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HomeMy WebLinkAbout5. OLD BUSINESS 12/17/02 illage of Mount Prospect Community Development Department MEMORANDUM TO: FROM: DATE: SUBJECT: MICHAEL E. JANONIS, VILLAGE MANAGER DERECTOR OF COMMUNITY DEVELOPMENT NOVEMBER 21, 2002 EXTERIOR INSULATION FINISH SYSTEM (EIFS) REGULATIONS / The Village Board recently adopted an ordinance tbat prohibited the use of EIFS materials on all structures in the Village. This outright ban was adopted in response to the many documented cases of this material failing throughout the country. Staffhas recently been approached by representatives ora major retailer who are proposing a project in town and strongly desire to utilize EEFS on a portion of their facade. Therefore, staff is requesting that the Village Board consider modifying our EIFS regulations to allow EIYS to be utilized on up to 30% of non-residential structures. The at~ached memorandum provides greater detail about the documented problems with EIFS and some of the more recent modifications that the EIFS manufacturers have made to address these problems. As you will recall, staff provided the Village Board with two alternative ordinances to address the EIFS issue both draft ordinances are attached). The previously proposed options included an outright ban of EPS throughout the Village or an outright ban on residential applications and a limit on non-residential applications to 30% of the fagade. The second option would allow developers of non-residentiaI structures to utilize EIFS for amhitectural bigbligbt$ and sign bands. The 30% cap would require that the structure be designed primarily with more traditional materials but would allow a limited use of EIFS. The 30% cap would allow the prospective retailer to construct their prototypical building and would be a reasonable compromise to our existing ordinance. If the Village Board concurs with staff's recommendation, the following regulations should be adopted as part of that amendment to ensure the proper installation of this product: 1. Allow only drainable EIFS systems - the barrier system would be prohibited, 2. Manufacturer's specification would be required for plan review (to insure proper installation), and 3. Third party inspection by an agency with expertise in EIFS installation would be required (similar to our practice with other specialized inspections, such as structural steel or soil testing). Please forward this memorandum and attachments to the Village Board for their review and consideration at their December 3rd meeting. Staffwill be present at that meeting to answer any questions related to this matter. William J. Cooney Jr. ORDINANCE NO. AN ORDINANCE AMENDING ARTICLE II OF CHAPTER 21 OF THE MOUNT PROSPECT VILLAGE CODE BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS: SECTION ONE: Chapter 21, entitled "Building Code", Article Il, General Provisions, of the Village Code, as amended, is hereby further amended by adding a new Section 21.233, "Use of Stucco or Engineered Stucco Systems" which shall be and read as follows: 21.233 Use of Stucco or Engineered Stucco Systems. A. Residential Applications A. Residential Applications The use of stucco or engineered stucco systems, including but not limited to those commonly known as "dryvit" or exterior insulation and finish systems (EIFS), is prohibited for all residential applications. B. Non-Residential Applications Stucco or an engineered stucco system may be used in non-residential applications subject to the following conditions: (1) not more than 30% ora building's extedor surfaces are covered by such materials; · such materials shall not be located any lower than eight feet from the top of the building's foundation unless it is protected by no less than a five foot wide landscaped buffer;, (3) the manufacturer's specification sheets must be provided with the permit application; (4) system must be a "water managed system" as that term is generally applied in the industry; (5) the system is installed according to any standards promulgated by the Director of Community Development; and (6) an independent certified inspector of such systems must verify, in writing, that the system, as built, was installed according to all manufacturer's specifications, Director of Community Development standards and that it qualifies as a "water managed system." SECTION TVVO: 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: NAYES: ABSENT: PASSED and APPROVED this day of ,2002 ATTEST: Velma W. Lowe, Village Clerk Gerald L. Farley, Village President Village of Mount Prospect Mount Prospect, Illinois INTEROFFICE MEMORANDUM TO: FROM: DATE: SUBJECT: PURPOSE: MICHAEL JANONIS, VILLAGE MANAGER DIRECTOR OF FINANCE NOVEMBER 22, 2002 2002 PROPERTY TAX LEVY AND ABATEMENT ORDINANCES To obtain approval of the attached four ordinances related to the tax levies of the Village, the Mount Prospect Library, and the Village's special services areas. BACKGROUND: Pdor to December 26, 2002 the Village must have on file with the County Clerk its 2002 tax levy and abatement ordinances. Proceeds from the 2002 tax levy will be Collected by the Village in 2003. The Village Board first discussed the proposed 2002 tax levy at its October 22"d Committee of the Whole meeting, at which staff recommended a net Village tax levy of $11,010,747, an increase of 4.8% over the pdor year's levy. The Village Board officially established the tentative levy at the Board meeting of November 6, 2002. The Mount Prospect Library Board approved their tax levy request at its meeting of October 17th. Theyare asking for a total levy, inclusive of a 2% provision for loss and cost, of $5,894,023. This represents an increase of 33.4% over the 2001 levy. DISCUSSION: The following table summarizes the proposed 2002 tax levy for the Village and Library. The amounts presented in the table are net of abatements and are inclusive of the 2% provision for loss and cost. Fund 2001 LEVY 2002 LEVY INCREASE % CHANGE VILLAGE General $ 5,762,659 $ 6,074,610 $ 311,951 5.4% Refuse 2,489,820 2,289,820 (200,000) (8.3) Debt Service 686,746 851,988 165,242 24.1 Police Pension 744,090 874,653 130,563 17.6 Fire Pension 818,657 I 919,676 1.01,019 12.3 Total Village $10,501,972 I $11,010,747 $ 508,775 4.8% LIBRARY Operations $ 4,417,240 $ 4,241,304 $ (175,936) (4.0)% Debt Service 0 1,652,719 1,652,719 n/a Total Library $ 4,417,240 $ 5,894,023 $1,476,783 33.4 % TOTAL $14,919,212 $16,904,707 $1,985;558 13.3 % 002 Property Tax Levy November 22, 2002 Page 2 A detailed spreadsheet of all proposed levies, including detailed levies and abatements for each outstanding bond issue, is also attached. The Village's 2001 equalized assessed valuation (EAV) was $1,255,360,556. Our 2002 EAV is estimated at $1,257,871,300, an increase of two-tenths of one percent. The Village's 2002 tax rate is expected to increase to $0,8752 from the 2001 rate of $0.8365. The Library's 2002 tax rate is estimated at $0.4695, compared to the 2001 rate of $0.3519. For illustration purposes only, a home with an EAV of $55,400 (a market value of approx'm~ately $250,000) will pay taxes of $446 to the Village of Mount Prospect and $260 to the Library. This represents increases of $20 and $65, respectively, over the 2001 levy. Special Service Area No. 5 was created in the mid-eighties to help fund the bdnging of Lake Michigan water to the Village's water system. It is recommended the 2002 levy remain the same as the 2001 levy, that being $1,545,773. The tax rate is estimated to be $0.1231. Special Service Area No. 6 was created in 1987 to fund certain capital improvements in the area of George and Albert Streets. Bonds were sold in 1988 to fund the construction. Debt service is paid by only those property owners benefiting from the improvements. A net levy of $33,440 is being recommended. This includes an abatement of $4,991 using available funds on hand. The Village Board is being asked to consider four ordinances related to the 2002 tax levy. Two of the ordinances establish the initial levy of the Village (including the Library) and the two special service areas. There are also two abatement ordinances that reduce a portion of the debt service tax levies established by the various bond ordinances. The proposed ordinances reflect the numbers as presented in the proposed 2003 budget. RECOMMENDATION: It is recommended the Village Board approve the attached 2002 tax levy and abatement ordinances. DOUGLAS R. ELLSWORTH, CPA DIRECTOR OF FINANCE Attach. DRE I:\Taxes\Property~2001 Lev~Board Memo.doc ORDINANCE NO. AN ORDINANCE AUTHORIZING THE LEVY AND COLLECTION OF TAXES FOR THE CORPORATE AND MUNICIPAL PURPOSES OF THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 31, 2002 PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES the day of ,2002 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois the ..... day of ,2002. ORDINANCE NO. AN ORDINANCE AUTHORIZING THE LEVY AND COLLECTION OF TAXES FOR THE CORPORATE AND MUNICIPAL PURPOSES OF THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 31, 2002 NOW, THEREFORE, BE IT ORDAINED BY THE President and Board of Trustees of the Village of Mount Prospect, Cook County, Illinois, as follows: Section 1: That the sum of Sixteen Million Five Hundred Seventy Three Thousand Three Hundred and Four Dollars ($16,573,304), the same being the total amount to be levied of budget appropriations heretofore made for the corporate and municipal purposes for the fiscal year beghaning January 1, 2002 and ending December 31, 2002 as approved by the President and Board of Trustees of the Village of Mount Prospect, be and the same is hereby levied on all taxable property within the Village of Mount Prospect according to the valuation of said property as is, or shall be assessed or equalized by the State and County purposes for the current year 2002. Section 2: The budgetary appropriations theretofore having been made heretofore by the President and Board of Trustees of the Village of Mount Prospect were passed and approved by Ordinance No. 5227 at a meeting hereof regularly convened and held in said Village of Mount Prospect, Illinois, on the 184 day of December, 2001, and as amended by Ordinance No. 5249 passed and approved on the 16t~ day of April, 2002, and further amended by Ordinance No. 5288 passed and approved on the 6°~ day of November, 2002, thereafter duly published according to law, the various objects and purposes for said budgetary appropriations are heretofore made and set forth under the column entitled "Amount Budgeted", and the specific amount herein levied for each object and purpose is set forth under the column entitled "Amount Levied", in Articles I through XVIII. VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY ARTICLE I - GENERAL FUND 01 Public Representation 01 Mayor and Board of Trustees Personal Services Employee Benefits Other Employee Costs Contracttml Services Utilities Commo&ties & Supplies Office Equipment Total Mayor and Board of Trustees 02 Advisory Boards and Commi~ions Personal Services Employee Benefits Other Employee COsts ConjUgal Services Commodities & Supplies Total Public Representation 11 Village Administration 01 ~rdlagc Manages Office Personal Scr~iees Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Office Equipment ToOl V'dlage Managers Office 02 Legal Services Contractual Se~viees Office F. quipm~mt Tolal Legal Services 03 Personnel Services Personal Services Employee Benefits Other ~mployee Costs Amount Amount Budgeted Levied 25,002 0 2,286 0 200 0 55,393 0 475 0 7,000 0 0 0 90,356 0 8,696 0 2,111 0 200 0 3,500 0 8O0 0 15,307 0 105,663 0 296,398 0 51,062 0 9,500 0 10,009 0 4,200 0 3,750 0 500 0 375,419 0 343,380 0 0 0 343,380 0 166,020 0 34,939 0 34,097 0 2 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Contractual Set. ices Commodities & Supplies Office Equipment Total Personnel Services 04 Management Information Systems Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Office Equipment Total Management Information Systems 05 Public Information Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Total Public Information Total Village Administration 12 Television Services Division 02 Cable TV Operations Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Other Equipment Total Cable TV Operations Intergovernmental Programming Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Amount Amount Budseted Levied 34,429 0 1,500 0 500 0 271,485 0 64,150 0 14,820 0 1,550 0 102,056 0 510 0 2,150 0 3,500 0 188,736 0 41,594 0 12,105 0 2,250 0 93,528 0 520 0 30,750 0 180,747 0 1,359,767 0 68,705 0 18,652 0 3,000 0 36,582 0 5,000 0 6,475 0 13,750 0 152,164 0 35,300 0 7,709 0 0 0 3,180 0 5OO 0 2,125 0 3 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Other Equipment Total Intergovernmental Programming Total Television Services Division 14 Village Clerk's Office 02 Village Clerk's Office Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Total Village Clerk's Office 17 Finance Department 01 Finance Administration Personal Sen4e~ Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Office Equipment TOtsl F~nan~ Administration 02 Accounting Personal Services Employee Benefits Contractual Services Commodities Total Accounting 03 Data Processing Personal Services Employee Benefits Other Employee Costs Contractual Services Commodities & Supplies Office Equipment Total Data Processing Amount Amount Bud6eted Levied 4,250 0 53,064 0 205,228 0 84,985 0 24,390 0 2,300 0 23,029 0 1,600 0 8,200 0 144,504 0 129,489 0 25,092 0 5,300 0 41,076 0 6,100 0 7,700 0 &000 0 218,757 0 228,166 0 62,643 0 6,350 0 3,000 0 300,159 0 77,744 0 23,429 0 1,000 0 95,500 0 5,150 0 2,200 0 205,023 0 4 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY 04 Duplicating Services Contractual Sendces Commodities & Supplies Total Duplicating Services 05 Insurance Program Personal Services Employee Benefits Insurance Total Insurance Program 06 Customer Services Personal Services Employee Benefits Contractual Services Commodities & Supplies Total Customer Services O7 Cash Management Personal Services Employee Benefits Total Cash Management Total Finance Department 21 Community Development Depa~ment 01 Community Development Administration Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Total Cummunity Development Administration 02 Planning & Zoning Personal Services Employee Bencfits Other Employee Costs Contractual Services Utilities Commodities & Supplies Total Planning & Zon'mg Amount Amount Budgeted Levied 5,300 0 6,300 0 11,600 0 46,327 0 10,503 0 236,682 0 293,512 0 220,377 0 56,430 0 42,200 0 8,129 0 327,136 0 29,898 0 7,118 0 37,016 0 1,393,203 0 143,323 0 28,399 0 1,440 0 13,611 0 3,705 0 500 0 190,978 0 155,548 0 40,984 0 3,290 0 21,698 0 3,660 0 2,610 0 227,790 0 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY 03 Economic Development Personal Services Employee Benefits Other Employee Costs Contractual Services Total Economic Development O5 Building Inspections Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Office Equipment Totsl Building Inspections O6 Housing Inspections Personal Services Employee Benefits Other Employee Costs Contractual Services Utilities Commodities & Supplies Total Hous'mg Inspections O7 Personal Sewices Employee Benefits Other Employee Costs ConWactual Services Utilities Commodities & Supplies Total Health Inspections Total Community Development Dopt. 31 Hum~S~'vieesDcpartment O1 Humau Scrviees Administration Personal Services Employee Bmefits Other Employee Costs Utilities Amount Amount Budgeted ... Levied 44,070 0 8,625 0 660 0 18,500 0 71,855 0 456,886 0 129,578 0 7,100 0 52,977 0 10,575 0 6,080 0 0 0 663,196 0 185,699 0 49,986 0 2,825 0 13,477 0 3,890 0 3,025 0 258,902 0 65,218 0 17,698 0 950 0 13,622 0 2,230 0 1,505 0 101,223 0 1,513,944 0 102,290 0 20,760 0 2,800 0 77,741 0 7,280 0 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY 02 03 O5 Commodities & Supplies Office Equipment Other Equipment Total Human Services Administration Social Services Personal Services Employee Benefits Other Employee Costs Coniractual Services Commodities & Supplies Total Social Services Nurs'mgS-Icalth Services Personal Services Employee Benefits Other Employee Costs Contractual Services Commodities & Supplies Other Equipment Total Nursing/Health Services Senior Center Leisure Programs Personal Services Employee Benefits Contractual Services Commodities & Supplies Total Senior Programs Youth Activities Personal Services Employee Benefits Other Employee Costs Commodities & Supplies Total Senior Programs Total Human Services Depadment 41 Police Department 01 Police Adminhtration Personal Services Employee Benefits Other Employee Costs Amount Amount Budgeted Levied 6,350 0 2,000 0 0 0 219,221 0 200,405 0 48,774 0 1,700 0 2,500 0 0 0 253,379 0 78,112 0 18,108 0 350 0 23,800 0 28,175 0 1,500 0 150,045 0 37,619 0 9,634 0 21,600 0 1,150 0 70,003 0 49,645 0 6,843 0 350 0 2,000 0 58,838 0 751,486 0 712,979 0 946,543 0 72,796 0 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY O2 O3 05 06 Contractual Services Utilities Commodities & Supplies Office Equipment Total Police AdminisWaton Patrol and Traffic Enforcement Personal Services Employee Benefits Contractual Services Commodities & Supplies Office Equipment Other Equipment Total Patrol and Traffic Enforcement Crime Prevention & Public Services Personal Services Employee Benefits Other ~nployee Costs Contractual Services Commodities & Supplies Total Crime Prevention & Public Services Investigative and Juvenile Program Per~al Services Employee Benefits Contractual Services Commodities & Supplies Office Equipment Other Equipment Total Investigative and Juvenile Program Crossing Guards Personal Services Employee Benefits Commodities & Supplies Total Crossing Guards Equipment Maintenance & Operations Con~ractual Services Commodities & Supplies Other Equipment To~al Equipment Maintenance & Oper~ions Total Police Depam~ent Amount Amount Budgeted Levied 166,225 0 53,000 0 11,130 0 10,550 0 1,973,223 0 4,776,369 3,334,800 634,977 0 508,767 0 44,635 0 1,000 0 14,850 0 5,980,598 3,334,800 186,201 0 21,456 0 4,900 0 2,700 0 7,250 0 222,507 0 912,076 0 101,861 0 28,140 0 4,250 0 0 0 0 0 1,046,327 0 23,058 0 1,764 0 150 0 24,972 0 582,280 0 8,000 0 9,900 0 600,180 0 9,847,807 3,334,800 8 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Budgeted Levied 42 Fire Department 01 Fire Administration Personal Services Employee Benefits Other Employee Costs Cont~ctual Services Utilities Commodities & Supplies Office Equipment Other Equipment Total Fire Administration 506,976 0 966,015 0 57,350 0 58,751 0 1,800 0 10,450 0 10,500 0 7,500 0 1,619,342 0 O2 03 05 Fire Department Operations Personal Services Employee Benefits Other Employee Costs Contractual Services Commodities & Supplies Building Improvements Other Equipment To~al Fire Depar~nent Operations Fire Training Academy Personal Services Employee Benefits Commodities & Supplies Total Fire Training Academy Fire Prevention Personal Services Employee Benefits Other Employee Costs Contractual Services Commodities & Supplies Other Equipment Total Fire Prevention Fire Communications Contractual Services Utilities Commodities & Supplies 4,551,438 2,620,700 500,355 0 35,150 0 122,585 0 13,125 0 6,000 0 47,200 0 5,275,853 2,620,700 9,000 0 135 0 4,000 0 13,135 0 328,796 0 78,837 0 7,140 0 2,800 0 8,510 0 1,900 0 427,983 0 17,400 0 42,300 0 500 0 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY 06 O7 O8 Other Equipment Total Fire Communications Equipment Ma'mtemmce Personal Services Employee Benefits Other Employee Costs Contractual Set. ices Commodities & Supplies Other Equipment Total Equipment Maintenance Emergency Preparedness Other Employ~ Costs Contractual Serv/ces Commodities & Supplies Total Em~gency l~paredness Paid-On-Call Program Personal Setvic~ Employee Benefits Other Employee Costs Other Equipment Total Paid-On-Call Program T~al Fire Department 50 Public Works- Adm'mis~ration 51 01 Public Works A dm'ml-qa'ation Personal Seivicea Employee Benefits Other Employee Costs Contractual Serviees Utilities Commodities & Supplies Office Equipmmt Total Public Works Administration Public Works - Stree~BldgstParking 01 Street Division Admlnl.n~nttion Personal Services Employee Bern:fits Total Street Division Administration Amount Amount Budgeted Levied 2,000 0 62,200 0 103,090 0 26,274 0 750 0 218,344 0 51,000 0 1,000 0 400,458 0 2,000 0 5,925 0 6,625 0 14,550 0 24,600 0 2,182 0 8,775 0 1,500 0 37,057 0 7,850,578 2,620,700 204,258 0 77,944 0 26,765 0 628,618 0 17,775 0 10,220 0 4,500 0 560 0 970,640 0 100,570 0 19,120 0 119,69O 0 10 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Budgeted Levied 02 04 05 06 07 O8 Ma'mtenanee of PubYlc Buildings Personal Services Employee Benefits Contractual Services Utilities Commodities & Supplies Total Maintenance of Public Buildings Street Maintenance Personal Services Employee Benefits Contractual Services Commodities & Supplies Infrastructure Total Street Maintenance Snow Removal Personal Services Employee Benefits Contractual Services Commodities & Supplies Other Equipment Total Snow Removal Leaf Removal Personal Services Employee Benefits Commodities & Supplies Total Leaf Removal Storm Sewer and Basin Maintenance Personal Services Employee Benefits Contractual Services Commodities & Supplies Total Storm Sewer and Basin Maintenance Maintenance of State Highways Personal Services Employee Benefits Conh'actual Servic~ Commodities & Supplies Total Maintenance of State Highways 11 349,831 0 84,191 0 174,350 0 12,700 0 61,000 0 682,072 0 138,954 0 28,621 0 16,445 0 34,795 0 255,500 0 474,315 0 147,378 0 27,560 0 28,390 0 9,035 0 0 0 212,363 0 117,186 0 24,627 0 14,500 0 156,313 0 95,969 0 23,475 0 17,940 0 8,600 0 145,984 0 18,839 0 4,372 0 17,070 0 21,460 0 61,741 0 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount O9 Traffic Sign Maintenance Personal Services Employee Benefits Commodities & Supplies Total Traffic Sign Maintenance Tolai Public Works - Slreets/Bldgs/Parking 52 Public Works - Forestry/Gnnmds 52 01 Forestry Division Adminintralion Personal Sen, ices Employee Benefits Total Forsstty Division Administration 02 Maintenance of Grmmds Personal Sexadees Employee Beaetits Contractual 8emiees Commodities & Supplies Total Maintenance of Grounds O3 Fomst~ Program Personal S~Sc, es Employee Bec'fits Other Employee Costs Contraemal ~erviees Commodities & Supplies Total Forestry Program 04 Public Grounds Beautification Personal Sevviees Employee Benefits Contractual Setwices Commodities & Supplies Total Public Grounds Beautification Totsl Public Works - Forestry/Grounds Public Works - Engineering 01 Engineering Set~iees Personal Services Employee Benefits Other Employee Costs 62,150 0 14,249 0 21,170 0 97,569 0 1,950,047 0 143,306 0 31,279 0 174,585 0 200,592 0 44,533 0 84,705 0 7,385 0 5,770 0 342,985 0 271,887 0 66,158 0 1,335 0 377,895 0 12,480 0 729,755 0 20,006 0 4,512 0 10,750 0 12,170 0 47,438 0 1,294,763 0 48~229 0 110,731 0 5,335 0 12 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Contractual Services Commodities & Supplies Office Equipment Other Equipment Total Engineering Services O5 Traffic Control & Street Lighting Personal Services Employee Benefits Contractual Services Utilities Commodities & Supplies Total Traffic Signals & Street Lighting Total Public Works - Engineering 61 Community Service Programs 01 Community Groups & Misc. Contractual Services O~r To~ Co--unity Groups & Misc. O3 4th of July & Civic Events, Etc. Personal Services Employee Benefits ConWactual Services Utilities Commodities & Supplies Total 4th of July & Civic Events, Etc. Holiday Decorations Personal Services Employee Benefits Contractual Services Utilities Commodities & Supplies Total Holiday Decorations O5 Blood Donor Program Personal Services Employee Benefits Commodities & Supplies Totsl Blood Donor Program Total Community Service Programs Amount Amount Budgeted Levied 66,504 0 7,110 0 1,750 0 2,260 0 673,919 0 67,560 0 15,848 0 9,410 0 120,000 0 6,000 0 218,818 0 892,737 0 92,900 0 9,000 0 101,900 0 46,000 0 5,538 0 54,750 0 1,135 0 16,405 0 123,828 0 6,111 0 1,437 0 54,395 0 100 0 12,800 0 74,843 0 1,917 0 147 0 850 0 2,914 0 303,485 0 13 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Budgeted Levied 82 Retiree Pensions 01 Miscellaneous Pensions Pension Benefits Total Miscellaneous Pensions Total Retiree Pensions 89 Non-Departmental 01 Contingencies Inteffund Transfers Total Contingencies Total Non-Depaxtmental TOTAL GENERAL FUND TOTAL BUDGET FOR GENERAL FUND AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLE/JrION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR GENERAL FUND 15,627 0 15,627 0 15,627 0 0 0 0 0 0 0 28,599,479 5,955,500 28,599,479 5,955,500 119,110 6,074,610 ARTICLE H - REFUSE DISPOSAL FUND 56 Public Works - Refuse Disposal 01 Refuse Disposal Program Personal Servieo~ Employee Benefits Other Employee Costs Contractual Services Utilities Imunmee Commodifie~ & Supplies Total Ref~e Disposal Program Total Public Works - Refuse Disposal TOTAL REFUSE DISPOSAL FUND TOTAL BUDGET FOR REFUSE DISPOSAL FUND AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLEUFION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR REFUSE DISPOSAL FUND 71,633 0 17,670 0 1,500 0 3,151,670 2,244,922 525 0 3,843 0 6,520 0 3,253,361 2,244,922 3,253,361 2,244,922 3,253,361 2,244,922 3,253,361 2,244,922 44,898 2,289,820 14 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Budgeted Levied ARTICLE HI - SERIES 1957A DEBT SERVICE FUND, PUBLIC BUILDINGS 81 Debt Service 02 G.O.Bonds- Property Taxes Bond Principal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - Property Taxes Total Debt Service TOTAL SERIES 1987A DEBT SERVICE FUND TOTAL BIJI~ET FOR SERIES 1987A DEBT SERVICE FLrND, PUBLIC BUILDINGS AMOUNT TO BE RAISED BY TAX LEVY ADD 20/0 FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 1987A DEBT SERVICE FUND, PUBLIC BUILDINGS 20,587 20,587 45,413 45,413 0 0 66,000 66,000 66,000 66,000 66,000 66,000 66,000 0 66,000 1,320 67,320 ARTICLE IV- SERIES 1996A DEBT SERVICE FUND, FLOOD CONTROL 81 Debt Service 04 G.O.Bonds- Flood Control Bond Principal Interest Expense Bank and Fiscal Fees Total O.O.Bonds - Flood Control Total Debt Service TOTAL SERIES 1996A DEBT SERVICE FUND TOTAL BUDGET FOR SERIES 1996A DEBT SERVICE FUND, FI.DOD CONTROL AMOUNT TO BE RAISED BY TAX LEVY ADD 20/0 FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 1996A DEBT SERVICE FUND, FLOOD CONTROL 180,000 0 32,740 0 500 0 213,240 0 213,240 0 213,240 0 213,240 0 0 15 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Bud~etad Levied ARTICLE V - SERIES 1998A DEBT SERVICE FUND, FLOOD CONTROL 81 Debt Service 04 G.O.Bonds - Flood Control Bond Principal Interest Expe~e Bank and Fi.seal Fees Total G.O.Bonds - Flood ConSol Total Debt Service TOTAL SERIES 1998A DEBT SERVICE FUND TOTAL BUDGET FOR. SERIES 1998A DEBT SERVICE FUND, FLOOD CONTROL AMOUNT TO BE RAISED BY TAX LEVY ADD 2o/0 FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 1998A DEBT SERVICE FUND, FLOOD CONTROL 55,000 0 12,220 0 500 0 67,720 0 67,720 0 67,720 0 67,720 0 0 ARTICLE VI - SERIES 1998A DEBT SERVICE FUND, STREET IMPROVEMENTS 81 Debt Service 05 G.O.Bonds - Street Improvements Bond Principal Interest Expense Bank and Fiscal F~s Total G.O.Bonds - Street Improvements Total Debt Service TOTAL SERIES 1998A DEBT SERVICE FUND TOTAL BUDGET FOR SERIES 1995A DEBT SERVICE FUND, STREET IMPROVE. AMOUNT TO BE RAISED BY TAX LEVY ADD 20/0 FOR LOSS & COST OF COLSON TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 1998A DEBT SERVICE FUND, STREET IMPROVEMENTS 830,000 0 69,713 0 1,000 0 900,713 0 900,713 0 900,713 0 900,713 0 0 16 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Budgeted Levied ARTICLE VII - SERIES 1998C DEBT SERVICE FUND, DOWNTOWN REDEVELOPMENT 81 Debt Service 03 G.O.Bonds - Tax Increment Bond Principal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - Tax Increment Total Debt Service 115,000 0 35,385 0 750 0 151,135 0 151,135 0 151,135 0 TOTAL SERIES 1998C DEBT SERVICE FUND TOTAL BUDGET FOR SERIES 1998C DEBT SERVICE FUND AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 1998C DEBT SERVICE FUND, DOWNTOWN REDEVELOPMENT 151,135 0 0 ARTICLE VHI - SERIES 1999 DEBT SERVICE FUND, DOWNTOWN REDEVELOPMENT 81 Debt Service 03 G.O.Bonds - Tax Increment Bond Principal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - Tax Increment Total Debt Service 255,000 0 268,200 0 750 0 523,950 0 523,950 0 TOTAL SERIES 1999 DEBT SERVICE FUND 523,950 0 TOTAL BUDGET FOR SERIES 1999 DEBT SERVICE FUND AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 1999 DEBT SERVICE FUND, DOWNTOWN REDEVELOPMENT 523,950 0 0 17 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Bud~geted Levied ARTICLE IX - SERIES 2000 DEBT SERVICE FUND, FLOOD CONTROL 81 Debt Service 04 G.O.Bonds- Flood Control Bond Principal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - Flood Control Total Debt Service TOTAL SERIES 2000 DEBT SERVICE FUND TOTAL BUDGET FOR SERrES 2000 DEBT SERVICE FUND, ~D CONTROL AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLSON TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 2000 DEBT SERVICE FUND, FLOOD CONTROL 0 0 111,498 0 1,000 0 112,498 0 112,498 0 112,498 0 112,498 0 0 ARTICLE X- SERIES 2001 DEBT SERVICE FUND, PUBLIC BUILDINGS · 81 Debt Service 02 G.O.Bonds- Property Taxes Bond Principal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - Property Taxes Total Debt Service TOTAL SERIES 2001 DEBT SERVICE FUND TOTAL BUDGET FOR SERIES 2001 DEBT SERVICE FUND, PUBLIC BUILDINGS AMOUNT TO BE RAISED BY TAX LEVY ADD 20/0 FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 2001 DEBT SERVICE FUND, PUBLIC BUILDINGS 175,000 175,000 214,615 4~037 1,500 0 391,115 223,037 391,115 223,037 391,115 223,037 391,115 223,037 4,461 227,498 18 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Budgeted Levied ARTICLE XI - SERIES 2002A DEBT SERVICE FUND, DOWNTOWN REDEVELOPMENT 81 Debt Service 03 G.O.Bonds - Tax Increment Bond Principal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - Tax Increment Total Debt Service I00,000 0 4,300 0 1,588 0 105,888 0 105,888 0 TOTAL SERIES 2002A DEBT SERVICE FUND 105,888 0 TOTAL BUDGET FOR SERIES 2002A DEBT SERVICE FUND, DOWTOWN RED. AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 2002A DEBT SERVICE FUND, DOWNTOWN REDEVELOPIvIENT 105,888 0 0 ARTICLE XH -SERIES 2002B DEBT SERVICE FUND, PUBLIC BUILDINGS 81 Debt Service 02 O.O.Bonds - Propen~Taxes Bond Principal Interest Expense Bank and Fiscal Fees Total GO.Bonds - Property Taxes Total Debt Service TOTAL SERIES 2002B DEBT SERVICE FUND TOTAL BUDGET FOR SEKIES 2002B DEBT SERVICE FUND, PUBLIC BUILDINGS AMOUNT TO BE RAISED BY TAX LEVY ADD 20/o FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 2002B DEBT SERVICE FUND, PUBLIC BU1LDINOS 580,200 546,245 44,760 0 750 0 625,710 546,245 625,710 546,245. 625,710 546,245 625,710 546,245 10,925 557,170.. 19 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amount Budl~eted Levied ARTICLE XIII - SERIES 2002B DEBT SERVICE FUND, FLOOD CONTROL 81 Debt Service 04 G.O.Bonds - Flood Control Bond 'Principal Interest Expense Bank and Fiscal Fees Total GO.Bonds - Flood ConSol Total Debt S~rvice TOTAL SERIES 2002B DEBT SERVICE FUND TOTAL BUDGET FOR SERIES 2002B DEBT SERVICE FUND, FIX)OD CONTROL AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLECTION TOTAL AMOONT TO BE RAISED BY TAX LEVY FOR SERIBS 2002B DEBT SERVICE FIJND, FLOOD CONTROL 452,100 0 28,023 0 750 0 480,873 0 480,873 0 480,873 0 480,873 0 0 0 ARTICLE XIV - SERIES 2002B DEBT SERVICE FUND, STREET IMPROVEMENTS 81 Debt Service 05 G.O.Bonds - Strcet Improvements Bond Prindpal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - $~xeet Improvements Total Debt Service TOTAL SERIES 2002B DEBT SERVICE FUND TOTAL BUDGET FOR SERIES 2002B DEBT SERVICE FUND, STREET 13KPROVE. AMOUNT TO BE RAISED BY TAX LEVY ADD 20/0 FOR LOSS & COST OF CO~ON TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 2002B DEBT SERVICE FOND, STREET IMPROVEMENTS 57~000 0 26,025 0 750 0 596,775 0 596,775 0 596,775 0 596,775 0 0 20 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY .~uuount Amount Budgeted Levied ARTICLE XV - SERIES 2002B DEBT SERVICE FUND, WATER IMPROVEMENTS 81 Debt Service O.O.Bonds - Water and Sewer Revenues Bond principal Interest Expense Bank and Fiscal Fees Total G.O.Bonds - Water and Sewer Revenues Total Debt Service TOTAL SERIES 2002B DEBT SERVICE FUND TOTAL BUDGET FOR SERIES 2002B DEBT SERVICE WATER IMPROVEMENTS AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SERIES 2002B DEBT SERVICE FUND, WATER IMPROVEMENTS 102,700 0 6,967 0 500 0 110,167 0 110,167 0 110,167 0 110,167 0 0 ARTICLE XVI - POLICE PENSION FUND 82 Retiree Pensions O2 PoEce Pensions Pension Benefits Contractual Services Total PoHc~ Pensions Total Retiree Pensions TOTAL POLICE PENSION FUND TOTAL BUDGET FOR POLICE PENSION FLrN'D AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR POLICE PENSION FUND 1,975,510 857,503 3,500 0 1,979,010 857,503 1,979,010 857,503 1,979,010 857,503 1,979,010 857,503 17,150 874,653 21 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY Amount Amouat Budgeted Levied ARTICLE XVII - FIREFIGHTERS' PENSION FUND 82 Retiree Pensions 03 Fireflghters' Pensions Pension Benefits Contractual Services Total Firefighters' Pensions Total Retiree Pensions TOTAL FIREFIGHTERS' PENSION FUND TOTAL BLtDGET FOR FIREFIGHTERS' PENSION FUND AMOUNT TO BE RAISED BY TAX LEVY ADD 20/0 FOR LOSS & COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR FIRF, FIGHTERS' PENSION FUND 1,918,500 901,643 3,300 0 1,921,800 901,643 1,921,800 ~01,643 1,921,800 901,643 1,921,800 901,643 18,033 919,676 ARTICLE XVlH - MOUNT PROSPECT T,mRARY ~ 95 Mount Prospect L~rary 02 L~rary Services Component Unit Expenditures Total IJbrary Services O3 L~rary Debt Service Bond Principal Interest Expense Total Library Debt Service TOTAL MOUNT PROSPECT LIBRARY FUND TOTAL BUDGET FOR MOUNT PROSPECT LIBRARY FUND AMOUNT TO BE RAISED BY TAX LEVY ADD 20/0 FOR LOSS & COST OF COLSON TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR MOUNT PROSPECT LIBRARY FUND 5,382,877 4,158,141 5,382,877 4,158,141 185,000 185,000 1,435,313 1,435,313 1,620,313 1,620,313 7,003,190 5,778,454 7,003,190 5,7~8,454 115,569 5,894,023 22 VILLAGE OF MOUNT PROSPECT, ILLINOIS 2002 TAX LEVY SUMMARY Article Amount Total to be Raised Amount Tax Levy Amount by for Loss Incl. Loss Fund Budgeted Tax Levy and Cost and Cost I General II Refuse Disposal III Series 1987A Debt Service, Public Blds. IV Series 1996A Debt Service, Flood Ctrl. V Series 1998A Debt Service, Flood Ctrl. VI Series 1998A Debt Service, Street Imp. VII Series 1998C Debt Service, TIF VIII Series 1999 Debt Service, TIF IX Series 2000 Debt Service, Flood Ctrl; X Series 2001 Debt Service, Public Bldgs XI Series 2002A Debt Service, TIF XII Series 2002B Debt Service, Public Bldgs XIII Series 2002B Debt Service, Flood Ctrl. XIV Series 2002B Debt Service, Street Imp. XV Series 2002B Debt Service, Water XVI Police Pension Fund XVII Firefighters' Pension Fund Village Totals XVIII Mount Prospect L~rary L~rary Services Series 2002 Library Bonds Debt Service L~rary Totals Village and L~rary Totals $ 28,599,479 5,955,500 119,110 6,074,610 3,253,361 2,244,922 44,898 2,289,820 66,000 66,000 1,320 67,320 213,240 0 (a) 0 0 67,720 0 (a) 0 0 900,712 0 (a) 0 0 151,135 0 (a) 0 0 523,950 0 (a) 0 0 112,498 0 (a) 0 0 391,115 223,037 (a) 4,461 227,498 105,888 0 (a) 0 0 625,710 546,245 (a) 10,925 557,170 480,873 0 (a) 0 0 596,775 0 (a) 0 0 110,167 0 (a) 0 0 1,979,010 857,503 17,150 874,653 1,921,800 901,643 18,033 919,676 40,099,433 10,794,850 215,897 11,010,747 5,382,877 4,158,141 83,163 4,241,304 1,620,313 1,620,313 32,406 1,652,719 7,003,190 5,778,454 115,569 5,894,023 47,102,623 16,573,304 331,466 16,904,770 (a) Amounts to be raised by tax levy h~ve been reduced by abatements to be filed of $3,500,163. 23 Section 3: The sum of $278,400 is estimated to be received from personal property replacement tax revenue during the fiscal year commencing January 1, 2002 and ending December 31, 2002 and has been included herein as funds to be derived from sources other than property taxes for general obligation bonds and interest, pensions, library services and general corporate purposes. Section 4: That the County Clerk is directed to add 2% to the requested tax levy as a provision for loss and cost. Section 5: That the Village Clerk of the Village of Mount Prospect is hereby directed to certify a copy of this Ordinance and is hereby authorized and directed to file a copy of the same with the County Clerk of Cook County, Illinois, with'm the time specified by law. Section 6: That, if any part or parts of this Ordinance shall be held to be unconstitutional or otherwise invalid, such constitutionality or invalidity, shall not affect the validity of the remaining parts of this Ordinance. The President and Board of Trustees of the Village of Mount Prospect hereby declares that they would have passed the remaining parts of the Ordinance of they had known that such parts or parts thereof would be declared unconstitutional or otherwise invalid. Section 7: That this Ordinance shall be in full force and effect from and after its passage, approval, publication in pamphlet form and recording, as provided by law. AYES: NAYES: ABSENT: PASSED and APPROVED this day of December, 2002. ATTEST: Gerald L. Farley, Village President Velma W. Lowe, Village Clerk OI~INANCE NO. AN ORDINANCE AUTHORIZING THE LEVY AND COLLECTION OF TAXES FOR THE MUNICIPAL PURPOSES OF SPECIAL SERVICE AREA NUMBER FIVE AND SPECIAL SERVICE AREA NUMBER SIX OF THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 3 i, 2002 PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES the __ day of ,2002 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois the day of ,2002. ORDINANCE NO. AN ORDINANCE AUTHORIZING THE LEVY AND COLLECTION OF TAXES FOR THE MUNICIPAL PURPOSES OF SPECIAL SERVICE AREA NUMBER FIVE AND SPECIAL SERVICE AREA NUMBER SIX OF THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 31, 2002 NOW THEREFORE, BE IT ORDAINED BY THE President and Board of Trustees of the Village of Mount Prospect, Cook County, Illinois: Section 1: That the sum of One Million Five Hundred Fifteen Thousand Four Hundred Sixty- Four Dollars ($1,515,464), the same being the total amount to be levied of budget appropriations heretofore made for the municipal purposes for the fiscal year beginning January 1, 2002, and ending December 31, 2002, as approved by the President and Board of Trustees of the Village of Mount Prospect, be and the same is hereby levied on all taxable property within the Special Service Area Number 5 of the Village of Mount Prospect according to the valuation of said property as is, or shall be, assessed or equalized by State and County purposes for the current year 2002. The budgetary appropriations having been made heretofore by the President and Board of Trustees of the Village of Mount Prospect were passed and approved by Ordinance No. 5227 at a meeting hereof regularly convened and held in said Village of Mount Prospect, Illinois on the 18~ day of December, 2001, and thereafter duly published according to law, the various objects and purposes for said budgetary appropriations were heretofore made are set forth under the column entitled "Amount Budgeted," and the specific amount herein levied for each object and purpose is set forth under the coluum entitled "Amount Levied" in Article I. .Section 2: That the sum of Thirty Seven Thousand Seven Hundred and Seventy-Five Dollars ($37,775), the same being the total amount to be levied of budget appropriations heretofore made for the municipal purposes for the fiscal year beginning January I, 2002, and ending December 31, 2002, as approved by the President and Board of Trustees of the Village of Mount Prospect, be and the same is hereby levied on all taxable property within the Special Service Area Number 6 of the Village of Mount Prospect according to the valuation of said property as is, or shall be, assessed or equalized by State and County purposes for the current year 2002. The budgetary appropriations having been made heretofore by the President and Board of Trustees of the Village of Mount Prospect were passed and approved by Ordinance No. 5227 at a meeting hereof regularly convened and held in said Village of Mount Prospect, Illinois on the 18~ day of December, 2001, and thereafter duly published according to law, the various objects and purposes for said budgetary appropriations were heretofore made are set forth under the column entitled "Amount Budgeted," and the specific amount herein levied for each object and purpose is set forth under the column entitled "Amount Levied" in Article II. ARTICLE I - SPECIAL SERVICE AREA NO. 5 61 Lake Water Acquisition 6105512-540800 SSA #5 JAWA Water 6105512-540815 SSA #5 JAWA Fixed Costs TOTAL APPROPRIATED FOR SPECIAL SERVICE AREA NO. 5 LAKE WATER ACQUISITION AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS AND COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SPECIAL SERVICE AREA NO. 5 Amount Amount Budgeted Levied 1,598,600 370,464 1,145,000 1,145,000 2,743,600 1,515,464 30,309. 1,545,773 ARTICLE II - SPECIAL SERVICE AREA NO. 6 83 Special Service Area No. 6 Bond and Interest 8308106-710607 SSA #6 Principal 8308106-720608 SSA #6 Interest TOTAL APPROPRIATED FOR SPECIAL SERVICE AREA NO. 6 BOND AND INTEREST AMOUNT TO BE RAISED BY TAX LEVY ADD 2% FOR LOSS AND COST OF COLLECTION TOTAL AMOUNT TO BE RAISED BY TAX LEVY FOR SPECIAL SERVICE AREA NO. 6 30,000 30,000 7,775 7,775 37,775 37,775 755 38,530 Article I Special Service Area No. 5 II Special Service Area No. 6 SUMMARY Amount Amount to Amount for Budqeted be Levied Loss & Cost 2,743,600 1,515,464 30,309 37,775 37,775 755 TotalTax Levy 1,545,773 38,530 2 Section 3: That the County Clerk is directed to add 2% to the requested tax levy as a provision for loss and cost. Section 4: That the Village Clerk of the Village of Mount Prospect is hereby directed to certify a copy of this Ordinance and is hereby authorized and directed to file a copy of the same with the County Clerk of Cook County, Illinois, within the time specified by law. Section 5: That, if any part of this Ordinance shall be held to be Unconstitutional Or otherWise invalid, such unconstitutionality or invalidity, shall not affect the validity of the remaining pans of this Ordinance. The President and Board of Trustees of the Village of Mount Prospect hereby declares that they would have passed the remaining parts of the Ordinance if they had known that such part or parts thereof would be declared unconstitutional or otherWise invalid. Section 6: That this Ordinance shall be in full force and effect from and after its passage, approval, publication in pamphlet form and recording, as provided by law. AYES: NAYS: ABSENT: PASSED and APPROVED this day of ., 2002 ATTEST: Gerald L. Farley, Village President Velma W. Lowe, Village Clerk ORDINANCE NO. AN ORDINANCE TO ABATE A PART OF THE TAXES LEVIED FOR CORPORATE AND MUNICIPAL PURPOSES OF THE VILLAGE OF MOUNT PROSPECT, ILLINOIS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 31, 2002 PASSED AND APPROVED BY THE PRESIDENT AND' BOARD OF TRUSTEES the day of ,2002 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois, the day of ,2002. ORDINANCE NO. AN ORDINANCE TO ABATE A PART OF THE TAXES LEVIED FOR CORPORATE AND MUNICIPAL PURPOSES OF THE VILLAGE OF MOUNT PROSPECT, ILLINOIS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 31, 2002 BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS: Section One: The President and Board of Trustees of the Village of Mount Prospect find as follows: A. That pursuant to Village Ordinance No. 4780 adopted March 6, 1996 and authorizing issuance of general obligation bonds for financing flood control projects, capital projects, and cerlain public improvements within the Village's District No. 1 Tax Increment Redevelopment Project Area there was levied for the year 2002 the sum of $212,740.00 for bond principal and interest payments. That pursuant to Village Ordinance No. 4917 adopted March 18, 1998 and authorizing issuance of general obligation bonds for financing flood control improvement projects, street improvements and the acquisition of land within the Village's District No. 1 Tax Increment Redevelopment Project Area there was levied for the year 2002 the sum of $966,932.50 for bond principal and interest payments. That purs,mnt to Village Ordinance No. 4977 adopted December 1, 1998 and authorizing issuance of general obligation bonds for financing land acquisition costs and other redevelopment costs within the Village's District No. 1 Tax Increment Redevelopment Project Area there was levied for 2002 the sum of $150,385~00 for bond principal and interest payments. Do That pursuant to Village Ordinance No. 4999 adopted March 2, 1999 and authorizing issuance of general obligation bonds for financing the acquisition of la~d within the Village's District No. 1 Tax Increment Redevelopment Project Area there was levied for the year 2002 the sum of $523,200.00 for bond principal and interest payments. E. That pursuant to Village Ordinance NO. 5114 adopted June 6, 2000 and authorizing issuance of general obligation bonds for fi~nCing various flood control capital Go improvements there was levied for the year 2002 the sum of $111,497.50 for bond principal and interest payments, That pursuant to Village Ordinance No. 5212 adopted October 2, 2001 and authorizing issuance of general obligation bonds for financing a portion of the construction costs of a new village hall and parking structure there was levied for the year 2002 the sum of $389,615.00 for bond principal and interest payments. That pursuant to Village Ordinance No. 5236 adopted March 5, 2002 and authorizing the issuance of general obligation refunding bonds, Series 2002A, and general obligation refunding bonds, Series 2002B, to refund the Village's Series 1993A bonds, Series 1993B bonds, and Series 1994A bonds, there was levied for the year 2002 the sum of $1,915,075.00 for bond principal and interest payments. That as of December 1, 2002 there has been collected, deposited to and on hand in the Series 1996A and 1996B General Obligation Bond and Interest Funds the sum of $212,740.00 for application to bond principal and interest payments for the bonds issued pursuant to Village Ordinance No. 4780 adopted March 6, 1996. That as of December 1, 2002 there has been collected, deposited to and on hand in the Series 1998A and 1998B General Obligation Bond and Interest Funds the sum of $966,932.50 for application to bond principal and interest payments for the bonds issued pursuant to Village Ordinance No. 4917 adopted March 18, 1998. That as of December 1, 2002 there is available in the Village's Downtown Redevelopment Fund the amount of $150,385.00 for application to bond principal and interest payments for the bonds issued pursuant to Vilhge Ordinance No. 4977 adopted December 1, 1998. That as of December 1, 2002 there is available in the Village's Downtown Redevelopment Fund the amount of $523,200.00 for application to bond principal and interest payments for the bonds issued pursuant to Village Ordinance No. 4999 adopted March 2, 1999. That as of December 1, 2002 there is available in the Village's Series 2000 General Obligation Bond and Interest Fund the sum of $111,497.50 for application to bond principal and interest payments for the bonds issued pursuant to Village Ordinance No. 5114 adopted June 6, 2000. That as of December 1, 2002 there is av~Uable in the Village's Series 2001 General Obligation Bond and Interest Fund and the Village's General Fund the sum of $166,578.00 for application to bond principal and interest payments for the bonds issued pursuant to Vffiage Ordinance No. 5212 adopted October 2, 2001. That as of December 1, 2002 there is available in the Village's Series 2002A and Series 2002B Debt Service Funds the sum of $1,368,830 for application to bond 2 principal and interest payments for the bonds issued pursuant to Village Ordinance No. 5236 adopted March 5, 2002. Section Two: It is hereby declared and determined by the President and Board of Trustees of the Village of Mount Prospect that the mount of $212,740.00 levied for G.O. Bond and Interest payments for the purpose of financing flood control projects, capital projects, and certain public improvements within the Village's District No. 1 Tax Increment Redevelopment Project Area pursuant to Village Ordinance No. 4780 b~ and the same is hereby abated in the amount of $212,740.00 being the entire amount levied for such bond and interest payment purposes for the riseal year commencing January 1, 2002 and ending December 31, 2002. Section Three: It is hereby declared and determined by the President and Board of Trustees of the Village of Mount Prospect that the amount of $966,932.50 levied for G.O. Bond and Interest payments for the purpose of financing flood control projects, street improvements and the acquisition of land within the Village's District No. 1 Tax Increment Redevelopment Project Area pursuant to Ordinance No. 4917 be and the same is hereby abated in the amount of $966,932.50 being the entire amount levied for such bond and interest payment purposes for the fiscal year commencing January 1, 2002 and ending December 31, 2002. Section Four: It is hereby declared by the President and Board of Trustees of the Village of Mount Prospect that the amount of $150,385.00 levied for G.O. Bond and Interest payments for the purpose of funding property acquisition within the Village's District No. 1 Tax Increment Redevelopment Project Area pursuant to Ordinance No. 4977 be and the same is hereby abated in the amount of $150,385.00 being the entire amount levied for such bond and interest payment purposes for the fiscal year commencing January 1, 2002 and ending December 31, 2002. Section Five: It is hereby declared by the President and Board of Trustees of the Village of Mount Prospect that the amount of $523,200.00 levied for G.O. Bond and Interest payments for the purpose of funding property acquisition within the Village's District No. 1 Tax Increment Redevelopment Project Area pll~mnt to Ordinance NO. 4999 be and the Same is hereby abated in the amount of $523,200.00 being the entire amount levied for such bond and interest payment purposes for the fiscal year commencing January 1, 2002 and ending December 31, 2002. Section Six: It is hereby declared by the President and Board of Trustees of the Village of Mount Prospect that the amount of $111,497.50 levied for G.O. Bond and Interest payments for the purpose of funding various flood control capital improvements pursuant to Ordinance No. 5114 be and the same is hereby abated in the amount of $111,497.50 being the entire amount levied for such bond and interest payment purposes for the fiscal year commencing January 1, 2002 and ending December 31, 2002. Section Seven: It is hereby declared by the President and Board of Trustees of the Village of Mount Prospect that the amount of $389,615.00 levied for G.O. Bond and Interest payments for the purpose of funding a portion of the construction costs of a new village hall and parking structure pursuant to Ordinance No. 5212 be and the same is hereby abated in the amount of 3 $166,578.00, leaving a balance of $223,037.00 as that mount levied for such bond and interest payments for the fiscal year commencing January 1, 2002 and ending December 31, 2002. Section Eight: It is hereby declared by the President and Board of Trustees of the Village of Mount Prospect that the amount of $1,915,075.00 levied for G.O. Bond and Interest payments for the purpose of refunding a portion of the Series 1993A, Series 1993B and Series 1994A bonds pursuant to Ordinance No. 5236 be and the same is hereby abated in the amount of $1,368,830.00, leaving a balance of $546,245.00 as that amount levied for such bond and interest payments for the fiscal year commencing January 1, 2002 and ending December 31, 2002. Section Nine: Village Ordinance Nos. 4780, 4917, 4977, 4999, 5114, 5212 and 5236 are and each is hereby amended with respect to the tax abatements declared herein and set forth in Sections Two through Eight of this Ordinance. Section Ten: The Village Clerk of the Village of Mount Prospect is hereby authorized and directed to file a certified copy of this Ordinance with the County Clerk of Cook County, Illinois within the time specified by law: Section Eleven: This Ordinance shall be in full force and effect upon its passage, approval and publication in pamphlet form and filing as provided by law. AYES: NAYS: ABSENT: PASSED and APPROVED this __ day of ,2002. ATTEST: C~rald L. Farley, Village President Velma W. Lowe, Village Clerk ORDINANCE NO. AN ORDINANCE TO ABATE A PART OF THE TAXES LEVIED FOR UNLIMITED TAX BONDS OF SPECIAL SERVICE AREA NUMBER SIX OF THE VILLAGE OF MOUNT PROSPECT, ILLINOIS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 31, 2002 PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES the __ day of ,2002 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois, the __ day of ~ 2002. ORDINANCE NO. AN ORDINANCE TO ABATE A PART OF THE TAXES LEVIED FOR UNLIMITED TAX BONDS OF SPECIAL SERVICE AREA NUMBER SIX 0F THE VILLAGE OF MOUNT PROSPECT, ILLINOIS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 2002 AND ENDING DECEMBER 31, 2002 BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS: Section One: The President and Board of Trustees of the Village of Mount Prospect find as follows: Ao That pursuant to Village Ordinance No. 3950 adopted June 21, 1988 authorizing the issuance of Unlimited Tax Bonds of Special Service Area Number 6 of the Village of Mount Prospect there was levied for the year 2002 the sum of $37,775 for principal and interest payments. That as of December 1, 2002 there has been collected, deposited to and on hand in the Article I - Unlimited Tax Bond and Interest Fund the sum of $4,991 for application to bond and interest payments for the bonds issued pursuant to Village Ordinance 3950 adopted June 21, 1988. Section Two: It is hereby declared and determined by the President and Board of Trustees of this Village that the amount of $37,775 levied for Unlimited Tax Bond and Interest payments of Special Service Area Number 6 of this Village, pursuant to Village Ordinance No. 3950 adopted on June 21, 1988 be and the same is hereby abated in the amount of $4,991 leaving a balance of $32,784 as that amount levied for such bond and interest payment purposes for the fiscal year commencing January 1, 2002 and ending December 31, 2002. Section Three: It is hereby declared and determined by the President and Board of Trustees of the Village of Mount Prospect that Village Ordinance 3950 is hereby amended with respect to the tax abatement declared herein and set forth in Section Two of this Ordinance. .Section Four: The Village Clerk of the Village of Mount Prospect is hereby authorized and directed to file a certified copy of this Ordinance with the County Clerk of Cook County, Illinois within the time specified by law. Section Five: This Ordinance shall be in full force and effect upon its passage, approval and publication in pamphlet form and filing as provided by law. AYES: NAYS: ABSENT: PASSED and APPROVED this __ day of ,2002. ATTEST: Gerald L. Farley, Village President Velma W. Lowe, Village Clerk 2 Public Notice A public hearing ~n tl~e proposed 2003 E~udget lor the Viltage of Mount Prospect will be held on December 17, 2002 at 7:00p.m. The meeting will be held in the Mount Prospect Park District Cen- [ral Community Center, 1000 West Centrai Road, Mount Pros- 3ect, Illinois. The proposed budget may be examined on week- Jays in the Office of the Village Clerk in the Village Ha, II, 100 South Emerson Street between the hours of 8:30 e.m.and 5:00 p.m, All interested persons wili be given an opportunity to present oral or ,wr ~ten comments. The proposed spending plan is tor the fiscal yeb. r beginning January 1, 2003 and ending December 31, 2003. Following is a isummary ol the proposed budget by fund type: Viliage F~Jnds: , ~ General Fund '. ? '" $ 29,993,'748 Special Revenue Funds 5,659,095 Debt Service Funds 5,858,792 Capital Project Funds 18,130,600 Enterprise Funds 8,966,269 internal Service Funds 7,463,214 Pension Funds 4,Q7~,068 Total Vitlage Funds $ 80,145,386 L~bre~ Funds , 26,171,717 Total Village and Library Funds $106.317099 Michael E Janonis, Village Manager Published in the Oaily Herald December 5, 2002 {2932227)N illage of Mount Prospect Mount Prospect, Illinois INTEROFFICE MEMORANDUM TO: FROM: DATE: SUBJECT: MICHAEL JANONIS, VILLAGE MANAGER DIRECTOR OF FINANCE DECEMBER 6, 2002 PROPOSED 2003 BUDGET Attached is a revised summary of changes to the proposed 2003 Budget which incorporates the changes recommended by the Village Board at the November 26th Committee of the Whole meeting. The following changes have been made: 1. $2,000 was added to the Historical Society budget line item. 2. White light installation line item was reduced by $1,000. 3. White light supplies line item was reduced by $1,000. 4. Police Patrol overtime line item was increased by $15,000. Also attached are various budget summary pages that reflect all of the changes made thus far. In total, the Village's budget for 2003 stands at $82,269,028, representing an increase of 2.9%. Revenues and other financing sources for 2003 are estimated at $76,899,612, an increase of 5.4%. We expect to have the revised budget document published and released no later than DOUGI'AS R. ELLSWORTH, CPA DIRECTOR OF FINANCE DRE/ I:\budget\2003\Memo's\Budget Changes 12-6-02.doc VILLAGE OF MOUNT PROSPECT 2003 PROPOSED BUDGET SUMMARY OF RECOMMENDED CHANGES 2003 BUDGET Account Name Account Number GENERAL FUND Expenditures Village Manager's Office Public Information Other Professional Services 0011105-540210 Village Clerk's Office Copier Lease Payments 0011402-540938 Finance Department Contractual Services Copier Lease Payments 0011704-540938 Police Department- Patrol and Traffic Control Personal Services Overtime Earnings Community & Civic Services Contractual Services M.P. Historical Society White Light Installation Commodities & Supplies White Light Supplies Other Expenditures Total Expenditures 2003 2003 Budget Proposed Originally Recommended Budget Proposed Change As Amended 52,000 7,000 59,000 0 3,840 3,840 0 3,840 3,840 0014102-500300 350,530 15,000 365,530 0016102-540980 36,000 2,000 38,000 0016104-540962 36,000 (1,000) 35,000 0016104-570855 8,820 (1,000) 7,820 29,510,398 0 29,510,398 29,993,748 29,680 30,023,428 COMMUNITY DEVELOPMENT BLOCK GRANT FUND Revenues Intergovernmental Revenues CDBG Grant Other Revenues Total Revenues 0700000-433000 Expenditures Community Development CDBG Community Programs Club RecPlex Program Low Income Health Care Special Leisure Services CDBG Single Family Rehab Programs Single Family Rehab Other Expenditures Total Expenditures 370,151 86,000 456,151 56,800 0 56,800 426,951 86,000 512,951 0702305-540220 3,000 500 3,500 0702305-540270 10,000 1,000 11,000 0702305-540283 2,500 (500) 2,000 0 0 0 0702307-590200 151,950 85,000 236,950 259,501 . 0 259,501 426,951 86,000 512,951 Page 1 VILLAGE OF MOUNT PROSPECT 2003 PROPOSED BUDGET SUMMARY OF RECOMMENDED CHANGES 2003 BUDGET Account Name Account Number 2OO3 2003 Budget Proposed Originally Recommended Budget Proposed Change As Amended CAPITAL IMPROVEMENTS FUND Revenues Other Revenues Developer Donations Other Revenues Total Revenues Expenditures Community Improvement Projects Infrastructure Residential Street Lights Other Expenditures Total Expenditures 5100000-485000 5107702-690005 0 40,500 40,500 515,000 0 515,000 515,000 40,500 555,500 678,697 (535,911) 142,786 572,119 0 572,119 1,250,816 (535,911) 714,905 G.O. SERIES 2001 PROJECT FUND Revenues Investment Income Interest Income Other Revenue Accounts Total Revenues Expenditures Village Improvements Contractual Services Other Professional Services Building Improvements Station 12 Improvements Village Hall/Community Center Parking Structure Other Expenditures Total Expenditures G.O. SERIES 2003 PROJECT FUND Revenues Investment Income Interest Income Other Revenue Accounts Total Revenues 5250000-460100 7,307 13,059 20,366 0 0 0 7,307 13,059 20,366 5257701-540110 141,000 152,873 293,873 5257701-640003 0 275,500 275,500 5257701-640015 1,500,000 (290,000) 1,210,000 5257701-640017 830,319 1,535,318 2,365,637 0 0 0 5260000-460100 2,471,319 1,673,691 4,145,010 135,440 (15,338) 120,102 12,235,000 0 12,235,000 12,370,440 (15,338) 12,355,102 Page 2 VILLAGE OF MOUNT PROSPECT 2003 PROPOSED BUDGET SUMMARY OF RECOMMENDED CHANGES 2003 BUDGET Account Name Account Number G.O, SERIES 2003 PROJECT FUND (Cont,) Expenditures Village Improvements Contractual Services Other Professional Services Building Improvements Station 12 Improvements Village Hall/Community Center Parking Structure Other Expenditures Total Expenditures 2OO3 2003 Budget Proposed Originally Recommended Budget Proposed: Change As Amended 5267701-540110 423,000 (94,000) 329,000 5267701-640003 275,500 (275,500) 0 5267701-640015 4,500,000 1,275,000 5,775,000 5267701-640017 4,469,681 (35,318) 4,434,363 605,600 0 605,600 10,273,781 870,182 11,143,963 LIBRARY FUND Revenues Property Taxes, Library Property Taxes, IMRF Property Taxes, Maint. & Repair Property Taxes, Insurance & Audit Property Taxes, Debt Service Other Revenues Total Revenues Expenditures Administration Payroll Pension Medical Insurance Other Administration Postage & Printing Programs Contractual Services Library Supplies Other Operating Expenses Audit and Insurance Building Utilities Building Maintenance Equipment Maintenance Equipment & Equipment Rental Other 9500000-499100 9500000-499101 9500000-499102 9500000-499103 9500000-499104 9500000-499109 9509502-900110 9509502-900120 9509502-900130 9509502-900140 9509502-900150 9509502-900155 9509502-900160 9509502-900~70 9509502-900171 9509502-900210 9509502-900200 9509502-900220 9509502-900225 9509502-900226 0 3,545,520 3,545,520 0 315,390 315,390 0 246,641 246,641 0 50,590 50,590 0 1,620,313 1,620,313 0 20,393,259 20,393,259 0 26,171,713 26,171,713 0 2,676,200 2,676,200 0 321,700 321,700 0 190,500 190,500 0 50,400 50,400 0 0 0 0 148,800 148,800 0 54,600 54,600 0 78,600 78,600 0 51,600 51,600 0 63,000 63,000 0 25,000 25,000 0 44,500 44,500 0 96,900 96,900 0 12,000 12,000 Page 3 VILLAGE OF MOUNT PROSPECT 2003 PROPOSED BUDGET SUMMARY OF RECOMMENDED CHANGES 2003 BUDGET Account Name Account Number LIBRARY FUND {Cont.) Expenditures (Cont.) Materials Books Audio Visual Other Materials Contingencies Other Funds Bldg. & Equipment Fund Gift Fund Library Debt Service Fund Library Capital Projects Fund Total Expenditures 9509502-900300 9509502-900310 9509502-900311 9509502-900312 9509502-900313 9509502-900330 9509502-900700 9509502-900701 2OO3 2003 Budget Proposed Originally Recommended Budget Proposed Change As Amended 0 338,400 338,400 0 79,400 79,400 0 119,800 119,800 0 300,000 300,000 0 600,000 600,000 0 300,000 300,000 0 1,620,313 1,620,313 0 19,000,000 19,000,000 0 26,171,713 26,171,713 Page 4 VILLAGE OF MOUNT PROSPECT 2003 PROPOSED BUDGET SUMMARY OF RECOMMENDED CHANGES 2004 FORECAST BUDGET Account Name Account Number GENERAL FUND Expenditures Village Manager's Office Village Clerk's Office Copier Lease Payments Finance Department Contractual Services Copier Lease Payments Other Expenditures Total Expenditures 0011402-540938 0011704-540938 2004 Forecast Budget Originally Proposed Recommended Change 2004 Forecast Budget As Amended 0 3,840 3,840 0 3,840 3~840 31,870,612 0 31,870,612 31,870,612 7,680 31,878,292 G.O, SERIES 2003 PROJECT FUND Revenues Investment Income Interest Income Other Revenue Accounts Total Revenues Expenditures Village Improvements Building Improvements Village Hall/Community Center Parking Structure Construction Contingencies Other Expenditures Total Expenditures 5260000-460100 4,588 (1,641) 2,947 0 0 0 4,588 (1,641) 2,947 5267701-640015 1,000,000 115,000 1,115,000 5267701-640017 1,000,000 (1,000,000) 0 5267701-640023 3,957 (2,161) 1,796 97,290 0 97,290 2,101,247 (887,161) 1,214,086 Page 1 II VILLAGE OF MOUN ROSPE 2003 BUDGET SUMMARY TOTAL VILLAGE BUDGET 2001 2002 2002 2003 2004 Actual Budget Estimate Budget Forecast REVENUES AND OTHER SouRcES · Property Taxes 9,788,28i 10,481,059 10~520,768 10,930,576 11,455,364 Other Taxes 10,180,223 10,136,112 9,925,314 10,606,790 10,775,246 Licenses, Permits & Fees 2,967,003 3,000,200 2,980,530 2,767,330 2,780,830 Intergovernmental Revenue 15,432,125 17,124,437 16,400,799 15,642,253 16,0i2,121 Charges for Service 12,804,435 13,358,504 13,399,125 14,385,786 15,307,164 Fines and Forfeits 553,687 459,700 502,700 512~960 529,700 Investment Income 7,517,698 5,090,157 3,078,688 4,555,565 4,461,101 Reimbursements 751,236 561,410 719~225 357,820 368,200 Other Revenue 3,307,920 3,402,188 3,483,429 3,748,855 3,979,479 Interfund Transfers 641,970 1,865,928 1,865,928 [,096,677 1,009,130 Other Financing Sources .... 5,789,236 7,482,421 7,482,421 12,295,000 60,000 Village Revenues and Other Sources 69,733~814 72,962,116 70,358,927 76,899,612 66,738,335 Mount Prospect Library Revenues 4,469,111 5,382,877 5,382,877 Total Revenues and Other Sousces 74,202,925 26,171,713 (a) 78,344,993 75,741,804 103,071,325 66,738,335 BUDGET EXPENDITURES Village Operating Budget Village Capital Budget Debt Service Budget Pension Systems Budget Internal Services Budget Total Village Expenditures Mount Prospect Library Budget Total Expenditures 40,123,386 42,204,955 41,338,773 44,124,504 45,631,709 7,634,354 15,301,401 12,756,505 22,394,914 8,448,686 4,363,237 13,155,446 13,149,366 5,858,792 5,976,312 3,511,970 3,952,767 3,827,672 4,113,425 4,238,106 4,950,662 5,360,043 5,297,408 5,777,393 6,495,093 60,583,609 79,974,612 76,369,724 82,269,028 70,789,906 4,055,191 64,638,800 5,382,877 5,382,877 26,171,713 (a) 85,357,489 81,752,601 108,440,741(d) 70,789,906(d) CHANGES IN FUND BALANCES (d) Excess (Deficiency) of Revenues & Other Sources Over Expenditures 9,564,125 (7,012,496) (6,010,797) (5,369,416) (4,051,571) Fund Balances Start of Budget Year End of Budget Year ' Less: Pension Fund Balances ( e ) Available Fund Balances, 101,783,480 111,347,605 111,347,605 105,336,808 99,967,392 111,347,605 104,335,109 105,336,808 99,967,392 95,915,821 (64,529,582) (67,467,743) (65,166,447) (67,473,053) (69,899,630) 46,818,023 36,867,366 40,170,361 32,494,339 26,016,191 (a) Co) (c) (d) Not available as of December 17, 2002. Internal Services Budget includes the Vehicle Maintenance Fund and ~e Risk Management Fund only. The Equipment Replacement FUnd and Computer Replacement Fund aTM ~eluded With the Village Capital Budget. Pension Fund Balances are reserved for pension benefits and not available for appropriation. Does not include the results of operation of the Mount Prnspeet Library. VILLAGE OF MOUNT PROSPECT 2003 BUDGET SUMMARY REVENUES AND OTHER SOURCES BY REVENUE TYPE 2001 2002 2002 2003 2004 Actual Budget Estimate Budget Forecast PROPERTVTAXES OTHER TAXES Home Rule Sales Tax Food & Beverage Tax Special Service Area Taxes Property Tax Increment Real Estate Transtbr Tax Utility Taxes Municipal Motor Fuel Tax Other Taxes 9,788,281 10,481,059 10,520,768 10,930,576 11,455,364 2,874,440 2,776,742 2,530,000 2,580,600 2,632,212 640,353 644,184 644,178 657,065 670,206 1,531,324 1,580,848 1,580,319 1,570,150 1,569,375 804,700 953,876 954,686 1,128,217 1,441,000 826,717 715,000 770,000 750,000 780,000 3,147,580 3,115,366 3,108,966 3,580,028 3,337,623 153,336 150,000 150,000 150,000 150,000 201,773 200,096 187,165 190,730 194,830 10,180,223 10,136,112 9,925,314 10,606,790 10,775,246 LICENSES, PERMITS & FEES Vehicle Licenses Other Licenses Permit Fees Infi'astructure Mtc Fee Franchise Fee Other Fees 1,359,476 1,368,000 1,368,000 1,368,000 t,368,000 349,250 348,000 349,730 350,730 351,730 381,294 424,700 424,500 427,500 430,500 214,262 316,200 230,000 339,628 265,000 340,000 346,800 353,700 323,093 278,300 268,300 274,300 276,900 2,967,003 3,000,200 2,980,530 2,767,330 2,780,830 INTERGOVERNMENTAL REVENUE State Sales Tax State Income Tax State Motor Fuel Tax Other State Taxes Community Devl Block Grant Other Grants CHARGES FOR SERVICE Water & Sewer Charges Parking Charges Refitse Disposal Charges Internal Service Fund Charges Other Service Charges FINES AND FORFEITS INVESTMENT INCOME GeneralFund Pension Funds Other Funds 7,729,085 7,856,964 8,265,850 8,540,200 9,168,300 4,049,867 4,175,000 3,644,880 3,754,226 3,866,850 1,542,199 1,554,245 1,580,000 1,611,000 1,643}000 958,622 1,001,500 797,455 780,303 800,706 590,005 771,272 771,272 456,151 372,915 562,347 1,765,456 1,341,342 500,373 160,350 15,432,125 17,124,437 16,400,799 15,642,253 16,012,121 5,946,488 6,337,412 6,373,912 6,590,800 6,852,700 163,671 174,000 164,000 164,000 164,000 911,271 915,250 930,300 972,300 1,001,300 5,047,160 5,151,666 5,151,666 5,843,733 6,450,126 735,845 780,176 779,247 814,953 839,038 12,804,435 13,358,504 13,399,125 14,385,786 15,307,164 553,687 459,700 502,700 512,960 529,700 492,969 345,000 285,000 265,000 265,000 5,407,500 3,704,000 1,955,000 3,615,000 3,715,000 1,617,229 1,041,157 838,688 675,565 481,101 7,517,698 5,090,157 3,078,688 4,555,565 4,461,101 VILLAGE OF MOUNT ~RoSPECT ] 2003 BUDGET SUM~V~Y I REVENUES AND OTItER SOURCES BX REVENUE TYPE Actual Budget Estimate Budget Forecast REIMBURSEMENTS 751,236 561,410 719,225 357,820 368,200 1,437,150 1,589,919 1,589,920 1,810,214 1,898,584 87,750 40,500 45,900 40,500 1,454,933 1,565,919 1,565,919 1,687,191 1,867,445 328,087 205,850 281,690 210,950 213,450 3,307,920 3,402,188 3,483,429 3,748,855 3,979,479 OTHER REVENUE Village Police & Fire Pension Comributi0ns Developer Donations Employee & Retiree Contributions Other Revenue OTHER FINANCING SOURCES Bead Proceeds 5,000,000 6,197,421 6,197,421 12,235,000 EPA Flood Loan :. - Sale of Property, 789,236 1,285,000 1,285,000 60,000 60,000 5,789,236 7,482,421 7,482,421 12,295,000 60,000 MOUNT PROSPE~ LIBBY ~NUES 4,469,111 5,382,877 5,382,877 26,171,713 (a) ~,~,..~r:..?..,,~:~::~.77,,.:-.'' ,,-:..,:.... ... '..... ~ .g~,:, .: C~NGES ~ F~D BAL~CES Tom R~enU~ & O~ S6U~ 7~202,925 78,344,993 75,741,804 103,071,325 66,738,335 To~l Ex~ndi~r~ ~,638;800 85,357,489 81,752,601 108,440,741 70,789,~ Additions to <Use o~ Fund Balancce 9,564,125 (7,012,496) (6,010,797) (5,369,416) (4,051~71) ANALYSIS OF CHANGES IN FUND BALANCES Additions to PenSiOn F~d B~e~S 8~i 148 2 245 242 636 865 2 306,606 2,426,577 Additions to Other Fund Balan~ 8 722,977 <Use of> Other Fund Balances (9,257,738) (6,647,662) (7,676,022) (6,478,148) 9,564,125 (7,012,496) (6,010,797) (5,369,416) (4,051,571) (a) Figures not available as of December 17, 2002. Co) Does not include the Mount Prospect Library. VILLAGE OF MOUNT PROSPECT 2003 BUDGET SUMMARY BUDGET EXPENDITURES 2001 2002 2002 2003 2004 Actual Budget Estimate Budget Forecast VILLAGE OPERATING BUDGET [ PUBLIC REPRESENTATION 100,589 105,468 104,461 104,167 ti0,938 VILLAGE ADMINISTRATION Village Manager's Office Television Services Division Village Clerk's Office Finance Department Totals 1,264,541 1,359,962 1,331,543 1,785,366 1,832,902 182,592 205,228 202,417 181,389 193,356 152,695 144,504 147,357 150,792 160,172 1,313,569 1,393,203 1,391,843 1,293,086 1,371,654 2,913,397 3,102,897 3,073,160 3,410,633 3,558,084 COMMUNITY DEVELOPMENT Community Development Community Development/CDBG Totals 1,581,012 1,514,389 1,510,389 1,549,758 1,825,028 654,850 844,042 821,282 512,951 429,715 2,235,862 2,358,431 2,331,671 2,062,709 2,254,743 HUMAN SERVICES DEPARTMENT 635,160 751,486 725,940 756,285 815,376 I PUBLIC SAFETY AND PROTECTION Police Department Fire Department Totals 9,540,896 9,856,315 9,736,298 10,483,729 10,952,534 7,619,558 7,850,578 7,815,354 8,353,838 8,789,330 17,t60,454 17,706,893 17,551,652 18,837,567 19,741,864 PUBLIC WORKS DEPARTMENT Administration StYeets/B ldgs/Parking Forestry Engineering Water/Sewer Refuse Disposal Totals 942,406 970,640 949,517 969,874 1,028,316 2,331,250 2,524,250 2,418,269 2,233,879 2,377,865 1,243,629 1,312,531 1,289,200 1,318,443 1,416,137 1,016,690 1,209,537 1,174,485 1,022,119 1,072,916 7,439,884 8,238,513 7,870,898 8,723,797 8,660,026 3,176,980 3,253,36t 3,178,745 3,307,863 3,343,701 16,150,839 17,508,832 16,881,114 17,575,975 17,898,961 I COMMUNITY SERVICE PROGRAMS 285,115 303,485 303,312 280,491 289,013 CONTINGENCIES & EQUITY TRANSFERS 641,970 367,463 367,463 1,096,677 962,730 }~OTAI,,. O,P~..,RATING. . BUDGET . .' 40,123,386 42,201,955 :.' -~,1338,¢~3:? i44,124,,r~04. ): l VILLAGE OF MOUNT PROSPECT 2003 BUDGET SUMMARy BuD%T Actual Budget Estimate Budget Forecast VILLAGE CAPITAL BUDGET Village Improvements & Equip Community improvement Projects Downtown Redeveloprc~nt Constr Flood Control Projects Street Improvement Projects Motor Equipment Replacement Computer Replacement Totals 509,344 4,357~586 2,460,085 15,861,092 1,694,846 344348 812,152 808,402 142,786 215,000 1,055,555 1,551,977 980,075 761,542 220,710 726,777 2,589,261 2,597,261 265,000 500,000 4,288,847 4,455,743 4,455,743 3,688,673 4,550,530 673,128 1327,957 1,348,026 1,464,571 1,093,100 36,255 106,725 106,913 211,250 174,500 7,634,354 15,301,401 · 12,756,505 22,394,914 8,448,686 DEBT SERVICE BUDGET Debt Service - Property Tax 635,641 Debt Service - Tax Increment 1,311,101 Debt Service - Home Rule Sales Tax 1 1 493 399 Debt Service - Home Rule Sales Tax 2 880,791 Debt Service - Special Service Area 42,305 Totals 4,363,237 3,841,071 3,839,563 2,056,053 2,028,172 2,359,478 2,357,976 780,585 912,075 3,318;392 3,316,604 1,487,540 1,499,369 3~596,450 , 3~595,168 1,496,839 1,496,201 40,055 40,055 37,775 40,495 13,155,446 13,149,366 5,858,792 5,976,312 PENSION SYSTEMS BUDGET Miscellaneous Pensions Police Pensions Fire Pensions Totals 51,042 51,957 51,957 52,875 53,791 1,728,981 1,979,010 1,906,088 2,071,900 2,140,020 1,731,947 1,921,800 1,869,627 1,988,650 2,044,295 3,511,970 3,952,767 3,827,672 4,113,425 4,238,106 VILLAGE INTERNAL SERVICES BUDGET Vehicle Maintenance Services 1,042,527 1,168,979 1,152,988 1,144,297 1,227,908 Risk Management Casualty and Property Insurance 1,215,390 · Medic, al Insurance 2,692,745 Totals 4,950,662 1,028,957 985,592 915,013 911,836 3,162,107 3,158,828 3,718,083 4,355,349 5,360,043 5,297,408 5,777,393 6,495,093 MOUNT PROSPECT LIBRARy BUDGET 4105S,19i 5,38~,877 5382;877 26}i7i~7i3 (a) [ ·..~rO~, .A_ 1 ~_~t!DG I-;T FJ~PEN DITURE S, . . . ".' '! .;' .~)'~'-'¢...'-,64,638,,800,.. .~.. .... '.' 85,357,489' :.~,D81~52,601 ~>.. , , . ?.108,~0,741.. .-"7. 9~90600 '-'., . (a) Figures not available as of December 17, 2002. (b) Does not include the Mount Prospect Library. VILLAGE OF MOUNT PROSPECT 2002 BUDGET SUMMARY REVENUES AND OTHER SOURCES BY FUND 2001 2002 2002 2003 2004 Actual Budget Estimate Budget Forecast GENERAL FUND 28,081,184 28,382,315 28,369,170 29,221,405 SPECIAL REVENUE FUNDS Refuse Disposal Fund Motor Fuel Tax Fund Law Enfomement Block Grant Community Develpmnt Block Grot Asset Seizure Fund DEA Shared Funds Fund DUI Fine Fund DEBT SERVICES FUNDS G.O. Bonds - Property Taxes G.O. Bonds - Tax Increment G.O. Bonds - Home Rule Sales Tax 1 G.O. Bonds - Home Rule Sales Tax 2 Special Service Area Bonds CAPITAL PROJECTS FUNDS Capital Improvement Fund Series 2001 Project Fund Series 2003 Project Fund Capital Improvement Const Fund Downtown Redevlpnmt Const Street Improvement Const Fund Flood Control Const Fund ENTERPRISE FUNDS Water And Sewer Fund Parking System Revenue Fund INTERNAL SERVICE FUNDS Vehicle Maintenance Fund Vehicle Replacement Fund Computer Replacement Fund Risk Management Fund 3,344,793 3,457,972 3,478,273 3,280,673 3,309,673 1,657,216 1,624,395 1,630,275 1,641,250 1,673,250 5,060 25,446 25,526 12,173 654,850 821,282 821,282 512,951 429,715 28,331 7,250 7,250 7,200 7,200 41,086 12,000 12,000 12,000 12,000 15,371 6,300 6,350 6,050 6,050 5,746,707 5,954,645 5,980,956 5,472,297 5,437,888 660,625 3,809,096 3,808,688 1,952,515 1,988,591 1,068,787 1,954,387 1,949,315 874,833 1,010,549 1,447,298 3,264,841 3,125,189 1,299,161 1,322,188 1,049,496 3,504,048 3,378,397 1,303,674 1,372,951 40,142 36,548 36,123 33,531 32,681 4,266,348 12,568,920 12,297,712 5,463,714 5,726,960 1,2t0,330 1,048,150 574,450 5,021,245 135,588 83,731 7,871 2,100 2,100 872,853 1,249,640 1,249,740 2,395,753 1,854,992 1,857,586 178,619 1,075,000 1,060,000 9,686,671 5,365,470 4,827,607 7,697,200 8,042,712 8,028,737 343,126 202,200 188,240 8,040,326 8,244,912 8,216,977 555,500 170}000 20,366 12,355,102 2,947 259,600 438,000 1,820,765 1,509,715 20,000 15,000 15,031,333 2,135,662 8,212,925 8,474,825.-I 189,200 189,200 I 8,402,125 8,664,025 [ 1,151,531 1,155,478 1,154,894 1,060,651 137,172 200,053 3446,594 3,831,663 6,190,191 6,247,845 1,156,978 1,144,297 1,227,908 1,060,651 1,027,561 1 }027,561 199,053 227,476 223,357 3,800,913 4,529,130 5,193,437 6,217,595 6,928,464 7,672,263 VILLAGE OF MOUNT PROSPECT 2002 BUDGET SUMMARY REVENUES AND OTHER SOURCES BY FUND 2001 2002 2002 2003 2004 Actual Budget Estimate Budget Forecast FIDUCIARY FUNDS Police Pension Fund Fire Pension Fund Benefit Trust #2 Fund Escrow Deposit Fund 3,770,506 3,093,539 2,157,540 3,108,033 3,272,709 3,931,969 3,103,370 2,290,370 3,272,141 3,338,183 3,231 l, 100 1,000 t 00 16,681 7,722,387 6,198,009 4,448,910 6,380,274 6,610.892 MOUNT PROSPECT LIBRARY FUND !;-'~,~'~.,,..'::) ,.. ,;.t., '.; ..., · ...','to.,.,. ;..,. ' , ,:, .' ... . ~,, ;,',."OiJ]i~n(,l'. ~: 'l;lliI{AR'} '['UNBS" :' 4,469,111 5,382,87~ 5,382,8~7 i6,i7i17i~ (aj I I ' 7~ 202 925' ; 78~44.093 7~.741,804 ' ~03,07~;~ZS ':ga,~a,3~s(ti)' , ;. ?~'-~ ;~:... · ;, ,.. (a) Figures not available as of December 17, 2002. Does not include the Mount Prospect Libraq'. VILLAGE OF MOUNT PROSPECT 2003 BUDGET SUMMARY EXPENDITURES BY FUND 2001 2002 2002 2003 2004 Actual Budget Estimate Budget Forecasl GENERAL FUND 28,118,941 28,599,479 28,198,486 30,023.428 31,878,292 SPECIAL REVENUE FUNDS Refuse Disposal Fund Motor Fuel Tax Fund Community Development Block Grant Local Law Enforcement Block Grant Asset Seizure Fund DEA Shared Funds Fund DUI Fine Fund Totals 3,176,980 3,253,361 3,178,745 3,307,863 3~343,701 1,352,366 2,376,903 2,596,903 1,886,033 1,910,920 654,850 844,042 821,282 512,951 429,715 5,061 25346 25,446 12,173 6,143 7,808 7,808 8,850 7,070 5,225 4,700 10.823 700 700 12.000 3.000 5,206,223 6,508,260 6.630,g84 5,745,095 5,699,106 DEBT SERVICE FUNDS G.O. Bonds - Property Taxes G.O. Bonds - Tax Increment G.O. Bonds - Home Rule Sales Tax 1 G.O. Bonds - Home Rule Sales Tax 2 Special Service Area Bonds Totals 635,641 3,841,071 3,839,563 2,056,053 2,028,172 1,311,101 2,359,478 2,357,976 780,585 912,075 1,493,399 3,318,392 3,316,604 1,487,540 1,499,369 880,791 3,596,450 3,595,168 1,496,839 1,496,201 42,305 40,055 40,055 37,775 40,495 4,363,237 13,155,446 13,149,366 5,858~792 5,976,312 CAPITAL PROJECTS FUNDS Capital Improvement Fund Series 2001 Project Fund Series 2003 Project Fund Capital Improvement Const Fund Downtown Redevelop Const Fund Street Improvement Const Fund Flood Contxol Const Fund Totals 650,192 2,638,934 2;396,556 714,905 1,857,480 183,786 2,455,420 796,547 4,145,010 11,143,963 1,214,086 42,752 153,938 153,938 1,055,985 1,552,422 980,520 762,007 221,195 3,174,213 2,856,788 2,636,788 3,107,677 2,730,730 726,777 2,449,261 2,457,261 265,000 330,000 5,833,705 12,106,763 9,421,610 20,138,562 6,353,491 8,238,513 71870,898 8,723,797 8,660,026 516,518 516,320 242,472 265,371 8,755,031 8,387,218 8,966,269 8,925,397 ENTERPRISE FUNDS Water and Sewer Fund Parking System Revenue Fund Totals 7,439,884 387,892 7,827,776 INTERNAL SERVICE FUNDS Vehicle Maintenance Fund Vehicle Replacement Fund Computer Replacement Risk Management Fund Totals 1,042,527 1,168;979 1,152,988 1,144,297 1,227,908 743,128 1,427,957 1,348,026 1,464,571 1,093,100 36,255 106,725 106,913 211,250 174,500 3,915,367 4,208,832 4,162,188 4,643,096 5,277,485 5,737,277 6,912,493 6,770,115 7,463,214 7,772,993 VILLAGE OF MOUNT PROSPECT 2003 BUDGET SUMMARY EXPENDITURES BY FUND 2001 2002 2002 2003 2004 Actual Budget Estimate Budget Forecast FIDUCIARY FUNDS Police Pension Fund 1,728,981 1,979,010 1,906,088 2,071,900 2,140,020 Fire Pension Fund 1,731,947 1,921,800 1,869,627 1,985,650 2,044,295 Benefit Trust #2 Fund 35,522 36,330 36,330 13,1 ! 8 Totals 3,496,450 3,937,140 3,812,045 4,073,668 4,184,315 IMOUNT PROSPECT L1BRARY BUDGET 4,055,191 5,382,877 5,382,877 26,171,713 (a) ] ...~'.~OT. AI, I'.Xl I.ND.I I IRI.S - . .... .. ,. . ">" '. .... 85.357,489 I :~{'.::~'. VII.I;AGI';;~N9 LlliRAI{3~I~]NI)S ~. ' ". ' ' .. :' &:: .....'? :'. ' (a) Figures not available as of December 17, 2002. (b) Does not include the Mount Prospect Library. :003 BUDGET sUMMARy I AVAILABLE FUND BALANCES i2~31-2003 Recommended Eslinlaled 2003 2003 }:stimatod . Fund BalallCe Iiudllel I~tldget Balallee ' Balal~ce .' 12131102 I~evenues I.:xFendilnres 12/31/03 12131103 [ GENE~L ~ND 9,588,386 29,22':40} 30,02~28 5.780.~63 7.969,573 SPECIAL REVENUE FUNDS Refuse Disposal Fund Motor Fuel Tax Fund Community Development Block Grot Local Law Enl. Block Grant Asset Seizure Fund DEA Shared Funds Fund DUI Fine Fund TOTAL 243 ~ "' 53,086 12.00:? %225 59.S61 · .;;- · 10,198 6,050 12.00~: ,,2,$ . : , - 3,579,002 5fi72.29~ 5 745.095 .~.306.,.0., : l.,31~J 655 DEBT SERVICES FUNDS G.O. Bonds - Property Taxes 336,626 G.O. Bonds - Tax Increment 354,297 G.O. Bonds - Home Rule Sele~ Tax 1 40~;,334 G.O. Bonds - Home Rule Sales Tax 2 412,005 Special Service Area Bonds 18,92S TOTAL 1.5 ~ 0,190 1,9~2,5! 5 2.05 (!,'~" ',~' ~x .. 874.833 '.'80.5.q~' .148.545 · ' .45~;O40. 1.299,161 1, ~ ,5 *" ~'<' '74,~68~ I,~03,67A 1,196.839 215.8401 1l . .' 33.531 37,775 1.,.6S4 ' ',' 5Ao3.~.., 5.85~,792 I.~35,112 CAPITAL PROJECTS FUNDS Capital lmprovemeat Fund Series 2001 Project Fund Series 2003 Project Fund Downtown Redevelop Const Fund Street Improvement Const Fund Flood Conh'ol Const Fund TOTAL 1,90':,0S7 555/30' 71.1.905 I.-.17.6~,2 .' ' .'1,7,~7}68~: .~ ~ ' . ~ ' :":~. 3~'":":? I 4,124,614 20,366 .,.~ .,(.I '~ .".' -:e-". '1 12.3.55.1(1:I I,I I ;.96:.~ I.?.1 100,55.t 259,600 7,$2.(107 1,s2o,'i6s :,yr',67 .' 1,a36.79. 20.000 1.091 9.8.:0.132 1~.,03 Lx33 8.2!2.925 ;~,72~,,797 '- ~'4 ~'2 '} -6~:'1 i s9.2oo sor.(,.IS ,... 8.402,125 8.966,269 3.q52.717 2.. I';NTERPRISE I:UNDS Water :md Sewer Fun:! (a) Pa!kmL: System Revenm! Fmtd (a) TOTAL 3,555,9.14 560,917 4.116.861 VILLAGE OF MOUNT'PROSPECT 2003 BUDGET SUMMARY AVAILABLE FUND BALANCES 12-31-2003 Rt'eomm~ncled [..stunnted 2003 2003 EstJmatetl ':...:',l~md Balance Budget I~u(lget I~nlance . ~.~l~nc~' ~ 12/31/02 Revenues I.:xpen(lilure~ 12/31/03 .1~!~11113 . INTERNAL SERVICI~ FI'5, DS Vehicle Maintenance i't::~d Vehicle Replacemenl I:u!'.l (al Computer Replaceme, · I:P'id (n) Risk Management l'urd TOTAL PENSION FUNDS Police Pension Fund 31,6.: 7.6-,I 3. ! ','i: .0; ~ 'L(~"I ?? '~' Fire Pension Fund 3371~,,755 3.2-?.1.:1 Benefit Trust #2 Fund I :,01 ~, ! 0,, TOTAL 65,166.~4': 6.~30.27J -I,~,-.-' .(~6,, Totals - Village Funds 102,324,674 76,899,612 82,269,028 96 955 258~,-.~ Less: Pension Funds lb) (65,166,4471 (6,380,274) (4,073,668) (67 473 0531 ~,~.~:$j~'0~0): MOUNT PROSPECT LIBRARY FUND (a) (e) Estimated balances reflect cash and iavestraent balance, not fund equity. Pension Funds are restricted for future pension benefits and do not constitute "Available Fund Balances.' Not available December 17, 2002. ORDINANCE NO. AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2003 AND ENDING DECEMBER 31, 2003 IN LIEU OF PASSAGE OF AN APPROPRIATION ORDINANCE PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES the__day of ,2002 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois the day of ., 2002. ORDINANCE NO. AN ORDINANCE ADOPTING AN ANNUAL BUDGET FOR THE VILLAGE OF MOUNT PROSPECT FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2003 AND ENDING DECEMBER 31, 2003 IN LIEU OF PASSAGE OF AN APPROPRIATION ORDINANCE WHEREAS, the President and Board of Trustees of the Village of Mount Prospect in accordance with 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, 2003 and ending December 31, 2003, 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 8, 2002 for public inspection, as provided by Statute; and WHEREAS, pursuant to notice duly published on December 5, 2002, a public hearing was held by the President and Board of Trustees on said tentative annual budget on December 17, 2002, as provided bY Statute; and WHEREAS, following said public hearing, said tentative Annual Budget was reviewed by the President and Board of Trustees and a copy of said tentative Annual Budget is attached hereto and hereby made a part hereof. NOW, THEREFORE, BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS: SECTION ONE: The Annual Budget for the Village of Mount Prospect for the fiscal year beginning January 1, 2003 and ending December 31, 2003, 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 1,2003 and ending December 31, 2003, duly certified by the Chief FiScal Officer. 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: NAYS: ABSENT: PASSED AND APPROVED this day of ,2002. ATTEST: Gerald L. Farley, Village President Velma W. Lowe, Village Clerk 2