HomeMy WebLinkAboutOrd 5891 12/20/2011ORDINANCE NO. 5891
AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF MOUNT
PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2012 AND ENDING
DECEMBER 31, 2012 IN LIEU OF PASSAGE OF AN APPROPRIATION ORDINANCE
PASSED AND APPROVED BY
THE PRESIDENT AND BOARD OF TRUSTEES
The 20` day of December, 2011
Published in pamphlet form by
authority of the corporate authorities
of the Village of Mount Prospect, Illinois
the 2 1 "day of December, 2011.
ORDINANCE NO. 5891
AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF MOUNT
PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2012 AND ENDING
DECEMBER 31, 2012 IN LIEU OF PASSAGE OF AN APPROPRIATION ORDINANCE
WI IEREAS, 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, 2012 and
ending December 31, 2012, 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 14, 2011 for public inspection, as provided by
Statute; and
WHEREAS, pursuant to notice duly published on December 9, 2011, a public hearing was held by the President and Board
of Trustees on said tentative annual budget on December 20, 2011, as provided by Statute; and
WFIEREAS, 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.
NO"', 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, 2012 and
ending December 31, 2012, 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, 2012 and ending December 31, 2012, 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, Juracek, Korn, Matuszak, Polit, Zadel
NAYS: None
ABSENT: None
PASSED AND APPROVED this 20` day of December, 2011.
I ana {. Wilks
Mayor
ATTEST:
M. Lisa Angell
Village Clerk
RESOLUTION NO. 2011
A RESOLUTION APPROVING AND CERTIFYING
THE 2012 BUDGET AND 2011 TAX LEVY DETERMINATION
WHEREAS, heretofore the Board of Trustees of the Mount Prospect Public Library, Mount Prospect, Illinois, at
open and public meetings have considered the financing requirements of the Mount Prospect Library for the year
commencing January 1, 2012; and
WHEREAS, the Board of Trustees of the Mount Prospect Public Library has determined the financial
requirements of the Mount Prospect Public Library for the ensuing year and has caused to be made, a statement
thereof, a copy of which is attached hereto and marked "Exhibit A," for inclusion in the 2012 budget of the Village
of Mount Prospect; and
WHEREAS, the Board of Trustees of the Mount Prospect Public Library has further determined the amount of
money which in its judgment, it will be necessary to levy for library purposes in the 2011 tax levy ordinance to be
adopted by the President and Board of Trustees of the Village of Mount Prospect;
WHEREAS, expenditures from the LIBRARY FUND shall be under the direction of the Board of Trustees of the
Mount Prospect Public Library.
WHEREAS, that the amount of money hereby determined by the Board of Trustees of the Mount Prospect Public
Library to be necessary for library purposes and to be included in the 2011 Tax Levy Ordinance of the Village of
Mount Prospect (taking into consideration other income from accumulations from the prior year, anticipated tax
shrinkage, fines, non - resident fees, and maintenance, repairs, and alterations of library buildings and equipment)
and for the collection and deposit to the LIBRARY FUND, which includes funds for the Illinois Municipal
Retirement Fund pursuant to Section 5/7 -171, Chapter 40 of the Illinois Compiled Statutes; and for the
maintenance repairs, and alterations of the library buildings and equipment, pursuant to Section 5/3-4 of Chapter
75 of the Illinois Compiled Statutes; and for insurance and audit fees pursuant to Section 5/4 -14 of Chapter 75 of
the Illinois Compiled Statutes.
WHEREAS, in accordance with Chapter 75, Section 5/3 -5 of the Illinois Compiled Statutes it is requested that the
amount so determined be levied and collected in like manner with the other general taxes of the Village of Mount
Prospect and that such taxes be paid directly by the County Collector to the Library fund.
NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF TRUSTEES OF THE MOUNT PROSPECT
PUBLIC LIBRARY, VILLAGE OF MOUNT PROSPECT:
SECTION ONE: That the financial requirements for library purposes of the Mount Prospect Public Library require
the budget for the year commencing January 1, 2012, and ending December 31, 2012, the sum of $9,926,514
such to be included within the 2012 Budget of the Village of Mount Prospect, Illinois.
SECTION TWO: That the amount of money hereby determined by the Board of Trustees of the Mount Prospect
Public Library to be necessary for library purposes and to be included in the 2011 tax levy and to be levied and
collected in like manner with the other general taxes of the Village of Mount Prospect and that such taxes to be
paid directly by the County Collector to the Library Fund: $9,661,514. Expenditures from the Library Fund shall
be under the direction of the Board of Trustees of the Mount Prospect Public Library.
SECTION THREE: That the Secretary of the Board of Trustees of the Mount Prospect Public Library file a copy
of this Resolution, with the Village Clerk of the Village of Mount Prospect, for transmittal to the President and
Board of Trustees of the Village of Mount Prospect.
SECTION FOUR: That if any part or parts of this Resolution shall be held to be unconstitutional, such
unconstitutionality shall not affect the validity of the remaining parts of this Resolution. The Board of Trustees of
the Mount Prospect Public Library hereby declares that it would have passed the remaining parts of this
Resolution if it had known that such part or parts thereof would be declared unconstitutional.
SECTION FIVE: That this Resolution shall be in full force and effect as of October 6, 2011.
AYES: 7
NAYS: 0
ABSENT: 0
PASSED THIS 6th day of October, 2011.
The undersigned, President of the Board of Trustees of the Mount Prospect Public Library, Village of Mount
Prospect, Illinois, does certify that the foregoing Resolution was duly adopted by the vote specified at a legally
convened meeting of the Board of Trustees of the Mount Prospect Public Library held at the Mount Prospect
Public Library building on the 6th day of October, 2011.
Jane W. Everett, President
MOUNT PROSPECT PUBLIC LIBRARY
2012 Budget and 2011 Tax Levy
EXHIBIT A
2012 Budget 2011 Tax Levy
Fund Amount Request
LIBRARY GENERAL FUND
Salaries & Benefits
4110 Salaries
$
4,873,379
$
4,773,475
4120 I M R F Pension
457,218
447,845
4130 F I C A & M/C
372,007
364,381
4140 Medical Insurance
610,000
597,495
4150 Unemployment Comp
7,000
6,857
Totals
$
6,319,604
$
6,190,053
Management Expense
4210 Audit
$
4,200
$
4,114
4220 Legal Fees
40,000
39,180
4230 Printing
37,550
36,780
4240 Community Services
60,900
59,652
4250 Programs
35,410
34,684
4260 Professional Dues
6,749
6,611
4270 Board
4,000
3,918
4280 Human Resources
68,595
67,189
4290 Other Operating Expense
6,000
5,877
Totals
$
263,404
$
258,005
Operating Expenses
$
47,961
$
46,978
4310 Telecommunications
4320 Insurance
74,900
73,365
4340 Office Supplies
27,000
26,447
4350 Library Supplies
20,000
19,590
4360 Postage
19,155
18,762
4370 Consultant Services
3,000
2,939
4380 Contract Services
23,450
22,969
4390 Computer Services
58,136
56,944
Totals
$
273,602
$
267,994
Building Maintenance Costs
4410 Building Maintenance
$
89,510
$
87,675
4420 Equipment Maintenance
86,292
84,523
4430 Equipment Rental
26,888
26,337
4440 Janitorial
50,053
49,027
4450 Equipment
124,600
122,046
4460 Utilities
62,674
61.389
Totals
$
440,017
$
430,997
I.,ibrary Materials
4610 Adult Print
242,100
$
237,137
4620 Adult AV
80,750
79,095
4630 Youth Print
139,000
136,151
4640 Youth AV
42,700
41,825
4650 Subscriptions
21,650
21,206
(Continued On the Next Page)
MOUNT PROSPECT PUBLIC LIBRARY
2012 Budget and 2011 Tax Levy
2012 Budget 2011 Tax Levy
Fund Amount Request
LIBRARY GENERAL FUND (Continued)
Library Materials (Continued)
4660
Electronic Resources
$ 135,000
$ 132,233
4661
Electronic Media
14,300
14,007
4662
Electronic Services
27,272
26,713
4670
Microform
11,000
10,775
4680
Processing Supplies
40,000
39,208
Totals
$ 753,772
$ 738,350
GENERAL
FUND TOTALS
$ 8,050,399
$ 7,885,399
BUILDING & EQUIPMENT FUND
7705 Equipment & Building $ 202,400 $ 200,000
7730 Other Building Projects 22,600 -
773 5 Trans to Library Operating -
BUILDING FUND TOTALS $ 225,000 $ 200,000
TOTAL GENERAL FUND & BUILDING FUND $ 8,275,399 $ 8,085,399
DEBT SERVICE FUND
3701 Interest Payments $ 501,115 501,115
3711 Principal Payments 1,075,000 1,075,000
DEBT SERVICE FUND TOTALS $ 1,576,115 $ 1,576,115
GIFT FUND
8740 Library Special Projects $ 50,000 $ -
8990 Contingencies 25,000
GIFT FUND TOTALS $ 75,000 $ -
ALL FUNDS - TOTALS $ 9,926,514 $ 9,661,514
2011 TAX LEVY SUMMARY
Library Fund Levy (General Fund & Building Fund)
Library Bonds & Interest Levy
TOTAL LIBRARY TAX LEVY
Levy Total
Request 2% Loss Tax Levy
$ 8,085,399 $ 161,708 $ 8,247,107
1,576,115 31,522 1,607,637
$ 9,661,514 $ 193,230 $ 9,854,744
r ♦ •
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
TOTAL VILLAGE BUDGET
Actual Budget Estimate Budget Forecast
REVENUES AND OTHER SOURCES
55,843,603
59,991,133
59,383,620
59,323,196
63,243,850
Property Taxes
18,678,963
19,200,500
19,319,000
19,882,500
20,583,500
Other Taxes
11,198,802
11,340,000
11,406,400
11,638,000
11,733,000
Licenses, Permits & Fees
2,767,264
2,721,000
2,595,000
2,510,000
2,520,000
Intergovernmental Revenue
18,826,394
17,883,977
19,032,064
18,822,420
19,153,250
Charges for Services
19,303,538
20,872,719
20,919,704
22,399,597
23,566,079
Fines & Forfeitures
791,504
786,000
707,125
687,000
687,000
Investment Income
7,837,421
5,325,400
1,718,200
5,202,600
5,464,280
Reimbursements
365,812
403,279
253,217
253,500
254,000
Other Revenue
7,395,512
7,916,590
7,839,411
8,040,680
8,650,542
Interfund Transfers
458,370
-
-
Other Financing Sources
49,188
52,000
46,000
988,000
51,000
Village Revenues & Other Sources
87,672,768
86,501,465
83,836,121
90,424,297
92,662,651
Mount Prospect Library Revenues
9,226,183
9,801,109
9,801,109
9,926,514
(a)
Total Revenues & Other Sources
96,898,951
96,302,574
93,637,230
100,350,811
92,662,651
BUDGET EXPENDITURES
Village Operating Budget
55,843,603
59,991,133
59,383,620
59,323,196
63,243,850
Village Capital Budget
9,711,088
9,470,271
9,304,333
9,419,850
12,628,100
Debt Services Budget
2,170,439
2,416,548
2,418,806
2,409,195
2,405,474
Pension Systems Budget
6,681,958
6,892,046
7,430,768
7,635,544
7,850,166
Internal Services Budget (b)
7,518,038
8,691,145
8,779,896
8,844,660
9,185,734
Village Expenditures
81,925,126
87,461,143
87,317,423
87,632,445
95,313,324
Mount Prospect Library Expenditures
9,083,006
9,801,109
9,801,109
9,926,514
(a)
Total Expenditures
91,008,132
97,262,252
97,118,532
97,558,959
95,313,324
CHANGES IN FUND BALANCE
Excess (Deficiency) of Revenues &
Other Sources Over Expenditures (c)
Fund Balance
Start of Budget Year
End of Budget Year
Less: Pension Fund Balances (d)
Mt Prospect Library Fund Balance
Available Fund Balance
5,890,819 (959,678) (3,481,302) 2,791,852 (2,650,673) 1
120,064, 396
125, 955,215
125,955, 215
122, 473,913
125,265,765
125,955,215
124,995,537
122,473,913
125, 265,765
122, 615,092
(88,401,290)
(92,547,407)
(88,669,185)
(92,318,946)
(96,372,910)
(4,726,962)
(4,726,962)
(4,726,962)
(4,726,962)
(4,726,962)
32,826,963
27,721,168
29,077,766
28,219,857
21,515,220
(a) Not available as of December 20, 2011.
(b) Internal Service Budget includes Vehicle Maintenance Fund and Risk Management Fund. The Motor Equipment
Replacement Fund and Computer Replacement Funds are included in the Village Capital Fund.
(c) Does not include the results of operation of the Mount Prospect Library for the 2013 Forecast.
(d) Pension Fund Balances are reserved for pension benefits and not available for appropriation.
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
REVENUES AND OTHER SOURCES BY REVENUE TYPE
2010 2011 2011 2012 2013
Actual Budget Estimate Budget Forecast
VILLAGE REVENUES BY TYPE:
Property Taxes
18,6/8,9b3
19,200,500
19,319,000
19,882,500
20,583,5001
Other Taxes
11,198,802
11,340,000
11,406,400
11,638,000
11,733,000
Licenses, Permits & Fees
2,767,264
2,721,000
2,595,000
2,510,000
2,520,000
Intergovernmental Revenue
18,826,394
17,883,977
19,032,064
18,822,420
19,153,250
Charges for Services
19,303,538
20,872,719
20,919,704
22,399,597
23,566,079
Fines & Forfeits
791,504
786,000
707,125
687,000
687,000
Investment Income
7,837,421
5,325,400
1,718,200
5,202,600
5,464,280
Reimbursements
365,812
403,279
253,217
253,500
254,000
Other Revenue
7,395,512
7,916,590
7,839,411
8,040,680
8
87,165,210
86,449,465
83,790,121
89,436,297
92,611,651
INTERFUND TRANSFERS 458,370 -
OTHER FINANCING SOURCES
Sale of Property /Other 49,188 52,000 46,000 988,000 51,000
49,188 52,000 46,000 988,000 51,000
TOTAL VILLAGE REVENUES AND OTHER
SOURCES 87,672,768 86,501,465 83,836,121 90,424,297 92,662,651
MOUNT PROSPECT LIBRARY REVENUES 9,226,183 9,801,109 9,801,109 9,926,514 (a)
TOTAL REVENUES AND OTHER SOURCES
VILLAGE AND LIBRARY (b) 96,898,951 95,302,574 93,637,230 100,350,811 92,652,651
CHANGES IN FUND BALANCE
Total Revenues & Other Sources 96,898,951 96,302,574 93,637,230 100,350,811 92,662,651
Total Expenditures 91,008,132 97,262,252 97,118,532 97,558,959 95,313,324
Additions to(Use of) Fund Balances 5,890,819 (959,678) (3,481,302) 2,791,852 (2,650,673)
ANALYSIS OF CHANGES IN FUND BALANCE
Additions to (Use of) Pension Fund
Balances 6,580,064 4,146,117 267,895 3,649,761 4,053,964
Additions to (Use of) Other Fund Balances (689,245) (5,105,795) (3,749,197) (857,909) 6,704,637)
5,890,819 (959,678) (3,481,302) 2,791,852 (2,650,673)
(a) Figures not available as of December 20, 2011.
(b) Does not include the Mount Prospect Public Library 2013 Forecast.
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
BUDGET EXPENDITURES
2010 2011 2011 2012 2013
Actual Budget Estimate Budget Forecast
VILLAGE OPERATING BUDGET
IPUBLIC REPRESENTATION 468,889 487,065 482,175 551,260 560,462
VILLAGE ADMINISTRATION 2,842,921 2,898,012 2,800,904 2,763,935 2,924,252
FINANCE 1,571,136 1,582,487 1,586,221 1,494,533 1,614,10$
COMMUNITY DEVELOPMENT
Community Development 2,154,270 2,175,530 2,199,385 2,158,078 2,206,683
Community Development /CDBG 465,918 455,219 555,103 413,543 342,092
2,620,188 2,630,749 2,754,488 2,571,621 2,548,775
HUMAN SERVICES DEPARTMENT 1,082,552 1,063,031 1 008,663 1,002,730 1,432,412
PUBLIC SAFETY AND PROTECTION
Police Department 14,521,382 14,730,105 14,640,990 15,212,790 15,741,447
Fire Department 11,503,854 11,453,107 11,425,312 11,905,304 12,238,232
26,025,236 26,183,212 26,066,302 27,118,094 27,979,679
PUBLIC WORKS DEPARTMENT
Administration
998,552
1,228,175
1,200,309
1,287,211
1,355,893
Streets /Bldgs
2,647,901
2,740,043
2,657,536
2,511,139
2,600,271
Forestry
1,625,036
1,687,171
1,816,791
1,758,050
1,821,016
Engineering
1,265,123
1,334,002
1,343,444
1,375,366
1,411,239
Improvements
-
104,808
74,808
74,383
485,353
Refuse Disposal
4,002,498
4,378,894
4,300,411
4,410,220
4,570,910
Water /Sewer
9,958,966
13,176,172
12,362,355
12,007,174
13,960,769
Parking
284,605
497,312
318,205
397,480
378,711
20,782,681
25,146,577
24,073,859
23,821,023
26,584,162
EMERGENCY EVENTS - 611,008
CONTINGENCIES & EQUITY TRANSFERS 450,000 -
TOTAL OPERATING BUDGET 55,843,603 59,991,133 59,383,620 59,323,196 63,243,850
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
BUDGET EXPENDITURES
2010 2011 2011 2012 2013
Actual Budget Estimate Budget Forecast
VILLAGE CAPITAL BUDGET
Village -Wide Improv & Eqpt
1,246,532
1,863,440
1,075,151
2,176,000
3,369,400
Station 14, EOC, and PW Expait
3,386,834
148,150
148,150
-
3,913,000
Downtown Redevelopment
1,591,550
2,955,291
4,282,000
2,747,000
2,812,000
Street Improvement Projects
2,392,581
3,182,640
3,073,932
2,261,000
3,987,000
Flood Control Projects
39,692
455,150
425,000
680,150
490,000
Motor Equipment Replacement
872,966
670,650
250,100
1,321,800
1,736,300
Computer Replacement
180,933
194,950
50,000
233,900
233,400
9,711,088
9,470,271
9,304,333
9,419,850
12,628,100
IDEBT SERVICE BUDGET 2,170,439 2,416,548 2,418,806 2,409,195 2,405,474
PENSION SYSTEMS BUDGET
Miscellaneous Pensions
45,723
45,863
45,863
46,005
46,150
Police Pensions
3,434,325
3,577,110
3,707,311
3,794,470
3,913,000
Fire Pensions
3,201,910
3,269,073
3,677,594
3,795,069
3,891,016
6,681,958
6,892,046
7,430,768
7,635,544
7,850,166
VILLAGE INTERNAL SERVICES BUDGET
Vehicle Maintenance Services 1,849,663 1,903,802 2,112,659 2,011,205 2,058,911
Risk Management 5,668,375 6,787,343 6,667,237 6,833,455 7,126,823
7,518,038 8,691,145 8,779,896 8,844,660 9,185,734
TOTAL VILLAGE EXPENDITURES 81,925,126 87,461,143 87,317,423 87,632,445 95,313,324
MOUNT PROSPECT LIBRARY BUDGET 9,083,006 9,801,109 9,801,109 9,926,514 (a)
TOTAL - BUDGET EXPENDITURES (b) 91,008,132 97,262,252 97,118,532 97,558,959 95,313,324
(a) Figures not available as of December 20, 2011.
(b) Does not include the Mount Prospect Public Library 2013 Forecast.
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
REVENUES AND OTHER SOURCES BY FUND
1,157,588
1,121,000
1,265,100
2,068,000
1,166,000
2010 2011 2011
2012
2013
Actual Budget Estimate
Budget
Forecast
Downtown Redevelopment Construct
2,199,564
2,667,500
2,768,100
2,605,000
2,681,000
GENERAL FUND 40,712,318 40,600,430 40,775,743
41,547,482
42,532,820
1,509,100
1,555,500
1,600,500
Flood Control Construction Fund
159,003
536,079
DEBT SERVICE FUND 2,576,719 2,485,758 2,486,158
2,410,212
2,406,212
CAPITAL PROJECT FUNDS
Capital Improvement Fund
1,157,588
1,121,000
1,265,100
2,068,000
1,166,000
Series 2009 Construction Fund
501,095
-
-
-
1,711,500
Downtown Redevelopment Construct
2,199,564
2,667,500
2,768,100
2,605,000
2,681,000
Street Improvement Construc Fund
1,875,174
1,372,000
1,509,100
1,555,500
1,600,500
Flood Control Construction Fund
159,003
536,079
562,244
665,646
700,646
DUI Fine Fund
5,892,424
5,696,579
6,104,544
6,894,146
6,148,146
SPECIAL REVENUE FUNDS
Refuse Disposal Fund
4,009,121
4,090,632
4,068,132
4,469,150
4,582,650
Motor Fuel Tax Fund
1,744,093
1,485,700
1,709,873
1,711,000
1,711,500
Cmmty Development Block Grant
465,918
455,219
555,103
413,543
342,092
Asset Seizure Fund
15,912
3,500
3,225
3,500
3,500
DEA Shared Funds Fund
54
2,000
100
3,000
3,000
DUI Fine Fund
14,492
1,500
9,100
9,500
9,500
Foreign Fire Tax Board Fund
55,803
44,500
55,100
55,500
55,500
6,305,393
6,083,051
6,400,633
6,665,193
6,707,742
ENTERPRISE FUNDS
Water and Sewer Fund
10,506,543
10,858,000
10,858,300
11,627,000
12,095,000
Village Parking System Fund
139,055
150,800
155,700
157,100
157,100
Parking System Revenue Fund
161,323
166,500
159,600
163,500
163,500
Risk Management Fund
10, 806, 921
11,175,300
11,173, 600
11,947,600
415,600
INTERNALSERVICE FUNDS
Vehicle Maintenance Fund
1,648,471
1,903,802
1,903,402
2,011,205
2,058,911
Vehicle Replacement Fund
179,787
783,600
773,600
1,267,800
1,386,100
Computer Replacement Fund
1,193
236,921
232,521
1,000
108,485
Risk Management Fund
6,333,243
6,543,724
6,333,120
6,440,359
7,040,655
8,162,694
9,468,047
9,242,643
9,720,364
10,594,151
FIDUCIARY FUNDS
Police Pension Fund 6,954,158 5,752,500 3,924,000 5,867,000 6,187,680
Fire Pension Fund 6,262,141 5,239,800 3,728,800 5,372,300 5,670,300
13,216,299 10,992,300 7,652,800 11,239,300 11,857,980
TOTAL REVENUES & OTHER SOURCES - 87,672,768 86,501,465 83,836,121 90,424,297 92,662,651
VILLAGE FUNDS
MOUNT PROSPECT LIBRARY FUND 9,226,183 9,801,109 9,801,109 9,926,514 (a)
TOTAL REVENUES & OTHER SOURCES - 96,898,951 96,302,574 93,637,230 100,350,811 92,662,651
VILLAGE & LIBRARY FUNDS b
(a) Figures not available as of December 20, 2011.
(b) Does not include the Mount Prospect Public Library 2013 Forecast.
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
EXPENDITURES BY FUND
2010 2011 2011 2012 2013
Actual Budget Estimate Budget Forecast
GENERAL FUND 40,493,816 40,944,547 41,260,769 41,547,482 43,433,442
DEBT SERVICE FUND 2,170,439 2,416,548 2,418,806 2,409,195 2,405,474
CAPITAL PROJECT FUNDS
Capital Improvement Fund
1,246,532
1,863,440
1,075,151
2,176,000
3,369,400
Series 2009 Construction Fund
3,386,834
148,150
148,150
1,580,302
1,937,026
Downtown Redevelopment Construct
1,593,950
2,956,791
4,282,920
2,748,000
2,813,000
Street Improvement Construc Fund
1,472,581
2,572,640
2,463,932
1,217,000
2,597,000
Flood Control Construction Fund
39,692
455,150
425,000
680,150
490,000
DUI Fine Fund
7,739,589
7,996,171
8,395,153
6,821,150
9,269,400
SPECIAL REVENUE FUNDS
Refuse Disposal Fund
4,002,498
4,378,894
4,300,411
4,410,220
4,570,910
Motor Fuel Tax Fund
1,525,653
1,146,302
1,176,302
1,580,302
1,937,026
Cmmty Development Block Grant
465,918
455,219
555,103
413,543
342,092
Asset Seizure Fund
6,118
3,500
13,000
3,500
3,500
DEA Shared Funds Fund
2,514
2,000
11,898
3,000
3,000
DUI Fine Fund
343
1,500
15,600
9,500
9,500
Foreign Fire Tax Board Fund
60,706
28,550
13,420
28,500
28,500
6,063,750
6,015,965
6,085,734
6,448,565
6,894,528
ENTERPRISE FUNDS
Water and Sewer Fund
9,958,966
13,176,172
12,362,355
12,007,174
13,960,769
Village Parking System Fund
119,874
210,017
121,744
180,902
183,217
Parking System Revenue Fund
164,731
287,295
196,461
216,578
195,494
Risk Management Fund
10, 243, 571
13, 673, 484
12,680,560
12,404,654
14, 339, 480
INTERNAL SERVICE FUNDS
Vehicle Maintenance Fund
1,849,663
1,903,802
2,112,659
2,011,205
2,058,911
Vehicle Replacement Fund
872,966
670,650
250,100
1,321,800
1,736,300
Computer Replacement Fund
180,933
194,950
50,000
233,900
233,400
Risk Management Fund
5,674,164
6,798,843
6,678,737
6,844,955
7,138,323
8,577,726
9,568,245
9,091,496
10,411,860
11,166,934
FIDUCIARY FUNDS
Police Pension Fund 3,434,325 3,577,110 3,707,311 3,794,470 3,913,000
Fire Pension Fund 3 ,201,91.0 3,269,073 3,677,594 3,795,069 3,891,016
6,636,235 6,846,183 7,384,905 7,589,539 7,804,016
TOTAL EXPENDITURES - VILLAGE FUNDS 81,925,126 87,461,143 87,317,423 87,632,445 95,313,324
IMOUNT PROSPECT LIBRARY FUND 9,083,006 9,801,109 9,801,109 9,926,514 (aj
TOTAL EXPENDITURES - VILLAGE AND
LIBRAR FUN (b) 91,008,132 97,262,252 97,118,532 97,558,959 95,313,324
(a) Figures not available as of December 20, 2011.
(b) Does not include the Mount Prospect Public Library 2013 Forecast.
f f f
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
AVAILABLE FUND BALANCES 12 -31 -2012
Estimated
2012
2012
Estimated
Recommended
Balance
Budget
Budget
Balance
Fund Balance
1/1/2012
Revenues
Expenditures
12/31/2012
12/31/2012
GENERAL FUND
9,932,965
41,547,482
41,547,482
9,932,965
107858,373
1,438,942
2,068,000
2,176,000
1,330,942 863,610
Series 2009 Construction Fund
9,682
-
-
9,682
Downtown Redevelopment Construct
1,301,887
2,605,000
DEBT SERVICE FUND
(11,492)
2,410,212
2,409,195
(10,475)
738,957
(182,539)
Flood Control Construction Fund
11,223
665,646
680,150
(3,281)
CAPITAL PROJECT FUNDS
Capital Improvement Fund
1,438,942
2,068,000
2,176,000
1,330,942 863,610
Series 2009 Construction Fund
9,682
-
-
9,682
Downtown Redevelopment Construct
1,301,887
2,605,000
2,748,000
1,158,887
Street Improvement Construc Fund
(521,039)
1,555,500
1,217,000
(182,539)
Flood Control Construction Fund
11,223
665,646
680,150
(3,281)
DUI Fine Fund
2,240,695
6,894,146
6,821,150
2,313,691 863,610
SPECIAL REVENUE FUNDS
Refuse Disposal Fund
2,029,356
4,469,150
4,410,220
2,088,286 1,142,728
Motor Fuel Tax Fund
303,277
1,711,000
1,580,302
433,975 484,257
cmmty Development Block Grant
288,402
413,543
413,543
(194,869)
Asset Seizure Fund
50,430
3,500
3,500
50,430
DEA Shared Funds Fund
4,951
3,000
3,000
4,951
DUI Fine Fund
34,802
9,500
9,500
34,802
Foreign Fire Tax Board Fund
157,814
55,500
28,500
184,814
2,580,630
6,665,193
6,448,565
2,797,258 1,626,985
ENTERPRISE FUNDS (a)
Water and Sewer Fund
4,303,135
11,627,000
12,007,174
3,922,961
4,607,054
Village Parking System Fund
312,204
157,100
180,902
288,402
60,462
Parking System Revenue Fund
(194,869)
163,500
216,578
(247,947)
64,513
Risk Management Fund
4,420,470
11,947,600
12,404,654
3,963,416
4,732,029
INTERNAL SERVICE FUNDS (a)
Vehicle Maintenance Fund
337,733
2,011,205
2,011,205
337,733
337,733
Vehicle Replacement Fund
6,131,354
1,267,800
1,321,800
6,077,354
6,077,354
Computer Replacement Fund
850,480
1,000
233,900
617,580
617,580
Risk Management Fund
2,594,931
6,440,359
6,844,955
2,190,335
1,583,795
9,914,498
9,720,364
10,411,860
9,223,002
8,616,462
(a) Estimated balances reflect unrestricted net assets only,
VILLAGE OF MOUNT PROSPECT
2012 BUDGET SUMMARY
AVAILABLE FUND BALANCES 12 -31 -2012
Estimated 2012 2012 Estimated Recommended
Balance Budget Budget Balance Fund Balance
1/1/2012 Revenues Expenditures 12/31/2012 12/31/2012
FIDUCIARY FUNDS (b)
Police Pension Fund 44,757,000 5,867,000 3,794,470 46,829,530 79,707,044
Fire Pension Fund 43,912,185 5,372,300 3,795,069 45,489,416 73,444,862
88,669,185 11,239,300 7,589,539 92,318,946 153,151,906
TOTAL - VILLAGE FUNDS 117,746,951 90,424,297 87,632,445 120,538,803 180,588,322
Less: Fiduciary Funds (b) (88,669,185) (11,239,300) (7,589,539) (92,318,946) (153,151,906)
TOTAL AVAILABLE BALANCES VILLAGE 29,077,766 79,184,997 80,042,906 28,219,857 27,436,416
FUNDS
IMOUNT PROSPECT LIBRARY FUND 4,726,962 9,926,514 9,926,514 4,726,962 4,726,962
TOTAL AVAILABLE BALANCES VILLAGE & 33,804,728 89,111,511 89,969,420 32,946,819 32,163,378
LIBRARY FUNDS
(b) Fiduciary Funds are restricted for future pension benefits and do not constitute "Available Fund Balances."