Due to other funds Fund balances (See Exhibit 29) Total Liabilities and Fund Balances (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -67- Exhibit 28 City of Brooklyn Center Trust and A�ency Funds COMBINED BALANCE SHEET December 31 1969 A�ent For In Tru�t Fire Public Department Employees' Police C ombined Relief Retirement Pension Total A s sociation A s sociation Fund 24,600 441 24,159 117, 548 548 117, 000 3, 274 3, 274 1, 304 1, 304 4, 490 1, 081 1, 817 1, 592 1,922 322 1,535 65 $153,138 1,403 5,645 $146,090 5, 726 5, 726 17,500 17,500 I 129,912 1,403 (17,581) $146,090 $153, 138 1, 403 5, 645 $1�46, 090 r -68- F B 6 und alance January 1 19 9 Add: Revenue Real estate and personal property taxes Insurance premium rebate PERA contributions frorn enterprise funds: Liquor stores Public Utility Fund Employee contributions Earnings on temporary investments Balance and Additions Deduct: Expenditures Payments to principal of agency Write off tax levy balances Fund Balance December 31, 1969 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. r -b9- C ity of B rooklyn C ente r Exhibit 29 Trust and A�ency Funds COMBINED STATEMENT OF REVENUE, EXPENDITURES AND FUND BALANCES Year 1969 Fire Public Department Employees' Police Combined Relief Retirement Pension Total Association Association Fund 91,091 801 17,451 72,839 154 242 37 328 63 438 53 476 9,417 9;417 5,088 5,088 4,646 4,646 13,982 13,982 6, 341 548 5, 793 $284,807 47,546 91,171 $146,090 154, 872) 46, 136) 108, 736 23) 16 $129, 912 1, 403 17, 581) $146, 090 i i _�o_ Exhibit 30 C ity of B rooklyn C ente r Inve stment T rust Fund BALANCE SHEET December 31, 1969 A55ETS Cash in depositories 7, 554 Accrued interest receivable 100, 331 Inve stment s: Face Premium or Cost Value (Discount) Basis U. S, government securities $1, 340, OOD 46) $1, 339, 954 Brooklyn Center securities 26, 800 31 26, 831 Construction loan certificates 2, 218, 000 2, 218, 000 Total Investments $3, 584, 800 15) 3, 584, ?85 Total Assets $3, 692, 670 LIABILITIES Due contractors (Performance deposits) 30, 331 Unclaimed cagh (Law enforcement activities) 1$ Due participating funds: Special Assessment Funds $1 664 30� Library sales 78, 393 General Fund 417, 543 Poor Fund 1, 433 Certificate of Indebtedness Fund 2, 684 Public Employees Retirement Association Fund 549 Park Board Redemption Fund 21, 848 i Liquor Fund 71, 894 Public Utilities Fund 862, 548 State Aid Construction Fund 438, 701 Bond Fund 81, 005 Bond Redemption Library 20, 543 Park Concession 871 Total Due to Participatin� Funds (5ee Exhibit 32) 3, 662, 321 Total Liabilities $3 692 670 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -71- Exhibit 3I C,ity of Brooklyn Center Inve stment T rust Fund STATEMENT OF EARNINGS Year 1969 Interest Income United 5tates government securities 83, 080 Construction loans 79, 811 Brooklyn Center securities 1, 847 Total Interest Income 164 738 Expenses Audit 402 Net Income Distributed to Participatin� Funds $164, 336 Explanation The Investment Trust Fund was established during 1956 to provide a uniform and consistent means for investing temporary surpluses of cash. Net income of the fund is distributed annually to each of the participating funds on the basis of the average yearly investment maintained by each fund. The net income and the effective rate of return on average investment by participating funds is shown below by years. Rate of Net Year Return Income 1969 5. 9�% $164, 336 1968 5. 20 115, 880 1967 4.48 85,267 1966 4, 66 80, 884 1965 3,80 61,913 1964 3.64 48,367 1963 3. 18 45, 056 1962 3. 17 61, 129 I961 3. 05 55 939 1960 3. 62 57, 908 1959 3. 27 33, 494 1958 2.62 14,835 1957 3.12 9,938 1956 2.77 1,832 Total Distributed Earnings Since Inception of the Fund $836, 778 I (See notes to financiaZ statements) This statement is an integral part of report dated May 28, 1970. 'I -72- Exhibit 32 G ity of B rooklyn C ente r Investment Trust Fund CHANGES IN PARTICIPATING FUND BALANCES Year 1969 Balance Net Fund Income of Balance January 1, Additions 1969 December 31, 1969 (Withdrawals) Distributed 1969 Special Assessment Funds Sond Fund No. 1 45, 940 7, 600) 2, $08 41, 148 1955 A 141 11,300) 8,447 139,116 1956 AC 157, 484 10, 400) 9, 412 156 496 195b B: 6, 288 5, 400 437 12, 125 1957 AB 76, 576 12, 400 4, 666 93, 642 1958 A 124, 994 11, 000) 7, 501 121, 495 1958 B 182,211 13,300) 10,771 179,682 1959 AB 157, 893 15, 400) 9, 525 152, 018 1960 AB 196, ?87 45, 310 13, 034 255, 131 1961 AB 195, 656 6, 500 12, 492 214, 648 1963 A 113, 326 5, 500 7, 329 126, 155 1965 A 25, 591 2, 200 1, 962 29, 753 1966 A 1, 239 22, 862 1, 930 26, 031 1968 438 115,299 1,132 116,869 Total Special Assessment Funds $1, 426, 392 146, 471 91, 446 $1, 664, 309 Library Sales 75, 700 2, 693 78, 393 General Fund 315, 394 81, 767 20, 382 417, 543 Poor Fund 7, 312 6, 100) 221 1, 433 Certificate of Indebtedness Fund 975 1, 425 284 2, 684 Public Employees' Retirement Association Fund 22, 521 22, 522) 549 548 Park Bond Redemption Fund 18 996 1, 500 l, 352 21, 848 Liq,uor Fund 43,9�0 26,000 1,954 71,894 Public Utilities Fund 628, 697 193, 300 40, 551 862, 548 State Aid Construction Fund 17, 091 418, 500 3, 110 438, 701 Bond Fund 4, 015 75, 549 1, 441 81, 005 Park Concession Fund 961 200) 110 871 Bond Redemption Library 2, 720 17, 580 243 20, 543 Total All Funds $2, 489, 014 $1, 008, 970 $164, 336 $3, 662, 320 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -73- Investments Land and land improvementa Building Osseo Road and 63rd Avenue Building 65th and Lyndale Building Municipal Hall Building Municipal Service Building Building Library Building Civic Center Buildings Other Park properties (includes buildings) No rthpo rt G randview Willow Lane B e llvue Garden City Happy Hollow Kylawn Evergreen Orchard South C reek Wangstad Palmer Lake Terrace B rooklane Lions Club Park Central Park Development Undistributed costs Equipment Street and highway Fire protection Recreation Civil defense Police Courts General equipment Furniture and fixtures Storm sewer and street projects Totals Source of Investment General indebtedness Ad valorem levies Liquor store revenues and certificates Contributions received Special assessment projects (storm sewers and street) Owners, contractors and City share Hennepin County Totals (See notes to financial statements) This statement is an integral part of report dated M�.y 28, 1970. -74- City of Brooklyn Center Exhibit 33 SUMMARY STATEMENT OF GENERAL FIXED AS5ETS December 31, 1969 January 1, Year 1969 Balance 1969 Acquisitions Disposals Dec. 31, 1969 262, 884 17, 377) 245, 50? 101,614 101,614 $5, 034 85, 034 5"7, 052 57, 052 541, 663 541, 663 248,035 248,035 -0- 61, 688 61, 688 38, 293 6, 389 44, 682 124,94? 124,947 91,937 91,937 77,224 77,224 i 77, 542 77, 542 39,299 39,299 34, 167 34, 167 68,324 68,324 62,419 62,419 21, 224 21, 224 5, 655 5, 655 361 361 86, 252 86, 252 2, 663 2, 663 13, 742 13, 742 137, 562 1 37, 562 162,523 8,800 171,323 281,519 34,834 316,353 130, 911 6, 672 137, 583 47, 603 5, 067 52, 670 24, 516 4, 179 28 b95 23, 784 6, 975 6, 725 24, 034 127 127 104,219 4,821 109,040 51,353 5,728 57,081 5,086,457 1,554,560 6,641,017 $7, 411, 680 $2, 361, 561 254 760 $9 518, 481 $1,054,101 707,935 248,035 $1,514,001 895, 614 99, 066 6, 725 987, 955 304, 571 304, 571 68,406 b8,406 4,911,808 1,554,560 6,466,36$ 177,180 177,180 $7,411,680 $2,361,561 254,760 $9,518,481 -?5- Exhibit 34 C ity of B rooklyn C ente r i SUMMARY STATEMENT OF GENERAL LONG-TERM DEBT AND INTEREST I December 31 19b9 Amount Available And to be Provided Amount available in debt service funds (See Exhibit 12): Park bond redemption fund 24, 135 Library bonds 21,002 Certificate of indebtedness redemption fund 4, 380 Building and Improvement Bonds 10, 138 On deposit with paying agents 58, 183 Total Amount Available 117, 838 Amount to be provided in future periods: For interest �1 963 572 For principal 2, 806, 025 Total Amount to be Provided 4 769 597 Total Amount Available And to be Provided $4, 887, 435 General Debt And Interest to be Paid in Future Periods (Exhibit 35) General debt (principal portion): Park acquisition bonds 235, 000 Library bonds 160,000 Certificates of indebtedness 46, 400 Building and Improvement Bonds 2, 280, 000 Assessments on City properties (Note 7) 193, 880 Total General Debt (Principal Portion) $2, 915, 280 Interest payable in future periods: Bonds and certificates 1, 972, 155 Total General Debt And Interest to be Paid in Future Periods $4, 887, 435 (See notes to financial statements) This statement is an integral part of report dated May 28, 1970. -76- General Debt Principal Portion Payment Certificates Building Assessments Due 2'otal Park Library of Irnprovement Payable Durin� Principal Bonds Bonds Indebtedness Bonds General 1970 62,000 20,000 10,000 19,600 12,400 1971 61,200 20,000 10,000 18,800 12,400 1 72 60 400 20 000 10 000 8 000 10 000 9 12, 400 1973 77, 400 20, 000 10, 000 35, 000 12, 400 t 1974 152,400 20,000 10,000 110,000 12,400 1975 167,400 20,000 10,000 125,000 12,400 1976 172,400 20,000 10,000 130,000 12,400 1977 182,400 20,000 10,000 140,000 12,400 1978 172,400 20,000 10,000 130,000 12,400 1979 177,400 20,000 10,000 135,000 12,400 i 1980 167,400 20,000 10,000 125,000 12,400 1981 152,400 15,000 10,000 115,000 12,400 1982 142,400 10,000 120,000 12,400 1983 147,440 10,000 125,000 12,400 1984 152,400 10,000 130,000 12,400 19g5 152,880 10,000 135,000 7,880 1986 135,000 135,000 19g7 140,000 140,000 1988 140,000 140,000 1989 150,000 150,000 1990 150,000 150,000 Totals $2, 915, 280 $235, 000 $160, 000 46, 400 $2, 280, 000 $193, 880 (See notes to financial statements) This statement is an integral part of report dated May 28, �970. 77- City of Brooklyn Center Exhibit 35 SCHEDULE OF GENERAL LONG-TERM DEBT AND INTEREST BY MATURITIES December 31, 1969 Interest Pavable Certificates Building Total Park Library of Improvement Interest Bonds Bonds Indebtedness Bonds 164,778 9,194 5,825 1,559 148,200 162,836 8,396 5,455 785 148,200 160,719 7,599 5,085 160 147,875 157, 924 6, 796 4, 715 146;, 413 152, 034 5, 989 4, 345 141, 700 143,212 5,175 3,975 134,062 133, 735 4, 355 3, 605 125, 775 123, 765 3, 535 3, 230 117, 000 113,790 2,715 2,850 108,225 103, 977 i, 895 2, 470 99, b12 94, 327 1, 075 2, 090 91, 162 85, 405 332 1, 710 83, 363 77, 055 1, 330 75, 725 68,713 950 67,763 60,045 570 59,475 51, 053 190 50, 863 I 42,087 42,087 33,150 33,150 24, 0 50 24, 0 50 14, 625 ,14, 625 4, 875 4, 875 $1,972,155 57,056 48,395 2,504 $1,864,200 -78- C ity of B ro oklyn C ente r 1VOTES TO FINANCIAL 5TATEMENT 5 Xear 1969 Note 1: The "Combined Balance "Sheet All Funds and Groups .(Condensed Form) Exhibit 1 is presented as an information statement only. The reader is cautioned that the figures as shown under the "Combined Total" column a�e a combining of t unlike purpose groups (funds) and cannot be construed as indica- tive of the over-all financial position of the City. The financial position and the results of operations of each fund should be ascertained by reference to the individual exhibits as submitted for that fund within this report. N 2• S I ote pecial Assessment Funds These funds are used to account for the construction and financing of public improvements such as streets, curbs, storm sewers, sanitary sewers and the water system. The accounting is arranged so that the related activities of project construction, e financing of construction and the assessment of costs to property owners are recorded within the same fund equity. Budgetary accounts are employed to provide a means of control over ex- penditures incurred for construction. During 1969 appropriations and related appropriation expenditures for certain projects which were not complete were transferred from the 1968 Fund to the 1970 Funcl. The financing for these projects (issuance of bonds) is arranged through the 1970 Fund and the transfer was necessary so that all the activities of construction, financing and assessment are related together within the same accounting entity. Costs are assessed to property owners by the special assessments division, under the supervision of the engineering and public works department, after total project expenditures are verified with the finance department. The nominal differences on street and sewer projects between assessed and actual costs which are caused when costs are spread over many properties are guaranteed by the City. ($123.42 for the e Year 1969 See Exhibit 16). _79_ City of Brooklyn Center 1VOTES TO FINANCIAL 5TATEMENTS Year 1969 Note 2: Special Assessment Funds (Cont�d) Water service is assessed to all properties at a uniform rate, This rate is based on engineering cost studies and determined by dividing the estimated total cost of a complete system (including trunk mains, lateral mains, wells and elevated storage tanks) by the estimated ultimate residential lots or equivalents to be served by the utility. Since the inception of the water system costs incurred for mains, wells and tanks have been partially financed by special assessment funds to the extent of $3, 578, 582. The cost of projects not immediately assessable (deferred until xesidential lots or equivalents are connected to the system) and project costs involving general assets (tanks and wells) not resulting in hook-ups to the system have been guaranteed by the City within the special assess- ment fund originally financing such a project. The excess of assessments (determined by applying uniform rate of $490. 00 per residential lot or equivalent) over the eost of the lateral xnain which occasioned the assessment and hook-up to service has been transferred to reduce the amount of cost originally guaranteed by the City. As of December 31 19b9 the total amount of City guaran�ee has been fully covered and the realization of revenue from future hook-up charges will be credited to revenue of the Public Utilities Fund. Note 3: Municipal Liquor Fund The resolution authorizing the issuance of revenue certificates contains restrictive covenants which vvere enac�ed for the benefit and protection of certificate holders. Paragraph 5c provides that at least quarterly the following year's principal and interest requirements be segregated and set aside in cash for the benefit of certificate holders. As of December 31 1969 cash in the amount of $16, 297 (representing $15, 956 for interest and principal falling due on January 1, 1970) is on hand with the paying agent. Paragraph 5d requires a restriction on the availability of surplus for transfer which is equal to the next ensuing year's principal and interest requirements. As of December 31 1969 restricted surplus totalled $16, 275. ($15, 000 principal due 3anuary 1, 1971 and interest for the year 1970 in the amount of $1, 275. -80- �Cit of Brookl n Center Y Y NOTES TO FINANCIAL STATEIVIENTS Year 1969 Note 4: Municipal Liquor Fund The Lyndale Avenue store (Store #1) and the 05seo Road store (Store #2) are located on City owned properties. Store #3 is located in the Brookdale 5hopping Center and the premises are occupied pursuant to terms of a lease which expires January 31, 1972. The rental for the store and warehouse facilities is fi�ed at $875 per month. The rental for parking and mall facilities is based upon a proportionate share of the maintenance and upkeep expenditures made by the landlord and is adjustable yearly. Note 5: Public Utilities Fund Public Utilities revenue bonds were issued during 1963 for the purpose of financing an addition to the water works system. These bonds, together with related interest and service charges are payable solely from the Public Utilities Fund and are not considered a general obligation of the City. The resolution author- izing and directing the i ssuance of these bonds defines the method of accounting for the utilities fund and imposes certain covenants and restrictions which serve the purpose of protecting creditors interests. As required by Paragraph l0e of the issuing resolution, an analysis of each account balance appears below: Construction Account Proceeds of bond sales $1, 000, 000 Earnings provided by temporary investment of construction monies 152, 389 Construction expenditures paid 631, 133) Account Balance (See Exhibit 22) 521, 256 Revenue Bond Account Cash on hand with paying agent to meet matured coupons and principal and coupons maturing 1-1-70 43, 075 Accumulated amounts set aside to meet 1970 requirements for interest and principal Cash in bank 7, 738 Investments and accrued interest 58, 003 65, ?41 Account Balance 108, 816 -81- C ity of B rooklyn C ente r NOTES TO FINANCIAL STATEMENTS Yeax 19b9 I Note 5: Public Uti,litie s Fund (Co�t'd) Reserve Account Fa.ce value of government securities 75, 000 A summary which reconciles restricted assets with restricted surplus and also compares restricted surplus with restriction requirements as set forth by the resolution authorizing the sale of revenue bonds is presented below: Revenue Construction $ond Reserve Account Account Account Assets restricted 12-31-69 (see above) $521, 256 $108, 816 75, 000 Less: 1. Liabilities payable from restricted funds 43, 075) 2. Monies derived from borrowing (bond issues) 368, 867) i Restricted Assets at 12-31-69 $152 389 65 741 $?5, 000 Required per Resolution $152, 389 65, 741 75, 000 I Note 6: Public Utilitie s Fund The accounting system employed by the Publie Utilities Fund is adapted from a system specifically designed for municipally- owned utilities by the American Water Works Association. The investment in plant and equipment is of primary ixnportance to utility operations and because this is so, the accounting method in use emphasizes a source and application of monies concept in accounting for plant and equipment costs, Accordingly, fixed assets are shown at total cost on the left hand side of the balance sheet i and dep�ecia.tion provisions �.�e shawn on the right. Annixal depreciation charges to income (which are non-cash expenses) have I the effect of conserving monies or other current type assets within the entity because they reduce the balance of retained earnings I il -82- City of Brooklyn Center NOTE5 TO FINANCIAL STATEMENTS Xear 1969 Note 6: Public Utilitie s Fund (Cont'd) available for purposes of rate reduction or transfer. A portion of the monies so conserved (or reserves accumulated) has been reir�vested in plant facilities and accordingly these "depreciation provisions" are segregated as to the portion of reserves which have been reinvested in plant ($705, $45) and those amounts held in reserve ($382, 443), This presentation of assets at gross cost and the reflection of accumulated depreciation as a reserve on the right hand side of the balance sheet is peculiar to utility accounting and at odds with normal coxnmercial concepts which usually reflect accumulated depreciation as a reduction against the asset cost so as to show the net remaining cost af plant and equipment not yet amortized to expense. Because the investment in lant and e ui ment is of such P q P paramount importance, the balance sheet presentation used, with an informative emphasis on source and application of rnonies for plant investment, is considered the most appropriate. However, if the presentation employed usual commercial co�cepts, the Total Plant, Equipment and Construction Funds {$11, 913. 77) would be reflected net of depreciation provisions at a total of $10, 825, 089. Note 7: Summary Statement of General Lon�-Term Debt and Interest Special assessments which relate to improvements benefiting City-owned properties total $193, 880 as of December 31 19b9 The payment for these improvements (with no interest charge) has been scheduled over a period extending through 1985. These assess- ments are obligations of the general fund and payment is planned under normal budget procedures, whereby the needed monies will be appro- priated during the years as each installment becomes due. Note 8: Richard Schieffer, the City Attorney, has advised us that as of June 2, 1970, 'there were no contingent liabilities or pending lawsuits in which the City was involved which would be material to the financial representations contained on the financial statements, -83- City of Brooklyn Center 1VOTES TO FINANCIAL STATEMENTS Year 1969 r Note 8s Also the Cit has filed suit hi h y w e requests a revxew and reversal (Cont'd) of an order by the State Tax Commissioner cancelling the taxes on certain properties sold by the University of Minnesota to a commercial concern. If the Cornmissioner's order is sustained there wi11 be a resultant loss of revenue to the City of $13, 954 (For the Year 1967). The matter is currently in litigation and pending a deeision. It appe�.rs presently that there is no basis for reducing surplus by the amount as proposed by the Commissioner's order, and accordingly the $13, 954 is reflected on the statements as taxes receivable. r -84- i S T A T I S T I C A L I N F O R M A T I O N S E C T I O N i i961 Population 25, 843 (E) Real Property Assessed Value: Homestead 5, 522, 219 Excess and Non-Homestead 2, 685, 064 Total Assessed Value 8, 207, 283 Estimated Values Full and True 28, 609, 126 Market 86,694,321 Personal Property Assessed Value 1, 164, 640 Estimated Value: Full and True 3, 032, 327 Market 9, 09b, 981 Total Real and Personal Property Assessed Value 9, 371, 923 Estimated Full and True Value 31, 641, 453 Es�imated Market Value 95, 791, 302 Ratio of Total Assessed Value to Total Estimated Full and True Value ,29619:1 I Estimated Market Value 09784:1 Per Capita Valuations Assessed Value 362. 65 Estimated Full and True� Value 1, 224. 37 Estimated Market Value 3, 706. 66 i -85- Schedule 1 City of Brooklyn Center ASSESSED VALUE AND ESTIMATED TRUE VALUE AND MARKET VALUE OF ALL TAXABLE PROPERTY $y Budget Years 1962 1963 1964 1965 1966 1967 1968 1969 1970 26, 858 (E) 29, 203 (E) 29, 024 (E) 30, 108 31, 500 (E) 31, 570 (E) 33, 000 (E) 34, 306 (E) 34, 717 (E) 5,735,766 5,816,001 5 6,101,889 6,262,938 6,378,859 I0,148,539 11,470,877 12,472,359 2, 831, 501 4, 106, 321 4, 432, 475 5 694 244 5, 885, 425 7, 911, 159 5, 093, 781 7, 369, 710 8, 173, 952 8,567,267 9,922,322 10,381,944 11 12,148,363 14,290,018 15 19,340,587 20,646,311 30,021,816 33,596,832 34,879,063 38,711,130 39,765,314 45,335,857 47,862,541 58,283,382 61 90,975,200 $101,808,581 $104,637,189 $116,133,390 $119,295,942 $136,007,571 $143,587,623 $174,850,146 $185,389,446 (1) (1) (1) 1, 130, 847 1, 275, 518 1, 336, 486 1, 258, 488 1, 222, 654 1, 301, 952 1, 574, 574 1, 603, 159 1, 619, 077 2, 946, 702 3, 393, 313 3, 575 949 3, 364, 504 3, 271, 781 3, 511, 171 3, 410, 110 3, 510, 323 3, 548, 068 7,940,106 10,179,939 10,727,847 10,093,512 9,815,343 10,533,513 10,230,330 10,530 10,644,2Q4 1) 1) 1) 9 11,197,840 11,718,430 13,054,621 13,371,017 15,591,970 16,816,894 20,943,746 22,265,388 32,968,518 36 38,455,012 42,075,634 43,037,095 48,847,028 51,272,651 61,793,705 65,344,550 98,915,306 $111,988,520 $115,365,036 $126,226,902 $129,111,285 $146,541,084 $153,817,953 $185,381,115 $196,033,650 29416; 1 30272: 1 30473:1 31027:1 31069: 1 31920: 1 3279�3:1 33893:1 34074:1 09804:1 09999:1 10158:1 10342:1 10356:1 10640: 1 10933:1 11298:1 11358: 1 361.09 397.04 403.75 433.59 424.48 493.89 509.60 610.50 641.34 1, 227. 51 1, 311. 57 1, 324. 59 1, 397. 49 1, 366. 26 1, 547. 26 1, 553. 72 1, 801. 25 1, 882. 21 3, 682. 90 3, 970, 80 3, 974. 82 4, 192. 47 4, 098. 77 4, 641. 78 4, 661. 15 5, 403. 75 5 646 61 (1) Includes $306, 708 exempt property for replacement tax purposes authorized by laws of 1967, Ghapter 32, extra session -86- MOEN PENTTILA Area School District County Year Voc-Tech #286 #279 #28}. #11 Special Collectible City School (Earle Brown) (Osseo) (Robbinsdale) (Anoka) Districts �1) Tax Rates Mills P'er $1. 00 of ASSessed Value 1950 23;.50 86.88 83.78 76.80 72.38 28.52 1951 30.60 102.50 77.60 79.00 68.50 25.33 1952 46. 85 127. 00 103, 70 87. 80 81. 80 31. O1 1953 34. 20 88. 80 61. 00 70, 00 50. 00 29. 89 1954 40.30 163.80 76.7Q 75.40 87 29 .66 1955 43.40 172.40 111.70 81.80 81.8�4 29.57 1956 42.70 175.50 120.80 95.40 85.80 �3.70 1957 44 .00 106.60 119.90 108.6�k 96.55 31 .87 1958 46.47 126.91 119.51 108.64 90.15 38.13 1959 52 .05 130.94 146.66 115.18 10�.95 39.32 1960 51 .00 167.56 157.64 120.10 114.70 40.14 I 1961 48.26 189.64 163.00 139.20 123.53 41.46 1962 48.54 211 179.99 158 .69 134.00 45.40 1963 50.12 219.00 184.62 154.72 131.09 47.23 1964 50.68 225.60 189.62 150.08 134.85 52.51 1965 49. 80 215. 26 195. 50 154. ?2 144. 77 59. 69 1966 51.62 227.22 199.9g 155.00 153.23 55.66 1967 51. 62 227. 90 203. 00 158 76 160. 00 53, 30 1968 51. 34 236. 29 211. 80 163. 56 188. 32 64, 77 •1969 50. 94 78 266, 63 252. 28 184. 57 265. 29 70. 00 1970 49. 65 4. 51 294. 55 295, 42 215. O1 2g7. 66 77, 18 Area Tax Levies on Property Within Brooklyn Center Year Voc-Tech Collectible School #286 #2Z9 #281 #11 1950 32, 374 6, 212 11, '763 3, 348 1951 42,121 6,491 13,696 3,291 1952 63,785 9,603 17,463 4,613 1953. 81,574 10,410 25,352 �,557 1954 176,165 14,335 31,718 11,203 1955 226,198 27,256 39,251 12,538 1956 290,011 36,956 68,649 15,171 1957 239,666 76 ,912 170 ,396 24,547 1958 303,466 134,960 202,292 24,298 ].959 327, 639 237, 021 228, 907 30, 387 1960 427,311 465,174 248,382 42,211 1961 497,907 665,299 320 ,�97 43 ,880 19b2 551, 349 771, 611 367, 691 59, 153 19b� 587,665 830,918 524,099 76,198 19b�4 622, 578 883, 842 526, 189 1Q0, 102 1965 668,9b1 976,585 614,756 140,923 1966 728,353 1,003,287 623,412 171,926 1967 836,669 1,142,570 790,174 210,428 1968 888,684 1,200,483 901,84b 295,160 19b9 16 096 1, 238, 004 1, 724, 773 1, 317, 751 535, 263 1970 99, 033 1, 375, 490 2, 071, 747 1, 689, 434 719, 896 (1)=Formerly #118 (2)-Formerly #28 (3)=Formerly #24 (4)=Formerly #29, #220 -87- �ity of Brooklyn Center Schedule II TAX RATE5 AND TAX LEVIES Years 1950 Throu�h 1970 �'otal City, School, Count and State N. H S Y State Dist. #286 Dist. #279 Dist, #281 Dist. #11 N. H. S. I�. S. (Earle Brown) (.Osseo) (Robbinsdale) (Anoka) 8.69 4.11 145.59 142.49 135.51 131.09 8. 52 ].2 166. 95 142. 05 143.45 132. 95 7.72 4.93 212.58 189.28 173.38 167.38 6.84 4.58 159.73 131.93 140.93 120.93 9. 54 5. 28 243, 30 156. 20 154. 90 167. 06 9.15 3.93 254.52 193.82 163.92 163.96 9. 15 3. 98 261. 05 206, 35 180. 95 171.35 9. 15 3. 81 191. 62 204. 92 193. 66 181. 57 1,2. 6 .01 224.13 216.73 205.8b 187.37 12. 42 5. 90 234. 73 250. 45 218. 97 208. ?4 1�. 32 8, 10 273. 02 263. 10 225. 56 220.16 13.85 6.84 293.21 266.57 242.7? 227.10 15.51 6.39 321.04 289.44 268.14 243.45 1b.85 8.31 333.20 298.82 268.92 245.29 17.1� 8.22 345.93 309.95 270.41 255.18 16.14 6.84 340.89 321.13 280.35 270.40 ],8, 42 18. 32 352. 92 325. 68 280, 70 278. 93 17.24 17.14 349.89 324.99 280.75 281.99 352, 40 327 91 279 67 304. 43 388.35 374.00 306.29 386.23 425.89 426.76 346.35 424.49 Total Total City, Schools, County Schools County City 5tate and State 53 697 25 421 13, 893 3, 993 97, 004 65, 599 26, 059 21 909 4, 281 117, 848 95,4&4 38,802 39,829 5,073 179,168 122, 893 66, 412 53, 678 8, 433 25i, 41:6 233, 421 82, 946 74, 169 12, 765 403, 301 305,243 104,114 95,808 12,651 517,816 410,787 136,728 122,573 16,578 686,666 511,521 214,395 207,532 27,859 961,307 665,016 309,786 262,840 48,723 1,286,365 823,954 252,434 333,000 54,601 1,463,989 1,183,078 479,907 404,905 8�,515 2,152,405 1, 527, 783 451, 594 452, 289 91, 090 2, 522, 756 1,749,804 440,294 470,746 98,108 2,758,952 2,018,880 528,874 561,236 139,015 3,248,005 2,132,711 615,335 593,890 147,785 3,489,721 2,401,225� 779,230 650,137 153,954 3,q84,546 2,526,97$ 744,231 690,212 245,668 4,207,089 2,979,841 828,401 804,858 268,168 4,881,268 3,286,173 1,069,364 847,632 5,203,169 4,831,887 1,444,592 1,051,250 7,327,729 5,955,600 1,694,770 1,090,248 8,740,618 -88- i Schedule III C ity of B rooklyn C ente r NOTES TO TAX RATES AND TAX LEVIES Years 1950 Through 1969 Tax Limitation by Statute: $54. 00 per capita exclusive of taxes levied for local improvements (as amended) Debt Service not included in above limitation Taxe s Due Date: First Monday in January Ta�es Delinquent Date: Personal Property March 1- amounts over $10. 00 first half March 1, i second half July 1 Real Estate first half May 31, second half October 31 No discount allowed Penalties for Delinquency: Personal Property 8% Real Estate June 3%, July 4°jo, August 5%, September 6%, Octob�r 7%, Nov�mber and December 8%, after first Monday in January 10% Tax sale date second Monday in Niay Taxes are collected by the County Treasurer of Hennepin �ounty Tax collections are distributed in the proportion of the Cxty levy to all levies i _gq Collections �'ercentage �ollections of Current of Levy of Prior Total Year's Taxes Collected Year's Taxes Year Tax During Fiscal During Fiscal During Fiscal Collected Levy Period Period Period 1961 443, 753 $�439, 672 g9. 08 3, 879 1962 463 483 457,010 98.60 3,848 1963 555, 178 545, 757 98. 30 4, 712 1964 587, 636 573, 684 97. 62 8, 082 1 65 b43 014 624 056 7.05 8,186 9 9 1966 683,060 674,19� 98.70 13,069 1967 799,792 776,663 97.11 7,710 1968 868,807 851,452 98.00 14,205 1969 1,068 1,036,863 97.06 16,612 Note: The City's taxea are the only ones included in this table. i _qp_ Schedule IV City of Brooklyn Center TA� LEVIES AND TAX COLLECTIONS Years 1961 Throu�h 1969 �Ratio of Accumul.ated Ratio Delinquent of Total Accumulated Taxes ta Total Gollections Delinquent Current Year �ollections to Tax Levy Taxes Tax Levy 443, 551 9995 8, 033 01810:1 460, 858 9943:1 10, 042 02167:1 550, 469 9915:1 14, 446 02602:1 581, 766 9900:1 19, 926 03391:1 632, 242 9832:1 28, 985 04508:1 687, 261 1. 0062:1 23, 619 03458:1 784, 373 9807:1 38, 737 04843:1 865, 657 9964 45, O11 05181:1 1, 053, 475 9862;1 59, 742 05593:1 -91- Current Specxal t Assessments Amount Ra,tio o� Installm.�nts Becomi.ng Collec�ed �urren�t Fiscal Due Duxi.ng Cur�ez�tly IAuri�g Gollection� to P�riod the Fiscal Period tl�e Fiscal Period .Amoun,t pu� 196t $38�,274 $�53,3$Q .9224:1 1962 418,706 383,20� .9152.1 1963 46Q, 329 418, 657 9095:1 1964 449,253 383,848 .8544;1 1965 444, 993 393, 593 8��5:1 1946 429,759 �94,942 .9190:1 196? 490, 39? 45$, 3�4 346:1 9 1968 505,409 466,4b6 .9229c1 t 1969 538, 959 476, 727 g8.�� -92— Citv of Brooklyn Center Schedule V SPECIAL ASSESSMENT COLLECTIONS Years 1961 Throu�h 1969 �'otal Current and Delinquent Percentage Balance Assessments Uncollected Collected Uncollected At Year End Throu�h 12 /31 /69 A s of 12 /31 /69 45, 796 99 3164% 2, 623 51,692 98.9634 4,336 73,472 98.4141 7,330 119,525 98,2904, 7,680 136, 775 96, 5347 15, 426 135,667 97.1588 12,212 128, 705 97. 2553 13, 45b 142, 441 96. 4959 17, ?0? 136,043 88.4536 62,232 With State Department of Lands 35, 907 -93 Penaltie s and Interest Licenses Fines Fiscal From and and Period Property Taxes Permits �'arf�eitures 19b1 3,266 59,904 2�,426 1962 3 178 38, 809 27, 9?4 1963 4, 647 32, 30$ 24, 813 1964 3,168 31,026 24,215 1965 6, 489 48, 75? 22, 72� 1966 8,973 50,489 22,].26 1967 12,297 55,OQ5 2Q,416 1968 7,46� 82,098 3�,490 1969 6 2 6 77 773` 44 031 9 �-94- Schedule VI City of Brooklyn Center l�EVENUES OTHER THAN PROPERTY TAXES AND SPECIAL ASSESSMENT5 Years 1961 Throu�h 1969 Revenue from Charges for Revenue in Excess Use of Current of Expenditures Shared Money and Services and other Public Liquor Taxes Property Revenue Utilities Stores 85, 623 12, 327 89, 880 21, 706 70, 652 92, 197 16, 084 71, 438 5, 861 82, 101 102 689 28, 451 88, 573 50 460 8g 05$ 101, 578 20, 671 217, 644 83 793 99 565 122, 5$8 29, 95�4 129, 819 55, 024 106, 541 156, 536 24, 540 249, 364 109, 256 11�4, 227 232,615 40,025 118,511 125,962 125,310 325,221 82,641 113,94? 131,280 146,551 296 61 ,581 339,363 161,925 175 884 I -95- Schedule VZT City of Brooklyn Center E�PENDITURES FOR SELECTED FUNCTIqNS Years 1961 Through 1969 Public Parks Fiscal Ge�eral Safety and and Period Governxnent Welfare Hi�hwavs Recxeation 1961 $150,912 $153,189 $200,075 $10�,0$2 19b2 152,644 188,179 231,871 111,1�4 1963 173,736 194,900 229,569 125,352 1964 169,019 230,102 293,301 175,449 1965 194 ,888 258, 291,306 167 042 �966 218,335 290,232 306,b16 310,219 1967 217,138 338;187 326,35? 235,834 19�8 244,010 391,394 35 4 8 3 9 2 5, 723 1969 250,841 449,426 484,154 23$,D7.1 -96- Gross Fiscal E stimated A s se s sed Banded Pe riod $opulation V alue Debt 1961 25,843 9,371,923 5,354,200 r 1962 26,858 q,698,114 5,217,400 1963 28,203 11,197,840 5,396,10Q r 1964 29, 024 11, 714, 430 5, 607, 800 i 1965 30,108 13,054,621 5,188,500 1966 31,500 13,371,017 5,263,200 1967 31,570 15,591,970 4,?$4,800 196$ 33,000 16,816,894 5,068,400 1969 34,306 20,943,746 7,626,400 _97_ I� f Schedule VZII City af Brooklyn Center &ATIO OF NET BONDED DEBT TO ASSESSED VALUE t AND NET BONDED DEBT PER CAPITA Years 1961 Throu�h 1969 Less: Amount Ratio of Net Bonded Debt to Net Bonded in Debt Net Bonded Assessed Debt Per Service Funds Debt Values Capita 1 �979 808 3, 374, 392 3600:1 130. 57 2,A97, 219 3, 120, 181 3217:1 116. 17 20 472 4 475 628 3996: 1 158.6 9 9 1, 031, 779 4, 576, 021 3904:1 1�7. 66 1, 591, 659 3, 596, 841 2755:1 �.19. 46 l 499, 096 3, 764, 104 2815:1 119. 49 1, 773, 834 3, 010. 966 1931:1 95. 37 1, 986, 325 3, 082, 075 1833:1 93.40 2 2 0 •1 1, 534, 261 6, 09 1 9 9 9. 177. 58 -98- Sch edule I� E ity of B rooklyn C ente r 5TATEMENT OF LEGAL DEBT MARGZN December 31, 1969 Assessed va1ue $20, 943, '746 Debt limit 20% of assessed value 4, 188, 749 Total bonded debt 8, 571, �400 Deductions• 1. Debt 5ervice Funds (General Obligation) 118, 804 2. Special� Assessment Bonds 4, 905, 000 3. Liquor Store revenue certificates 45, 000 4. Utility revenue bonds 900, 000 5, 968, 804 Total Debt Applicable �o Debt Lixnit 2, 602, 596 Legal Debt Mar�in, December 31, 1969 1, 586, 153 -99� Schedule X City of Brooklyn Center COMPUTATION OF DIRECT AND OVERLAPPTNG DEBT December 31 1969 City of Brooklyn Center Share Net Debt G ove rnmental Unit Out standing (1) Pe r C ent 2) A mount Gity of Brooklyn Center 6, 092, 139 I00. 00% 6, 092, 139 Hennepin County 17, 277 799 2. 5 431, 945 Hennepin County Pa.rk District 11, 255, 224 5 0 562, 761 I, S. D. No. 281 29, 723, 000 11. 6 3, 447, 868 I. S. D, No. 11 37, 047, 323 5. 3 l, 963, 508 I. S. D, No. 279 27, 330, 380 36. 7 10, 030, 249 I. S. D, No. 286 3, 025, 000 100. 00 3, 025, 000 Total Direct and Overlappin� Debt (Net of Sinkin� Funds) $25, 553, 470 (1) Gross outstanding general bonded debt less amounts in debt service funds (2) Ratio of assessed valuation of property subject to taxation in overla ing PP ur�it to value of property subject to taxation in the City of Brooklyn Center -100- Year Principal Intere st 1961 $45,300 $18,025 1962 39, 300 16, 403 1963 33,000 14,800 1964 33,300 13,855 1965 33, 300 1,4, 977 1966 50,800 24,213 1967 59,400 22,2$0 1968 51,000 19,604 1 6 5 0 0 3 9 9 1 0 7 608 -101- Schedule XI CitY of Brooklyn Center RATIO OF ANNUAL DEBT SERVICE EXPENDITURES FOR GENERAL BONDED DEBT TO TOTAL GENERAL EXPENDZTURES Last Nine Years Total Total Ratio of Debt Debt General S�rvice to General Service Expenditures Expenditures $63, 325 728, 149 8. 70% 55, 703 710, 212 7. 84 47, 800 772, 978 6. 1$ 47, 155 882, 557 5. 34 48 277 942, 720 5. 12 75, 013 1, 335, 428 5. 62 81, 680 1, 185, 075 6. 89 70, b04 1, 369, 842 5. 15 88,608 1,497 643 5 2 .9 i _1�2_ Net G ros s (1) Revenue Year Revenue Expenses Available 1961 $128,428 52,873 75,555 1962 161,592 71,841 $9,751 1963 490, 524 242, 525 247, 999 1964 638,094 239,356 398,738 1965 586,979 �91,643 295,336 1966 753,829 269,371 4$�,458 1967 669,098 282,528 386,570 1968 743,316 292,818 450,�498 1969 854,367 36q,24q 494,118 (1) Excludes depreciation and intexest on bonds r -103- Schedule XII City of Brooklyn Center �CHEDULE OF REVENUE BOND COVERAGE Last Nine Years I Ratio of Net I Debt Service Revenue to Principal Interest Tota1 Debt Service 12,000 8,749 $20,749 3.6 to 1 5, 000 5, 448 10, 448 8. 6 to L I3, 000 21, 572 34, 572 7. 2 to 1 13, 000 43, 316 56, 316 7. 1 to 1 38, 000 42, 796 80, 796 3. 7 to 1 38, 000 41, 305 79, 305 6. 1 to 1 38, 000 39, 816 77, 816 5. 0 to 1 38, 000 38, 350 76, 350 5. 9 to 1 I 40, 000 36, 775 76, 775 6.4 to 1 i t i 'I -104- Schedule XII.I City of Brooklyn Center MISCELLANEOUS STATISTICAL FACTS December 31, 1969 Date of Incorporation February 14, 19� 1 Da_te of Adoption of City Charter November 1966 Effective December 8, 1966 Form of Government Council Manage� k'iscal Year Begins January 1 Area of City 8 1/2 square miles Miles of Streets: City 95. 84 County and State 12. 38 Federal 5. 82 Miles of Storm Sewers 35. �9 Number of Street Lights 716 Building Permits: Number of Permits Issued: 19b9 460 1968 544 1967 4�3 1966 430 1�65 465 1950 1964 inclusive 9, 452 Estimated Co�t: 1969 $10, 441, 322 196$ $13,111,654 1967 7,922,813 1966 7,261,065 1965 $12, 046, 272 1950 1964 inclusive $9�, 362, 208 Fire Protection: i Number of Stations 2 Number of Volunteer Firexnen 40 Police Prote.ction: Number of Stations 1 Number of Employees 32 I Vehicle Patrol Units 7 -105- l Schedule XI�.i C on�' d City of Brooklyn Cez�ter MISCELLANEOUS STATISTICAL FACTS December 31, 1969 Parks and Recreation: 170 acres developed for regular use. 298 additional aGxes of City- owned land designated for parks and playgrounds to bs deve�.op�ed. Full-tixne employee s 13 Part-time employees 125 (seasoz�al) Supervised playgrounds 1$ r Park shelters 14 Ice skating rinks 14 Hockey rinks 6 Softball diamonds 18 Baseball diamonds 4 Wading pools 2 Tennis courts 4 Basketball courts 4 Annual 1969 registration for all organized activi,ties was 15, OQO. Education: Public Schools: School Districts within Brooklyn Center (4) No. 11 No, 286 No. 281 No. 279 (Anoka) (.Earle Brown) (Robbinsdale) (Osseo) Total school buildings 30 2 27 ],4 School buildings under construction f 3 5chool buildings within Brooklyn Center 1 2 2 3 Total students registered 28, 000 2, 400 28, 099 12, 683 Students from Brooklyn Center registered 1, 050 2, 400 lQ8 6, 127 Total square miles in I School District 172 2. 8 30 66, 5 Square miles within B rooklyn C ente r 1. 5 2. 8 2. 2 5 2. 5 1969 assessed valuation 39, 850, 000 669, 804 67, 976, 209 20, 504, 205 Parochial Schools I -106- s�n�au�� ��.0 C ant' d G ity af B raok}.yn C ente r MI5CELLANEOUS STATISTICAL k'ACTS Decernher 31, 19�9 Municipal Water Plant: Number of cannections 5, 627 Average daily consumption 2, 48�, 197 gallons Peak daily consurnption QI5, OQCI gallons Plant capacity daily T0, 480, OU0 gallons Miles of water mains 96. 5450 Number of fire hydrants 718 Number of wells 6 Number of elevated reservoirs 2 Storage capacity 1, 500, 000 gallons Water rate per thousand gallons 35� Municipal Sewer Plant: Number of connections 7, 343 Miles of sanitary sewer 94.2223 Average daily disposal 3, 335, 235 gallons Daily disposal capacity 7, 416, 000 gallons Number of lift stations 8 Residential rate $3. 75 per quarter Municipal Liquor Stores (Off Sale Number of owned stores 2 Number of leased stores 1 1969 sales $1,244,719 C ity Employe e s: As of December 31, 1969 Permanent or regular 102 Temporary or part-time 9� Total 195 Elections: Registered voters last state election 15, 442 Number of votes cast last state election 12, 533 Percentage of registered voters voting 81. 16°jo Po ul tion• p a 1940 1,870 1950 4,284 1960 24,356 1965 (special census� 30, 108 1969 (Estimated) 34, 306 Estimated residential saturation point 49, 000 -107-