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HomeMy WebLinkAboutOrd 6290 12/20/2016 Adopting an Annual Budget for the fiscal year commencing January 1, 2017ORDINANCE NO. 6290 AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2017 AND ENDING DECEMBER 31, 2017 IN LIEU OF PASSAGE OF AN APPROPRIATION ORDINANCE PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES This 201h day of December, 2016 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois this 21 st day of December, 2016. ORDINANCE NO. 6290 AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2017 AND ENDING DECEMBER 31, 2017 IN LIEU OF PASSAGE OF AN APPROPRIATION ORDINANCE WHEREAS, the President and Board of Trustees of the Village of Mount Prospect in accordance with State Statutes, have provided for the preparation and adoption of an Annual Budget in lieu of passage of an Appropriation Ordinance; and WHEREAS, the tentative Annual Budget for the Village of Mount Prospect for the fiscal year beginning January 1, 2017 and ending December 31, 2017, as prepared by the Budget Officer for the Village and submitted to the President and Board of Trustees, was placed on file in the Office of the Village Clerk on October 6, 2016 for public inspection, as provided by Statute; and WHEREAS, pursuant to notice duly published on November 8, 2016, a public hearing was held by the President and Board of Trustees on said tentative annual budget on November 15, 2016, as provided by Statute; and WHEREAS, following said public hearing, said tentative Annual Budget was reviewed by the President and Board of Trustees and a copy of said tentative Annual Budget is attached hereto and hereby made a part hereof. NOW, THEREFORE, BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS: SECTION ONE: The Annual Budget for the Village of Mount Prospect for the fiscal year beginning January 1, 2017 and ending December 31, 2017, a copy of which is attached hereto and made a part hereof, is hereby approved and adopted as the Annual Budget for the Village of Mount Prospect for said fiscal year. SECTION TWO: Within thirty (30) days following the adoption of this Ordinance there shall be filed with the County Clerk of Cook County a copy thereof duly certified by the Village Clerk and Estimate of Revenues by source anticipated to be received by the Village in the fiscal year beginning January 1, 2017 and ending December 31, 2017, duly certified by the Chief Fiscal Office SECTION THREE: This Ordinance shall be in full force and effect from and after its passage, approval and publication in pamphlet form in the manner provided by law. AYES: Hoefert, Matuszak, Polit, Rogers, Saccotelli, Zadel NAYS: None ABSENT: None PASSED AND APPROVED this 201h _day of December, 2016. A0he A. Juracek, Mayor ATTEST: /e� " ojjw� Karen Agoranos, Deputy Village Clerk VILLAGE OF MU.,,aT PROSPECT 2017 BUDGET SUMMARY TOTAL VILLAGE BUDGET CHANGES IN FUND BALANCE Excess (Deficiency) of Revenues & Other Sources Over Expenditures 2,300,545 (1,714,412) (1,725,986) 4,560,198 2,944,124 FUND BALANCE Start of Budget Year 157,064,301 159,364,846 159,364,846 157,638,860 162,199,058 End of Budget Year Less: Pension Fund Balances (b) Actual Budget Estimate Budget Forecast AVAILABLE FUND BALANCE 2015 2016 2016 2017 2018 REVENUES AND OTHER SOURCES Property Taxes 21,769,995 22,784,200 22,786,200 20,092,000 19,368,000 Other Taxes 14,305,753 14,198,368 14,048,368 14,489,092 14,803,518 Licenses, Permits & Fees 3,067,905 2,944,000 2,999,000 3,029,000 3,029,000 Intergovernmental Revenue 25,821,774 25,413,467 28,282,827 29,309,261 29,488,224 Charges for Services 27,983,964 30,766,533 29,319,838 30,074,981 31,093,755 Fines & Forfeits 725,065 656,100 644,100 641,100 642,100 Investment Income 2,603,791 8,485,500 6,799,200 7,925,100 8,382,100 Reimbursements 9,155,496 194,500 286,000 240,500 243,500 Other Revenue 9,210,824 9,609,840 9,607,700 10,924,005 11,243,100 Other Financing Sources 301,171 - 664,544 600,000 425,000 Total Revenues & Other Sources 114,945,738 115,052,508 115,437,777 117,325,039 118,718,297 BUDGET EXPENDITURES Village Operating Budget 62,939,403 68,383,810 67,919,240 70,641,337 72,382,201 Village Capital Budget 24,714,503 22,299,393 21,447,074 14,692,247 15,327,822 Debt Services Budget 4,848,505 4,979,687 4,979,687 4,922,013 5,037,284 Pension Systems Budget 9,468,704 9,780,823 9,923,453 10,334,501 10,624,700 Internal Services Budget (a) 9,115,249 10,226,107 9,934,221 9,853,743 10,167,166 Business District Fund 1,277,230 1,097,100 2,295,544 1,721,000 1,810,000 Interfund Transfers 281,599 - 664,544 600,000 425,000 Total Expenditures 112,645,193 116,766,920 117,163,763 112,764,841 115,774,173 CHANGES IN FUND BALANCE Excess (Deficiency) of Revenues & Other Sources Over Expenditures 2,300,545 (1,714,412) (1,725,986) 4,560,198 2,944,124 FUND BALANCE Start of Budget Year 157,064,301 159,364,846 159,364,846 157,638,860 162,199,058 End of Budget Year Less: Pension Fund Balances (b) 159,364,846 (115,356,742) 157,650,434 (121,503,875) 157,638,860 (119,603,805) 162,199,058 (125,843,790) 165,143,182 (132,474,840) AVAILABLE FUND BALANCE 44,008,104 36,146,559 38,035,055 36,355,268 32,668,342 (a) Internal Services Budget includes Vehicle Maintenance Fund and Risk Management Fund. The Motor Equipment Replacement Fund and Computer Replacement Funds are included in the Village Capital Budget. (b) Pension Fund Balances are reserved for pension benefits and not available for appropriation. VILLAGE OF MOL.,, f PROSPECT 2017 BUDGET SUMMARY REVENUES AND OTHER SOURCES BY REVENUE TYPE Actual Budget Estimate Budget Forecast 2015 2016 2016 2017 2018 REVENUES BY TYPE Property Taxes 21,769,995 22,784,200 22,786,200 20,092,000 19,368,000 Other Taxes 14,305,753 14,198,368 14,048,368 14,489,092 14,803,518 Licenses, Permits & Fees 3,067,905 2,944,000 2,999,000 3,029,000 3,029,000 Intergovernmental Revenue 25,821,774 25,413,467 28,282,827 29,309,261 29,488,224 Charges For Services 27,983,964 30,766,533 29,319,838 30,074,981 31,093,755 Fines & Forfeits 725,065 656,100 644,100 641,100 642,100 Investment Income 2,603,791 8,485,500 6,799,200 7,925,100 8,382,100 Reimbursements 9,155,496 194,500 286,000 240,500 243,500 Other Revenue 9,210,824 9,609,840 9,607,700 10,924,005 11,243,100 Total Revenues 114,644,567 115,052,508 114,773,233 116,725,039 118,293,297 OTHER FINANCING SOURCES Interfund Transfers 281,599 - 664,544 600,000 600,000 Sale of Property/Other 19,572 - - (175,000) Total Other Financing Sources 301,171 - 664,544 600,000 425,000 TOTAL REVENUES AND OTHER SOURCES 114,945,738 115,052,508 115,437,777 117,325,039 118,718,297 CHANGES IN FUND BALANCE Total Revenues & Other Sources 114,945,738 115,052,508 115,437,777 117,325,039 118,718,297 Total Expenditures 112,645,193 116,766,920 117,163,763 112,764,841 115,774,173 Additionsto(Use of) Fund Balances 2,300,545 (1,714,412) (1,725,986) 4,560,198 2,944,124 ANALYSIS OF CHANGES IN FUND BALANCE Additions to (Use of) Pension Fund Balances (31,525) 6,147,133 4,247,063 6,239,985 6,631,050 Additions to (Use of) Other Fund Balances 2,332,070 (7,861,545) (5,973;049) (1,679,787) (3,686,926) Additionsto(Use of) Fund Balances 2,300,545 (1,714,412) (1,725,986) 4,560,198 2,944,124 VILLAGE OF M(,.,.. r PROSPECT 2017 BUDGET SUMMARY BUDGET EXPENDITURES Actual Budget Estimate Budget Forecast 2015 2016 2016 2017 2018 OPERATING BUDGET PUBLIC REPRESENTATION 605,329 693,608 767,390 807,219 740,910 VILLAGE ADMINISTRATION Village Manager's Office, Legal Sery 1,401,074 1,312,776 1,669,929 1,353,274 1,360,454 Village Clerk's Office 209,690 238,198 250,761 252,988 258,748 Human Resources 331,807 358,603 393,723 424,981 404,510 Information Technology 1,150,744 1,339,006 1,399,596 1,549,874 1,603,674 Communications 372,101 452,997 466,905 531,008 538,387 Total Village Administration 3,465,416 3,701,580 4,180,914 4,112,125 4,165,773 FINANCE DEPARTMENT 1,945,585 2,035,030 2,018,529 2,729,370 2,765,485 COMMUNITY DEVELOPMENT DEPARTMENT 13,226,832 14,410.987 14,395,674 15,044,830 15,336.644 Community Development 2,104,966 2,426,654 2,327,660 2,441,991 2,495,622 CDBG 431,708 587,104 597,104 590,921 592,904 Total Community Development Dept 2,536,674 3,013,758 2,924,764 3,032,912 3,088,526 HUMAN SERVICES DEPARTMENT 1,048,465 1,107,503 1,100,420 1,133,296 1,152,099 PUBLIC SAFETY AND PROTECTION Police Department 16,293,832 17,543,744 17,196,264 18,206,171 18,846,696 Fire Deoartment 13,226,832 14,410.987 14,395,674 15,044,830 15,336.644 Total Public Safety and Protection 29,520,664 31,954,731 31,591,938 33,251,001 34,183,340 PUBLIC WORKS DEPARTMENT Administration 1,547, 604 1,658,112 1,689,026 1,624,660 1,694,120 Streets/Buildings 2,837,060 3,206,224 3,211,739 3,282,372 3,349,774 Forestry and Grounds 1,459,118 1,706,132 1,702,129 1,755,131 1,791,708 Engineering 1,439,622 1,483,280 1,483,251 1,534,147 1,527,413 Refuse Disposal 4,437,074 4,769,144 4,474,578 4,504,265 4,662,824 Water and Sewer Division 11,853,688 12,617,248 12,332,232 12,600,314 12,980,992 Parking 243.104 437,460 442.330 274,525 279.237 Total Public Works Department 23,817,270 25,877,600 25,335,285 25,575,414 26,286,068 TOTAL OPERATING BUDGET 62,939,403 68,383,810 67,919,240 70,641,337 72,382,201 VILLAGE OF M(,_.. f PROSPECT 2017 BUDGET SUMMARY BUDGET EXPENDITURES (a) Internal Services Budget includes Vehicle Maintenance Fund and Risk Management Fund. The Motor Equipment Replacement Fund and Computer Replacement Funds are included in the Village Capital Budget. Actual Budget Estimate Budget Forecast 2015 2016 2016 2017 2018 CAPITAL BUDGET Community Investment Program 20,527,090 16,350,008 15,397,789 11,911,693 12,994,489 Other Capital Fund Expenditures 4,187,413 5,949,385 6,049,285 2,780,554 2,333,333 Total Capital Budget 24,714,503 22,299,393 21,447,074 14,692,247 15,327,822 DEBT SERVICE BUDGET 4,848,505 4,979,687 4,979,687 4,922,013 5,037,284 PENSION SYSTEMS BUDGET Miscellaneous Pensions 46,455 46,616 46,616 46,781 46,950 Police Pensions 4,685,033 4,833,176 4,801,976 4,938,310 5,068,901 Fire Pensions 4,737,216 4 901031 5,074,861 5 349 410 5,508,849 Total Pension Systems Budget 9,468,704 9,780,823 9,923,453 10,334,501 10,624,700 INTERNAL SERVICES BUDGET (a) Vehicle Maintenance 2,019,510 2,174,393 2,062,921 2,174,423 2,220,230 Risk Management 7,095,739 8,051,714 7,871,300 7,679,320 7,946,936 Total Internal Services Budget (a) 9,115,249 10,226,107 9,934,221 9,853,743 10,167,166 BUSINESS DISTRICT FUND 1,277,230 1,097,100 2,295,544 1,721,000 1,810,000 INTERFUND TRANSFERS 281,599 - 664,544 600,000 425,000 TOTAL EXPENDITURES 112,645,193 116,766,920 117,163,763 112,764,841 115,774,173 (a) Internal Services Budget includes Vehicle Maintenance Fund and Risk Management Fund. The Motor Equipment Replacement Fund and Computer Replacement Funds are included in the Village Capital Budget. VILLAGE OF h._ .NT PROSPECT 2017 BUDGET SUMMARY REVENUES AND OTHER SOURCES BY FUND Actual Budget Estimate Budget Forecast 2015 2016 2016 2017 2018 GENERAL FUND 50,320,913 49,658,220 51,910,780 53,331,595 54,346,546 DEBT SERVICE FUND 4,871,072 4,987,011 4,987,011 4,928,492 5,043,718 CAPITAL PROJECTS FUNDS 23,535,736 15,984,300 14,614,600 15,861,100 14,786,100 Capital Improvement Fund 1,361,326 1,415,500 1,424,000 2,065,000 1,935,000 Downtown Redevelopment Construct 2,580,177 2,998,500 3,003,500 - - Street Improvement Construc Fund 3,601,966 3,761,500 3,792,000 3,847,000 3,892,000 Flood Control Construction Fund 408,005 447,000 491,000 496,000 526,000 Total Capital Projects Funds 7,951,474 8,622,500 8,710,500 6,408,000 6,353,000 SPECIAL REVENUE FUNDS 23,535,736 15,984,300 14,614,600 15,861,100 14,786,100 Refuse Disposal Fund 3,978,818 4,600,000 4,578,000 4,610,000 4,736,000 Motor Fuel Tax Fund 1,338,976 1,237,500 1,407,000 1,419,000 1,419,000 CDBG 431,708 587,104 597,104 590,921 592,904 Asset Seizure Fund 18,023 15,100 15,200 10,200 10,200 Federal Equitable Share Funds 12 200 200 200 200 DUI Fine Fund 36,127 20,100 25,100 20,100 20,100 Foreign Fire Tax Board Fund 82,540 70,100 86,000 86,000 86,000 Business District Fund 1,277,230 1,097,100 2,295,544 1,721,000 1,810,000 Total Special Revenue Funds 7,163,434 7,627,204 9,004,148 8,457,421 8,674,404 ENTERPRISE FUNDS Water and Sewer Fund 22,972,292 15,669,600 14,300,500 15,516,000 14,441,000 Village Parking System Fund 140,821 168,700 168,100 184,100 184,100 Parking System Revenue Fund 422,623 146,000 146,000 161,000 161,000 Total Enterprise Funds 23,535,736 15,984,300 14,614,600 15,861,100 14,786,100 INTERNAL SERVICE FUNDS Vehicle Maintenance Fund 2,160,182 2,044,649 2,044,649 2,030,564 2,220,230 Vehicle Replacement Fund 1,430,350 1,608,200 1,622,200 1,673,000 1,673,000 Computer Replacement Fund 272,844 254,550 255,150 242,329 238,713 Risk Management Fund 7,849,009 8,384,534 8,164,839 7,864,833 8,173,786 Total Internal Service Funds 11,712,385 12,291,933 12,086,838 11,810,726 12,305,729 FIDUCIARY FUNDS Police Pension Fund 4,365,147 8,266,000 7,385,800 8,525,125 8,969,000 Fire Pension Fund 5,025,577 7,615,340 6,738,100 8,002,580 8,239,800 Total Fiduciary Funds 9,390,724 15,881,340 14,123,900 16,527,705 17,208,800 TOTAL REVENUES & OTHER SOURCES 114,945,738 115,052,508 115,437,777 117,325,039 118,718,297 VILLAGE OF h._.NT PROSPECT 2017 BUDGET SUMMARY EXPENDITURES BY FUND Actual Budget Estimate Budget Forecast 2015 2016 2016 2017 2018 GENERAL FUND 45,945,581 49,910,442 50,615,021 53,331,595 54,334,611 DEBT SERVICE FUND 4,848,505 4,979,687 4,979,687 4,922,013 5,037,284 CAPITAL PROJECTS FUNDS Capital Improvement Fund 1,870,950 3,547,920 3,496,720 2,248,892 2,973,677 Downtown Redevelopment Construct 3,682,910 3,541,129 3,781,129 - - Street Improvement Construc Fund 6,253,074 3,739,000 3,664,000 4,012,000 4,117,000 Flood Control Construction Fund 9,191,573 1,767,171 1,782,071 795,744 593,553 Total Capital Projects Funds 20,998,507 12,595,220 12,723,920 7,056,636 7,684,230 SPECIAL REVENUE FUNDS Refuse Disposal Fund 4,440,426 4,769,144 4,474,578 4,519,265 4,662,824 Motor Fuel Tax Fund 808,665 2,209,091 1,609,091 1,897,071 1,598,673 CDBG 431,708 587,104 597,104 590,921 592,904 Asset Seizure Fund 9,044 7,000 7,000 7,000 7,000 Federal Equitable Share Funds - 2,000 2,000 2,000 2,000 DUI Fine Fund 12,473 2,000 30,000 20,000 20,000 Foreign Fire Tax Board Fund 67,788 50,500 62,500 65,500 65,500 Business District Fund 1,277,230 1,097,100 2,295,544 1,721,000 1,810,000 Total Special Revenue Funds 7,047,334 8,723,939 9,077,817 8,822,757 8,758,901 ENTERPRISE FUNDS Water and Sewer Fund 14,143,607 17,180,390 16,653,462 15,747,542 16,231,244 Village Parking System Fund 126,352 361,296 361,296 110,766 703,153 Parking System Revenue Fund 143,267 226,164 231,034 163,759 166,084 Total Enterprise Funds 14,413,226 17,767,850 17,245,792 16,022,067 17,100,481 INTERNAL SERVICE FUNDS Vehicle Maintenance Fund 2,019,510 2,174,393 2,062,921 2,174,423 2,220,230 Vehicle Replacement Fund 670,973 2,554,668 2,419,668 2,124,000 1,887,000 Computer Replacement Fund 176,380 264,800 264,800 314,310 196,750 Risk Management Fund 7,102,928 8,061,714 7,897,300 7,709,320 7,976,936 Total Internal Service Funds 9,969,791 13,055,575 12,644,689 12,322,053 12,280,916 FIDUCIARY FUNDS Police Pension Fund 4,685,033 4,833,176 4,801,976 4,938,310 5,068,901 Fire Pension Fund 4,737,216 4,901,031 5,074,861 5,349,410 5,508,849 Total Fiduciary Funds 9,422,249 9,734,207 9,876,837 10,287,720 10,577,750 TOTAL EXPENDITURES 112,645,193 116,766,920 117,163,763 112,764,841 115,774,173 VILLAGE OF MOu.. i PROSPECT 2017 BUDGET SUMMARY AVAILABLE FUND BALANCES/NET ASSETS 12/31/2017 (a) Estimated balances reflect unrestricted net assets only. (b) Fiduciary Funds are restricted for future pension benefits and do not constitute "Available Fund Balances. Estimated 2017 2017 Estimated Recommended Balance Budget Budget Balance Balance 1/1/2017 Revenues Expenditures 12/31/2017 12/31/2017 GENERAL FUND 18,312,679 53,331,595 53,331,595 18,312,679 10,866,922 DEBT SERVICE FUND 161,530 4,928,492 4,922,013 168,009 935,843 CAPITAL PROJECTS FUNDS Capital Improvement Fund 191,979 2,065,000 2,248,892 8,087 590,703 Downtown Redevelopment Construct (1,254,958) - - (1,254,958) - Street Improvement Construc Fund 405,611 3,847,000 4,012,000 240,611 1,000,000 Flood Control Construction Fund 1,352,484 496,000 795,744 1,052,740 168,520 Total Capital Projects Funds 695,116 6,408,000 7,056,636 46,480 1,759,223 SPECIAL REVENUE FUNDS Refuse Disposal Fund 1,187,814 4,610,000 4,519,265 1,278,549 466,282 Motor Fuel Tax Fund 1,725,585 1,419,000 1,897,071 1,247,514 159,867 CDBG - 590,921 590,921 - - Asset Seizure Fund 100,855 10,200 7,000 104,055 7,000 Federal Equitable Share Funds 18,151 200 2,000 16,351 2,000 DUI Fine Fund 119,835 20,100 20,000 119,935 20,000 Foreign Fire Tax Board Fund 326,229 86,000 65,500 346,729 6,550 Business District Fund - 1,721,000 1,721,000 - - Total Special Revenue Funds 3,478,469 8,457,421 8,822,757 3,113,133 661,699 ENTERPRISE FUNDS (a) Water and Sewer Fund 2,816,203 15,516,000 15,747,542 2,584,661 3,285,896 Village Parking System Fund 85,595 184,100 110,766 158,929 28,288 Parking System Revenue Fund 47,059 161,000 163,759 44,300 41,521 Total Enterprise Funds 2,948,857 15,861,100 16,022,067 2,787,890 3,355,705 INTERNAL SERVICE FUNDS (a) Vehicle Maintenance Fund 772,779 2,030,564 2,174,423 628,920 222,023 Vehicle Replacement Fund 7,841,657 1,673,000 2,124,000 7,390,657 7,390,657 Computer Replacement Fund 465,556 242,329 314,310 393,575 393,575 Risk Management Fund 3,358,412 7,864,833 7,709,320 3,513,925 1,322,129 Total Internal Service Funds 12,438,404 11,810,726 12,322,053 11,927,077 9,328,384 FIDUCIARY FUNDS (b) Police Pension Fund 61,083,864 8,525,125 4,938,310 64,670,679 126,203,860 Fire Pension Fund 58,519,941 8,002,580 5,349,410 61,173,111 110,502,368 Total Fiduciary Funds 119,603,805 16,527,705 10,287,720 125,843,790 236,706,228 Total - Village Funds 157,638,860 117,325,039 112,764,841 162,199,058 263,614,004 Less: Fiduciary Funds (b) (119,603,805) (16,527,705) (10,287,720) (125,843,790) (236,706,228) TOTAL AVAILABLE BALANCES 38,035,055 100,797,334 102,477,121 36,355,268 26,907,776 (a) Estimated balances reflect unrestricted net assets only. (b) Fiduciary Funds are restricted for future pension benefits and do not constitute "Available Fund Balances. VILLAGE OF MO,-_.. PROSPECT 2017 BUDGET SUMMARY AVAILABLE FUND BALANCES/NET ASSETS 12/31/2018 Estimated Balance 1/1/2018 2018 2018 Estimated Recommended Budget Budget Balance Balance Revenues Expenditures 12/31/2018 12/31/2018 GENERAL FUND 18,312,679 54,346,546 54,334,611 18,324,614 11,192,930 DEBT SERVICE FUND 168,009 5,043,718 5,037,284 174,443 918,625 CAPITAL PROJECTS FUNDS Capital Improvement Fund 8,087 1,935,000 2,973,677 (1,030,590) 590,703 Downtown Redevelopment Construct (1,254,958) - - (1,254,958) - Street Improvement Construc Fund 240,611 3,892,000 4,117,000 15,611 1,000,000 Flood Control Construction Fund 1,052,740 526,000 593,553 985,187 168,520 Total Capital Projects Funds 46,480 6,353,000 7,684,230 (1,284,750) 1,759,223 SPECIAL REVENUE FUNDS Refuse Disposal Fund 1,278,549 4,736,000 4,662,824 1,351,725 480,271 Motor Fuel Tax Fund 1,247,514 1,419,000 1,598,673 1,067,841 164,663 CDBG - 592,904 592,904 - - Asset Seizure Fund 104,055 10,200 7,000 107,255 7,210 Federal Equitable Share Funds 16,351 200 2,000 14,551 2,060 DUI Fine Fund 119,935 20,100 20,000 120,035 20,600 Foreign Fire Tax Board Fund 346,729 86,000 65,500 367,229 6,747 Business District Fund - 1,810,000 1,810,000 - - Total Special Revenue Funds 3,113,133 8,674,404 8,758,901 3,028,636 681,551 ENTERPRISE FUNDS (a) Water and Sewer Fund 2,584,661 14,441,000 16,231,244 794,417 3,384,472 Village Parking System Fund 158,929 184,100 703,153 (360,124) 29,137 Parking System Revenue Fund 44,300 161,000 166,084 39,216 42,767 Total Enterprise Funds 2,787,890 14,786,100 17,100,481 473,509 3,456,376 INTERNAL SERVICE FUNDS (a) Vehicle Maintenance Fund 628,920 2,220,230 2,220,230 628,920 228,684 Vehicle Replacement Fund 7,390,657 1,673,000 1,887,000 7,176,657 7,176,657 Computer Replacement Fund 393,575 238,713 196,750 435,538 435,538 Risk Management Fund 3,513,925 8,173,786 7,976,936 3,710,775 1,322,129 Total internal Service Funds 11,927,077 12,305,729 12,280,916 11,951,890 9,163,008 FIDUCIARY FUNDS (b) Police Pension Fund 64,670,679 8,969,000 5,068,901 68,570,778 135,038,130 Fire Pension Fund 61,173,111 8,239,800 5,508,849 63,904,062 117,132,510 Total Fiduciary Funds 125,843,790 17,208,800 10,577,750 132,474,840 252,170,640 Total - Village Funds 162,199,058 118,718,297 115,774,173 165,143,182 279,342,353 Less: Fiduciary Funds (b) (125,843,790) (17,208,800) (10,577,750) (132,474,840) (252,170,640) TOTAL AVAILABLE BALANCES 36,355,268 101,509,497 105,196,423 32,668,342 27,171,713 (a) Estimated balances reflect unrestricted net assets only. (b) Fiduciary Funds are restricted for future pension benefits and do not constitute "Available Fund Balances. VILLAGE OF MG%,.aT PROSPECT 2017 BUDGET SUMMARY PERSONAL SERVICES FINANCE DEPARTMENT 1,179,894 1,212,256 1,171,714 1,221,167 1,247,889 COMMUNITY DEVELOPMENT DEPARTMENT Actual 2015 Budget 2016 Estimate 2016 Budget 2017 Forecast 2018 PUBLIC REPRESENTATION 238,882 245,464 253,870 276,724 282,658 VILLAGE ADMINISTRATION 78,080 76,773 76,773 76,443 78,276 Village Manager's Office, Legal Sery 764,191 620,691 642,500 576,772 588,663 Village Clerk's Office 189,696 205,483 218,046 218,383 223,451 Human Resources 286,825 323,993 319,664 296,531 302,423 Information Technology 524,330 554,111 614,736 751,616 768,169 Communications 241,965 236,072 256,167 308,693 315,755 Total Village Administration 2,007,007 1,940,350 2,051,113 2,151,995 2,198,461 FINANCE DEPARTMENT 1,179,894 1,212,256 1,171,714 1,221,167 1,247,889 COMMUNITY DEVELOPMENT DEPARTMENT Community Development 1,598,012 1,818,454 1,700,560 1,791,429 1,831,720 CDBG 78,080 76,773 76,773 76,443 78,276 Total Community Development Dept 1,676,092 1,895,227 1,777,333 1,867,872 1,909,996 Engineering 1,022,529 1,036, 626 1,036, 626 1,040,890 1,062,895 HUMAN SERVICES DEPARTMENT 937,722 961,244 962,932 983,206 1,004,412 PUBLIC SAFETY AND PROTECTION 2,534,499 2,871,844 2,871,744 3,064,432 3,131,529 Police Department 14,557,794 15,537,077 15,257,730 16,266,001 16,751,050 Fire Department 11,772,822 12,703,618 12,804,975 13,423,208 13,655,725 Total Public Safety and Protection 26,330,616 28,240,695 28,062,705 29,689,209 30,406,775 PUBLIC WORKS DEPARTMENT Administration 441,625 530,113 558,113 444,231 452,755 Streets/Buildings 1,694,585 1,660,480 1,663,085 1,652,116 1,687,921 Forestry and Grounds 988,177 1,000,218 1,000,215 1,030,230 1,052,520 Engineering 1,022,529 1,036, 626 1,036, 626 1,040,890 1,062,895 Refuse Disposal 365,930 357,874 357,874 369,937 378,301 Water and Sewer Division 2,534,499 2,871,844 2,871,744 3,064,432 3,131,529 Parking 90,339 92,535 92,535 96,308 98,540 Vehicle Maintenance 1,356,111 1,363,508 1,365,536 1,387,183 1,417,378 Total Public Works Department 8,493,795 8,913,198 8,945,728 9,085,327 9,281,839 TOTAL PERSONAL SERVICES 40,864,008 43,408,434 43,225,395 45,275,500 46,332,030