HomeMy WebLinkAboutCOW Agenda Packet 05/14/2002Meeting Location:
Mount Prospect Senior Center
50 South Emerson Street
COMMITTEE OF THE WHOLE
AGENDA
Meeting Date and Time:
Tuesday, May 14, 2002
7:00 p.m.
I. CALL TO ORDER - ROLL CALL
Mayor Gerald L. Farley
Trustee Timothy Corcoran Trustee Michaele Skowron
Trustee Paul Hoefert Trustee Irvana Wilks
Trustee Richard Lohrstorfer Trustee Michael Zadel
I1.
ACCEPTANCE OF MINUTES OF COMMI'I-rEE OF THE WHOLE MEETING OF
APRIL 9, 2002
III. CITIZENS TO BE HEARD
IV. FIRST QUARTER FINANCIAL REPORT
The financial health of the Village is of paramount importance to the Mayor and Board of
Trustees and administration. Constant review of the Village's financial position with regard
to revenues and expenditures allows budgetary decisions to be made in an informed
manner. To that end, the Village has engaged in quarterly reporting of the Village's financial
position.
As was the case last year, it is again especially important to be vigilant given the weakened
national and local economies. Pending State legislation could also seriously impact our
financial position.
Finance Director Douglas EIIsworth has prepared a general overview of our revenue and
expenditure position based upon the recently completed first quarter. While it is early in the
year, and clear trends have not been established, there is enough information to begin
looking for areas of concern that merit close scrutiny and some preliminary strategic
discussion.
Appropriate staff, will be on hand to answer questions and facilitate discussion.
NOTE: ANY INDIVIDUAL WHO WOULD LIKE TO ATTEND THIS MEETING BUT BECAUSE OF A
DISABILITY NEEDS SOME ACCOMMODATION TO PARTICIPATE, SHOULD CONTACT THE VILLAGE
MANAGER'S OFFICE A T 100 SOUTH EMERSON, MOUNT PROSPECT, ILLINOIS 60056, 847/392-6000,
EXTENSION 5327, TDD #847/392-6064.
V=
VI.
VII.
VIII.
IX.
STREETSCAPE UPDATE
With the start of construction season, work will again begin on various downtown
streetscape projects. Staff would like to provide the Village Board and public with an oral
status of both current and future projects. A PowerPoint presentation is planned. Also,
Community Development Director Bill Cooney and Public Works Director Glen Andler will
serve as tour guides.
,REVIEW OF ACCESSORY SHED REGULATIONS
Earlier this year, two Variation requests for the size and placement of sheds came to the
Village Board for consideration. In each case, the sheds' respective sizes greatlyexceeded
the current 120 square foot maximum allowed by Code. Both cases also requested
Variations to allow placement of the sheds in existing utility easements or setback areas.
These Cases and the issues they raised prompted considerable discussion among Village
Board members. As a result of that discussion, the two shed Variation Cases were tabled,
and staff was directed to research whether the current Village shed regulations were
outdated as to both allowable maximum size of a shed and its placement on one's property.
As a result, staff surveyed surrounding communities regarding their regulatory schemes and
found that two methods of regulation prevailed. Some communities simply state the
maximum allowable size for a shed, regardless of lot size, with the only other limiting factor
being overall lot coverage. Other communities followed a formula wherein the maximum
size of a shed was determined by multiplying lot size by some factor to determine maximum
shed size, again with overall lot coverage being a limiting factor. Staffwould be comfortable
in administering either type of regulatory scheme.
From a policy standpoint, the Village Board needs to determine whether overall lifestyle
changes and demands in housing amenities dictates the need to modify current Village
regulations.
The Village Board discussed this topic at the April 9, 2002 Committee of the Whole meeting.
The general consensus reached at that time was the need to increase the current 120
square foot size limit. There was also general agreement that setback requirements be
maintained. Still to be determined is maximum shed size and how that size is arrived at, by
way of a formula, or a fixed maximum size.
Refer to the April 9 Committee of the Whole minutes included in this package. Appropriate
staff will be on hand to answer questions and facilitate discussion.
VILLAGE MANAGER'S REPORT
ANY OTHER BUSINESS
ADJOURNMENT
CLOSED SESSION
PROPERTY ACQUISITION
5 ILCS 120/2 (c) (5). "'~qe purchase or lease of real propertyfor the use of the public
body."
II.
III.
IV.
MINUTES
COMMITTEE OF THE WHOLE
APRIL 9, 2002
CALL TO ORDER
The meeting was called to order at 7:03 p.m. by Mayor Gerald Farley. Present at
the meeting were: Trustees Timothy Comoran, Paul Hoefert, Michaele Skowron
and Irvana Wilks. Absent from the meeting were: Trustees Richard Lohrstorfer
and Michael Zadel. Staff members present included Village Manager Michael
Janonis, Assistant Village Manager David Strahl, Community Development
Director William Cooney, Deputy Community Development Director Mike Blue,
Environmental Health Coordinator Bob Roels, Building Division Inspector Nick
Licari, Fire Marshal Paul Valentine, Public Works Director Glen Andler, Village
Engineer Jeff Wulbecker and Project Engineer Chuck Lindelof.
APPROVAL OF MINUTES
Approval of minutes from March 26, 2002. Trustee Hoefert requested several
revisions regarding the Minutes and the description of the Village Hall project and
asked that the approval of the Minutes be deferred until the revision is provided.
CITIZENS TO BE HEARD
None.
REVIEW OF ACCESSORY SHED REGULATIONS
Community Development Director Bill Cooney summarized the staff research
that he has obtained from other communities. This information was requested
based on the frequency of requests for Variations that have come before the
Village Board recently. He highlighted the fact that several towns approach shed
regulations similar to Mount Prospect where the maximum square footage is
used as the determining factor for administrative regulation. He also highlighted
that several communities utilize a formula for maximum shed size computed on
the property size and other accessory structures on the site. He also stated that
a review of the market place has shown that there are sheds available within the
parameters that Mount Prospect utilizes for shed regulations. He stated the
formula for computing maximum size is more complex and would require
additional staff explanation and generate larger sheds depending on the property
size. He also suggested that if the formula were to be used, then there could be
the opportunity to create a band of various property sizes (based on square
footage) unique to various shed sizes.
General comments from the Village Board members included the following items:
There was support expressed for considering an increase in the overall shed size
compared to what is currently regulated. There was also discussion regarding
the need to make the regulation easy to administer and maintain the required
setback for larger sheds. There was a concern that with the larger shed sizes,
there could be additional requests before the Board for Variations to allow such
larger sheds on limited property that would necessitate encroachment in the
setbacks. There were comments made regarding the need to keep the size of
the shed below a typical garage size.
Consensus of the Village Board was to consider an increase in the size but
gather input from the Planning and Zoning Commission with guidance from
the Village Board considering the larger sizes based on property square
footage and maintenance of the setbacks.
Walter Feder, 808 Lancaster, spoke. He would suggest the Board consider
reducing the setback based on the size of the shed.
Doug Doughty, 1431 Blackhawk, spoke. He stated that he has a larger shed
and would not want to take stock what was available in the market place as a
basis for determination of what size is appropriate. He also wanted to point out
that usage of sheds does change over time and the Village would not eliminate
all Variation requests with a proposed change.
PROPOSED DEVELOPMENT CODE MODIFICATIONS
Village Manager Janonis introduced the topic by stating this has been a three-
year process and the goal was to make the Code much more understandable
and user-friendly. He also hoped that the revisions would make the Code more
equitable for application since the Code does touch on several Departments at all
times.
Project Engineer Chuck Lindelof provided a general overview to the Village
Board regarding the revision process and what changes were made. He said
many of the changes were necessitated through staff review of the process and
some changes were made through additional staff. He stated one of the main
goals for changes for the Code over time was to reduce the turn-around time and
confusion by users of the Code. He stated that 90% of the changes could be
categorized as organizational in nature and the Code has been separated into
two sections; one for site improvements and the other for site construction
standards for better application. He also stated that much of the content
changes are reflective of new materials and standard practices and would like to
complete the process prior to the construction season for this year.
2
VI.
General comments from the Village Board members included the following items:
There was general support for the proposed changes, however, there were some
concerns raised regarding the Permit process turn-around time. There was also
a question regarding the lawn sprinkler regulations. Several Board members
also asked what the process has been for these changes; whether input has
been obtained from the developers into the Code changes.
Chuck Lindelof stated that there were comments that were included from
various developers.
REVISIT SIDEWALK INSPECTOR PROGRAM
Community Development Director Bill Cooney stated that the options for the
Sidewalk Inspector were originally intended as a proactive process to
supplement the self-initiated inspections currently undertaken by Inspectors
along with the complaint investigation process. He stated that such a program
would require additional staff and he felt that the program could be undertaken
with less than a full-time staff person. He stated that the program would be used
as an early warning inspection before larger problems are noticed.
General comments from the Village Board members included the following items:
An issue was raised regarding the need to be proactive in inspections to protect
the property value and neighborhood value. There was some concern regarding
excessive governmental intervention in such a program. There were also
concerns raised about what standards would be utilized and how such standards
would be defined for application in the inspection process itself. There was a
concern raised about this project reappearing after a previous discussion by the
Village Board. It was noted that the housing stock is getting older and there
could be some opportunity for addressing issues before they become much
larger to resolve.
Walter Feder, 808 Lancaster, spoke. He was concerned about postal delivery
people cutting across yards and killing the grass instead of using the sidewalk.
Dale Barbara Draznin, 220 South Hatlen, spoke. She stated that the Board
should consider the necessary standards to be considered with the help and
safety as the primary concern for the residents.
Consensus of the Village Board was to direct staff to continue to develop
this concept and return to the Village Board with cost and development of
inspection standards for review as part of the Mid-Year Budget discussion.
3
VII. USE OF DRIVlT FOR CONSTRUCTION MATERIAL IN MOUNT PROSPECT
Community Development Director Bill Cooney stated that the use of this
material has been problematic in some areas of the country due to water damage
and durability. He stated the installation of the material has been determined as
the root cause for the water infiltration. Improper installation causes the water to
be trapped behind the material as the water eats away at the structural material
of a building. He stated that there have been some improvements to the material
where a drainage system has been developed to allow the water to filter out from
underneath the material if it does penetrate the exterior. He stated the Village
currently has no regulations on the application of the material.
Building Division Inspector Nick Licari spoke. He stated there are two
different types of systems currently available, which have been developed due to
the litigation that has taken place due to the damage from water infiltration
behind the material. He stated one opportunity that could be considered is a
third party inspection to ensure the installation is properly done and paid for by
the developer and the material would have to be applied in such a way for the
water to get out if it, in fact, did get behind the material.
General comments from the Village Board members included the following items:
Several members stated they do not have confidence in the product and felt it
should be banned as a material for use in the Village. There was also concern
raised that an Inspector would have to be on site the entire time of installation to
ensure proper installation.
Consensus of the Village Board was to direct staff to consider possible
liability exposure by the Village if banned as a building material based on
research that would be undertaken by the Village Attorney.
VIII. VILLAGE MANAGER'S REPORT
Village Manager Janonis reminded the Village Board of the upcoming Coffee
with Council on April 13 and this meeting would be the last Floating Coffee with
Council and would take place at Fire Station 12 from 10:30 a.m. until 12:00 noon,
once the initial meeting was completed at the Village Hall from 9:00 a.m. until
10:15 a.m.
He also wanted to remind everyone that April 20 was the Welcome New
Resident event from 9:00 a.m. until 10:30 a.m.
4
X. ANYOTHERBUSINESS
Trustee Hoefert suggested the Board consider a discussion regarding garage
conversions to living space and consideration whether such conversion should
be allowed with the likelihood that another garage would not be constructed on
properties of a specific size.
Consensus of the Village Board was to consider this as a future Committee
of the Whole topic.
Several members of the Village Board expressed regret at the recent resignation
of Deputy Community Development Director Michael Blue since he recently
accepted a new position at the City of Highland Park as the Director of
Community Development.
X. ADJOURNMENT
The meeting adjourned at 9:31 p.m.
Respectfully submitted,
DAVID STRAHL
Assistant Village Manager
Village of Mount Prospect
Mount Prospect, Illinois
INTEROFFICE MEMORANDUM
Following is a brief summary of the Village's financial activity as compared to budget for the
first quarter of the current fiscal year.
REVENUES
The approved 2002 Budget includes projected revenues of $72,301,956. At th'e end of the
first quarter of the year we have brought in actual revenues of $18,323,406, representing
25.3% of budget.
The following table summarizes our year-to-date actual and annual projected revenues by
major classification.
Property Taxes $ 4,652,859 $10,477,382 44.4%
Other Taxes 5,085,958 18,307,694 27.8
Licenses, Permits, Fees 1,056,121 3,000,200 35.2
Intergovernmental R~V. 2,016,339 8,893,630 22.7
Service Charges 2,981,103 13,358,504 22.3
Fines and Forfeits 132,038 434,400 30.4
Investment Income 969,478 5,194,738 18.7
Reimbursements 1'38,840 483,957 28.7
Other Revenue 1,290,670 3,408,988 37.9
Other Financing SourCeS 0 8,742,463 0.0
Excluding one-time Other Financing Sources such as bond proceeds and land sale
proceeds, actual re~/enue collections are closer to 29% of annual projections.
Quarterly Financial Report
April 16, 2002
Page 2
PROPERTY TAXES: Since property tax receipts are generally distributed by the Cook
County Treasurer in March and September a 44% collection rate is approximately where it
should be. The proliferation of tax assessment appeals and tax refunds is causing the
collection ratio to be slightly below prior years' levels.
OTHER TAXES: Some of the larger revenue sources included in this category are the
sales tax, home-rule sales tax, special service area taxes, utility taxes and TIF revenues.
As of March 31st we have received 28% of our annual projection.
For the year ended December 31, 2001 sales tax receipts of $7,729,086 represented a
3% decrease from the previous year. Since there is a three-month lag between when a
sale occurs and when the State remits the sales tax to the Village, the $2,138,195
recorded as sales tax revenue for the first three months of 2002 is merely an estimate.
Our actual collections for the first three months of 2002 were recorded as a receivable and
revenue for 2001. We will continue to monitor this account closely, as it is our second
largest revenue source and subject to economic conditions.
Revenues from the special service area tax came in at $707,151 for the fiscal quarter,
which is 45% of budget. Since this tax is assessed and collected as part of the property
tax process, the collection rate should be similar to that of the property tax.
Another large revenue source for the Village is the utility tax. Of the 3.3% tax,
approximately 60% is deposited in the General Fund operations and 40% in the Street
Improvement Fund. A total of $3.1 million is projected for 2002. Through March 31st we
have recorded revenue of $762,170, which is 24.5% of our annual projection.
Tax increment revenues from the first installment of the 2001 property tax levy came in at
$385,518, or 41% of annual projection.
LICENSES, PERMITS AND FEES: We have collected 35% of the $3 million projected for
this revenue category. The largest revenue source in this category is the vehicle license
fee from which we have collected $572,561h(42%) of the $1,368,000 projected. Since the
new license must be displayed bY April 30t we expect to receive a significant amount of
license revenue in the month of April.
INTERGOVERNMENTAL REVENUES: The Village has received $2,016,339 (23%)of the
$8,893,630 projected for the year.
Our allotment of the state income tax is the largest single source of revenue in this
category. We have recorded $981,753 of revenue as of March 31st, which is 24% of our
Quarterly Financial Report
April 16, 2002
Page 3
annual projection.
SERVICE CHARGES: We have collected $2,981,103 in service charges during the first
three months. This represents 22% of the $13.4 million originally projected. Water and
sewer service charges, which account for approximately one-half of the total, came in at
approximately 21% of annual projection. This level of collection is normal since water
consumption is higher during the summer months.
FINES AND FORFEITS: This revenue source, consisting mostly of police citation
collections, is showing actual collections of $132,038 through March 31 st, approximately
30% of the $434,400 projected for the year. Citation revenue appears to be gradually
increasing after a significant decline in 2000.
INVESTMENT INCOME: Income from investments held by the Village and its two pension
boards totaled $969,478 for the first three months. This represents 19% of our projection
for the year. Investment income is falling slightly behind projections due to declining
interest rates and the fact that the pension funds' stock funds remained relatively fiat for
the first quarter.
REIMBURSEMENTS: Receipts of $138,840 represent 29% ofannual projection.
OTHER REVENUE: This category is showing receipts of $1,290,670, which is 37.9% of
the $3,408,988 projected for the year. The Village's contributions to the Police and
Firefighters' pension funds account for slightly less than half of the total for this revenue
category. Of the $1.55 million budgeted for the two funds, $691,538, or 44%, has been
collected and remitted.
The Village did collect $84,398 in fees for ceding its 2002 private activity bond volume cap
in the first quarter. Since there is no assurance there will be a market for our cap we do
not include any revenue from this source in the annual revenue projections and budget.
The other major revenue sources in this category include employee and retiree
contributions to the pension funds and health insurance programs, and developer
donations. All of these sources are very close to a 25% collection ratio.
OTHER FINANCING SOURCES: This category includes interfund transfers as well as
one-time revenue sources such as proceeds from bond sales and the sale of property.
st
The 2002 Budget anticipates $8,742,463 of other financing sources. As of March 31 we
are not showing any receipts from these sources. Anticipated bond sale proceeds of
$8,315,000 for the balance of the new village hall and parking structure account for the
bulk of the budgeted revenues in this category. This financing will likely take place later
this summer or eady Fall.
Quarterly Financial Report
April 16, 2002
Page 4
EXPENDITURES/EXPENSES
The approved budget for the year 2002 is currently $72,023,881. After the first three
months of operation a total of $12,842,554 has been expended, which is 18% of budget.
It is very difficult to evaluate and interpret the spread between budget and actual spending
this early in the year. The majority of capital spending tends to fall during the summer
months and the Village's debt service payments mostly come due in May and December.
The following table might help illustrate how the Village's spending compares to budget as
of March 31, 2002.
. ::EXpenditure:categbry::Ihbur~bd t5 Date Ann'ual Budget .~: EXpended.
Wages $ 4,278,249 $19,743,627 21.7%
Employee Benefits 1,551,711 5,120,035 30.3
Other Employee Costs 56,966 325,437 '17.5
Pension Costs 878,565 3,945,967 22.3
Contractual Services 2,557,625 13,931,587 18.4
Utilities 83,619 539,580 15.5
Insurance 1,156,023 4,215,564 27.4
Commodities, Supplies 254,488 1,239,179 20.5
Other Expenditures 5,334 905,936 0.6
Interfund Transfers 0 367,463 0.0
Capital Expenditures 1,737,580 16,096,666 10.8
Debt Service 282,394 5,592,840 5.0
As can be seen in the table, expenditures of a more operational nature are closer to 22%
of annual budget.
Wages of $4,278,249 are only at 21.7% of budget because of position vacancies.
Employee benefit costs are running slightly ahead of budget due to the Village's
contributions to the police and firefighter pension funds being at 44% of budget for the
reason explained earlier.
Quarterly Financial Report
April 16, 2002
Page 5
The Other Expenditures category includes the CDBG Single Family Rehab program, the
real estate tax assistance program and the majority of expenses pertaining to the
downtown redevelopment efforts. This category is showing expenditures of $5,334, which
is 0.6% of budget. The majority of these expenses will fall during the summer months.
A little more than 10% has been spent out of the $16.1 million budgeted for capital
expenditures. As previously mentioned, the majority of the projects will be undertaken in
the summer and fall.
It also might prove beneficial for you to see how the various departments' spending is
falling in comparison to budget, so the following table is presented.
· :, Departrnent/Program '?:: ·Incurred [o Date AnnUal. Bud~ Expended
Public Representation $ 22,692 $ 105,663 21.5%
Village Manager's Office 220,283 1,283,449 17.2
TV Services Division 48,805 205,228 23.8
Village Clerk's Office 35,689 144,504 24.7
Finance 364,589 1,393,203 26.2
Community Development 330,415 1,514,389 21.8
CDBG 19,806 461,265 4.3
Human Services 165,627 821,486 20.2
Police 2,404,790 9,831,911 24.5
Fire 1,882,149 7,850,578 24.0
Public Works 3,397,077 19,151,202 17.7
Community Service 48,054 303,485 15.8
Capital Imp. Projects 1,676,565 15,279,023 11.0
Debt Service 288,026 5,487,940 5.2
Pensions 878,568 3,952,767 22.2
Risk Management 1,059,419 3,870,325 27.4
Interfund Transfers 0 367,463 0.0
For the most part, the operating departments are running relatively close to budget. The
only programs showing a material variance are CDBG, Debt Service and Capital
Improvement Projects.
uarterly Financial Report
April 16, 2002
Page 6
SUMMARY
It appears that revenues and expenditures are generally in line with our budget at this early
stage. We will have to watch our sales tax and income tax receipts closely to see if they
start leveling off as projected.
It is probably not too early to begin thinking about 2003. As you know, the forecast budget
for 2003 is showing a $640,000 General Fund deficit. We also do not expect to be able to
reinstate the transfer from the General Fund to the Capital Improvements Fund in 2003.
Rising pension and health insurance costs will also prove to be a challenge in balancing
the budget.
We will have a much better handle on our revenue and expenditure picture as we get into
the mid-year review and 2003 financial forecast in August. At that time we will need to
solicit direction from the Board as to the level of tax increase they would like to hold to in
2002. This will assist the staff in putting together a balanced proposed 2003 Budget.
DOUGLAS R. ELLSWORTH, CPA
DIRECTOR OF FINANCE
c: Department Directors
Finance Commission members
I:\Corresp\lntl~2002\Ctdy F-S Review~3-31-02.doc
Exhibit 1
VILLAGE OF MOUNT PROSPECT
SUMMARY OR REVENUE AND EXPENDITURES
THREE MONTHS ENDED MARCH 31, 2002
(All Figures in Thousands)
Fund Revenues Expenditures
GENERAL FUND 8,988 6,503
Excess
(Deficiency)
2,485
SPECIAL REVENUE FUNDS
Refuse Disposal 1,283 615 668
Motor Fuel Tax 400 160 240
Law Enforcement Grant 0 25 (25)
CDBG 320 20 300
Asset Seizure 4 2 2
DEA Shared Funds 0 0 0
DUI Fines 2 0 2
DEBT SERVICE FUNDS
CAPITAL PROJECT FUNDS
Capital Improvements
Series 2001 Project
Capital Impr. Construction
Downtown Redevelopment
Street Improvement
Flood Control Construction
ENTERPRISE FUNDS
Water and Sewer
Parking System
INTERNAL SERVICE FUNDS
Vehicle Maintenance
Vehicle Replacement
Computer Replacement
Risk Management
2,009 822 1,187
1,374 288 1,086
89 688 (599)
19 29 (10)
1 2 (1)
1 61 (60)
539 63 476
32 230 (198)
681 1,073 (392)
2,068 1,454 614
48 38 10
2,116 1,492 624
289 229 60
259 438 (179)
49 63 (14)
930 %059 (129)
1,527 1,789 (262)
TRUST AND AGENCY FUNDS
Police Pension 770 435 335
Fire Pension 837 431 406
Benefit Trust #2 0 9 (9)
SSA #6 19 0 19
1,626 875 751
18,321 12,842 5,479
VILLAGE OF MOUNT PROSPECT
BUDGET REVENUE
&
EXPENDITURE SUMMARIES
January 1 ~ March 31, 2002
VILLAGE OF MOUNT PROSPECT
Budget Revenue Suaunary
01/01/02 - 03/31/02
Cur Mo Y-T-D 2002
Received Received Budget
3 Months (
9 Months (
25.0% ) Completed
75.0% ) Remaining
Unreceived Unreceived
Balance Percent
REVENUE BY CLASSIFICATION
PROPERTY TAXES
OT~ER T~SfES
LICENSES, PERMITS & FEES
INTERGOVERMENT REV.
CHARGES FOR SERVICE
FINES AND FORFEITS
INVESTMENT INCOME
Pd~IMBURSEMENTS
OTHER R~
OTHER FINANCING SOURCES
Total All Funds
REV~JE BY FUND
GENERAL FUND
REFUSE DISPOSAL FUND
MOTOR FUEL TAX FUND
LAW ENFORCEMENT BLOCK GRANT
COMMUNITY DEVELPMNT BLOCK GRMT
ASSET SEIZURE FUND
DEA Shared F~nds Fu~d
DUI FINE FUND
'~FUBLIC WOP~K~ FACILTY E&I 1987A
R~FUND 87B & 91A B&I 1993B
G. O. SERIES 2001 DEBT SERVICE
G. O. SERIES 2002 DEBT SERVICE
2002B Refunding B&I - Prop Tax
2002A Refunding B&I - TIF
DOWNTOWN REDEVLOPMNT B&I 1993A
DOWNTOWN RED~VLOF~/~T B&I 1994B
DOWNTOWN RED~LOPMNT B&I 1996B
DOWNTOWN REDRVL B & I 1998B
DOWNTOWN RED~VL B & I 1999
FLOOD'CONTROL B&I 1992A
REFUNDING FLOOD 91A B&I 1993B
FLOOD CONTROL B&I 1994A
FLOOD CONTROL B&I 1996A
FLOOD CONTROL - 1998A B & I
DOWNTOWN REDEVELOP 1998C B & I
EPA FLOOD LOAN B&I
FLOOD CONTROL 2000 B & I
2002B Refunding B&I - Flood
STREET IMPROVEMENT B&I 1994A
CAPITAL IMPROVEMENTS B&I 1996A
STREET IMPROVB & I 1998A
2002B Refunding B&I - Streets
CAPITAL IMPROVEMENT FUND
POLICE & FIRE BLD~ CONST FUND
SERIES 2001 PROJECT FUND
SERIES 2002 PROJECT FUND
3,422,391 4,692,859 10,477,382 5,824,523 55.6
2,367,814 5,085,988 18,307,694 13,221,736 72.2
394,113 1,056,121 3,000,200 1,944,079 64.8
488,965 2,016,339 8,893,630 6,877,291 77.3
969,282 2,981,103 13,358,504 10,377,401 77.7
49,001 132,038 434,400 302~362 69.6
386,044 969,478 5,194,738 4,225,260 81.3
70,561 138,840 483,957 345,117 71.3
794,151 1,290,670 3,408,988 2,118,318 62.1
0 0 8,742,463 9,742,463 100.0
8,912,822 18,523,406 72,901,956 53,978,550 74.7
4,454,537 8,987,765 28,382,315
872,751 1,282,929 3,459,972
132,708 400,187 1,624,395
19 41 19,410
9,952 319,959 461,265
3,930 9,998 0
0 0 0
805 2,017 0
36,837 50,656 111,909
181,278 246,939 561,009
7,135 9,574 393,592
0 0 0
0 0 0
66,968 98,S50 244,025
0 0 0
34,71~ S0,821 124,188
14,623 21,378 81,990
105,421 154,894 378,736
0 0 0
28,483 68,814 281,814
28,294 49,375 249,947
21,659 51,711 213,904
10,606 20,516 104,285
43,305 63,413 184,985
70,104 171,721 686,259
4,924 6,037 46,802
69,085 144,680 692,671
104 15,652 0
91,625 149,701 908,999
77,760 89,291 970,697
0 0 0
4,406 18,768 135,588
0 0 8,388,293
19,394,550 68.3
2,175,043 62.9
1,224,208 75.4
18,369 99.8
141,306 30.6
0
-2,017
60,853 54.6
314,074 56.0
384,018 97.6
0
0
145,475 59.6
0
73,367 59.1
30,612 58.9
223,942 59.1
0
213,000 75.6
200,972 80.2
162,193 75.8
83,769 80.3
91,572 59.1
514,538 75.0
40,765 87.1
547,991 79.1
-15,652
759,298 83.5
881,406 90.8
0
116,820 86.2
8,388,293 100.0
04/~2/2002
VILLAGE OF MOUNT PROSPECT
Budget Revenue Sununary
01/Ol/02 ~ 03/31/o2
3 MOnths (
9 Months (
25.0% ) Completed
75.0% ) Remaining
Cur MO Y-T-D 2002
Received Received Budget
Unreceived Unreceive~
Balance Percent
CAPITAL IMPROVEMENT CONST FUND
DOWNTOWN REDEVLP~ CONST
STREET IMPROVEMENT CONST FUND
FLOOD CONTROL CONST 1998A
FLOOD CONTROL CONST FUND
WATER ANDSEWERFUND
PARKING SYSTEM REVENUE FUND
VEHICLE MAINTENANCE FUND
VEHICLE REPLACBMENT FUND
COMPUTER REPLACEMENT FUND
RISK PLANAGSMENT PUND
POLICE PENSION FUND
FIRE PENSION FUND
BENEFIT TRUST #2 FUND
ESCROW DBPOSIT FUND
SSA #1 PROSPECT MEADOWS B&I
SSA 06 GEORgE~ALbERT
Total All Funds
212 1,012 0 -1,012
146 650 1,000 350 35.0
162,317 538,866 1,854,992 1,316,126 71.0
0 0 0 0
6,895 32,352 1,075,000 1,042,648 97.0
959,192 2,068,271 8,042,712 5,974,441 74.5
15,133 47,521 202,200 154,679 76.5
98,051 289,272 1,155,478 866,206 75.0
88,980 258,751 1,060,651 801,900 75.6
27,628 49,451 200,053 150,602 75.3
296,009 930,391 3,831,663 2,901,272 75.7
421,929 769,512 3,093,539 2,324,027 75.1
452,754 837,187 3,103,370 2,266,183 73.0
138 416 1,100 684 62.2
0 1,765 0 -1,765
0 0 0 0
13,944 1B,610 56,548 17,838 49.1
8,912,322 18,323,406 72,301,956 53,978,550 74.7
09:01:29
FRRBRR03
SUM o21
5 Months ( 25.0% ) Completed
9 Months ( 75.0% ) Remaining
VILLAGE OF MOUNT PROSPECT
Budget Revenue by Category within Fund Summary
01/01/02 03/31/02
Cur Mo Y-T-D 2002 Unreceived Unreceived
Received Received Budget Balance Percent
GENERAL FUND
40 PROPERTY TAXES 2,386,811 3,244,603 7,305,151 4,060,548 55.6
41 OTHER TAXES 1,144,989 2,877,309 11,124,618 8,247,309 74.1
42 LICENSES, PERMITS & FEES 352,618 960,083 2,765,000 1,804,917 65.3
43 INTERGOVERMENT REV. 330,318 1,319,149 5,189,410 3,870,261 74.6
44 C~GES FOR SERVICE 44,773 175,984 780,176 604,192 77.4
45 FINES A~ FORFEITS 44,302 126,139 434,400 308,261 71.0
46 INI~STMENT INCOME 14,053 55,481 345,000 289,519 83.9
47 REIMBURSEMENTS 26,945 76,742 307,710 230,968 75.1
48 OT~ER RE%~N~ 109,728 182,275 130,850 -21,425 -16.4
TOTAL OENERAL FUND 4,454,537 8,987,765 28,382,315 19,394,550 68.3
REFUSE DISPOSAL FUND
40 PROPERTY TAXES 811,377 1,103,307 2,493,722 1,390,415 55.8
44 CHARGES FOR SERVICE 57,264 169,711 915,250 745,539 81.5
46 INVESTMENT INCOME 4,110 9,911 49,000 39,089 79.8
48 OTHER RE%~NUE 0 0 0 0
TOTAL P~EFUSE DISPOSAL FUND 872,751 1,282,929 8,457,972 2,175,041 62.9
MOTOR FUEL TAX FUND
43 INTERGOVERMENT REV. 128,647 587,190 1,554,245 1,167,055 75.1
46 INVESTMENT INCOME 4,061 12,940 70,000 57,060 81.5
47 P~IMBURSEMENTS 0 57 150 95 62.0
132,708 400,187 1,624,395 1,224,208 75.6
LAW ENFORCEMENTBL~GPJ%NT
45 INTERGOVERMENT REV. 0 0 18,410 18,410 100.0
46 INVESTMENT INCOME
TOTAL LAW ENFORCEMENT BLOCK GRANT 19 41 18,410 18,369 99.8
COMMUNITY DEVELP~TrBLOCK GRNT
43 INTERGOVEP, MENT REV. 0 310,000 404,465 94,465 23.4
46 INVESTMENT INCOME 6 13 0 -13
48 0T~R RE%~NUE 9,946 9,946 56,800 46,854 82.5
TOTAL COMMUNITY DEV~LPMNT BLOCK GP, NT 9,952 319,959 461,265 141,306 30.6
ASSET SEIZURE FUND
45 FINES A~ FORFEITS 5,899 3,899 0 -3,899
46 I~STMENT INCOME 31 99 0 -99
TOTAL ASSET SEIZURE FUND 3,930 8,998 0 -3,998
DEA Shared Funds Fund
45 FINES AND FORFEITS
TOTAL DEA Shared F~nds Fund
0 0 0 0
0 0 0 0
04/12/2002
FRRBRR03
SUM o21
3 Months ( 25.0% ) Completed
9 Months ( 75.0% ) Remaining
VILLAGE OF MOUNT PROSPECT
Budget Revenue by Category within Fund Suum-~ary
01/01/02 03/31/02
Cur MO Y-T-D 2002 Unreceived Unreceived
Received Received Budget Balance Percent
DUI FINE FUND
45 FINES AND FORFEITS
46 IEtVESTMENT INCOME
TOTAL DUI FINE FUND
PUBLIC WORKS FACILTY B&I 1987A
40 PROPERTY TAXES
46 INVESTMENT INCOME
TOTAL PUBLIC WOP~KS FACILTY B&I 1987A
REFUND 87B & 91A B&I 1993B
40 PROPERTY TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL REFUND 87B & 91A BaI 1993B
G. O. SERIES 2001 DEBT SERVICE
40 PROPERTY TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL G. O. SERIES 2001 DEBT SERVICE
G. O. SERIES 2002 DEBT SERVICE
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL G. O. SERIES 2002 DEBT SERVICE
2002B Refunding B&I - Prop Tax
40 PROPERTY TAXES
46 INVESTMENT INCOME
49 OTEER FINANCING SOURCES
TOTAL2002B Refunding B&I - Prop TaX
2002A Refunding B&I - TIF
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTA~2002A Refunding B&I - TIF
DOWNTOWN REDEVLOP~/~T B&I 1993A
41 OT~ER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL DOWNTO~N REDEVLOPMNT B&I 1993A
800 2,000 0 -2,000
5 17 0 -17
805 2,017 0 -2,017
36,705 50,146 109,468 59,322 54.2
132 510 2,041 1,531 75.0
36,837 50,656 111,509 60,853 54.6
180,396 245,301 547,500 302,199 55.2
879 1,634 13,509 11,875 87.9
0 0 0 0
181,275 246,935 561,009 314,074 56.0
7,102 9,502 21,541 12,039 55.9
33 72 4,588 4,516 98.4
0 0 367,463 367,463 100.0
?,135 9,574 393,592 384,010 97.6
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
-2 -2 0 2
0 0 0 0
-2 -2 0 2
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
66~396
572
0
66,968
97,115 234,334 137,219 58.6
1,435 8,691 8,256 85.2
0 0 0
98,550 244,025 145,475 59.6
FRRBRR03
SUM o21
3 Months ( 25.0% ) Completed
9 Months ( 75.0% ) RemaininB
VILLAGE OF MOUNT PROSPECT
Budget Revenue by Category within Fund Summary
01/01/02 03/31/02
Cur Mo Y-T-D 2002 Unreceived Unreceived
Received Received Budget Balance Percent
DOWNTOWN REDEVLOP~qT B&I 1994B
41 OTHER TAXES 0 0 0 0
46 INVESTMENT INCOME 0 0 0 0
TOTAL DOWN~OWN REDEVLOPMNT B&I 1994E 0 0 0 0
DOWNTOWN RFDEVLOPMNT B&I 1996B
41 OTHER TAXES 34,595 50,601 122,097 71,496 50.6
46 INVESTMENT INCOME 117 220 2,091 1,871 89.5
49 OTHER FINANCING SOURCES 0 0 0 0
TOTALDOWNTOWN REDEVLOPMNT B&I 1996B 34,712 50,821 124,188 79,367 59.1
DOWNTOWN REDEVL B & I 1998B
41 OTHER TAXES 14,594 21,345 51,505 30,160 58.6
46 IN%~ESTHENT INCOME 29 33 485 452 93.2
TOTAL DOWNTOWN REDEVL B & I 1998B 14,629 21,378 51,990 30,612 88.9
DOWNTOWN REDEVL B & I 1999
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL DOWNTOWN REDEVL B & I 1999
FLOOD CONTROL B&I 1992A
41 OTHER TAXFS
46 INVESTMENT INCOME
TOTAL FLOOD CONTROL B&I 1992A
REFUNDING FLOOD 91A B&I 1993B
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL REFITNDiNG FLOOD 91A B&I 1993B
FLOOD CONTROL B&I 1994A
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL FLOOD CONTROL B&I 1994A
FLOOD CONTROL B&I 1996A
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL FLOOD CONTROL B&I 1996A
104,836 153,340 370,000 216,660 58.6
585 1,554 8,736 7,182 82.2
0 0 8 0
105,421 154,894 378,736 223,842 59.1
0 0 0 0
0 0 0 0
0 0 0 0
28,299 68,577 276,000 207,623 75.2
184 437 5,814 5,377 92.5
0 0 0 0
28,483 68,814 281,814 213,000 75.6
25,192 49,151 245,698 196,547 80.0
102 224 4,249 4,025 94.7
0 0 0 0
29,294 49,27F 249,947 200,572 80.2
21,532 51,416 210,000 1~8,584 75.5
127 295 3,904 3.609 92.4
21,659 51,711 213,904 162,193 75.8
04/12/2002
FRRBRR03
SUM 021
Budget
3 Months ( 25.0% ) Completed
9 Months ( 75.0% ) Remaining
VILLAGE OF MOUNT PROSPECT
Revenue by Category within Fund Summary
01/01/02 - 03/31/02
Cur MO Y-T-D 2002 Unreceived Unreceived
Received Received Budget Balance Percent
FLOOD CONTROL - 1998A B & I
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL FLOOD CONTROL - 1998A B
DOWNTOWN REDEVELOP 1998C B & I
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL DOWNTOWN REDEVELOP 1998C B & I
EPA FLOOD LOAN B&I
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL EPA FLOOD LOAN B&I
FLOOD CONTROL 2000 B & I
41 OTHER TAXES
46 IR~FESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL FL00D CONTROL 3000 B & I
2002B Refunding B&I - Flood
41 OTHER TA~EE
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL2002B Refunding B&I - Flood
STREET IMPROVEMENT B&I 1994A
41 OTHER TAXES
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL ETREET IMEROVEMENT B&I 1994A
CAPITAL IMPROVEMENTS B&I 1996A
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL CAPiTAL IMPROV~M~qTS B&I 1995A
STREET IMPROV B & I 1998A
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL STREET IMPROV E & I 1998A
10,572 20,447 103,114 82,667 80.2
34 69 1,171 1,102 94.1
0 0 0 0
10,606 20,516 104,285 83,769 80.3
43,152 63,117 152,300 89,153 58.6
153 296 2,685 2,389 89.0
43,305 63,413 154,985 91,572 59.1
69,763 170,974 680,406 509,432 74.9
341 747 5,853 5,106 87.2
70,104 171,72~ 686,259 5i4,538 75.0
· ,335 4,335 42,282 37,947 89.7
589 1,702 4,520 2,818 62.3
0 0 0 0
4,924 6,037 46,802 40,765 87.1
0 0 0 0
0 0 0 0
68,645 143,973 669,500 525,927
410 1,107 23,171 22,064
0 0 0 0
69,055 144,680 692,671 547,991
0 15,496 0 -15,496
104 156 0 -156
104 15,652 0 -15,652
91,046 148,261 888,000 73'9,739
577 1,440 20,999 19,559
91,628 149,701 908,999 759,298
78.6
95.2
79.1
83.3
93.1
83.5
FRRBRR03
SUM 021
3 Months ( 25.0% ) Completed
VILLAGE OF MOUNT PROSPECT 9 Months { 75.0% ) Re~aining
Budget Revenue by Category within Fund Suau~ary
01/01/02 03/31/02
Cur MO Y-T-D 2002 Unreceived Unreceived
Received Received Budget Balance Percent
2002B Refundin9 B&I - Streets
41 OTHER TA~XES 0 0 0 0
46 INVESTMENT INCOME -1 -1 0 1
49 OT~ER FINANCING SOURCES 0 0 0 0
TOTAL2002B Refunding S&I - Streets -1 -1 0 I
CAPITAL IMPROVEMENT FUND
43 INTERGOVERMENT REV. 0 0 727,100 727,100 100.0
46 INVESTMENT INCOME 6,368 17,899 87,000 69,101 79.4
47 REIMBURSEMENTS 25,492 28,492 116,097 90,605 78.0
48 OTHER REVENUE 45,900 45,900 40,500 -5,400 -13.3
49 OTHER FINANCING SOURCES 0 0 0 0
TOTAL CAPITAL IMPROVEMENT FUND 77,760 89,291 970,697 881,406 90.8
POLICE & FIRE BLDG CONST~UND
46 INVESTMENT INCOME
TOTAL POLIOE & FIRE BLDG ~ONST FUND
SERIES 2001 PROJECT FUND
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL SERIES 2001 PROJECT FUND
0 0 0 0
o o o o
4,406 18,768 135,888 116,820 86.2
0 0 0 0
4,406 18,768 138,588 116,820 86.2
STREET IMPROVEMENT CONST FUND
41 OTHER TAXES 111,348 415,710 1,556,992 1,141,282 73.3
42 LICENSES, PERMITS & FESS 41,495 95,438 228,000 132,562 88.1
46 INVESTMENT INCOME 9,474 27,718 70,000 42.282 60.4
DOWNTOWN REDE~LPF~T CONST
41 OTHER TAXES 0 0 0 0
46 INVESTMENT INCOME 146 650 1,000 350 3 S.0
47 REIMBURSEMENTS 0 0 0 0
48 OTHER REVENUE 0 0 0 0
49 OTHER FINANCING SOURCES 0 0 0 0
TOTAL DOWNTOWN REDEVLpM~T CONST 146 680 1,000 350 35.0
CAPITAL IMPROVEMENT CONST FUND
43 INTERGOVERMENT REV. 0 0 0 0
46 INVESTMENT INCOME 212 1,012 0 -1,012
TOTAL CAPITAL IMPROVEMENT CONST FUND 212 1,012 0 -1,012
SERIES 2002 PROJECT FUND
46 INVESTMENT INCOME 0 0 73,293 73,293 100.0
49 OTHER FINANCIN~ SOURCES 0 0 8,315,000 8,315,000 100.0
TOTAL SERIES 2002 PROJECT FUND ~ 0 8,388,293 8,388,293 100.0
04/12/2002
FRR~RR03
$UMO21
Budget
3 Months ( 25.0% ) Completed
VILLAGE OF MOUNT PROSPECT 9 Nonths ( 78.0% ) Re~ining
Revenue by Category within Fund Summary
o:]./o~./o2 - o~/~1/o2
Cur Mo Y-T-D 2002
Received Received Budget
Unreceived Unreceived
Balance Percent
48 OTBER REVENUE
TOTAL STREET IMPROVEMENT CONST FUND
FLOOD CONTROL CONST 1998A
46 INVESTMENT INCOME
TOTAL FLOOD CONTROL CONST 1998A
FLOOD CONTROL CONST FUND
41 OTHER TAXES
43 INTERGOVERMENT REV.
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL FLOOD CONTROL CONST FUND
WATER AND SEWER FUND
41 OTHER TAXES
44 C~ARGES FOR SERVICE
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENU~
TOTAL WATERAND SEWER FUND
pARKING SYSTEM REVENUE FUND
42 LICENSES, PERMITS & FEES
43 INTERGOVEP~MENT REV.
44 CF3%RGES FOR SERVICE
46 INVESTMENT INCOME
TOTAL PARKING SYSTEM REVENUE FUND
VEHICLE MAINTENANCE FUND
44 CHARGES FOR SERVICE
46 INVESTMENT INCOME
48 OTHER REVENUE
TOTAL VE~ICLEMAINTENANCE FUND
VEHICLE REPLACEMENT FUND
44 C~ARGES FOR SERVICE
46 INVESTMENT INCOME
49 OTHER FINANCING SOURCES
TOTAL VEHICLE REPLACEMENT FUND
COMPUTER REPLACEMENT FUND
44 CF~%RGES FOR SERVICE
46 INVESTMENT INCOME
0 0 0 0
162,917 538,866 1,854,992 1,316,126 71.0
0 0 0 0
0 0 0 0
0 9,758 0 -9,758
0 0 1,000,000 1,000,000 100.0
6,895 22,594 75,000 52,406 69.9
0 0 0 0
6,895 32,352 1,075,000 1,042,648 97.0
514,632 707,151 1,845,300 838,149 54.2
438,890 1,338,973 6,337,412 4,998,439 78.9
5,620 21,600 135,000 113,400 84.0
0 0 0 0
50 547 25,000 24,453 97.8
959,192 2,068,271 8,042,712 8,974,441 7A.3
0 600 7,200 6,600 91.7
0 0 0 0
13,072 40,261 174,000 133,739 76.9
2,061 6,660 21,000 14,340 68.9
15,133 47,821 202,200 154,679 76.8
97,529 287,749 1,150,978 869,229 78.0
522 1,523 4,500 2,977 66.2
0 0 0 0
98,051 289,272 1,1E5,478 866,206 75.0
69,750 202,058 810,651 608,593 75.1
19,230 56,693 190,000 133,307 70.2
0 0 60,000 60,000 100.0
88,980 258,781 1,060,651 801,900 75.6
26,687 46,614 187,053 140,439 79.1
941 2,837 13,000 10,163 78.2
6
04/12/2002
09:01:29
FRRBRR03
SUM o21
3 Months ( 25.0% ) Completed
VILLAGE OF MOUNT PROSPECT 5 Months ( 75.0% ) Remaining
Budget Revenue by category within Fund Suaunary
01/01/02 - 03/31/02
Cur MO ¥-T-D 2002 Unreceived Unreceived
Received Received Budget Balance Percent
RISK MANAGEMENT FUND
INTERGOVERMENT REV.
44 C~L~RGES FOR SERVICE
46 INVESTMENT INCOME
47 REIMBURSEMENTS
48 OTHER REVENUE
POLICE PENSION FUND
46 INVESTMENT INCOME
48 OT~ER REVENUE
TOTALPOLICE PENSION FUND
FIRE PENSION FUND
46 INVESTMENT INCOME
48 OTHER REVENUE
)
BENEFIT TRUST #2 FUND
46 INVESTMENT INCOME
ESCROW DEPOSIT FUND
46 INVESTMENT INCOME
TOTALESCROW DEPOSIT FUND
SEA $1 PROSPECT MEADOWS B&I
41 OTHER TAXES
46 INVESTMENT INCOME
TOTAL SSA #1 PROSPECT MEADOWS B&I
SSA $6 GEORGE/ALBERT B&I
41 OTHER T~-XES
46 INVESTMENT INCOME
TOTALSSA $6 GEORGE/ALBERT B&I
MOUNT PROSPECT LIBRA/{Y FUND
49 OTHER FINANCING SOURCES
TOTAL MOUNT PROSPECT LIBRARY FUND
27,628 49,451 200,053 150,602 75.3
0 0 0 0
221,317 719,753 3,002,984 2,283,231 76,0
9,379 25,356 105,750 00,394 76,0
10,124 36,549 60,000 29,451 39.1
47,189 145,733 662,929 514,196 77,6
296,009 930,391 3,831,663 2,901,272 75,7
140,192 309,210 1,824,000 1,514,790 83.0
281,737 460,302 1,269,539 809,237 63.7
421,929 769,512 3,093,539 2,324,027 75.1
153,153 364,220 1,880,000 1,515,780 80.6
299,601 472,967 1,223,370 750,403 61.3
452,754 837,187 3,103,370 2,265,183 73.0
130 416 1,100 684 62.2
138 416 1,100 684 62.2
0 1,765 0 -1,765
0 0 0 0
0 0 0 0
0 0 0 0
13,886 18,482 25,548 17,066 48.0
58 128 1,000 872 87.2
13,944 18,610 26,548 17,938 45.1
0 0 5,382,877 5,382,877 100.0
0 0 5,382,877 5,282,877 100.0
04/12/2002
08:59:13
VILLAGE OF MOUNT PROSPECT
Budget Expenditure Summary
01/01/02 - 03/31/02
3 Months (
9 Months (
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unex-pended
Balance Percent
EXPENDITURE BY CLASSIFICATION
PERSONAL SERVICES
EMPLOYEE BENEFITS
OTHER EMPLOYEE COSTS
pENSION BENEFITS
CONTRACTUAL SERVICES
UTILITIES
INSURANCE
CO~40DITIES & SUPPLIES
OTHER EXPENDITURES
LAND IMPEOVEMENTS
BUILDING IMPROVEMENTS
OFFICE EQUIPMENT
MOBILE EQUIPMENT
OTHER EQUIPMENT
DISTRIBUTION SYSTEMS
INFRASTRUCTURE
BOND PRINCIPAL
INTEREST EXPENSE
BANK AND FISCAL FEES
INTERFUND TRANSFERS
OTHER FINANCING USES
Total All Funds
EXPENDITURE BY FUND gENERAL FUND
REFUSE DISPOSAL FUND
1,507,202 4,278,249 19,743,627
774,613 1,551,711 5,120,035
-13,260 56,966 325,437
285,493 878,565 3,945,967
329,023 2,557,625 13,931,587
12,279 83,619 539,580
275,803 1,156,023 4,215,564
23,558 254,488 1,239,179
-38,989 5,334 905,936
-38,385 0 300,000
-48,334 677,004 4,426,000
5,887 81,900 332,475
149,554 438,269 1,104,600
-136 164,851 728,091
-31,880 0 1,105,000
-1,016,780 375,556 8,100,500
44,362 57,532 4,165,829
76,638 224,262 1,416,011
-1,800 600 11,000
0 0 367,463
0 0 0
2,294,848 12,842,554 72,023,881
15,465,378 78.3
3,568,324 69.7
268,471 82.5
3,067,402 77.7
11,373,962 81.6
455,961 84.5
3,059,E41 72.6
984,691 79.5
900,602 99.4
300,000 100.0
3,748,996 84.7
59,181,327 82.2
2,137,396 6,502,615 28,492,265
6,432 615,112 3,408,871
-133,451 160,206 2,027,413
25,105 25,105 18,410
-213,646 19,606 461,265
0 1,921 0
0 0 0
465 465 0
121,000 121,000 121,000
0 0 601,033
0 0 390,582
0 0 0
2,078 2,078 0
577 577 0
0 0 0
0 0 458,930
0 0 0
-450 0 157,300
-300 0 52,764
0 141,450 518,050
0 0 0
0 0 0
0 0 304,392
0 0 178,260
-225 0 210,380
-150 0 64,784
21,989,650 77.2
2,793,759 82.0
1,867,207 92.1
-6,695 -36.4
441,459 95.7
-1,921
0
-465
0
601,033 100.0
390,582 100.0
0
-2,078
-577
0
458,930 100.0
0
157,300 100.0
52,764 100.0
376,600 72.7
0
0
304,392 100.0
178,260 100.0
210,380 100.0
64,784 100.0
08:59=13
VILLAGE OF MOUNT PROSPECT
Budget Expenditure Summary
01/01/02 , 03/31/02
3 Months (
9 Months (
25.0% ) Completed
78.0% ) Remaining
Cur Mo Y-T-D 2002
Expended Expended Budget
Unexpended Unexpende
Balance Percent
DOWNTOWN REDEVELOP 1998C B & I
EPA FLOOD LOAN B&I
FLOOD CONTROL 2000 B & i
2002B Refunding B&I - Flood
STREET IMPROVEMENT B&I 1994A
CAPITAL IMPROVEMENTS B&I 1996A
STREET IMPROV B & I 1998A
2002B Refunding B&I - Streets
CAPITAL IMPROVEMENT FUND
POLICE & FIRE BLDG CONST FUND
SERIES 2001 PROJECT FUND
SERIES 2002 PROJECT FUND
CAPITAL IMPROVEMENT CONST FUND
DOWNTOWN REDEVLpMNT CONST
STREET IMPROVEMENT CONST FUND
FLOOD CONTROL CONST FUND
WATER AND SEWER FUND
PARKING SYSTEM REVENUE FUND
~EHICLE MAINTENANCE FUND
VEHICLE REPLACEMENT FUND
COMPUTER REPLACEMENT FUND
RISK MANAGEMENT FUND
POLICS pENSION FUND
FIRE PENSION FUND
BENEFIT TRUST %2 FUND
SSA ~1 PROSPECT MEADOWS B&I
SSA #6 GEORGE/ALBERT B&I
Total All Funds
-300 0 lS=,076
0 19,644 613,358
0 300 112,498
1,432 1,432 0
0 0 619,178
-225 0 0
-150 0 893,300
1,545 1,545 0
-100,407 688,320 1,487,333
0 0 0
-12,100 29,156 4,659,420
0 0 102,708
0 2,355 150,000
-149,477 60,511 1,277,347
-117,174 63,289 2,414,463
-136,160 229,758 2,665,000
334,960 1,483,512 8,817,362
-196,089 37,891 378,318
62,566 229,457 1,190,979
149,854 438,269 1,104,600
3,000 63,725 106,725
224,848 1,059,419 3,880,325
141,509 434,571 1,979,010
139,658 431,009 1,921,800
3,027 9,081 36,330
0 0 0
0 0 40,055
2,294,848 12,842,554 72,023,881
152,076 100.0
593,714 96.8
112,198 99.7
-1,432
619,178 100.0
0
893,300 100.0
-1,545
799,013 S3.7
0
4,626,284 99.4
102,705 100.0
147,645 98.4
1,216,836 95.3
2,351,174 97.4
2,435,245 91.4
7,363,850 83.5
340,427 90.0
921,522 80.1
666,331 60.3
44,002 41.2
2,820,906 72.7
1,844,439 78.0
1,490,791 77.6
27,249 75.0
0
40,085 100.0
59,181,327 82.2
2
04/~2/2002
09~00:56
FRRDBR01
SUM o31
3 Months
VILLAGE OF MOUNT PROSPECT 9 .onths
Department Budget EXPenditure Summary
01/01/02 ~ 03/31/02
PUBLIC REPRESENTATION
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
FROGP-%M TOTALS
02 MAYOR AND BOARD OF TRUSTEES
03 ADVISORY BOARDS & CO~24ISSIONS
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTNER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 CO~ODITIES & SUPPLIES
65 OFFICE EQUIPMENT
Totals
SOURCE OF FUNDS
001 GENERAL FUND
Totals
2,721 19,874 90,356
1,028 2,818 15,307
70,482 78.0
12,489 81.6
3,749 22,692 105,663 82,971 78.5
2,755 8,199 33,698
362 1,072 4,397
0 6 400
280 12,527 58,893
13 108 478
339 780 7,800
0 0 0
3,749 22,692 105,663
25,499 75.7
3,328 75.6
394 98.5
46,366 78.7
367 77.3
7,020 90.0
0
82,971 78.5
3,749 22,692 108,663 82,971 78.5
3,749 22,692 105,663 82,971 78.5
.)
FRRDBR01
SUM
3 Months (
VILLAGE OF MOUNT PROSPECT 9 uonths (
Department Budget Expenditure Summary
01/01/02 - 03/31/02
VILLAGE MANAGER ' S OFFICE
Cur MO Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
02
03
04
05
VILLAGE MANAGER'S OFFICE
LEGAL SERVICES
PEREONNEL SERVICES
MANAGEMENT INFORMATION SYSTEMS
PUBLIC INFORMATION
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
Totals
SOURCE OF FUNDS
001 GENERAL FUND
Totals
26,175 85,712 375,419 289,707 77.2
-5,448 261400 270,380 243,980 90.2
13,452 48,578 271,485 222,907 82.1
8,562 28,418 185,418 157,003 84.7
8,142 31,178 180,747 149,869 82.8
46,883 220,283 1,283,449 1,063,166 82.8
39,735 122,155 568,162 446,007 78.5
8,853 26,724 112,926 86,202 76.3
-177 2,664 47,397 44,733 94.4
2,123 65,126 507,084 441,958 87.2
-64 853 5,230 4,377 83.7
-3,587 549 38,180 37,601 98.6
O 2,212 4,500 2,288 50.8
46,883 220,283 1,283,449 1,063,166 82.8
46,883 220,283 1,283,449 1,063,166 82.8
46,883 220,283 1,283,449 1,063,166 82.8
~RRDBR01
SLIM 031
3 Months
VILLAGE OF MOUNT PROSPECT 9 Nonths
Department Budget Expenditure Summary
01/01/02 03/31/02
TV SERVICES DIVISION
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended U~expended
Ealance Percent
PEOGP~%MTOTALS
02 TELEVISION SERVICES
03 OTHER SERVICES
04 INTERGOVEP-NM~NTAL PROGRAMMING
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
67 OTHER EQUIPMENT
Totals
SOURCE OP FUNDS
001 GENERAL FUND
Totals
5,324 40,737 152,164
0 0 0
7,130 8,068 83,064
12,454 48,805 205,228
111,427 73.2
0
44,996 84.8
156,423 76.2
9,044 22,967 104,005 81,038 77.9
2,215 6,152 26,361 20,209 76.7
60 418 3,000 2,585 86.2
598 3,005 39,762 36,757 92.4
-73 878 8,500 4,622 84.0
463 3,572 8,600 5,028 58.5
147 11,816 18,000 6,184 34.4
12,454 48,805 205,228 156,423 76.2
12,454 48,805 205,228 156,423 76.2
12,454 48,805 20S,228 156,423 76.2
~RRD~R 0 ~
SUM o31
3 Months (
VILLAGE OF MOUNT PROSPECT 8 Mo. ths(
Department Budget EXpenditure Summary
01/01/02 - 03/31/02
VILLAGE CLERK ' S OFFICE
Cur MO Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpendea
Balance Percent
PRO~P~%M TOTALS
02 VILLAGE CLERK'S OFFICE
Totals
EXPENDITURE CLASSIFICATION
$0 PERSONAL SERVICES
S1 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
Totals
SOURCE OF FUNDS
001 GENERAL FUND
Totals
-1,778 35,689 144,504 108,815 75.3
-1,778 35,689 144,S04 108,815 75.3
6,420 18,949 84,985 66,036 77.7
1,955 5,749 24,390 18,641 76.4
23 69 2,300 2,231 97.0
-10,273 9,133 23,029 13,896 60.3
84 407 1,600 1,183 74.6
13 1,382 8,200 6,818 83.1
-1,778 35,689 144,504 108,815 75.3
-1,778 35,689 144,504 108,815 75.3
-1,778 35,689 144,504 108,818 75.3
4
04/3.2/2002
09:00:56
FRRDBR01
SUM o~1
3 MOnths
VILLAGE OF MOUNT PROSPECT 9 Months
Department Budget Expenditure Summary
01/01/02 - 03/31/02
FINANCE DEPARTMENT
Cur MO Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
01 FINANCE ADMINISTRATION
02 ACCOUNTING
03 DATA PROCESSING
04 DUPLICATING SERVICES
05 INSURANCE PROGRAMS
06 CUSTOMER SERVICES
07 CASH MANAGEMENT
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTR3%CTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 CO~40DITIES & SUPPLIES
65 OFFICE EQUIPMENT
Totals
~oURcE OF FUNDS
001 GENERAL FUND
Totals
21,846 65,066 218,757 153,691 70.3
20,367 64,092 300,159 236,067 78.6
16,718 61,279 205,023 143,744 70.1
1,150 2,111 11,600 9,459 81.8
33,258 72,130 293,512 221,382 75.4
32,906 91,568 327,136 225,568 72.0
2,871 8,343 37,016 28,673 77.5
129,116 364,589 1,393,203 1,028,614 73.8
62,549 179,407 732,001 552,594 75.5
15,808 44,939 185,215 140,276 75.7
74 1,428 6,300 4,872 77.3
20,023 69,721 190,426 120,705 63.4
168 1,519 6,100 4,581 75.1
28,799 99,170 236,682 177,512 75.0
14 4,375 30,279 25,904 85.6
1,681 4,030 6,200 2,170 35.0
129,116 364,589 1,393,203 1,028,614 78.8
129,116 364,589 1,393,203 1,028,614 73.8
129,116 364,589 1,393,203 1,028,614 73.8
04/12/2002
09:00:56
FRRDBR01
SUM o31
3 Months
VILLAGE OF MOUNT PROSPECT 8 N~ths
Department Budget Expenditure SUnUnary
01/01/02 03/31/02
COMMUNITY DEVELOPMENT
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGP, AM TOTALS
02
O3
O5
06
O7
COMMUNITY DEVELOPMENT ADMIN
PLANNING & ZONING
ECONOMIC DEVELOPMENT
BUILDING INSPECTIONS
NOUSING INSPECTIONS
HEALT~ INSPECTIONS
Totals
EXPENDIT~TRE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
Totals
SOURCE OF FUNDS
001 GENERAL FUND
550 DOWNTOWN REDEVLPMNT CONST
Totals
14,893 45,232 190,978 145,746 76.3
-4,079 50,829 227,790 176,961 77.7
3,233 13,155 72,300 59,145 81.8
40,591 140,368 663,196 522,828 78.8
25,137 57,719 258,902 201,183 77.7
544 23,112 101,223 78,111 77.2
80,319 330,415 1,514,389 1,183,974 78.2
71,623 227,669 1,050,744 823,075 78.3
19,638 64,416 275,270 210,854 76.6
3,603 8,882 16,265 7,383 45.4
-13,869 22,208 134,330 112,122 83.5
-583 4,242 24,060 19,818 52.4
-293 2,998 13,720 10,722 78.1
0 0 0 0
80,315 330,415 1,514,389 1,183,974 78.2
80,319 330,415 1,513,944 1,183,529 78.2
0 0 445 445 100.0
80,319 330,415 1,514,389 1,183,974 78.2
6
04/12/2002
09:00:56
FRRDBR01
SUM o3i
COMMUNITY DEVELOPMENT - CDBG
3 Months
VILLAGE OF MOUNT PROSPECT 9 Months
Department Budget Expenditure Summary
03./01/02 03/31/02
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remainin~
Unexpended Unexpended
Balance Percent
PROGP.%M TOTALS
04 CDBG ADMINISTRATION
05 CDBG COMMUNITY PROGRAMS
06 ACCESSIBLTY & NEIGHBRRD IMPRV
07 CDBG RESIDENTIAL RE~L%B
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
57 CO~ODITIES & SUPPLIES
59 OT~ER EXPENDITURES
64 BUILDING IMPROVEMENTS
69 INFP~STRUCTURE
Totals
SOURCE OF FUNDS
070 CO~EV~3NITY DEVELPMNT BLOCK GP~NT
~} Totals
5,835 7,454 43,265 35,811 82.8
150 140 55,200 55,060 99.7
-202,621 11,167 185,000 173,833 94.0
-17,010 1.045 177,800 176,755 99.4
-213,646 19,806
46i,265 441,459 95.7
4,475 5,691 30,720 25,029 81,5
1,360 1,738 7,660 5,922 77,3
0 25 1,075 1,050 97.7
150 140 57,615 57,475 99.8
0 0 1,395 1,395 100.0
-17,010 1,045 177,800 176,755 99.4
-37,889 0 105,000 105,000 100.0
-164,732 11,167 80,000 68,833 86.0
-213,646 19,806 461,265 441,459 95.7
-213,646 19,806 461,265 441,459 95.7
-213,646 19,806 461,265 441,459 95.7
04/12/2002
FRRDBR01
SUMO31
HUMAN SERVICES
3 Months
VILLAGE OF MOUNT PROSPECT 9 Mo~ths
Department Budget Expenditure Summary
01/01/02 - 03/31/02
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
O2
O3
04
O5
HUMAN SERVICES ADMINISTP~TION
SOCIAL SERVICES
NURSING/HEALTH SERVICES
SENIOR CTR. LEISURE ACTIVITIES
YOUTH ACTIVITIES
Totals
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
ES UTILITIES
57 COMMODITIES & SUPPLIES
68 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
Totals
EOURCE OF FUNDS
001 GENERAL FUND
Totals
12,379 59,778 289,221 229,443 79.3
17,880 84,918 253,379 198,461 78.3
7,940 28,086 150,048 121,959 81.3
2,373 13,851 70,003 56,152 80.2
4,558 8,994 58,838 49,844 84.7
48,130 168,627 821,486 658,859 79.8
36,387 125,004 468,071 343,067 73.3
8,451 25,600 104,119 78,519 75.4
150 195 5,200 5,005 96.3
i 11,027 195,641 184,614 94.4
-90 1,457 7,280 8,823 80.0
231 2,344 37,678 35,331 93.8
0 0 2,000 2,000 100.0
0 0 1,500 1,500 100.0
45,130 165,627 821,486 688,859 79.8
45,130 I68,627 821,486 655,859 79.8
45,130 165,627 821,486 658,859 ?9.8
04/3.2/2002
09:00:56
FRRDBR 01
SUM031
POLICE
3 Months
VILLAGE OF MOUNT PROSPECT 9 Months
Department Budget Expenditure Summary
01/01/02 - 03/31/02
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended UnexDended
Balance Percent
PROGRAM TOTALS
02
03
04
05
06
POLICE ADMINISTRATION
PATROL & TRAFFIC ENFORCEMENT
CRIME pREVTN & PUBLIC ~ERVICES
It~VESTIGATIVE & JUVENILE PRGM
CROSSING GUARDS
EQUIPMENT MAINTENANCE
Totals
ENPENDIT%~RE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTPJ%CTUAL SERVICES
55 UTILITIES
57 COF~4ODITIES & SUPPLIES
59 OTHER EXPENDITURES
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
Totals
001 GENERAL FUND
060 LAW ENFORCEMENT BLOCK GRA~T
080 ASSET SEIZURE FUND
085 DEA Shared Funds Fund
086 DUI FINE FUND
Totals
344,966 666,918 1,965,027 1,298,109 66.1
440,681 1,331,413 5,980,598 4,649,185 77.7
5,758 36,239 22i,807 185,872 83.7
68,696 213,088 1,046,337 833,239 79.6
2,206 5,928 24,972 19,047 76.3
26,610 151,211 583,180 441,969 74.5
888,914 2,404,790 9,831,911 7,427,121 75.5
500,593 1,441,098 6,610,683 5,169,888 78.2
313,075 866,115 1,706,601 1,140,486 66.8
-2,844 19,381 68,800 49,419 71.8
82,207 381,724 1,281,112 929,388 72.5
1,047 8,193 53,000 44,807 84.5
-2,878 10,794 75,418 64,661 85.7
0 0 0 0
2,194 4,548 11,850 7,002 60.6
-4,480 2,977 24,750 21,773 88.0
888,914 2,404,790 9,831,911 7,427,121 75.5
888,449 2,402,404 9,831,911 7,429,507
0 0 0 0
0 1,921 0 -1,921
0 0 0 0
465 465 0 -465
75.6
888,91~ 2,406,790 9,831,911 7,427,121 75.5
04/'12/2002
09:00:56
FRRDBR01
SUM 031
FIRE
3 Months (
VILLAGE OF MOUNT PROSPECT 9 Mo.tbs(
Department Budget Expenditure Summary
01/01/02 - 03/31/02
Cur MO Y-T-D 2002
Ex~ended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGP-~M TOTALS
02
04
05
06
07
08
FIRE ADMINISTRATION
FIRE DEPARTMENT OPERATIONS
FIRE TRAINING ACADEMY
FIRE PREVENTION
FIRE COF~R3NICATIONS
EQUIPMENT MAINTENANCE
EMERGENCY PREPA~DENESS PRGM
PAID-ON-CALL PROGRAM
Totals
304,588 529,843 1,619,342 1,089,499 67.3
348,243 1,157,737 5,275,883 4,118,116 78.1
-3,630 0 13,135 13,138 100.0
29,723 90,931 427,983 337,092 78.8
1.393 13,275 62,200 48,929 78.7
26,120 86,180 400,458 314,278 78.5
-1,888 40 14,550 14,510 99.7
931 4,143 37,057 32,914 88.8
705,480 1,882,149 7,850,578 5'968,429 76.0
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
64 BUILDING IMPROVEMENTS
65 OFFICE EQUIPMENT
67 OTHER EQUIPMENT
Totals
406,390 1,194,823 5,523,900 4,329,077 78.4
320,345 552,289 1,573,798 1,021,509 64.9
-13,027 7,087 111,169 104,078 93,6
25,277 98,867 425,805 326,988 76.8
1,315 6,335 44,100 37,765 85.6
-4,876 12,483 94,210 81,727 86.7
-2,916 11 6,000 5,989 99.8
0 3,178 10,500 7,322 69.7
-27,028 7,076 61,100 54,024 88.4
705,480 1,882,149 7,850,878 5,968,429 76.0
Totals
705,480 1,882,149 7,850,578 5,968,429 76.0
705,480 1,882,149 7,850,578 5,968,429 76.0
04/~2/2002
09:00:56
FRRDBR01
SUM
3 Months (
VILLAGE OF MOUNT PROSPECT s Mo=th~ (
Department Budget EXpenditure S%ur~ary
01/01/02 03/31/02
PUBLIC WORKS - ADMINISTRATION
Cur MO Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
pROGRAM TOTALS
01 PUBLIC WORKS ADMINST~ATION
Tot&ls
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
S1 EMPLOYEE BENEFITS
52 OT~ER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
56 UTILITIES
57 COMMODITIES & SUPPLIES
65 OFFICE EQUIPMENT
67 OT~RR EQUIPMENT
Totals
SOURCE OF FUNDS
001 GENERAL FUND
Totals
75,260 227,443 967,640 740,197 76.S
75,260 227,443 967,640 740,197 76.5
16,336 42,862 204,258 161,396 79.0
2,879 18,691 77,944 59,253 76.0
14 6,094 26,765 20,671 77.2
55,072 155,259 628,618 473,359 75.3
587 2,704 17,775 15,071 84.8
372 1,833 10,220 8,387 82.1
0 0 1,500 1,500 100.0
0 0 560 560 100.0
75,260 227,443 967,660 740,197 76.S
75,260 227,443 967,640 740,197 76.5
75,260 227,443 967,640 740,197 76.5
04/12/2002
FRRDBR01
SUMO31
PUBLIC WORKS
3 Months (
VILLAGE OF MOUNT PROSPECT 9 Months(
Department Budget Expenditure Summary
01/01/02 - 03/31/02
- STREETS/BLDGS
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) completed
75.0% } Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
01 STREET DIVISION ADMINISTRATION
02 MAINTENANCE - PUBLIC BUILDINGS
04
O5
O6
07
09
O9
STREET MAINTENANCE
SNOW REMOVAL
LEAF REMOVAL
STORM SEWER & BASIN BAINT
MAINTENANCE OF STATE HIGHWAYS
TRAFFIC SIGN MAINTENANCE
PARKING LOT MAINTENANCE
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 COF240DITIES & SUPPLIES
59 OTHER EXPENDITURES
67 OTHER EQUIPMENT
69 INFRASTRUCTURE
Totals
SOURCE OF FUNDS
001 GENERAL FUND
050 MOTOR FUEL TAX FUND
630 PARKING SYSTEM REVENUE FUND
Totals
2,279 35,719 119,690 83,971 70.2
27,192 138,753 682,072 543,319 79.7
104 51,547 471,285 439,738 93.3
114,171 189,324 221,078 131,754 41.0
991 18,085 156,313 138,228 88.4
-1,346 19,920 145,984 126,064 86.4
4,080 18,501 61,741 43,240 70.0
1,186 21,505 97,569 76,064 78.0
-196,089 37,881 378,318 340,427 90.0
-47,432 511,245 2,434,050 1,922,805 79.0
113,255 267,162 1,069,475 802,313 75.0
22,452 61,144 237,173 176,029 74.2
-18,792 62,481 431,208 368,727 85.5
-3,531 1,232 18,420 17,188 93.3
1,233 2,487 9,949 7,462 75.0
52,794 116,319 284,325 168,006 59.1
0 0 0 0
-2,062 0 0 0
-212,771 420 383,500 383,090 99.9
-47,432 511,245 2,484,060 1,922,805 79.0
83,141 394,243 1,868,047 1,473,804 78.9
65,516 79,111 187,685 108,574 57.8
-196,089 37,891 378,318 540,427 90.0
-47,432 511,245 2,434,050 1,922,805 79.0
04/12/2002
09:00:56
~RRD~R0
SUM o31
PUBLIC WORKS
3 Months
VILLAGE OF MOUNT PROSPECT 9 Nonth8
Department Budget Expenditure Summary
01/01/02 - 03/31/02
Cur MO Y-T-D 2002
- FORESTRY/GRNDS Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
01 FORESTRY DIVISION ADMIN
02 MAINTENANCE OF GROUND
03 FORESTRY pROGRAM
04 PUBLIC GROUNDS BEAUTIFICATION
Totals
EXPENDITURE C~ASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BEN~FITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
57 CO~4ODITIES & SUPPLIES
67 OTHER EQUIPMENT
Totals
SOURCE OF FUNDS
001 G~ERAL FUND
690 RISK MANAGEMENT FUND
Totals
13,123 36,973 174,585 137,612 78.8
14,378 42,379 342,985 300,606 87.6
-29,132 79,555 739,755 660,200 89.2
-261 5,254 47,438 42,184 88.9
-1,892 164,161 1,904,763 1,148,602 87.4
43,731 118,834 635,791 516,957 81.3
11,253 32,956 146,482 113,526 77.5
70 335 1,335 1,000 74.9
-49,697 10,827 483,350 472,522 97.8
-7,249 1,209 22,035 30,826 96.2
0 0 5,770 5,770 100.0
-1,892 164,161 1,304,763 1,148,602 87.4
1,289 164,161 1,294,763 1,130,602 87,3
-3,181 0 10,000 10,000 100.0
-1,892 164,161 1,304,763 1,140,602 87,4
04/3.2/2002
09:00:56
FRRDBR01
SUM o31
PUBLIC WORKS
3 Months
VILLAGE OF MOUNT PROSPECT 9 Months
Department Budget Expenditure Summary
01/01/02 - 03/31/02
Cur MO Y-T-D 2002
ENGIITEERING Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpende=
Balance Percent
PHOORAM TOTALS
01 ENGINEERING SERVICES
08 TRAFFIC CNTRL & STREET LGHTNG
Totals
EXPENDITURE CLASSIFICATION
50 pERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
85 UTILITIES
87 COMMODITIES & SUPPLIES
OFFICE EQUIPMENT
67 OTHER EQUIPMENT
69 INFPJISTRUCTURE
Totals
SOURCE OF FUNDS
001 GENERAL FUND
050 MOTOR FUEL TAX FUND
Totals
61,779 143,129 673,919
-13,436 53,018 393,618
48,343 196,147 1,067,837
530,790 78.8
340,600 86.5
871,390 81.6
52,858 120,885 547,789 426,904 77.9
11,276 30,050 126,579 96,829 76.3
0 297 8,335 5,038 94.4
-20,487 10,512 145,914 135,402 92.8
10,026 32,978 209,800 176,822 84.3
-5,332 1,428 13,110 11,685 89.1
0 0 1,750 1,780 100.0
0 0 2,260 2,260 100.0
0 0 15,000 15,000 100.0
48,343 196,147 1,067,537
871,390 81.6
72,784 192,154 892,737 700,583 78.5
-24,441 3,993 174,800 170,807 97.7
48,343 196,147 1,067,537 871,390 81.6
04/12/2002
09:00:56
FRRDBR01
SUMo31
3 Months (
VILLAGE OF MOUNT PROSPECT 9 Mo.th, (
Department Budget EXpenditure Suaunary
01/01/0~. - 03/31/02
PUBLIC WORKS - WATER/SEWER
Cur MO Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PRO~RAM
TOTALS
01 WATER & SEWER DIVISION ADMIN
02 MAINTENANCE OF BUILDINGS
02 MAINTENANCE OF GROUNDS
04 WATER SUPPLY MAINT & REPAIR
05 WATER DISTRBT MAINT & REPAIR
06 WATER VAL~/HYDRNT MAINT & REP
07 WATER METER MAINT & REPL
08 EQUIPMENT MAINTENANCE
09 SANITARY SEWER MAINT & REPAIR
10 WATER & SEWER SYSTEM IMPROV
12 LAKE MICHIGAN WATER SUPPLY
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSUP~%NCE
57 CO~40DITIES & SUPPLIES
59 OTEER EXPENDITURES
65 OFFICE EQUIPMENT
67 OTHER EQUIPRENT
68 DISTRIBUTION SYSTEMS
71 BOND PRINCIPAL
Totals
SOURCE OF FUNDS
610 WATER ANDSEWERFUND
Totals
80,709 260,150 1,375,390 1,115,240 81.1
-704 3,077 81,746 78,~69 96.2
2,563 8,466 78,472 70,006 89.2
-10,240 80,809 418,089 337,280 80,7
11,088 131,839 887,937 756,098 85.2
13,631 51,510 286,878 235,368 82.0
10,880 56,359 273,753 237,394 86.7
83,418 141,581 566,322 424,741 75.0
-12,423 83,491 349,915 266,424 76.1
-47,369 0 1,289,000 1,388,000 100.0
233,407 696,230 3,113,860 2,457,630 78.9
334,960 1,453,512 8,817,362 7,363,850 83,5
90,353 249,415 1,408,758 1,159,340 82.3
23,311 78,047 353,432 275,388 77.9
-1,156 7,601 26,600 18,999 71.4
240,157 922,636 4,801,196 3,878,560 80.8
3,318 22,483 143,480 121,027 84.4
17,266 34,942 139,765 104,823 75.0
r10,631 24,003 202,995 178,992 88.2
0 0 27,234 27,234 100.0
-488 0 2,250 2,250 100.0
4,710 114,418 801,755 387,340 77.2
-31,880 0 1,105,000 1,105,000 100.0
0 0 104,900 104,900 100.0
334,960 1,453,512 8,817,362 7,363,880 83.5
334,960 1,453,512 8,817,362 7,363,850 83.5
334,960 1,453,512 8,817,362 7,363,850 83.5
04/12/2002
09:00:56
FRRDBR01
SUM031
3 Months
VILLAGE OF MOUNT PROSPECT 9 ~o~th,
Department Budget Expenditure Summary
01/01/02 03/31/02
PUBLIC WORKS - REFUSE DISPOSAL
Cur MO Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpendeo
Balance Percent
PROGRAM TOTALS
01 REFUSE DISPOSAL PROGRAM
Totals
EXPENDITUP~ CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
56 INSURANCE
57 COMMODITIES & SUPPLIES
Totals
SOURCE OF FUNDS
030 REFUSE DISPOSAL FUND
Totals
6,432 615,112 3,408,871 2,793,759 82.0
6,432 615,112 3,408,871 2,793~758 82.0
5,519 15,292 71,633 56,341 78.7
1,274 4,134 17,670 13,536 76.6
0 175 1,500 1,325 88.3
-855 594,476 3,307,180 2,712,704 82.0
18 74 525 451 85.9
476 961 3,843 2,882 75.0
0 0 6,520 6,520 100.0
6,432 615,112 3,408,871 2,793,759 82.0
6,432 615,112 3,408,871 2,793,759
6,432 615,112 3,408,871 2,793,759 82.0
04/12/2002
09:00:56
FRRDBR01
S~M031
PUBLIC WORKS
3 Months
VILLAGE OF MOT/NT PROSPECT 9 Months
Department Budget Expenditure Summary
01/01/02 - 03/31/02
VEHICLE MAINT
Cur MO Y-T-D 2002
Expended EXpended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
01 VEHICLE DIVISION ADMINSTP-%TION
02 VEHICLE MAINTENANCE PROGRAM
Totals
S0 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
52 OTHER EMPLOYEE COSTS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
65 OFFICE EQUIPMENT
67 OT~ER EQUIPMENT
Totals
SOURCE OF FUNDS
660 VEHICLE MAINTENANCE FUND
Totals
)
10,639 35,323 141,528
51,927 194,184 1,009,451
106,205 75.0
815,317 80.8
62,566 229,457 1,150,979
921,522 80.1
44,655 116,410 544,929
9,809 31,557 132,896
-50 2,312 2,000
2,291 9,228 72,829
44 186 1,000
5,817 69,764 844,475
0 0 0
0 0 500
0 0 52,350
62,566 229,457 1,150,979
428,519 78.6
101,339 76.3
-312 -15.6
63,601 87.3
814 81.4
274,711 79.7
0
500 100.0
52,350 100.0
921,522 80.1
62,566 229,457 1,150,979
62,566 229,457 1,150,979
921,522 80.1
921,522 80.1
04/Z2/2002
09:00:S6
FRRDBR01
SUM o31
3 Months
VILLAGE OF MOUNT PROSPECT 9 Mo.ths
Department Budget Expenditure SuamLary
01/01/02 - 03/31/02
COMMUNITY SERVICE PROGRAMS
Cur MO Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
02 COMMUNITY GROUPS & MISC
03 4TH OF JULY & CIVIC EVENTS,ETC
04 HOLIDAY DECORATIONS
05 BLOOD DONOR PRO~RAM
Totals
EXPENDITURE CLASSIFICATION
50 PERSONAL SERVICES
51 EMPLOYEE BENEFITS
54 CONTRACTUAL SERVICES
55 UTILITIES
57 COMMODITIES & SUPPLIES
59 OTHER EXPENDITURES
Totals
SOURCE OF FUNDS
001 GENERAL FUND
Totals
-4,416 35,071 101,900 66,829 65.6
2,235 8,330 123,828 115,498 93.3
-4,167 4,006 74,843 70,837 94.6
166 647 2,914 2,267 77.8
-6,182 48,054 303,485 255,431 84.2
524 1,427 54,028 52,601 97.4
118 338 7,122 6,784 95.3
-4,458 45,591 202,045 156,454 77.4
0 0 1,235 1,235 100.0
-1,639 698 30,055 29,357 97.7
-724 0 9,000 9,000 100.0
-6,182 48,054 303,485 255,431 84.2
-6,182 48,054 303,485 258,431 84.2
-6,182 48,054 303,485 255,431 84.2
04/12/2002
09~00:56
FRRDBR01
SL~4031
3 Months (
VILLAGE OF MOUNT PROSPECT s Months(
Department Budget Expenditure Summary
01/01/02 03/31/02
25.0% ) Completed
75.04 ) Remaining
Cur Mo Y-T-D 2002 Unextended Unexpended
CAPITAL IMPROVEMENT PROJECTS Expended Expended Budget Balance Percent
PROGRAM TOTALS
01 VILLAGE IMPROVEMENTS & EQUIP
02 COMMUNITY IMPROVEMENT PROJECTS
03 DOWNTOWN REDEVELOPMENT CONST
04 FLOOD CONTROL PROJECTS
06 STREET IMPROVEMENT PROJECTS
09 MOTOR EQUIPMENT REPLACEMENT
10 COMPUTER REPLACEMENT
Totals
E~PE~DITURE CLASSIFICATION
54 CONTRACTUAL SERVICES
55 UTILITIES
59 OTHER EXPENDITURES
62 LAND IMPROVEMENTS
64 BUILDING IMPROVEMENTS
65 OFFICE EQUIPMENT
66 MOBILE EQUIPMENT
67 OT~ER EQUIPMENT
69 INFRASTRUCTURE
Totals
SOURCE OF FUNDS
050 MOTOR FUEL TAX FUND
060 LAW ENFORCEMENT BLOCK GRANT
510 CAPITAL IMPROVEMENT FUND
520 POLICE & FIRE ELDG CONST FUND
525 SERIES 2001 PROJECT FUND
526 SERIES 2002 PROJECT FUND
530 CAPIT~J~ IMPROVEMENT CONST FUND
550 DOWNTOWN REDEVLPMNT CONST
560 STREET IMPROVEMENT CONST FUND
590 FL~)OD CONTROL CONST FL~ND
630 PARKING SYSTEM REVE/~JE FUND
670 VEHICLE REPLACEMENT FLTND
680 COMPUTER REPLACEMENT FUND
690 RISK MANAGEMENT FLTND
Totals
8,438 739,905 5,218,171 4,478,266 85.8
-95,840 5,011 1,007,697 1,002,686 99.5
-149,477 60,511 1,276,902 1,216,391 95.3
-136,160 229,755 2,805,000 2,575,245 91.8
-291,700 140,391 3,759,928 3,619,537 96.3
149,554 438,269 1,104,600 666,331 60.3
3,000 62,723 106,725 44,002 41.2
-512,185 1,676,565 15,279,023 13,602,458 89.0
13,640 96,546 89t,750 797,204 89.2
0 0 0 0
-21,255 4,289 691,902 687,613 99.4
-38,385 0 300,000 300,000 100.0
-7,529 676,993 4,318,000 3,638,007 84.3
2,500 67,932 291,725 223,793 76.7
149,554 438,269 1,104,600 666,331 60.3
28,567 28,567 60,046 31,479 52.4
-639,277 363,969 7,622,000 7,258,031 95.2
-512,185 1,676,565 15,279,023 13,602,458 89.0
-174,526 77,102 1,664,928 1,587,826 95.4
25,102 25,105 18,410 -6,695 -36.4
-100,407 688,320 1,487,333 799,013 53.7
0 0 0 0
-12,100 29,136 4,655,420 4,626,284 99.4
~ 0 102,705 102,705 100.0
0 2,355 150,000 147,645 98.4
-149,477 60,811 1,276,902 1,216,391 95.3
-117,174 63,289 2,045,000 1,983,711 96.9
-136,160 229,755 2,665,000 2,435,245 91.4
0 0 0 0
149,554 438,269 1,104,600 666,331 60.3
3,000 62,723 106,725 44,002 41.2
0 0 0 0
-512,185 1,676,565 15,278,023 13,602,458 89.0
04/12/2002
09:00:56
FRRDBR01
SUM o31
DEBT SERVICE
3 Months (
VILLAGE OF MOUNT PROSPECT 9 Months (
Department Budget Expenditure Summary
01/01/02 03/31/02
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) COmpleted
75.0% ) Remaining
Une~ended Unexpended
Balance Percent
02 DEBT SERVICE - PROPERTY TAXES
03 DEBT SERVICE - TAX INCREMENT
04 DEBT SERVICE - M/R SALES TAX 1
05 DEBT SERVICE - H/R SALES TAX 2
06 SPECIAL SERVICE AREA B & I
Totals
EXPENDIT%FRE CI~%SSIFICATION
54
59
72
73
8O
CONTRACTUAL SERVICES
OTHER EXPENDITURES
BOND PRINCIPAL
INTEREST EXPENSE
BANK AND FISCAL FEES
INTERFUND TRANSFERS
OTHER FINANCING USES
Totals
SOURCE OF FUNDS
140 PDBLIC WORKS FACILTY B~I 1987A
170 REFUND 87B & 91A B&I 1993B
180 G. O. SERIES 2001 DEBT SERVICE
190 6. O. SERIES 2002 DEBT SERVICE
200 2002B Refunding B&I - Prop Tax
230 2002A Refunding B&I -TIF
240 DOWNTOWN REDEVLOPMNT B&I 1992~
250 DOWNTOWN REDEVLOp~9~T B&I 1993A
260 DOWNTOWN REDEV~PMNT B&I 1994B
270 DOWNTOWN REDEVLOpMNT B&I 1996B
280 DOWN~DWN REDE%'~B & I 1998B
290 DO~NTOWN REDEVL B & I 1999
300 FLOOD CONTROL B&I 1991A
310 P~OOD CONTROL B&I 1992A
320 REFUNDING FLOOD 91A B&I 1993B
330 ~LOOD CONTROL E&I 1994A
340 FLOOD CONTROL B&I 1996A
350 FLOOD CONTROL - 1998A B & I
360 DOWNTOWR RED--LOP 1998C B & I
380 EPA FLOOD LOANB&I
390 FLOOD CONTROL 2000 B & I
400 2002B Refunding B&I - Flood
410 STREET IMPROVEMENT B&I 1994A
420 CAPIT~L IMPRO%~MENTS E&I 1996A
430 STREET IMPROVB & I 1998A
440 2002B Refunding B&I - Streets
810 SSA #1 PROSPECT MEADOWS B&I
830 SSA ~6 GEORGE/ALBERT B&I
123,078 123,078 1,112,615 989,537 88.9
-473 142,027 1,339,120 1,197,093 89.4
1,057 21,376 1,483,672 1,462,296 98.6
1,170 1,546 1,512,478 1,510,933 99.9
0 0 40,055 40,055 100.0
124,832 288,026 5,487,940 5,199,914 94.8
5,632 5,632 0 -5,632
0 0 0 0
44,362 57,532 4,060,929 4,003,397 98.6
76,638 224,262 1,416,011 1,191,749 84.2
-1,800 600 11,000 10,400 94.5
0 0 0 0
0 0 0 0
124,832 288,026 5,487,940 5,199,914 94.8
121,000 121,000 121,000 0
0 0 601,033 601,033 100.0
0 0 390,682 390,582 100.0
0 0 0 0
2,078 2,078 0 -2,078
577 577 0 -577
0 0 0 0
0 0 458,930 458,930 100.0
0 0 0 0
-4~0 0 157,300 157,300 100.0
-300 0 S2,764 52,764 100.0
0 141,450 518,050 376,600 72.7
0 0 0 0
0 0 0 0
0 0 304,392 304,392 100.0
0 0 178,260 178,260 100.0
-225 0 210,380 210,380 100.0
-150 0 64,784 64,784 100.0
-300 0 152,076 152,076 100.0
0 19,644 613,358 593,714 96.8
0 300 112,498 112,198 99.7
1,432 1,432 0 -1,432
0 0 619,178 619,178 100.0
-225 0 0 0
-150 0 893,300 893,300 100.0
1,545 1,545 0 -1,545
0 0 0 0
0 0 40,055 40,055 100.0
20
04/12/2002
09=00:56
FRRDBR01
SUM 033
DEBT SERVICE
3 Months
VILLAGE OF MOUNT PROSPECT 9 Months
Department Budget Expenditure Summary
01/01/02 - 03/31/02
C~r Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
Totals
124,832 288,026 5,487,940 5,199,914 94.8
04/12/2002
09:00:56
FRRDBR01
SUM 031
3 Months (
VILLAGE OF MOUNT PROSPECT 9 Months(
Department Budget Expenditure Summary
01/01/02 03/31/02
RETIREE PENSIONS
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpendea
Balance Percent
PROGRAM TOTALS
01 MISCELLANEOUS PENSIONS
02 POLICE PENSIONS
03 FIRE PENSIONS
Totals
EXPENDITURE CLASSIFICATION
53 PENSION BENEFITS
54 CONTRACTUAL SERVICES
Totals
SOURCE OF FUNDS
001 GENERAL FUND
710 POLICE PENSION FUND
720 FIRE PENSION FUND
730 BENEFIT TRUST #2 FUND
Totals
4,329 12,988 51,957 38,969 75.0
141,509 434,571 1,979,010 1,544,439 78.0
139,658 431,009 1,921,800 1,490,791 77.6
288,496 878,568 3,982,767 2,074,199 77.8
285,493 878,565 3,945,967 3,067,402 77.7
3 3 6,800 6,797 100.0
285,496 878,568 3,952,767 2,074,199 77.8
1,302 3,907 15,627 11,720 79.0
141,509 424,571 1,979,010 1,544,429 78.0
139,658 431,009 1,921,800 1,490,791 77.6
3,027 9,081 36,330 27,249 75.0
285,496 878,568 2,982,767 2,074,199 77.8
22
04/12/2002
09=00=56
FRRDBR01
SUMO31
3 Months
VILLAGE OF MOUNT PROSPECT 5
Department Budget Expenditure Summary
01/01/02 03/31/02
RISK MANAGEMENT
25.0% ) Completed
75.0% ) Remaining
Cur Mo Y-T-D 2002 Unexpended Unexpended
Expended Expended Budget Balance Percent
PROGRAM TOTALS
01 CASUALTY & PROPERTY INSURANCE
02 MEDICAL INSURANCE
Totals
4,016 323,516 775,315
224,013 735,903 3,095,010
228,029 1,059,419 3,870,325
451,799 58.3
2,359,107 76.2
2,0~0,~0~ 72.6
EXPENDiTUP. E CLASSIFICATION
54 CONTRACTUAL SERVICES
56 INSURANCE
Totals
0 956 45,000 44,044 97.9
228,029 1,058,463 3,825,325 2,766,862 72.3
228,029 1,059,419 8,870,325 2,810,906 72.6
SOURCE OF FUNDS
690 RISK MANAGEMENT FUND
Totals
228,029 1,059,419 3,870,325 2,810,906 72.6
228,029 1,059,419 3,870,325 2,810,906 72.6
23
04/12/2002
09:00:S6
$UMO31
3 Months (
VILLAGE OF MOUNT PROSPECT 9 Nonths (
Department Budget Expenditure Summary
01/01/02 03/31/02
NON- DEPARTMENTAL
Cur Mo Y-T-D 2002
Expended Expended Budget
25.0% ) Completed
75.0% ) Remaining
Unexpended Unexpended
Balance Percent
PROGRAM TOTALS
01 CONTINGENCIES
Totals
EXPENDITURE CLASSIFICATION
5O
53
54
59
8O
PERSONAL SERVICES
PENSION BENEFITS
CONTRACTUAL SERVICES
OTHER EXPENDITURES
INTERFUND TPJuNSFERS
Totals
SOURCE OF FUNDS
001 GENERAL FUND
560 STREET IMPROVEMENT CONST FUND
670 VEHICLE REPLACEMENT FUND
Totals
0 0 367,463 367,463 100.0
0 0 367,463 367,463 100.0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 0 0
0 0 367,463 367,463
0 0 367,463 367,463
0 0 0
0 0 367,463
0 0 0
0 0 367,463
0
367,463
0
367,463
100.0
100.0
100.0
24
MAiN ST
215
Z
S WILLE ST
S SCHOOL ST
111
20O
300
304
312 ~ ~ =o
S EMERSON ST
J~ J
'T, ~ -~ ~.'~;'[-~T ....................................
Village of Mount Prospect
Community Development Department
MEMORANDUM
TO: MICHAEL JANONIS, VILLAGE MANAGER CO60 ~"- jl.L,,_O
FROM: DIRECTOR OF COMMUNITY DEVELOPMENT
DATE:
MARCH 28, 2002
SUBJECT:
COMMUNITY DEVELOPMENT ISSUES
In preparation for the Committee of the Whole discussion on April 9~, Community Development staff have
prepared background information on the series of topics to be considered that night. They are:
1. Changing the size of sheds allowed in the Village
2. Implementing the use of "Sidewalk Inspectors" in our Property Maintenance Program
3. Controlling EIFS, synthetic stucco construction material, on buildings in the Village
This memorandum includes a brief description of each topic summarizing current standards, possible changes
those standards, and potential impacts of changes. Where useflu, we have provided a recommendation on
changes most appropriate for the Village given recent policy considerations and how such changes would impact
residents, businesses, and staff's ability to enforce any new code requirements. Additional information is
provided as attachments to this memorandum.
Shed Size
Two Village residents have recently come before the Village's ZBA and Village Board requesting variations to
the permitted shed size of 120 square feet. While a small number of requests, it raises the question of whether the
established shed size is too small for residents storage needs. In addition, the Building Division occasionally
fields calls from residents who express disappointment that larger sheds are not permitted.
Staff has conducted a brief survey of some our neighboring communities to determine how our shed regulations
compare. Our research found that communities utilize two primary methods to limit the size of sheds. Some
communities adopt a maximum size while others utilize a formula to calculate the total square footage of
accessory structures permissible on a lot. All communities restrict the maximum height and the minimum setback
for these structures.
In addition to the regulations listed below, other factors such as the maximum floor area ratio (FAR) and
maximum lot coverage provisions affect the ultimate size of any shed. There are several factors that impact the
possible shed size in those communities that apply formulas. Factors such as the width of the lot, depth of the
required rear setback or whether the property has an attached or detached garage can greatly affect the maximum
size of permitted sheds.
Listed below is a sample of shed regulations from surrounding communities:
Communities that have a maximum shed size:
MOUNT PROSPECT - Mount Prospect limits the maximum size for sheds at 120 square feet, 12' in
height and 5' from the rear and side lot lines.
Community Development Issues
March 28, 2002
Page 2
DesPlaines - DesPlaines utilizes the same regulations as Mount Prospect.
Elk Grove ~ Elk Grove limits sheds to a maximum 150 square feet, a maximum 15' in height and a
minimum 2' setback from the rear or side lot lines, 60' from the front lot line.
Communities that utilize a formula to calculate maximum shed size:
Arlington Heights - Arlington Heights regulates the maximum square footage allowed for all accessory
structures by multiplying the total area in the required rear yard setback by 30%. On a typical 70' wide
yard with a 30' rear yard setback requirement, the property could house 630 square feet of accessory
structures (70x30x.3). Accessory structures include detached garages, sheds and decks but do not include
any pavement. The sheds may not exceed 12' in height and must be 5' from ali lot lines.
Palatine - Palatine utilizes the same formula as Arlington Heights but reduces the multiplier to 20%.
The sheds may not exceed 15' in height and must be 5' from all lot lines.
Prospect Heights - Prospect Heights utilizes the same criteria as Palatine.
Sehaumburg - Schaumburg utilizes the Arlington formula with a 40% multiplier. The sheds may not
exceed 15' in height and must be 5' from alt lot lines.
Wheeling - Wheeling's only requirement is that the square footage of all accessory structures must be
less than that of the principal structure. Sheds may not exceed 15' in height and must be 6' from the rear
and side lot lines.
As for changing Mount Prospect's requirements, there are several factors to be considered:
1. There is some evidence, although mostly anecdotal, of the need to increase the permitted shed size in the
Village. This should not be a surprise given the increasing number of items that residents have to store
for yard work and other household activities.
2. There is not a "standard" size for sheds. However, most people who have called the Building Division
recently asking about sheds are looking for about 200 square feet or more.
3. Given the investment in the shed, it is logical to assume that increasing shed size will invite residents to
install the largest shed permitted.
4. A simple maximum size, as we have now, is easy to understand and enforce, but does not take into
consideration that some lots in the Village are targe and would not be impacted by a larger shed to the
same extent of our smaller lots.
5. A sliding scale based on some percentage of lot or rear yard size creates the potential for large sheds on
some lots. This is particularly tree of large lots or those lots that already have an attached garage and can
use the entire percentage for the shed.
Based on these factors, the Village should consider establishing a straight forward way of determining and
enforcing maximum shed sizes. This could include increasing the maximum shed size to a total of 200 square feet
in all resident districts, but allow sheds up to 250 square feet on lots over 10,000 square feet in size. This change
would allow a significant increase in storage area for residents: 66 percent on lots under 10,000 square feet and
more than doubling the allowable size on larger tots. The underlying intent of the zoning ordinance would remain
the same since lot coverage and setback requirements would remain the same.
Tackroom
A Tackmom is usually for saddles, but
the Heartland model is good for
everything, from an office to an art
studio to a pool house to a play house.
Plus, you can still use it for storage!
Click here to see the many accessories
and options available.
Tackroom sizes
6' Sidewall 7' Sidewall
10'x8'x8' 10'x8'x9"
10'x10'x8' 10'xl 0'x9'
12'x8'x8' 12'x8'x9'
12'x10'x8' 12'xl 0'x9'
8' Sidewall 12'x12'xl 0'
16'x12'xl 1' 16'x10'x9'
20'x12'xl 1' 16'x12'x10'
24'x12'xl 1' 20'x12'x10'
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Deluxe Estate
This yard barn is a classic! This model is
available in the widest range of sizes.
Built with a 2" x 4" construction, a 30"
door or 6" wide buildings or 60" door on
larger buildings, and accommodating
options like a loft and skylights, the
Deluxe Estate provides the widest
selection of choices to meet your
storage needs. Click here to see the
many accessories and options avaiIable.
Deluxe Estate Sizes:
4' Sidewall 7' Sidewall
6'x8'x8' 10'xl 0'xl 1'
6'x10'x8' 10'x12'x11'
6'x12'x8' 10'x16'x11'
8'x8'x8' 12'xl 2'xl 3'
8'x10'x8' 12'x16'x13'
8'x12'x8' 12'x16'x14'6"
10'xl 0'x9' 12'x20'xl 3'
10'xl 2'x9' 12'x20'x14'6"
16'x16'x15'
6' Sidewall 16'x20'xl 5'
8'x8'x9'6" 16'x24'x15'
8'xl 0'x9'6"
8'x12'x9'6" 8' Sidewall
10'x10'x10' 16'x16'x16'
10'xl 2'xl 0' 16'x20'x16'
10'x16'x10' 16'x24'x16'
12'x12'x12'
12'x16'x12'
12'x20'x12'
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Statesman
This very popular model features a
gable roof. Available in sizes from 36 to
384 square feet, this building combines
versatility with a traditional profile that
complements any landscape and
architecture. Click here to see the many
accessories and options available.
Statesman Sizes
6' Sidewall 7' Sidewall
6'x6'x7'3" 10'x8'x9'
6'x8'x7'3" 10'xl 0'x9'
6'xl 0'x7'3" 10'x12'x9'
6'x12'x7'3" 10'x16'x9'
8'x8'x7'8" 12'xl 0'x9'6"
8'xl 0'x7'8" 12'x12'x9'6"
8'x12'x7'8" 12'x16'x9'6"
10'x8'x8' 12'x20'x9'6"
10'xl 0'x8' 8' Sidewall
10'x12'x8' 12'x12'x10'6"
10'x16'x8' 12'x16'x10'6"
12'x20'x10'6"
16'x16'x11 '6"
16'x20'x11 '6"
16'x24'x11 '6"
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