02. 2025 Truth In Taxation Hearing Budget Presentation Staff Report
Date of Meeting: December 4, 2024
For: Honorable Mayor and Council
From: Kyle Morell, City Administrator
Subject: 2025 Truth-In-Taxation Hearing
Background:
The Capital Investment Committee met three times to review the CIP funds and discuss future
projects. Their recommendations have been included in the CIP fund budgets. The General
Fund budget was prepared using past revenue and expense practices and a six-month review of
2024 spending as guides for future revenue and expense projections.
Staff prepared a 2025 Preliminary Budget presentation outlining the recommendations of the
CIP Committee, detailed the 2025 revenues and expenses for each CIP fund, and outlined the
assumptions made in assembling the preliminary budget.
The 2025 Preliminary Budget, individual CIP Fund documents, and a Summary Budget
document that shows the complete levy picture and the proposed 2025 tax rate are also
included.
The first draft of the budget presented at the August 7 Work Session showed a total city budget
of $3,390,434, a $393,582 increase over 2024. This resulted in a project tax rate of 30.535%,
3.902% higher than 2024, or a 14.65% increase in the tax rate. Public attendance at this
meeting was high, and it was explained that this was the first draft of the budget. Increases in
contracted services and insurance were estimated to be higher than in past increases. Fire
Department wages were also increased by 23% to reflect better actual past amounts. Changes
would be made to the budget as we progressed in the budget cycle to reduce the levy and tax
rate. Councilmember Benson pointed out that the proposed rate was similar to the 2022 tax
rate before the Council lowered the rate in 2023.
At the September 4 Work Session, the budget presented to the Council showed a levy of
$3,300,330, $90,105 less than in August. The proposed 2025 tax rate has also been reduced to
29.549%, or a 10.95% increase over the 2024 tax rate of 26.633%.
Discussion at the September 17 Regular Meeting centered around the appropriate use of the
ARPA funding. After a good discussion, the Council directed staff to apply the ARPA funding to
purchase the new fire engine slated for later this year. Doing so reduced the equipment
certificate amount needed for the engine by $460,000, from $800,000 to $340,000, thereby
reducing the levy needed to pay off the certificate by $55,000. Staff also adjusted the levy
amount for the 2024 GO Bond payment. Using project savings and interest earned from bond
proceeds, the levy amount was reduced by $100,000 from $219,569 to $119,569.
September interest earnings further reduced the 2024 GO Bond payment levy to $115,703.
Once October interest numbers are available, the amount will be further reduced.
The City received notice from its insurance company that property insurance and workers'
compensation rates are decreasing. Without knowing the exact reduction, we budget flat rates
across these line items, removing the 10% increase we had previously applied.
2025 Budget
The City’s General Fund budget shows total 2025 expenditures at $2,368,829, with revenues
projected to be $2,399,449, providing the budget a cushion of $30,670. The primary expense
increase is due to the accurate budgeting of fire department wages, which have been under-
budgeted in past years. 2025 saw a 23% increase in fire department wages. The budget
includes a full-time Treasurer and a three-month overlap with our current Treasurer. 2025
health insurance renewals came in for City staff, and the monthly premium was reduced by
5.1%. This has been reflected in the 2025 budget numbers. The total General Fund levy is
$1,893,907, a $27,989 increase (1.5%) over 2024.
The City added debt service payments in 2024 with the bonding for the 2024 Street
Reconstruction and Seal Coating and Crack Filling Projects. The scheduled debt service
payment for that bond is $359,887.50. I have reduced that obligation to $112,124 in 2025 by
applying $47,764 in interest earnings and $200,000 in project savings towards that levy
amount. Total project savings are expected to be between $450,000 and $480,000. The
remaining amount has been applied to the 2026 and 2027 bond payments to help reduce the
2026 and 2027 levies. The City will seek approval to issue a $340,000 equipment certificate to
pay for the new fire department engine. The debit will not be issued until January 2025. ARPA
funding and cash will be used to cover the remaining balance. This adds $37,000 to our debt
service levy in 2025(down from $89,000 without the use of ARPA funds). The budget also
shows the issuance of $515,510 in equipment certificates in 2025, with payments beginning in
2026. These certificates are for the new plow truck and fire department tanker. The City
continues to make payments on the 2018 road bond, which is $343,166 in 2025. The total debt
service levy is $494,287, $148,653 more than in 2024.
The CIP Fund documents have been adjusted since our last meeting. The 401 shows a reduced
levy amount in 2025 to $125,000. Six projects are scheduled in 2025 out of the 401 fund,
totaling $229,041. Excess fund balance allowed for this revenue reduction while maintaining a
positive fund balance. The 404 Fund shows a 2024 transfer of $125,000 in excess fund balance
and the $150,000 transfer from the 401 Fund to pay for the tennis court reconstruction, which
began in 2024 and will conclude in 2025. The 406 Fund shows the issuance of a $515,510
equipment certificate to pay for the new fire department tank and public works snow plow,
both scheduled to be delivered in fall 2025. The 408 Fund levy amount has been increased at
the recommendation of the CIP Committee. The City is planning a $665,000 road project for
2025. The total CIP levy is $730,000, $55,300 less than in 2024.
The proposed final 2025 levy amount is $3,118,194. This represents a $121,342 increase
(4.05%) over the final 2024 amount. If this amount were approved as the City’s final levy, the
2025 tax rate would be 27.834%, 1.130% points higher than 2024, or a 4.23% increase.
Sewer Budgets
Bliss and Anderson Erickson
The 2025 sewer budgets have been completed. We have split the Bliss and Anderson Erickson
sewer systems into two separate funds. This allows us to understand better the cost of
operating each system and ensure the residents only pay for the operation of the system they
live on. The Wastewater Committee meets on Wednesday, October 30, 2024, to discuss the
2025 budget. Out of that discussion came a decision to change how the City bills for sewer
service. We will continue to have a user fee, but we will begin charging for services related to
tank pumping, pump replacement, and after-hours calls. This will allow us to reduce the user
fee and bill those residents for services provided as they are needed. This should eliminate
concern over how frequently some people's tanks are pumped versus others. There was also a
discussion of the implementation of a seasonal user fee. With this change, the committee
hopes we can finally get to a place where those who use the system the most contribute to it
the most.
Draft sewer budgets were presented to the Council at the November 19 Regular Meeting. The
budget and the revised revenue stream will be presented to the Bliss and Anderson Erickson
systems residents at an informational meeting on Monday, December 9, 2024, at 6:30 p.m. at
the Community Center. The sewer budgets included in the 2025 budget are the revised 2025
budgets. Revenue for Reimbursements for Services has been added to each budget. The
revenue needed from User Fees has been reduced to reflect the new revenue stream. A
seasonal rate of $750 has been added for the nine seasonal properties along Big Marine Lake, 4
in the Bliss and 5 in the A&E systems. The 2024 User Fee was $1,542.63. The 2025 User Fee for
Bliss is $1,446, and for A&E it is $1,297.
Uptown
The Uptown System struggles to break even. To help the system, we moved Public Works
wages out of the Fund back into the general Public Works budget, saving the Fund $10,425
annually. The Uptown Users are billed for sewer usage based on the amount of water they
pump. Water meter readings are used to establish billing usage. The reopening of the Café will
help with revenue. Staff has worked on reviewing water usage over the last six years to help
project usage in 2025. Based on an anticipated usage of 290,000 gallons of water by the
Uptown users in 2025, staff is proposing no changes in the Base Rate of $630 per year or Usage
Rate of $74.10 per thousand gallons.
If the Council approves the budget as presented or wishes to make changes, an approving
Resolution will be prepared for the December 17 City Council Meeting.
Attachments:
2025 Final Budget Presentation
2025 Preliminary Budget
401 CIP Fund
404 CIP Fund
406 CIP Fund
408 CIP Fund
Summary Budget Worksheet
2025 Final Budget
December 4, 2024
Discussion Items
Capital Improvement Committee Recommendations.
Review of CIP and budget impacts
Brief Introduction to the proposed 2025 General Fund Budget
Council is encouraged to ask questions, offer comments, and suggest changes at
anytime
Capital Investment Committee
Recommendations
Establish consistent annual levy-supported cash contributions to
all Capital Improvement Funds
Increase levy amount in 408 Road Improvement Fund by 10%
from the proposed 2024 amount ($400,000 to $440,000)
Utilize additional road rating technology to rate roads in 2025
Create a public input plan to engage the public in discussion
about the appropriate amount of money for annual road
maintenance
Capital Investment Committee
Recommendations cont.
Consider a change to driveway culvert policy, returning
ownership and maintenance to residents – Staff will bring model
language forward at a later date
Consider adopting additional development fees, including seal
coating and stormwater fees – These will be included in the 2025
fee schedule
Issue equipment certificates for fire department vehicle purchases
2025 Capital Improvement Fund – 401
General Fund
Beginning Fund Balance includes a
$150,000 transfer out to 404 Park
CIP to support the Tennis Court
project in 2024
$125,000 tax levy to support
recommended projects
Six projects totaling $ 229,041
Fund Balance will be used to make
up the shortage
Ending Fund Balance of $453,826
$556,867 Beginning Fund Balance
Revenue
$125,000 Levy
$1,000 Interest
$126,000 Total
Expenses
$30,0002025 LCCMR – Gateway Trail
$92,000Broadband
$17,548 Fire Dept Radios
$40,945Jaws of Life
$17,548Lucas CPR Device
$31,000Cold Storage Building
$229,041 Total
($103,041)Revenue Over/(Under)Expenses
$453,826 Ending Fund Balance
2025 Capital Improvement Fund – 404
Park Fund
2024 - Transfer of $125,000 in
Unassigned Fund Balance and a
Transfer from 401 of $150,000
will provide a one-time revenue
increase for 2024/2025 projects
$40,000 tax levy to support
recommended projects
One project totaling $ 115,000
Ending Fund Balance of
$13,058
$87,993 Beginning Fund Balance
Revenue
$40,000 Levy
$66 Interest
$40,066Total
Expenses
$115,000Tennis Court Improvements
$115,000Total
($74,934)Revenue Over/(Under)Expenses
$13,058 Ending Fund Balance
2025 Capital Improvement Fund – 406
Equipment Fund
$125,000 tax levy to support
recommended projects
Two purchases totaling $592,296
Equipment Certificate issued for
$515,510 to pay for tanker
New debt levy of approximately
$66,400, starting in 2026 until 2036,
for the plow truck and 2040 for the
tanker
Ending Fund Balance of $61,826
$10,694 Beginning Fund Balance
Revenue
$125,000 Levy
$1,061 Interest
$126,061 Total
Expenses
$286,787 2003 Tanker 2 Replacement
$305,5092011 Snow Plow Replacements
$592,296 Total
($466,225)Revenue Over/(Under)Expenses
Other
$515,510Bond Proceeds
$61,826 Ending Fund Balance
2025 Capital Improvement Fund – 408
Street Improvement Fund
$440,000 tax levy to support
recommended projects
$92,350 Small Cities Assistance
from State of Minnesota
One street reconstruction project
totaling $ 665,000
Ending Fund Balance of $299,377
$514,377 Beginning Fund Balance
Revenue
$440,000 Levy
$10,000Interest
$92,350Intergovernmental
$542,350Total
Expenses
$665,0002025 Local Road Improvement
$665,000Total
($122,650)Revenue Over/(Under)Expenses
$391,727 Ending Fund Balance
2025 Preliminary Budget - Revenues
The General Fund levy is projected to be $1,893,907, a $27,989
increase over 2024, or a 1.5% increase.
Licenses and Permits have been increased slightly to reflect fees
collected from new cannabis registrations.
Interest earning has been increased to reflect the increased rates
available to the City’s money market account.
Total General Fund Revenue is $2,399,499. This is a 2.61%, or
$61,131, increase over 2024.
2025 Preliminary Budget - Expenses
All personnel wages increased by 3.5% following the negotiated
union wage increase.
Council wages have been increased by 5.92%, the two-year CPI
Increase from October 2022 through October 2024
Budget includes a full-time Treasurer
Fire Department wages have been increased by 23% to better
reflect actual wages paid
Public Works includes $175,000 for contractual road maintenance
and repair. This is in addition to the CIP projects
2025 Preliminary Budget - Expenses
The following percentage increases are assumptions. Actual numbers
will not be available until later in the year.
All Health and Dental Insurance line items have been decreased by
5.1%
Property and workers comp insurance line items are budgeted flat due
to overall premium reduction from The League Insurance Trust
Bolton & Menk services have been increased by 5%
Policing services have been increased by 5.91% per 2025 Agreement
Total expenses are $2,368,829. This is a 3.03%, or $69,762, increase
over 2024
General Fund Budget Summary
Difference2025
Preliminary
2024 Actual
$61,131$2,399,499$2,338,367Total General Fund Revenue
$69,762$2,368,829*$2,286,822Total General Fund Expenses
($8,631)$30,670$39,301Revenues Over / (Under)
Expenses
(0.5%)58.8%59.3%Estimated Fund Balance**
* Current expenses have been reduced by $13,188 from August Presentation
**Shows Fund Balance as an estimated percentage of next year’s projected
expenses
Tax Levy Summary
Difference2025
Preliminary
2024 Actual
$27,989$1,893,907$1,865,918General Fund Levy
$148,653$494,287*$345,634Debt Service Levy
($55,300)$730,000$785,300CIP Funds Levy
$0$0$5,300EDA Levy
$121,342$3,118,194$2,996,852Total Levy
($15,822)($123,679)**($107,857)Less Fiscal Disparities
$105,520$2,994,515***$2,888,995Total Net Levy
* $247,764 in interest and project savings are being used to reduce the levy amount of the
2024 Road Project Bond, and applying ARPA funds to fire engine purchase reduced the
levy amount by $55,000
**Actual 2025 Amount
*** The current Net Levy has been reduced by $274,628 from the budget presented in
August
Tax Rate Summary
Difference2025
Preliminary
2024 Actual
($59,898)$10,758,518$10,818,416Estimated Tax
Capacity
$105,520$2,994,515$2,888,995Net Levy
1.130%27.834%26.704%Tax Rate
* Tax Rate at August presentation was 30.535%
Historic Tax Rate Summary
% ChangeTax Rate
35.124%2017
-2.37%34.293%2018
-7.83%31.607%2019
-2.62%30.777%2020
-11.85%27.129%2021
9.24%29.636%2022
-10.72%26.460%2023
0.93%26.704%2024
4.23%27.834%2025
9 Year Average – 29.952%
Estimated 2025 Tax Impact – City Portion
Percent
Difference
2025 Tax Amount2024 Tax AmountHome Value
4.5%$1,348.28$1,289.82$487,100
4.8%$1,387.25$1,324.01$500,000
5.3%$1,739.63$1,652.47$600,000
5.2%$2,087.55$1,983.60$700,000
5.2%$2,435.48$2,314.20$800,000
Looking Forward
Tonight is the required public hearing for the 2025 City budget.
Council is required to adopt its 2025 budget by December 27,
2024.
If the Council would like changes made to the presented budget,
they can revisit its approval at their Regular Meeting on
December 17, 2024.
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
FUND 101 GENERAL FUND
Taxes Revenue
101-41000-31000 Washington Cty. Tax Settlement 1,261,913$ 1,441,883$ 1,733,913$ 1,479,236$ 1,865,918$ 1,003,106$ 1,893,907$
101-41000-31040 Fiscal Disparities 124,112$ 132,738$ 122,682$ 126,511$ 107,857$ 76,018$ 123,679$
101-41000-31701 Gravel Taxes 27,751$ 24,044$ 15,146$ 22,314$ 20,000$ -$ 20,000$
101-41000-31830 Solar Energy Production Tax 6,965$ 4,115$ 5,874$ 5,651$ 5,500$ 2,000$ 5,500$
101-41000-31900 Penalties & Interest Delinquent Tax 2,475$ 235$ -$ 903$ 1,000$ -$ -$
1,423,217$ 1,603,015$ 1,877,615$ 1,634,615$ 2,000,275$ 1,081,125$ 2,043,086$
Licenses and Permits Revenues
101-41000-32150 ROW-Utility Permits 6,450$ 5,700$ 4,800$ 5,650$ 5,000$ 2,100$ 5,000$
101-41000-32180 Tobacco and Liquor Licenses 12,585$ 11,357$ 12,660$ 12,201$ 11,000$ 1,150$ 15,000$
101-41000-32190 Other City Permits 2,959$ 3,225$ 2,670$ 2,951$ 3,000$ 1,419$ 3,000$
101-41000-32210 Building Permits 196,155$ 162,113$ 175,019$ 177,762$ 160,000$ 107,434$ 160,000$
101-41000-32260 Gambling Permits 130$ 245$ 45$ 140$ 100$ 130$ 100$
218,279$ 182,640$ 195,194$ 198,704$ 179,100$ 112,233$ 183,100$
Intergovernmental Revenues
101-41000-33401 LGA/MVHC/AG/PERA Aid 6,853$ 13,823$ 14,409$ 11,695$ 7,000$ -$ 7,000$
101-41000-33420 Fire Relief State PERA 39,178$ 40,474$ 47,148$ 42,267$ 52,719$ -$ 42,000$ This is a pass through offset in expenditures.
101-41000-33422 Other State Grants & Aids 10,763$ 2,390$ 14,053$ 9,069$ 6,000$ 13,493$ 6,000$
101-41000-33423 Other Local Grants & Aids -$ -$ 6,234$ 2,078$ -$ -$
101-41000-33428 Payments In Lue of Taxes (PILT) 6,086$ 8,242$ 8,165$ 7,498$ 6,000$ 3,283$ 6,000$
101-41000-33620 Recycling Grant 13,062$ 13,188$ -$ 8,750$ 11,000$ 8,164$ 8,000$
101-41000-33630 Local Govt Grants & Aids -$ -$ -$ -$ 10,228$ -$
101-41000-33640 Other Grants 724$ -$ -$ 241$ 1,200$ -$ -$
76,667$ 78,117$ 90,008$ 81,597$ 83,919$ 35,168$ 69,000$
Charges for Services Revenue
101-41000-34103 Zoning and Planning 12,736$ 176$ 7,742$ 6,885$ 5,000$ 4,800$ 6,000$
101-41000-34106 Engineering Fees 1,299$ -$ 433$ -$ -$ -$
101-41000-34107 Assessment Search Fees 20$ 20$ 5$ 15$ 20$ -$ 20$
101-41000-34109 Water Usage 140$ 110$ 165$ 138$ 100$ -$ 150$
101-41000-34202 Fire Protection Services 30,710$ 31,493$ 32,300$ 31,501$ 38,308$ 35,816$ 36,443$ May contract 2024-2026
101-41000-34301 Restitution 24,432$ -$ -$ 8,144$ -$ 3,070$ -$
101-41000-34303 Dust Control 2,666$ 3,180$ 3,524$ 3,124$ 2,746$ 2,673$ 2,700$
101-41000-34304 Reimbursement for Services 5,400$ 3,600$ 2,700$ 3,900$ 1,000$ 900$ 3,600$ LATV bookkeeping
101-41000-34305 Other Street Services 2,077$ -$ -$ 692$ -$ -$ -$
EXHIBIT A
Page 1 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
101-41000-34730 Ad Revenue 2,600$ 2,400$ 900$ 1,967$ 1,000$ 450$ 1,000$
101-41000-34750 Facilities Rental 6,808$ 12,256$ 10,270$ 9,778$ 7,400$ 4,561$ 7,400$
101-41000-34760 Cleaning Fees 100$ -$ -$ 33$ -$ -$ -$
101-41000-34790 Recreation Programs 1,125$ 1,955$ 1,793$ 1,624$ 1,500$ 1,189$ 1,500$
90,112$ 55,191$ 59,399$ 68,234$ 57,074$ 53,460$ 58,813$
Fines and Forfeits Revenues
101-41000-35101 Fines & Forfeitures 6,899$ 6,027$ 7,133$ 6,686$ 7,000$ 2,646$ 6,000$
6,899$ 6,027$ 7,133$ 6,686$ 7,000$ 2,646$ 6,000$
Miscellaneous Revenues
101-41000-36210 Interest Income 3,133$ 5,459$ 29,798$ 12,797$ -$ 64,286$ 30,000$
101-41000-36230 Donations 8,936$ 4,841$ 6,092$ 6,623$ 5,000$ 1,352$ 4,000$
101-41000-36240 Insurance Dividend 7,281$ 4,927$ 1,509$ 4,572$ 4,000$ -$ 4,000$
101-41000-36250 Misc. Refund 2,769$ 1,284$ 4,076$ 2,710$ 2,000$ 266$ 1,500$
101-41000-39200 Interfund Operating Transfer -$ -$ -$ -$ -$ -$ 0
22,119$ 16,511$ 41,476$ 26,702$ 11,000$ 65,904$ 39,500$
Transfers Between Funds Revenues
101-49000-39200 Interfund Transfer -$ -$ -$ -$ -$ -$
101-49000-39204 Money Market Transfer -$ -$ -$ -$ -$ -$
-$ -$ -$ -$ -$ -$ -$
2.61%
Total General Fund Revenues 1,837,293$ 1,941,502$ 2,270,824$ 647,365$ 2,338,367$ 1,350,536$ 2,399,499$ increase/(decrease) over 2023
Page 2 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
Expenditures
ADMINISTRATION & FINANCE EXPENDITURES
101-41000-101 Regular Wages & Salaries 171,309$ 199,153$ 141,676$ 170,713$ 196,713$ 95,678$ 213,000$
101-41000-121 PERA Coord. Employer Contribu. 12,676$ 15,000$ 8,034$ 11,903$ 13,801$ 7,813$ 15,000$
101-41000-122 FICA Employer Contribution 10,975$ 11,817$ 7,923$ 10,238$ 12,196$ 6,159$ 13,200$
101-41000-126 MEDICARE Employer Contribution 2,643$ 2,216$ 2,585$ 2,481$ 2,852$ 1,570$ 3,100$
101-41000-131 Employer Paid Health 31,493$ 24,287$ 34,589$ 30,123$ 46,482$ 24,374$ 53,400$
101-41000-132 Dental Insurance -$ 887$ 1,242$ 710$ 1,990$ 1,023$ 2,400$
101-41000-134 Employer Paid Life 704$ 480$ 560$ 581$ 643$ 399$ 700$
101-41000-135 Employer Paid Disability 1,299$ 503$ 844$ 882$ 960$ 573$ 900$
101-41000-151 Worker s Comp Insurance Prem 1,462$ 1,776$ 1,651$ 1,630$ 1,214$ 1,874$ 1,874$
101-41000-200 Office Supplies 1,367$ 1,112$ 596$ 1,025$ 738$ 420$ 1,000$
101-41000-203 Printed Forms & Papers 1,911$ 2,264$ 2,590$ 2,255$ 1,947$ 1,874$ 2,000$
101-41000-210 Operating Supplies 108$ 1,012$ 616$ 578$ 935$ 329$ 600$
101-41000-301 Auditing and Accounting Services 20,200$ 21,600$ 29,090$ 23,630$ 27,000$ 32,050$ 28,700$
101-41000-304 Legal Services 46,888$ 30,828$ 57,086$ 44,934$ 65,000$ 20,294$ 50,000$
101-41000-306 Personal Testing & Recruit -$ -$ -$ -$ -$ -$ -$
101-41000-308 Other Professional Services 1,081$ 17,838$ 816$ 6,578$ 5,000$ 1,747$ 2,500$ Ehlers Financial Assistance
101-41000-309 Software Support & Maintenance 18,156$ 21,204$ 18,457$ 19,272$ 12,093$ 7,519$ 20,219$
101-41000-316 Conferences & Seminars -$ 1,049$ 390$ 480$ 280$ 20$ 300$
101-41000-317 Employee Training 271$ -$ -$ 90$ 721$ -$ 500$
101-41000-319 Other Services 1,309$ 155$ 50,158$ 17,208$ 700$ 235$ 150$
101-41000-321 Telephone 4,721$ 5,020$ 5,210$ 4,983$ 5,100$ 3,083$ 6,000$
101-41000-322 Postage 2,393$ 2,508$ 2,322$ 2,408$ 2,200$ 1,305$ 2,600$
101-41000-331 Travel Expenses 36$ 1,557$ 1,305$ 966$ 1,000$ 245$ 1,000$
101-41000-351 Legal Notices Publishing 1,134$ 979$ 1,647$ 1,253$ 1,500$ 1,318$ 2,000$
101-41000-361 Liability/Property Ins 4,628$ 4,568$ 10,967$ 6,721$ 4,797$ 9,166$ 9,166$
101-41000-365 Insurance Claims -$ -$ 1,000$ 333$ 1,000$ -$ -$
101-41000-381 Utilities-Electric & Gas 10,925$ 10,739$ 11,596$ 11,087$ 12,000$ 4,677$ 12,000$ Sunscription SSI MN TRANCHE
101-41000-413 Equipment Rental 1,953$ 1,852$ 1,805$ 1,870$ 1,800$ 784$ 1,800$
101-41000-430 Recycling 26,803$ 27,846$ 30$ 18,226$ -$ 20$ -$
101-41000-433 Dues and Subscriptions 5,634$ 5,562$ 5,056$ 5,417$ 5,000$ 90$ 7,230$ LMC dues $5,200 ($7,148), newspaper 37, MET Area Mgr $45,
101-41000-434 Youth Service Bureau 5,500$ 5,500$ 5,500$ 5,500$ 5,500$ -$ 5,500$
Support for program for rehabilitation of youth offenders
dba Lakes Center for Youth & Families
101-41000-435 Misc Expense 512$ -$ -$ 171$ -$ 7$ -$
101-41000-438 Misc. Contractual 3,632$ 3,562$ 1,336$ 2,843$ 8,539$ 2,198$ 3,000$ Abdo Treasurer assistance
101-41000-439 Refunds Issued 159$ -$ -$ 53$ 163$ -$ -$
101-41000-560 Furniture and Fixtures -$ -$ -$ 233$ -$
101-41000-570 Office Equipment 4,709$ 4,244$ 1,983$ 3,646$ 1,500$ 34$ 10,000$ Office Asst computer & Server in 2025?
396,590$ 427,117$ 408,661$ 410,789$ 441,364$ 227,112$ 469,839$
CITY COUNCIL EXPENDITURES
101-41110-101 Regular Wages & Salaries 17,946$ 17,946$ 20,772$ 18,888$ 20,772$ 10,386$ 22,000$
101-41110-122 FICA Employer Contribution 212$ 213$ 238$ 221$ 1,288$ 185$ 1,400$
101-41110-126 MEDICARE Employer Contribution 40$ 260$ 301$ 200$ 301$ 99$ 300$
101-41110-127 PERA Defined 727$ 726$ 847$ 766$ 703$ 370$ 700$
101-41110-151 Worker s Comp Insurance Prem 76$ 3$ 95$ 58$ 100$ 52$ 52$
Page 3 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
101-41110-308 Other Professional Services 30$ 30$ 30$ 30$ -$ -$ -$
101-41110-316 Conferences & Seminars -$ 398$ 350$ 249$ 350$ 30$ 400$
101-41110-331 Travel Expenses -$ -$ 562$ 187$ -$ -$ 600$
101-41110-439 Refunds Issued (Liquor License refunds)8,800$ -$ -$ 2,933$ -$ -$ -$
101-41110-560 Furniture and Fixtures -$ -$ -$ -$ -$ -$ -$
101-41110-570 Office Equipment 166$ -$ -$ 55$ -$ -$ -$
27,995$ 19,575$ 23,195$ 23,588$ 23,513$ 11,121$ 25,452$
ELECTION EXPENDITURES
101-41410-199 Election Judge -$ 3,900$ -$ 1,300$ 5,400$ 1,750$ -$
101-41410-200 Office Supplies -$ 54$ -$ 18$ 50$ 28$ -$
101-41410-203 Printed Forms & Papers -$ -$ -$ -$ -$ -$ -$
101-41410-210 Operating Supplies -$ 576$ -$ 192$ 750$ 304$ -$
101-41410-351 Legal Notices Publishing -$ 182$ -$ 61$ 200$ 15$ -$
101-41410-413 Equipment Rental 1,470$ 1,515$ 1,515$ 1,500$ 1,660$ 1,672$ 1,839$
1,470$ 6,227$ 1,515$ 3,071$ 8,060$ 3,769$ 1,839$
Page 4 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
PLANNING & BUILDING EXPENDITURES
101-41910-101 Regular Wages & Salaries 18,685$ 51,096$ 63,181$ 44,321$ 60,010$ 34,386$ 62,100$ Share of Administration wages & benefits
101-41910-121 PERA Coord. Employer Contribu.1,401$ 3,833$ 3,667$ 2,967$ 4,263$ 2,577$ 4,400$
101-41910-122 FICA Employer Contribution 1,159$ 3,000$ 3,409$ 2,523$ 3,721$ 2,023$ 3,900$
101-41910-126 MEDICARE Employer Contribution 269$ 692$ 795$ 586$ 870$ 497$ 900$
101-41910-131 Employer Paid Health -$ 11,998$ 14,969$ 8,989$ 17,353$ 10,425$ 15,500$
101-41910-132 Dental Insurance -$ 459$ 585$ 348$ 724$ 439$ 700$
101-41910-134 Employer Paid Life -$ 173$ 160$ 111$ 173$ 115$ 200$
101-41910-135 Employer Paid Disability -$ 402$ 372$ 258$ 416$ 277$ 400$
101-41910-203 Printed Forms & Papers -$ 254$ -$ 85$ 100$ -$ -$
101-41910-311 Contract Permit Inspections 81,881$ 72,908$ 69,429$ 74,739$ 60,000$ 29,886$ 60,000$ Building (City of Hugo) & Electrical (Joseph Wheaton) Inspections
101-41910-312 Planning Services 40,305$ 35,388$ 76,634$ 50,776$ 60,000$ 25,894$ 60,000$ Planner rate $140 to $141/hr.
101-41910-313 Committee & Commission Reimbur 4,400$ 4,950$ 4,450$ 4,600$ 5,200$ 2,600$ 5,200$
101-41910-316 Conferences & Seminars -$ -$ -$ -$ -$ 30$ -$
101-41910-319 Other Services -$ -$ 123$ 41$ -$ -$ -$
101-41910-361 Liability/Property Ins 756$ 2,006$ 5,401$ 2,721$ 778$ 4,937$ 4,937$
101-41910-438 Misc. Contractual 6,069$ 6,444$ 5,277$ 5,930$ 5,000$ 2,391$ 5,000$ State Building Permit Surcharges
101-41910-439 Refunds Issued 186$ (515)$ 600$ 90$ -$ -$ -$
155,112$ 193,088$ 249,052$ 199,084$ 218,607$ 116,477$ 223,237$
ASSESSOR EXPENDITURES
101-41950-300 Assessor 22,077$ 21,678$ 21,959$ 21,904$ 23,200$ 13,260$ 23,200$ Assessor contract w/Patrick Pauscek renews May $2,000/mo
22,077$ 21,678$ 21,959$ 21,904$ 23,200$ 13,260$ 23,200$
POLICE EXPENDITURES
101-42100-318 Police Contract 144,337$ 150,414$ 168,499$ 154,417$ 183,442$ 91,721$ 194,293$ 2025 Contract
101-42100-319 Other Services 309$ 309$ 959$ 526$ 960$ 309$ 1,000$ Code Red notification service; Taco Daze security
144,647$ 150,723$ 169,458$ 154,943$ 184,402$ 92,030$ 195,293$
FIRE DEPT EXPENDIDTURES
101-42200-101 Regular Wages & Salaries 124,411$ 136,717$ 185,805$ 148,978$ 160,554$ 105,218$ 198,800$
101-42200-121 PERA Coord. Employer Contribu. 7,854$ -$ -$ 2,618$ -$ -$ 9,300$
101-42200-122 FICA Employer Contribution 5,453$ 6,697$ 10,463$ 7,538$ 9,954$ 6,583$ 12,300$
101-42200-124 Police & Fire PERA -$ 8,954$ 9,286$ 6,080$ 8,983$ 5,788$ 2,900$
101-42200-126 MEDICARE Employer Contribution 2,281$ 1,918$ 2,867$ 2,355$ 2,328$ 1,162$ -$
101-42200-134 Employer Paid Life 192$ 192$ 192$ 192$ 192$ 128$ 200$
101-42200-135 Employer Paid Disability -$ -$ -$ -$ -$ -$ -$
101-42200-141 Unemployment Compensation -$ -$ -$ -$ -$
Page 5 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
101-42200-151 Worker s Comp Insurance Prem 9,948$ 13,008$ 11,617$ 11,524$ 12,000$ 6,249$ 6,250$
101-42200-200 Office Supplies 358$ 165$ 204$ 242$ 200$ 150$ 300$
101-42200-203 Printed Forms & Papers 406$ -$ -$ 135$ -$ -$ 200$
101-42200-209 Medical Supplies 1,245$ 2,804$ 4,845$ 2,965$ 3,500$ 447$ 3,000$ Inflation
101-42200-210 Operating Supplies 12,614$ 2,103$ 7,428$ 7,382$ 8,800$ 1,401$ 8,800$ Inflation
101-42200-211 Cleaning Supplies 66$ 44$ 51$ 54$ 100$ -$ 100$
101-42200-212 Fuel 3,590$ 5,468$ 5,834$ 4,964$ 4,000$ 2,405$ 4,800$
101-42200-217 Uniforms & Safety Equipment 3,497$ 550$ 5,192$ 3,080$ 10,000$ 16,704$ 15,000$ New member gear and uniforms
101-42200-221 Equipment Parts 828$ 290$ 294$ 471$ 1,500$ -$ 1,500$
101-42200-222 Tires -$ 1,540$ -$ 513$ -$ -$ -$
101-42200-223 Structure Repair & Supplies 461$ 441$ 400$ 434$ 800$ 6$ 800$
101-42200-240 Small Tools and Minor Equip 5,755$ 10,085$ 1,455$ 5,765$ 10,000$ 14,286$ 8,000$ Add $12,195 for dive gear
101-42200-305 Medical Services 4,357$ 7,330$ 4,610$ 5,432$ 5,600$ 5,630$ 6,000$ Annual testing
101-42200-306 Personal Testing & Recruit 2,025$ 1,205$ 1,391$ 1,541$ 500$ -$ 500$ Anticipating 2 new members
101-42200-309 Software Support & Maintenance 18,531$ 17,912$ 17,495$ 17,980$ 17,000$ 8,841$ 17,700$ Laserfiche user fee, 800Mhz Radios user fee, Managed IT,
Pager Repair
Page 6 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
101-42200-310 Medical Training 102$ -$ 12,000$ 4,034$ 2,000$ 50$ 1,000$ Mhealth Supplied
101-42200-316 Conferences & Seminars -$ -$ -$ -$ 250$ -$ 250$
101-42200-317 Employee Training 19,663$ 1,808$ 5,764$ 9,078$ 12,000$ 2,505$ 5,000$ MBFTE Funding
101-42200-319 Other Services 2,981$ 548$ 889$ 1,473$ 500$ 105$ 500$ Fire Extinguishers
101-42200-321 Telephone 7,561$ 6,698$ 6,366$ 6,875$ 7,000$ 3,124$ 6,500$ 8 computer air cards for County CDA
101-42200-322 Postage 7$ -$ -$ 2$ -$ 18$ -$
101-42200-324 State of MN-Fire Relief 39,178$ 40,474$ 47,148$ 42,267$ 52,719$ -$ 40,474$ Pass through to PERA
101-42200-325 City Match-Fire Relief -$ -$ -$ -$ -$ -$ -$
101-42200-331 Travel Expenses 50$ -$ 1,693$ 581$ 2,000$ 1,818$ 2,500$ Sectional Schools
101-42200-334 Licenses & Permits 175$ 250$ 536$ 320$ 500$ -$ 500$
101-42200-340 Advertising -$ -$ -$ -$ -$ -$ -$
101-42200-361 Liability/Property Ins 8,102$ 6,685$ 6,989$ 7,259$ 7,019$ 7,208$ 7,208$
101-42200-381 Utilities-Electric & Gas 2,718$ 7,067$ 5,742$ 5,175$ 8,000$ 2,814$ 6,000$
101-42200-384 Refuse/Garbage Disposal 974$ 1,139$ 1,043$ 1,052$ -$ -$ -$
101-42200-385 Sewer Pumping & Maintenance 270$ 550$ 304$ 374$ 550$ 526$ 550$
101-42200-401 Building Maintenance/Repairs 3,722$ 3,620$ 4,514$ 3,952$ 3,500$ 1,481$ 3,500$ Pest C ontrol $530; Cleaning Service $1800
101-42200-403 Improvements Other Than Bldgs -$ -$ -$ -$ -$ -$ -$
101-42200-404 Repair Machinery/Equipment 13,858$ 8,595$ 18,562$ 13,672$ 8,500$ 6,325$ 10,000$
101-42200-407 Well Repair & Maintenance -$ -$ -$ -$ -$ -$ -$
101-42200-433 Dues and Subscriptions 2,203$ 2,350$ 3,215$ 2,589$ 3,200$ 3,245$ 3,500$ IamResponding $700; /check-It $1,300
101-42200-438 Misc. Contractual 2,205$ 2,985$ 3,716$ 2,969$ 3,500$ -$ 4,000$ Compressor, Lucas, Tornado siren & Zoll Service
101-42200-440 Events 807$ 1,157$ 1,196$ 1,053$ 1,000$ 148$ 1,000$ Taco Daze, Fire Prevention, Safe Halloween
101-42200-520 Capital Improvements to Bldgs -$ -$ 6,264$ 2,088$ -$ -$ -$
101-42200-530 Capital Impr Other Than Bldgs -$ 1,178$ -$ 393$ -$ -$ -$
101-42200-540 Heavy Machinery Capital -$ -$ -$ -$ -$ -$ -$
101-42200-560 Furniture and Fixtures 220$ -$ 236$ 152$ 500$ 51$ 500$ Training room chairs
101-42200-570 Office Equipment 928$ -$ 180$ 369$ 900$ 379$ 900$ Computer replacement
309,597$ 302,528$ 395,787$ 335,971$ 369,650$ 204,795$ 390,332$
ANIMAL CONTROL EXPENDITURES
101-42700-314 Animal Control 7,502$ 5,604$ 6,778$ 6,628$ 6,000$ 4,007$ 7,000$ 10% increase
7,502$ 5,604$ 6,778$ 6,628$ 6,000$ 4,007$ 7,000$
Page 7 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
PUBIC WORKS EXPENDITURES
101-43000-101 Regular Wages & Salaries 222,975$ 219,892$ 224,993$ 222,620$ 252,092$ 157,908$ 271,500
101-43000-102 OT Regular Wages 5,260$ 8,866$ 6,237$ 6,787$ 5,014$ 2,572$ 5,200
101-43000-104 Temporary Employee Wages 1,842$ 4,434$ 4,163$ 3,480$ 2,262$ 338$ 2,300$
101-43000-121 PERA Coord. Employer Contribu. 16,763$ 17,155$ 17,325$ 17,081$ 19,283$ 11,375$ 20,800$
101-43000-122 FICA Employer Contribution 12,702$ 14,413$ 13,754$ 13,623$ 16,081$ 8,881$ 17,300$
101-43000-126 MEDICARE Employer Contribution 3,181$ 3,237$ 3,263$ 3,227$ 3,761$ 2,229$ 4,000$
101-43000-131 Employer Paid Health 49,845$ 55,964$ 57,146$ 54,318$ 66,939$ 39,246$ 64,600$ Union deduction notice in March
101-43000-132 Dental Insurance -$ 915$ 1,058$ 657$ 1,164$ 708$ 1,200$
101-43000-133 Union Training Center -$ -$ 1,872$ 936$ 1,872$ $.30/hr Union Training Benefit
101-43000-134 Employer Paid Life 656$ 741$ 701$ 699$ 698$ 474$ 700$
101-43000-135 Employer Paid Disability 2,022$ 1,737$ 1,563$ 1,774$ 1,365$ 930$ 1,400$
101-43000-141 Unemployment Compensation 1,456$ -$ -$ 485$ -$ -$ -$
101-43000-151 Worker s Comp Insurance Prem 17,049$ 23,018$ 26,477$ 22,181$ 27,000$ 22,615$ 22,615$
101-43000-200 Office Supplies 364$ -$ 54$ 139$ 50$ -$ 600$
101-43000-210 Operating Supplies 6,213$ 9,068$ 8,550$ 7,944$ 8,500$ 4,250$ 8,500$ Daily use items, hardwares, misc. items
101-43000-212 Fuel 16,768$ 28,319$ 29,707$ 24,931$ 25,000$ 11,954$ 24,000$
101-43000-217 Uniforms & Safety Equipment 1,899$ 1,393$ 2,519$ 1,937$ 2,300$ 1,095$ 2,300$ Uniform allowance, PPE
101-43000-221 Equipment Parts 14,906$ 14,071$ 19,409$ 16,129$ 17,000$ 6,797$ 14,500$ P.M. parts, Replacement Parts
101-43000-222 Tires 4,941$ 7,385$ 1,288$ 4,538$ 7,500$ -$ 7,500$
101-43000-223 Structure Repair & Supplies -$ -$ 56$ 19$ 2,000$ -$ 2,200$
101-43000-224 Materials for Road Maintenance 4,757$ 11,809$ 10,662$ 9,076$ 7,000$ 16,310$ 26,000$ Hot/Cold mix, cement, culverts, gravel, and base material
101-43000-226 Sign Replacement & Repair -$ 3,063$ 174$ 1,079$ 750$ -$ 500$
101-43000-228 Gravel 7,383$ 1,830$ 6,863$ 5,359$ 10,000$ 330$ -$ Move funds to Materials for Road Mintenance
101-43000-229 Salt 16,085$ 21,305$ 17,914$ 18,435$ 22,000$ 12,375$ 22,000$ Winter Road Salt Untreated/Treated
101-43000-240 Small Tools and Minor Equip 1,132$ 3,195$ 5,967$ 3,431$ 8,000$ 6,422$ 8,000$ Hand tools, attachments
101-43000-302 Surveying -$ -$ -$ -$ -$ *Admin Cost- remove line item from PW
101-43000-303 Engineering Fees 11,909$ 8,394$ 12,793$ 11,032$ 53$ 6,743$ 11,000$ 5% increase
101-43000-304 Legal Services -$ -$ -$ -$ -$ -$
101-43000-305 Medical Services 408$ 874$ 286$ 523$ 1,000$ -$ 1,200$ First Aid supplies
101-43000-309 Software Support & Maintenance 682$ 4,684$ 13,198$ 6,188$ 6,000$ 200$ 8,000$ PW Data Tracking Software $5,000 ; GIS map updates
101-43000-317 Employee Training 120$ 799$ 1,315$ 745$ 1,500$ 459$ 1,700$
101-43000-319 Other Services 6,619$ 6,104$ 6,045$ 6,256$ 7,000$ 4,127$ 7,000$ Pest control, Janitorial service
101-43000-321 Telephone 4,630$ 5,253$ 4,227$ 4,703$ 4,000$ 2,487$ 4,000$ City isued cell/data service
101-43000-331 Travel Expenses 583$ -$ -$ 194$ 500$ 291$ 550$
101-43000-334 Licenses & Permits 68$ 183$ 192$ 148$ 500$ -$ 550$
101-43000-361 Liability/Property Ins 14,068$ 10,362$ 8,348$ 10,926$ 10,880$ 9,713$ 9,713$
101-43000-365 Insurance Claims -$ -$ -$ -$ -$ -$ -$
101-43000-381 Utilities-Electric & Gas 2,096$ 5,094$ 4,214$ 3,801$ 6,000$ 1,982$ 4,500$
101-43000-384 Refuse/Garbage Disposal 705$ 1,155$ 861$ 907$ -$ -$ 700$
101-43000-385 Sewer Pumping & Maintenance 270$ 1,006$ 304$ 526$ 1,500$ 2,285$ 1,800$ PW/Fire shop drain holding tank pumping
101-43000-387 Street Light Utilities 3,689$ 4,577$ 5,112$ 4,459$ 4,682$ 1,784$ 5,000$ Street light Maintenance/Replacement
101-43000-401 Building Maintenance/Repairs 3,235$ 10,173$ 4,239$ 5,882$ 6,000$ 2,049$ 8,000$
101-43000-403 Improvements Other Than Bldgs 1,575$ -$ -$ 525$ -$ -$ -$ Misc. small improvements
101-43000-404 Repair Machinery/Equipment 33,518$ 19,808$ 27,204$ 26,843$ 25,000$ 5,115$ 20,000$ Outsourced equipment repair
101-43000-405 Contractual Road Maint/Repair 44,144$ 91,930$ 119,461$ 85,178$ 200,000$ 75,179$ 175,000$ Striping, Calium Chloride Application, Patching, Culvert Repair
101-43000-407 Well Repair & Maintenance -$ -$ -$ -$ 500$ -$ 1,000$ RPZ testing, repair, maintenance
Page 8 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
101-43000-413 Equipment Rental 646$ 2,276$ 111$ 1,011$ 4,000$ 26$ 4,000$
101-43000-417 Uniform Rental 1,282$ 975$ 1,105$ 1,121$ 1,200$ 519$ 1,300$ Full-time staff work uniforms
101-43000-433 Dues and Subscriptions -$ -$ -$ -$ 200$ -$ 200$
101-43000-438 Misc. Contractual 17,894$ 6,797$ 11,380$ 12,024$ 16,000$ -$ 16,000$
101-43000-439 Refunds Issued 400$ -$ -$ 133$ -$ -$
101-43000-530 Capital Impr Other Than Bldgs -$ 1,178$ -$ 393$ 9,900$ -$ 9,900$ building/equipment improvement
101-43000-550 Motor Vehicles Capital -$ -$ -$ -$ -$ -$
101-43000-560 Furniture and Fixtures 821$ 2,921$ -$ 1,248$ 1,000$ -$ 500$ Office/Break Room amenities
101-43000-570 Office Equipment -$ -$ 407$ 136$ -$ 487$ -$ 0
557,563$ 636,351$ 680,641$ 624,852$ 815,044$ 421,191$ 821,200$
Page 9 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
PARKS & RECREATION REVENUE
101-45000-101 Regular Wages & Salaries 19,299$ 10,181$ 8,508$ 12,663$ 11,201$ 6,330$ 23,900$
101-45000-104 Temporary Employee Wages 19,299$ 12,691$ 19,368$ 17,120$ 39,985$ 10,130$ 40,000$
101-45000-121 PERA Coord. Employer Contribu.1,484$ 764$ 636$ 961$ 840$ 474$ 1,800$
101-45000-122 FICA Employer Contribution 2,242$ 1,397$ 1,684$ 1,774$ 3,174$ 997$ 4,000$
101-45000-126 MEDICARE Employer Contribution 532$ 316$ 414$ 421$ 742$ 240$ 900$
101-45000-131 Employer Paid Health -$ 2,441$ 2,020$ 1,487$ 2,562$ 1,366$ 6,800$
101-45000-132 Dental Insurance -$ 33$ 38$ 24$ 42$ 22$ 300$
101-45000-134 Employer Paid Life -$ 144$ 27$ 57$ 27$ 18$ 100$
101-45000-135 Employer Paid Disability -$ 373$ 55$ 142$ 76$ 36$ 200$
101-45000-141 Unemployment Compensation -$ 119$ -$ 40$ -$ -$ -$
101-45000-151 Worker s Comp Insurance Prem 1,711$ 1,971$ 2,615$ 2,099$ 2,700$ 2,251$ 2,251$
101-45000-200 Office Supplies -$ -$ -$ -$ 100$ -$ 100$
101-45000-203 Printed Forms & Papers 285$ 78$ -$ 121$ 200$ -$ 200$
101-45000-210 Operating Supplies 1,868$ 821$ 893$ 1,194$ 1,000$ 522$ 1,200$ Daily use items, hardwares, misc. items
101-45000-212 Fuel 243$ 604$ 251$ 366$ 1,000$ 138$ 1,500$
101-45000-221 Equipment Parts 242$ 971$ 1,817$ 1,010$ 2,500$ 588$ 2,500$
101-45000-223 Structure Repair & Supplies (451)$ 389$ 1,124$ 354$ 2,500$ 138$ 2,500$
101-45000-240 Small Tools and Minor Equip 150$ 360$ 324$ 278$ 500$ -$ 600$ Hand tools, string trimmers, ect.
101-45000-312 Planning Services -$ -$ -$ -$ -$ -$ -$
101-45000-313 Committee & Commission Reimbur 1,380$ 1,140$ 960$ 1,160$ -$ 480$ -$
101-45000-319 Other Services 898$ 1,861$ 1,392$ 1,383$ 1,750$ 1,019$ 2,000$ Janitorial service, pest control, Portable toilet service
101-45000-322 Postage -$ -$ -$ -$ -$ -$ -$
101-45000-340 Advertising -$ 180$ -$ 60$ -$ 275$ 250$
101-45000-353 Sales& Use Tax 37$ 2$ -$ 13$ -$ -$ -$
101-45000-361 Liability/Property Ins 4,817$ 7,911$ 3,323$ 5,350$ 5,058$ 5,333$ 5,333$
101-45000-381 Utilities-Electric & Gas 4,148$ 7,632$ 5,258$ 5,679$ 6,500$ 1,552$ 6,000$
Page 10 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
101-45000-384 Refuse/Garbage Disposal 4,553$ 5,079$ 5,510$ 5,047$ 5,000$ 2,158$ 500$
101-45000-385 Sewer Pumping & Maintenance 378$ 595$ 1,044$ 673$ 1,250$ 191$ 1,250$ Warming House
101-45000-401 Building Maintenance/Repairs 1,208$ 4,148$ 4,370$ 3,242$ 6,000$ 4,151$ 6,000$
101-45000-403 Improvements Other Than Bldgs -$ 4,961$ 421$ 1,794$ 2,500$ 716$ 1,000$
101-45000-404 Repair Machinery/Equipment 203$ 690$ 397$ 430$ 1,000$ 380$ 1,000$ Outsourced equipment repair
101-45000-406 Grounds Care 764$ 2,728$ 3,724$ 2,405$ 4,000$ 1,237$ 4,000$ Plant material, mulch, landscape material
101-45000-438 Misc. Contractual 4,913$ 3,253$ 6,955$ 5,040$ 8,000$ 3,723$ 8,000$ Herbicide/Fertilizer Application
101-45000-439 Refunds Issued -$ -$ 565$ 188$ -$ -$ -$
101-45000-440 Events 5,744$ 9,838$ 5,354$ 6,979$ 7,000$ 1,384$ -$
101-45000-490 Financial Assistance -$ -$ -$ -$ -$ -$ -$
101-45000-530 Capital Impr Other Than Bldgs 1,505$ 4,994$ 4,500$ 3,666$ 9,900$ 1,800$ 6,000$ Building/Equipment Improvements
77,453$ 88,664$ 83,544$ 83,220$ 127,107$ 47,650$ 130,184$
COMMUNITY CENTER EXPENDITURES
101-45180-101 Regular Wages & Salaries 2,956$ 14,407$ 14,401$ 10,588$ 16,327$ 9,301$ 17,200$ 7.50% of PW time
101-45180-104 Temporary Employee Wages -$ -$ -$ -$ -$ -$ -$
101-45180-121 PERA Coord. Employer Contribu.204$ 1,044$ 1,042$ 764$ 1,225$ 697$ 1,300$
101-45180-122 FICA Employer Contribution 181$ 850$ 850$ 627$ 1,012$ 541$ 1,100$
101-45180-126 MEDICARE Employer Contribution 35$ 199$ 199$ 144$ 237$ 136$ 300$
101-45180-131 Employer Paid Health -$ 2,709$ 2,628$ 1,779$ 3,692$ 1,849$ 3,700$
101-45180-134 Employer Paid Life -$ 47$ 41$ 29$ 43$ 29$ -$
101-45180-135 Employer Paid Disability -$ 137$ 107$ 81$ 95$ 69$ -$
101-45180-151 Worker s Comp Insurance Prem -$ -$ -$ -$ -$ 152$ 152$
101-45180-210 Operating Supplies 1,912$ 2,609$ 2,968$ 2,496$ 2,900$ 896$ 3,000$ Daily use items, hardwares, misc. items
101-45180-223 Structure Repair & Supplies 343$ 118$ 173$ 211$ 4,000$ 236$ 2,500$
101-45180-334 Licenses & Permits 874$ 777$ 792$ 814$ 1,000$ 955$ 1,000$
101-45180-361 Liability/Property Ins 2,172$ 2,563$ 796$ 1,844$ 2,691$ 801$ 801$
101-45180-381 Utilities-Electric & Gas 6,018$ 10,716$ 9,546$ 8,760$ 9,198$ 3,560$ 10,000$
Page 11 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
101-45180-384 Refuse/Garbage Disposal 1,889$ 1,923$ 3,578$ 2,463$ -$ 124$ 500$
101-45180-385 Sewer Pumping & Maintenance 2,549$ 4,243$ 4,609$ 3,800$ 4,000$ 1,260$ 4,000$ Community Center holding tank pumping
101-45180-401 Building Maintenance/Repairs 10,685$ 15,904$ 17,592$ 14,727$ 15,000$ 5,888$ 15,000$
101-45180-404 Repair Machinery/Equipment 2,471$ 332$ 2,726$ 1,843$ 5,000$ 125$ 5,000$ Kitchen/HVAC repair and maintenance
101-45180-406 Grounds Care 260$ 520$ 1,255$ 678$ 1,300$ 117$ 1,300$ Plant material, mulch, landscape material
101-45180-407 Well Repair & Maintenance -$ 13,675$ -$ 4,558$ 1,000$ -$ 1,000$ Community Well (Com. Center, Church, Gammelgarden)
101-45180-438 Misc. Contractual 1,995$ 669$ 2,165$ 1,610$ 3,500$ 1,500$ 3,500$
101-45180-439 Refunds Issued -$ -$ 450$ 150$ -$ -$ -$
101-45180-520 Capital Improvements to Bldgs.3,464$ 9,779$ 7,476$ 6,906$ 9,900$ -$ 9,900$ Building/Equipment Improvements
101-45180-530 Capital Impr Other Than Bldgs 2,555$ -$ -$ 852$ -$ -$ -$
101-45180-570 Office Equipment 1,319$ -$ -$ 440$ -$ -$ -$
41,884$ 83,220$ 73,391$ 66,165$ 82,120$ 28,235$ 81,253$
Transfers Between Funds RevenuesExpenditures
101-49000-720 Operating Transfers
Total General Fund Expenditures 1,741,889$ 1,934,776$ 2,113,980$ 1,930,215$ 2,299,066$ 1,169,646$ 2,368,829$ increase/(decrease) over 2024
Revenues over (Expenses)95,404$ 6,726$ 156,844$ 2,684$ 39,301$ 180,890$ 30,670$
Page 12 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
AMERICAN RESCUE PLAN REVENUES
Revenues 203-46200-33150 Federal Grant 228,181$ 228,181$ -$ -$ -$
203-46200-36210 Interest Income 10,059$ -$
203-46200-39200 Interfund Transfer In 2,690$ -$
230,872$ 228,181$ 10,059$ -$ -$ -$ -$
AMERICAN RESCUE PLAN EXPENDITURES
Expenditures 203-46200-720 Transfers to Other Funds -$ -$ -$ 466,000$ -$ transfer to Vehicle Equipment Fund
-$ -$ -$ 466,000$ -$ -$
EDA REVENUE
Revenues 225-46500-31000 Washington Cty. Tax Settlement 5,000$ 8,000$ 5,300$ 6,100$ 5,300$ 2,650$ -$ Fund from cash balance of $40k
225-46500-33640 Other Grants -$ -$ -$ -$ -$ -$ -$
225-46500-34750 Facilities Rental 750$ 800$ 517$ -$ -$ -$
225-46500-36210 Interest Income 85$ 1,366$ 735$ 729$ 100$ -$ 750$
225-46500-36230 Donations -$ 300$ 300$ 200$ -$ 310$ -$
225-46500-39203 Transfer from Other Funds 2,776$ -$ -$ 925$ -$ -$ -$
7,861$ 10,416$ 8,471$ 5,400$ 2,960$ 750$
EDA EXPENDITURES
Expenditures 225-46500-210 Operating Supplies 890$ 176$ -$ 355$ 300$ 23$ 50$
225-46500-303 Engineering Fees -$ -$ -$ -$ -$ -$ -$
225-46500-304 Legal Services -$ -$ -$ -$ -$ -$ -$
225-46500-308 Other Professional Services 69$ -$ -$ 23$ 100$ -$ -$
225-46500-340 Advertising -$ 75$ 1,487$ 521$ 1,500$ -$ -$
255-46500-433 Dues and Subscriptions 1,795$ 1,653$ 873$ 1,440$ 1,849$ 364$ 879$
$190, MNRural Broadband Coalition $1,000 in 2021 &
2022?
225-46500-440 Events -$ 2,808$ 2,110$ 1,639$ 1,500$ 310$ 2,000$ Scandia Holiday Market
255-46500-720 Transfer Out 2,776$ -$ -$ 925$ -$ 33,356$ -$ JE to balance EDA checking account
5,530$ 4,712$ 4,470$ 4,904$ 5,249$ 34,053$ 2,929$
Page 13 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
CABLE TV FUND REVENUES
Revenues 226-41950-36210 Interest Income 96$ 242$ 303$ 214$ 100$ -$ 300$
226-41950-36260 Sale of Equipment -$ -$ 300$ 100$ -$ -$ -$
226-41950-38050 Cable TV Franchise Rebates 18,062$ 18,988$ 20,126$ 19,059$ 16,700$ 10,410$ 20,819$
226-41950-38051 PEG Fees 5,131$ 5,209$ 5,405$ 5,248$ 4,400$ 2,170$ 4,340$
23,290$ 24,439$ 24,621$ 21,200$ 12,580$ 25,460$
CABLE TV FUND EXPENDITURES
Expenditures 226-41950-240 Small Tools and Minor Equip 285$ 498$ 604$ 463$ 300$ -$ 300$
226-41950-309 Software Support & Maintenance 2,631$ 3,004$ 3,652$ 3,096$ 3,500$ 2,353$ 3,760$ Boxcast $1600 + 180/mo
226-41950-438 Misc. Contractual 2,760$ 7,519$ 7,749$ 6,009$ 7,750$ 3,170$ 7,750$ LATV filming meetings $5,750; Zoom $2,000
226-41950-570 Office Equipment 230$ 41,512$ 4,129$ 15,290$ -$ -$ 1,000$
5,907$ 52,533$ 16,134$ 24,858$ 11,550$ 5,523$ 12,810$
GATEWAY TRAIL FUND REVENUES
Revenues 230-45000-36230 Donations 3,400$ -$ -$ -$ -$
-$ 3,400$ -$ -$ -$ -$ -$
GATEWAY TRAIL FUND EXPENDITURES
Expenditures 230-45000-308 Other Professional Services 3,575$ -$ -$ -$ -$
-$ 3,575$ -$ -$ -$ -$ -$
PUBLIC SAFETY AID FUND REVENUES
Revenues 240-42300-33422 Other State Grants & Aid 176,529$ -$
-$ -$ 176,529$ -$ -$ 63,082$ -$
PUBLIC SAFETY AID FUND EXPENDITURES
Expenditures 240-42300-540 Heavy Machinery Capital -$ -$ -$ 239,610$ Fire Truck?
-$ -$ -$ -$ -$ -$ 239,610$
Page 14 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
2013 EQUIPMENT CERTIFICATE FUND REVENUES
Revenues 313-47000-31000 Washington Cty. Tax Settlement 68,220$ 67,000$ 64,000$ 66,407$ -$ -$ -$ PAID OFF 2023
313-47000-36210 Interest Income 48$ -$ 16$ -$ -$ -$
68,220$ 67,048$ 64,000$ 66,423$ -$ -$ -$
2013 EQUIPMENT CERTIFICATE FUND EXPENDITURES
Expenditures 313-47000-304 Legal Services
313-47000-601 Long Term Debt Principal 60,000$ 60,000$ 60,000$ 60,000$ -$ -$ PAID OFF IN 2023
313-47000-611 Long Term Debt Interest 7,140$ 2,790$ 930$ 3,620$ -$ -$
313-47000-620 Fiscal Agent s Fees 495$ 495$ 330$ -$ -$
67,635$ 63,285$ 63,950$ -$ -$ -$
2017 EQUIPMENT CERTIFICATE FUND REVENUES
Revenues 317-47000-31000 Washington Cty. Tax Settlement 35,909$ 34,524$ 23,478$
35,909$ 34,524$ 23,478$ -$ -$ -$
2017 EQUIPMENT CERTIFICATE FUND EXPENDITURES
Expenditures 317-47000-601 Long Term Debt Principal 32,000$ 32,000$ 21,333$ PAID OFF IN 2022
317-47000-611 Long Term Debt Interest 1,728$ 880$ 869$
317-47000-620 Fiscal Agent s Fees 435$ -$ 145$
34,163$ 32,880$ 22,203$ -$ -$ -$
2018 G.O. STREET RECONSTRUCTION FUND REVENUE
Revenues 318-47000-31000 Washington Cty. Tax Settlement 341,456$ 344,531$ 342,536$ 342,841$ 346,120$ 172,817$ 343,166$ Payoff 2033
318-47000-36210 Interest Income 145$ 1,291$ 479$ -$ -$ -$ First Call Date for Refinancing 12/15/2025
318-47000-39203 Transfer from Other Funds 24,869$ -$ 8,290$ -$ -$ -$
341,456$ 344,531$ 343,827$ 342,841$ 346,120$ 172,817$ 343,166$
Expenditures 2018 G.O. STREET RECONSTRUCTION FUND EXPENDITURES
318-47000-601 Long Term Debt Principal 220,000$ 230,000$ 235,000$ 228,333$ 245,000$ -$ 250,000$ $3,835,000 original issue
318-47000-611 Long Term Debt Interest 104,725$ 98,125$ 91,225$ 98,025$ 84,175$ 42,088$ 76,825$
318-47000-620 Fiscal Agent Fees 495$ 495$ 495$ 495$ 495$ 1,045$ 500$ increase for arbitrage report 2028
325,220$ 328,620$ 326,853$ 329,670$ 43,133$ 327,325$
Page 15 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
2024 G.O. STREET RECONSTRUCTION FUND REVENUES
324-47000-31000 Washington Cty. Tax Settlement -$ 115,703$ $4,000,000 original issue; levy reduced by bond interest
324-47000-36210 Interest Income 40,319$ -$
324-47000-39310 Bond Proceeds-GO Bond 3,868,542$ -$
-$ -$ -$ -$ -$ 3,908,861$ 115,703$
2024 G.O. STREET RECONSTRUCTION FUND EXPENDITURES
324-47000-601 Long Term Debt Principal 180,000$ $4,000,000 original issue
324-47000-611 Long Term Debt Interest 159,150$
324-47000-620 Fiscal Agents Fees 495$ 500$ 2029 increase for arbitrage report
-$ -$ -$ -$ 495$ -$ 339,650$
2025 EQUIPMENT BOND REVENUES
325-47000-31000 Washington Cty. Tax Settlement -$ 38,997$
325-47000-36210 Interest Income -$
325-47000-39310 Bond Proceeds-GO Bond 340,000$ 515,510$
-$ -$ -$ -$ 340,000$ -$ 554,507$
2025 EQUIPMENT BOND EXPENDITURES
325-47000-601 Long Term Debt Principal 37,140$
325-47000-611 Long Term Debt Interest -$
-$ -$ -$ -$ -$ -$ 37,140$
Total Debt Service Fund Revenues 445,585$ 446,103$ 407,827$ 432,741$ 346,120$ 4,081,678$ 1,013,376$
Total Debt Service Fund Expenditures 461,676$ 458,160$ 495$ 435,704$ 331,210$ 43,633$ 704,115$
Page 16 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
GENERAL CAPITAL INVESTMENT FUND REVENUE
401-48000-31000 Washington Cty. Tax Settlement 102,198$ 217,336$ 293,790$ 204,441$ 235,000$ 117,500$ 125,000$
401-48000-33422 Other State Grants & Aids 102,198$ -$ 56,232$ 52,810$ 34,110$
401-48000-33640 Other Grants -$ -$ -$ -$
401-48000-36210 Interest Income 2,941$ 3,126$ 15,886$ 7,318$ 3,000$ -$ 1,000$
401-48000-36230 Donations 6,089$ -$ 2,030$ -$ -$
401-48000-39200 Interfund Operating Transfer -$ -$ -$ -$
Total Capital Investment Fund Revenues 213,426$ 220,462$ 365,908$ 266,599$ 238,000$ 151,610$ 126,000$
CAPITAL INVESTMENT FUND EXPENDITURES
Administration 401-41000-312 Planning Services 13,712$ 5,771$ 6,495$ -$ -$ -$
401-41000-520 Administration Capital to Bldgs 12,750$ 4,250$ -$ -$ -$
401-41000-530 Administration Capital 19,389$ 236,700$ 92,500$ 116,196$ 250,000$ -$ 92,000$ IAC request & Gateway Trail
Fire Improvements 401-42200-520 Fire Capital to Bldgs 90,034$ 30,011$ -$ 73,775$ 15,500$
401-42200-530 Fire Capital Other than Buildings 236,793$ 78,931$ -$ -$ 76,041$ Fire Radios, Jaws of Life, Luca CPR device
Public Works 401-43000-520 Public Works Capital to Bldgs -$ -$ -$ 15,500$
401-43000-530 Public Works Capital -$ -$ -$ -$
Streets & Roads 401-43100-530 Streets and Roads -$ -$ -$ -$
Park Improvement 401-45000-520 Park Capital to Buildings -$ -$ -$ -$
401-45000-530 Park Capital Other than Buildings -$ -$ -$ -$
Community Center 401-45180-520 Community Center Building Impr 17,815$ 16,609$ 11,475$ 67,548$ -$ -$
401-45180-530 Community Center Capital 11,024$ 3,675$ -$ -$ -$
General Improvements401-48000-101 Regular Wages & Salaries -$ -$ -$ -$
401-48000-303 Engineering Fees 20,859$ 6,953$ -$ 30,743$ 30,000$ Gateway Trail
401-48000-308 Other Professional Services 31,200$ 10,400$ -$ 4,800$ -$ Lobbying
401-48000-312 Planning Services -$ -$ -$ -$
401-48000-435 Misc. Expense 12,000$ 4,000$ -$ -$ -$
401-48000-438 Misc. Contractual -$ -$ -$ -$
401-48000-520 Capital Improvements to Bldgs. -$ -$ -$ -$
401-48000-530 Capital Imp Other Than Bldgs. 237,250$ 7,800$ 81,683$ 160,000$ -$
401-48000-540 Heavy Machinery Capital -$ -$ -$ -$
401-48000-550 Motor Vehicles Capital -$ -$ -$ -$
401-48000-560 Furniture and Fixtures -$ -$ -$ -$
401-48000-570 Office Equipment -$ -$ -$ -$
401-48000-720 Operating Transfers -$ -$ -$ -$
Total Capital Investment Fund Expenditures 535,983$ 285,859$ 234,593$ 347,574$ 477,548$ 109,318$ 229,041$
Page 17 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
PARK INVESTMENT FUND REVENUES
Revenues 404-48000-31000 Washington Cty. Tax Settlement 10,000$ 20,000$ 20,000$ 16,667$ 60,000$ 30,000$ 40,000$
404-48000-33422 Other State Grants & Aids 5,243$ 10,125$ 101,250$ 38,873$ -$ 101,250$
404-48000-33640 Other Grants -$ -$ -$ -$
404-48000-34780 Park Dedication Fees 3,000$ 30,000$ 11,000$ -$ -$ -$
404-48000-36210 Interest Income 493$ 620$ 3,146$ 1,419$ 66$ -$ 66$
404-48000-36230 Donations 7,949$ 10,000$ 5,983$ -$ 10,000$
404-48000-36260 Sale of Equipment -$ -$ -$ -$
404-48000-39101 Sales of General Fixed Assets -$ -$ -$ -$
404-48000-39203 Transfer from Other Funds 146,620$ 48,873$ -$
Total Park Investment Fund Revenues 18,735$ 38,694$ 311,016$ 122,815$ 60,066$ 141,250$ 40,066$
PARK INVESTMENT FUND EXPENDITURES
Expenditures 404-48000-210 Operating Supplies -$ -$ -$ -$
404-48000-302 Surveying -$ -$ -$ -$
404-48000-303 Engineering Fees -$ -$ 44,926$ -$
404-48000-304 Legal Services -$ -$ -$ -$
404-48000-308 Other Professional Services -$ -$ 410$ -$
404-48000-312 Planning Services 1,050$ 4,500$ 1,850$ -$ -$ -$
404-48000-381 Utilities-Electric & Gas -$ -$ -$ -$
404-48000-384 Refuse/Garbage Disposal -$ -$ -$ -$
404-48000-510 Capital Outlay-Land -$ -$ -$ -$
404-48000-512 Easement Acquisition -$ -$ -$ -$
404-48000-520 Capital Improvements to Bldgs. -$ -$ -$ -$
404-48000-530 Capital Impr Other Than Bldgs. 18,345$ 37,613$ 345,445$ 133,801$ 300,000$ 305,000$ 93,000$ Tennis Court/Pickle Ball Courts
404-48000-720 Operating Transfers -$ -$ -$ -$
Total Park Investment Fund Expenditures 18,345$ 38,663$ 349,945$ 135,651$ 300,000$ 350,336$ 93,000$
Page 18 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
EQUIPMENT REPLACEMENT FUND REVENUE
Revenues 406-48500-31000 Washington Cty. Tax Settlement 130,000$ 87,800$ -$ 72,600$ 110,000$ 55,000$ 125,000$
406-48500-36210 Interest Income 657$ 821$ 3,958$ 1,812$ 1,045$ -$ 1,061$
406-48500-36230 Donations -$ -$ -$ -$ -$
406-48000-33422 Other State Grants & Aids -$ -$ -$ -$ -$
406-48500-36250 Misc. Refund -$ -$ -$ -$ -$
406-48500-36260 Sale of Equipment 42,038$ 18,851$ 20,296$ -$ -$ -$
406-48500-39200 Interfund Operating Transfer -$ -$ 466,000$ -$ -$
406-48500-39350 Certificate of Indebtedness -$ -$ -$ -$ -$
Total Equipmnt Replacement Fund Revenues 172,695$ 88,621$ 22,809$ 94,708$ 577,045$ 55,000$ 126,061$
EQUIPMENT REPLACEMENT FUND EXPENDITURES
Expenditures 406-48500-304 Legal Services -$ -$ -$ -$
406-48500-319 Other Services -$ -$ -$ -$
406-48500-340 Advertising -$ -$ -$ -$
406-48500-540 Heavy Machinery Capital 204,506$ 73,019$ 92,508$ 867,000$ 165,745$ 592,296$
406-48500-550 Motor Vehicles Capital 40,073$ 13,358$ 84,356$ 119,516$
406-48500-560 Furniture and Fixtures -$ -$ -$ -$
406-48500-570 Office Equipment -$ -$ -$ -$
406-48500-720 Operating Transfers -$ -$ -$ -$
Total Equipmnt Replacement Fund Expenditures 40,073$ 204,506$ 73,019$ 105,866$ 951,356$ 285,261$ 592,296$
LOCAL ROAD IMPROVEMENT FUND REVENUES
Revenues 408-43100-31000 Washington Cty. Tax Settlement 438,539$ 216,860$ 212,012$ 289,137$ 375,000$ 187,500$ 440,000$
408-43100-33422 Other State Grants & Aids 89,362$ 17,744$ 35,702$ -$ 63,082$ small cities assistance grant
408-43100-34304 Reimbursement for Services -$ -$ -$
408-43100-36100 Special Assessments 197$ 66$ -$ -$
408-43100-36210 Interest Income 4,298$ 4,655$ 11,889$ 6,947$ 10,705$ -$ 15,795$
408-43100-39203 Transfer from Other Funds 80,000$ 26,667$ -$ -$
408-43100-39310 Proceeds-Gen Obligation Bond -$ 4,000,000$ -$
408-43100-36250 Misc. Refund -$ -$ -$ -$
Total Local Road Improvement Fund Revenues 612,199$ 239,259$ 224,098$ 358,519$ 4,385,705$ 250,582$ 455,795$
Page 19 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
LOCAL ROAD IMPROVEMENT FUND EXPENDITURES
Expenditures 408-43100-303 Engineering Fees 160,493$ 141,479$ 186,534$ 162,835$ 120,000$ 169,617$ -$
408-43100-319 Other Services -$ 375$ -$
408-43100-351 Legal Notices Publishing -$ 59$
408-43100-530 Capital Impr Other Than Bldgs. 799,606$ 453,591$ 834,301$ 695,833$ 3,575,000$ 1,358,646$ 665,000$
408-43100-720 Operating Transfers -$ -$ -$ -$ -$ -$ -$
Total Local Road Improvement Fund Expenditures 960,100$ 595,070$ 1,020,835$ 858,668$ 3,695,000$ 1,528,697$ 665,000$
Total Levy Washington City. Tax Settlement 2,393,235$ 2,437,934$ 2,671,551$ 2,500,906$ 2,997,338$ 1,568,573$ 3,121,773$ increase/(decrease) over 2024
Page 20 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
79 Users (4 Seasonal)BLISS SEWER FUND REVENUES YTD 10/31/24
Revenues 602-43210-31951 Special Assessments Principal 2,887$ -$ 962$ -$ 2,652$ -$
602-43210-31952 SA Penalties & Interest 624$ 579$ 403$ 535$ 420$ 318$ 400$
602-43210-33422 Other State Grants & Aids 25$ 74$ 20$ 40$ -$ -$ -$
602-43210-34304 Reimbursement for Services 20,000$
602-43210-34401 Sewer User Fees 98,531$ 106,717$ 139,546$ 114,931$ 125,230$ 67,602$ 111,400$ Seasonal $750/yr, All Others $1,446/yr
602-43210-34402 Sewer Connection Fee 8,000$ 8,000$ 8,000$ 8,000$ -$ -$ -$
602-43210-36100 Special Assessments -$ -$ -$ 47$ -$
602-43210-36102 Penalties & Interest 183$ 61$ -$ 138$ -$
602-43210-36210 Interest Income 181$ 301$ 1,380$ 621$ 210$ -$ 200$
602-43210-36250 Misc. Refund -$ -$ -$ -$ -$
602-43210-39200 Interfund Tranfers In -$ -$ -$ -$ -$
Total Bliss Sewer Fund Revenues 107,361$ 118,557$ 149,532$ 125,150$ 125,860$ 70,757$ 132,000$
Expenditures BLISS SEWER FUND EXPENDITURES YTD 10/31/24
E 602-43210-101 Regular Wages & Salaries602-43210-101 Regular Wages & Salaries 11,014$ 21,714$ 20,576$ 17,768$ 17,458$ 14,839$ 19,800$
E 602-43210-120 Pension Expense602-43210-120 Pension Expense (1,438)$ (693)$ 7,430$ 1,766$ -$ -$ -$
E 602-43210-121 PERA Coord. Employer Contribu.602-43210-121 PERA Coord. Employer Contribu. 806$ 1,629$ 1,542$ 1,326$ 1,309$ 1,112$ 1,500$
E 602-43210-122 FICA Employer Contribution602-43210-122 FICA Employer Contribution 684$ 1,284$ 1,216$ 1,061$ 1,082$ 867$ 1,200$
E 602-43210-126 MEDICARE Employer Contribution602-43210-126 MEDICARE Employer Contribution 156$ 299$ 284$ 246$ 253$ 217$ 300$
E 602-43210-131 Employer Paid Health602-43210-131 Employer Paid Health -$ -$ -$ -$ -$ -$ -$
E 602-43210-210 Operating Supplies602-43210-151 Worker s Comp Insurance Prem 422$ 1,215$ 736$ 791$ 525$ 783$ 625$
E 602-43210-240 Small Tools and Minor Equip602-43210-200 Office Supplies 109$ 128$ 48$ 95$ 91$ 102$ 100$
E 602-43210-303 Engineering Fees602-43210-210 Operating Supplies 558$ 680$ 1,823$ 1,020$ 700$ 32$ 750$ Daily use items, hardwares, misc. items
E 602-43210-304 Legal Services602-43210-240 Small Tools and Minor Equip -$ 217$ -$ 72$ 420$ -$ 500$ Hand tools, septic/water sample tools
E 602-43210-308 Other Professional Services602-43210-303 Engineering Fees 13,277$ (1,538)$ 1,409$ 4,383$ 8,880$ 74,633$ 6,000$
E 602-43210-309 Software Support & Maintenance602-43210-304 Legal Services -$ 6,000$ 18$ 2,006$ -$ -$
E 602-43210-317 Employee Training602-43210-308 Other Professional Services 3,376$ 5,814$ 7,773$ 5,654$ 3,500$ 15,841$ 20,440$ Water/Wastewater analytical testing, Lobbying
E 602-43210-321 Telephone602-43210-309 Software Support & Maintenance 716$ 756$ 529$ 667$ 910$ -$ 1,000$ SCADA & Utility Billing
E 602-43210-322 Postage 602-43210-317 Employee Training 868$ 925$ 336$ 710$ 980$ 598$ 750$ Wastewater training
E 602-43210-331 Travel Expenses602-43210-321 Telephone 2,413$ 1,751$ 2,656$ 2,273$ 1,750$ 1,492$ 1,750$ SCADA dialers
E 602-43210-334 Licenses & Permits602-43210-322 Postage -$ 200$ 200$ 133$ 420$ -$ 200$
E 602-43210-361 Liability/Property Ins602-43210-331 Travel Expenses 8$ 158$ 633$ 266$ 525$ 78$ 500$
E 602-43210-381 Utilities-Electric & Gas602-43210-334 Licenses & Permits 1,180$ 824$ 729$ 911$ 1,400$ 505$ 1,250$ Wastewater Certification/Permit Renewal
E 602-43210-385 Sewer Pumping & Maintenance602-43210-361 Liability/Property Ins 1,039$ 1,003$ 3,449$ 1,830$ 764$ 2,383$ 2,300$
E 602-43210-386 Operation & Maintenance602-43210-381 Utilities-Electric & Gas 1,862$ 3,473$ 3,936$ 3,090$ 2,100$ 934$ 3,000$
E 602-43210-404 Repair Machinery/Equipment602-43210-385 Sewer Pumping & Maintenance 5,364$ 11,410$ 4,695$ 7,156$ 14,000$ 1,820$ 10,000$ Residential holding tank pumping
E 602-43210-413 Equipment Rental602-43210-386 Operation & Maintenance 1,574$ 2,888$ 2,639$ 2,367$ 3,500$ -$ 2,000$
E 602-43210-420 Depreciation Expense602-43210-404 Repair Machinery/Equipment 4,375$ 5,857$ 12,101$ 7,444$ 11,200$ 2,611$ 8,000$ Pump and control repair/replacement
E 602-43210-438 Misc. Contractual602-43210-413 Equipment Rental -$ -$ -$ -$ 700$ -$ 500$
E 602-43210-439 Refunds Issued602-43210-420 Depreciation Expense 48,667$ 50,174$ 50,428$ 49,756$ 40,600$ -$ 40,000$ approximate
E 602-43210-530 Capital Impr Other Than Bldgs602-43210-438 Misc. Contractual 3,775$ 2,550$ 2,660$ 2,995$ 7,000$ 1,470$ 4,000$
Emergency or additional holding tank pumping and
maintenance, Lift station inspection/pump testing
E 602-43210-720 Operating Transfers602-43210-439 Refunds Issued -$ -$ -$ -$ -$
602-43210-530 Capital Impr Other Than Bldgs 3,278$ (8,448)$ (1,723)$ 6,930$ -$ 5,000$ Pump replacement
602-43210-720 Operating Transfers -$ 17,584$ -$
Page 21 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
Total Bliss Sewer Fund Expenditures 100,803$ 121,995$ 119,398$ 114,065$ 126,997$ 137,902$ 131,465$
Page 22 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
9 Users UPTOWN SEWER FUND REVENUES YTD 10/31/24
Revenues 612-43210-33422 Other State Grants & Aids 7$ 29$ 1$ 12$ -$ -$ -$
Base Rate 5,670$ $630 per year
612-43210-34401 Sewer User Fees 15,132$ 17,442$ 22,166$ 18,247$ 22,400$ 11,142$ 21,560$ $74.1 per thousand gallons, no increase in rate
612-43210-34402 Sewer Connection Fee -$ -$ -$ -$
612-43210-36210 Interest Income 64$ 55$ 326$ 148$ 50$ -$ 50.00$
612-43210-36250 Misc. Refund -$ -$ -$ -$
612-43210-39203 Transfer from Other Funds -$ -$ -$ -$
Total Uptown Sewer Fund Revenues 15,203$ 17,526$ 22,493$ 18,407$ 22,450$ 11,142$ 27,280$
UPTOWN SEWER FUND EXPENDITURES YTD 10/31/24
Expenditures 612-43210-101 Regular Wages & Salaries 3,673$ 9,282$ 8,559$ 7,171$ 10,725$ 5,971$ -$
612-43210-120 Pension Expense (630)$ 1,164$ 3,619$ 1,384$ -$ -$ -$
612-43210-121 PERA Coord. Employer Contribu. 259$ 697$ 642$ 532$ 804$ 447$ -$
612-43210-122 FICA Employer Contribution 219$ 550$ 505$ 425$ 665$ 348$ -$
612-43210-126 MEDICARE Employer Contribution 50$ 126$ 118$ 98$ 156$ 88$ -$
612-43210-151 Worker s Comp Insurance Prem 218$ 304$ 316$ 279$ 300$ 522$ 522$
612-43210-200 Office Supplies 4$ -$ -$ 1$ 100$ -$ 100$ billing
612-43210-210 Operating Supplies -$ 500$ 320$ 273$ 500$ -$ 500$ Daily use items, hardwares, misc. items
612-43210-221 Equipment Parts -$ -$ -$ -$ 500$ -$ 500$
612-43210-303 Engineering Fees 7,272$ -$ -$ 2,424$ 630$ -$ 1,000$ 5% increase
612-43210-308 Other Professional Services 192$ 884$ 733$ 603$ 750$ 310$ 900$ Wastewater Analytical testing
612-43210-309 Software Support & Maintenance 80$ 84$ 84$ 83$ 84$ -$ 87$
612-43210-317 Employee Training 275$ -$ -$ 92$ 200$ 1,138$ 200$
612-43210-319 Other Services -$ -$ -$ -$ 1,500$ -$ 500$
612-43210-322 Postage 18$ -$ -$ 6$ -$ -$ 25$
612-43210-334 Licenses & Permits 209$ 217$ 247$ 224$ 250$ 231$ 250$
612-43210-361 Liability/Property Ins 283$ 334$ 478$ 365$ 351$ 464$ 464$
612-43210-381 Utilities-Electric & Gas 522$ 697$ 863$ 694$ 1,000$ 265$ 1,000$
612-43210-385 Sewer Pumping & Maintenance (260)$ 327$ 1,800$ 622$ 1,500$ 1,484$ 1,250$
612-43210-386 Operation & Maintenance -$ 462$ -$ 154$ 1,000$ 30$ 500$
612-43210-404 Repair Machinery/Equipment 767$ 465$ -$ 411$ 2,000$ -$ 1,000$
612-43210-420 Depreciation Expense 4,876$ 4,877$ 4,876$ 4,876$ 4,900$ -$ 4,900$
612-43210-438 Misc. Contractual 100$ 548$ 140$ 263$ 1,500$ 589$ 1,500$ Lift Station Inspection/Pump Testing
612-43210-530 Capital Impr Other Than Bldgs 1,456$ -$ -$ 485$ 9,900$ 5,000$ Pump Replacement
612-43210-570 Office Equipment -$ -$ -$ -$ -$
612-43210-720 Operating Transfers -$ -$ -$ 2,640$ 2,640$
Total Uptown Sewer Fund Expenditures 19,582$ 21,516$ 23,299$ 21,466$ 41,955$ 11,886$ 22,838$
Page 23 of 24
11/27/2024
City of Scandia
2025 Proposed Budget
2021 2022 2023 3-Yr Avg 2024 Budget 7/31/2024 2025
Actual Actual Actual Actual Approved YTD Actual Budget-1 Comments
EXHIBIT A
33 Users (5 Seasonal)ANDERSON-ERICKSON SEWER FUND REVENUES YTD 10/31/24
Revenues 624-43210-31951 Special Assessments Principal 2,887$ 962$ -$ -$
624-43210-31952 SA Penalties & Interest 624$ 579$ 401$ 180$ 200$
624-43210-33422 Other State Grants & Aids 25$ 74$ 33$ -$ -$
602-43210-34304 Reimbursement for Services 10,000$
624-43210-34401 Sewer User Fees 98,531$ 106,717$ 68,416$ 53,670$ 28,623$ 40,060$ Seasonal $750/yr, All Others $1,297/yr
624-43210-34402 Sewer Connection Fee 8,000$ 8,000$ 5,333$ -$ -$ -$
624-43210-36100 Special Assessments -$ -$ -$
624-43210-36102 Penalties & Interest -$ -$ 40$ -$
624-43210-36210 Interest Income 181$ 301$ 161$ 90$ 100$
624-43210-36250 Misc. Refund -$ -$ -$
624-43210-39200 Interfund Tranfers In -$ -$ 17,584$ -$
Total Anderson-Erickson Sewer Fund Revenues 107,361$ 118,557$ -$ 75,306$ 53,940$ 46,247$ 50,360$
Expenditures ANDERSON-ERICKSON SEWER FUND EXPENDITURES YTD 10/31/24
624-43210-101 Regular Wages & Salaries -$ -$ 7,482$ -$ 6,100$
624-43210-121 PERA Coord. Employer Contribu. -$ -$ 561$ -$ 500$
624-43210-122 FICA Employer Contribution -$ -$ 464$ -$ 400$
624-43210-126 MEDICARE Employer Contribution -$ -$ 108$ -$ 100$
624-43210-151 Worker s Comp Insurance Prem -$ -$ 225$ -$ 250$
624-43210-200 Office Supplies -$ -$ 39$ -$ $50
624-43210-210 Operating Supplies -$ -$ 300$ -$ $250 Daily use items, hardwares, misc. items
624-43210-240 Small Tools and Minor Equip -$ -$ 180$ 44$ $150 Hand tools, septic/water sample tools
624-43210-303 Engineering Fees 320$ 107$ -$ -$ $4,000
624-43210-304 Legal Services -$ -$ -$ -$ $0
624-43210-308 Other Professional Services -$ -$ 1,500$ -$ $1,500 Water/Wastewater analytical testing
624-43210-309 Software Support & Maintenance -$ -$ 390$ 310$ $300 SCADA & Utility Billing
624-43210-317 Employee Training 227$ 76$ 420$ -$ $350 Wastewater training
624-43210-321 Telephone -$ -$ 750$ 109$ $550 SCADA dialers
624-43210-322 Postage 253$ 84$ 180$ 705$ $100
624-43210-331 Travel Expenses 80$ 27$ 225$ -$ $225
624-43210-334 Licenses & Permits -$ -$ 600$ 78$ $500 Wastewater Certification/Permit Renewal
624-43210-361 Liability/Property Ins -$ -$ -$ 231$ $1,000
624-43210-381 Utilities-Electric & Gas -$ -$ 900$ 985$ $1,000
624-43210-385 Sewer Pumping & Maintenance 43$ 14$ 6,000$ 358$ $4,000 Residential holding tank pumping
624-43210-386 Operation & Maintenance -$ -$ 1,500$ -$ $1,000
624-43210-404 Repair Machinery/Equipment -$ -$ 4,800$ -$ $3,000 Pump and control repair/replacement
624-43210-413 Equipment Rental 408$ 136$ 300$ 1,289$ $300
624-43210-420 Depreciation Expense -$ -$ 17,400$ -$ $10,000 approximate
624-43210-438 Misc. Contractual -$ -$ 3,000$ 4,508$ $3,000
Emergency or additional holding tank pumping and
maintenance, Lift station inspection/pump testing
624-43210-439 Refunds Issued -$ -$ -$
624-43210-530 Capital Impr Other Than Bldgs 2,990$ 997$ 2,970$ -$ $4,000 Pump replacement
624-43210-570 Office Equipment -$ -$ -$ -$
624-43210-720 Operating Transfers -$ -$ -$ -$
Total Anderson-Erickson Sewer Fund Expenditures -$ -$ 4,320$ 1,440$ 50,294$ 8,617$ 42,625$
Page 24 of 24
Inflation Assumptions
1 Revenue (Non-property tax) 2.00% 2.00% 2.00% 2.00% 2.00% 2.00% 2.00% 2.00% 2.00% 2.00%
2 Interest Earnings 3.50% 3.50% 3.50% 3.50% 3.50% 3.50% 3.50% 3.50% 3.50% 3.50%
3 Expenses
4 CIP Inflation Factor 4.00% 4.00% 4.00% 4.00% 4.00% 4.00% 4.00% 4.00% 4.00% 4.00%
2023 2024 2025 2026 2027 2028 2029 2030 2031 2032
Actual Approved Projected
REVENUE
5 Property taxes 293,791 235,000 125,000 130,000 135,200 140,608 146,232 152,082 158,165 164,491
6 Intergovernmental - - - - - - -
7 Capital Improvement Debt Levy - - - - - - - -
8 Special assessments - - - - - - - - - -
9 Investment Income 2,300 1,500 1,000 1,000 1,000 1,000 1,000 1,000 1,000 1,000
10 Refunds and Reimbursements
11 Park Dedication Fees
12 Rental and lease income - - - - - - - - - -
13 Miscellaneous Revenue - - - - - - - - - -
14 Total Revenue 296,091 236,500 126,000 131,000 136,200 141,608 147,232 153,082 159,165 165,491
EXPENSES
15 Total Current - - - - - - - - - -
16 Payables internet - - - - - - - - - -
17 Debt service - - - - - - - - - -
18 Total Capital Projects 198,059 312,525 229,041 569,432 45,025 193,399 31,633 128,083 109,251 618,083
19 Total Expenses 198,059 312,525 229,041 569,432 45,025 193,399 31,633 128,083 109,251 618,083
20 Revenue Over / (Under) Expenses 98,032 (76,025) (103,041) (438,432) 91,175 (51,791) 115,599 24,999 49,914 (452,592)
OTHER FINANCING SOURCES / (USES)
21 Bond Proceeds
22 Transfers In 8,000 - - - - - - - - -
23 Transfers Out to Sewer Fund (2,640)
24 Transfers Out- (150,000)
25 Total Other Sources / (Uses) 5,360 (150,000) - - - - - - - -
26 accounts payable
27 Prior Period Adjustments
28 Ending Fund Balance 782,892 556,867 453,826 15,394 106,569 54,778 170,378 195,376 245,291 (41,810)
CITY OF SCANDIA CITY OF SCANDIA
Capital Improvement Plan Capital Improvement Plan
Capital Improvement Fund 401 Capital Improvement Fund 401
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Capital Project Name Year Actual Approved Projected
29
30 Broadband Development Grants to MIDCO 2022
31 Development Code Update 2022
32 Community Center Improvements-Doors & security 2022
33 Council Chambers remodel 2022
34 Gateway Trail 2025 30,000 230,000
35 Broadband Development Grants to MIDCO 2023 119,500 92,000 300,000
36 County Ped & Bicycle Accomodations 2023 50,000
37 Wall Panel Joint Replacement Fire Hall-leaking 2023 16,250
38 Council Chambers remodel 2023 12,309
39 Security Improvements CCTV for Park 2024 14,000
40 Bliss Additions Stormwater plan 2023 122,525 135,000
41 new Exhaust removal system for truck bays 2024 58,399
42 new Warning Sirens 2025 31,633
43 Arts & Heritage Center Amphitheater 2027
44 Arts & Heritage Center Sidewalk and Walkways 2027
45 CC AC Condenser Replacement 2025
46 Lobbying 2025
47 Fire/PW Potable Well Pump (2000) Replacement 2026 11,699
48 2010 Fire Radios Replace 3 unspupported radios 2030 17,548 24,016
49 2010 Homatro Cutter Twin Line R-1(Jaws of Life)2030 40,945 56,036
50 2015 Lucas CPR Device-replacement 2030 17,548 24,016
51 Cold Storage Building 2030 130,000 31,000
52 Additional Comm Cent Elec Locks 2030 18,000 24,016
53 Large Hall and Heritage Room Carpeting 2030
54 2000 Station Bay floor epoxy coating-maintenance 2031 21,900 31,171
55 2010 Washer/Extractor-replacement 2031 9,125 12,988
56 2017 Thermal Imaging Cameras (1of3) find hot spots 2031 9,733 13,853
57 Zoll Monitor/Defib 2031 51,239
58 Second Fire Station 2032 337,136
59 Community Center Design & Planning 2032 280,947
60 Air Containment Unit 2033
61
Community Center Improvements-Front Office + Equip
Room 60,000
62 CIP placeholder - SERVER REPLACEMENT 2035
Total Capital Projects 198,059 312,525 229,041 569,432 45,025 193,399 31,633 128,083 109,251 618,083
PROJECTED NEW DEBT TERMS Updated KHM As of Date:6/27/2023
1 Par Amount (Line 14) - - - - - - - - - -
2 Number of Years 15 15 15 15 15 15 15 15 15 15
3 Interest Rate 0 0 0 0 0 0 0 0 0 0
4 New Debt Levy - - - - - - - - - -
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CITY OF SCANDIA
Financial Management Plan
Park Capital Improvement Fund
Inflation Assumptions
4 CIP Inflation Factor 0.00% 2.00% 4.00% 4.00% 4.00%4.00% 4.00% 4.00% 4.00% 4.00%
2023 2024 2025 2026 2027 2028 2029 2030 2031 2032
Proposed
REVENUE
5 Property taxes 20,000 60,000 40,000 40,000 40,000 40,000 41,600 43,264 44,995 46,794
6 Intergovernmental 112,500
7 Charges for services
8 Investment Income 66 66 66 66 66 66 66 66 66 66
9 Sale of capital assets
10 Park Dedication Fees 24,000 24,000 - - - - - - - -
11 Rental and lease income - - - - - - - - - -
Transfer from General Fund 150,000 125,000
12 Miscellaneous Revenue 8,068
13 Total Revenue 314,634 209,066 40,066 40,066 40,066 40,066 41,666 43,330 45,060 46,860
EXPENSES
14 Total Current
15 Debt service
16 Total Capital Projects 333,739 335,000 115,000 25,000 16,010 60,000 -
17 Total Expenses 333,739 335,000 115,000 25,000 16,010 - - - 60,000 -
18 Revenue Over / (Under) Expenses (19,105) (125,934) (74,934) 15,066 24,055 40,066 41,666 43,330 (14,940) 46,860
OTHER FINANCING SOURCES / (USES)
19 Bond Proceeds
20 Transfers In 150,000
21 Transfers Out 8,000
22 Transfers Out-
22 Total Other Sources / (Uses) 8,000 150,000 - - - - - - - -
23 Prior Period Adjustments
24 Ending Fund Balance 63,927 87,993 13,058 28,124 52,179 92,244 133,910 177,239 162,300 209,159
CITY OF SCANDIA
Financial Management Plan
Park Capital Improvement Fund 404
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Capital Project Name Year Costs Proposed
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25 Park Planning 2022 15000 4,500
26
Community Center Park-concrete, grill, table,
benches 2022 112500
27
Playground Equipment - Community Center
Park 2022 122500 180,319
28 Lilleskogen Park Picnic Shelter 2024 43700
29 Gateway Trail Improvements @ Annex 2024 0 25,000
30 Hay Lake Park - sign 2023 8653 1,500
31 Park signage at Orwell Park (Liten)2023 8653 800
32 Replace rink boards 2024 134984 146,620
33
Lilleskogen Praire/Wetland Restoration
Project 2025 12878
34 Nature park trails 2025 42700
35 Playground Equipment - Erickson ballfield 2028 66682 100,000
36 Tennis Court/Pickle Ball - repaint 2024 60533 335,000 115,000
37 Expanded Pleasure Rink 2027 12653 16,010
38 Hay Lake Park Shelter water & doors 2027 101226 128,083
39 New Ballfield to Replace South Ball Field 2027 44286 56,036
40 Settlers MonutPossible Reloc/Imp 2027 37960 60,000
41 CIP Place Holder 2031 50000
42 Total Capital Projects 874,908 - 333,739 335,000 115,000 25,000 16,010 100,000 56,036 128,083 60,000 -
PROJECTED NEW DEBT TERMS
43 Par Amount (Line 19) - - - - - - - - - - -
44 Number of Years 10 10 10 10 10 10 10 10 10 10 10
45 Interest Rate 2.50% 3.00% 3.00% 3.00% 3.00%3.00% 3.00% 3.00% 3.00% 3.00%
46 New Debt Levy 0 0 0 0 0 0 0 0 0 0 0
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1 Revenue (Non-property tax)2.00%2.00%2.00%2.00%2.00%2.00%2.00%2.00%2.00%2.00%2.00%2.00%
2 Interest Earnings 1.50%1.50%1.50%1.50%1.50%1.50%1.50%1.50%1.50%1.50%1.50%1.50%
3 Expenses 3.00%3.00%3.00%3.00%3.00%3.00%3.00%3.00%3.00%3.00%3.00%3.00%
4 CIP Inflation Factor 0.00%0.00%4.00%4.00%5.00%5.00%5.00%5.00%5.00%5.00%5.00%5.00%
2022 2023 2024 2025 2026 2027 2028 2029 2030 2031 2032 2033
Budget Projected
REVENUE
5 Property taxes 87,800 - 110,000 125,000 131,250 137,813 144,703 151,938 159,535 167,512 175,888 184,682
6 Debt service levy - 38,997 107,617 104,553 132,403 129,519 157,409 180,914 178,018 175,122
7 Intergovernmental - - - - - - - - - - - -
8 Sale of capital assets 19,500 - - - - - - - - -
9 Investment Income 1,015 1,030 1,045 1,061 1,077 1,093 1,109 1,126 1,143 1,160 1,177 1,195
10 Refunds and Reimbursements
11 Park Dedication Fees
12 Rental and lease income - - - - - - - - - - - -
13 Miscellaneous Revenue - 176,000
14 Total Revenue 88,815 196,530 111,045 165,058 239,944 243,458 278,215 282,583 318,087 349,586 355,083 360,999
EXPENSES - Paid in debt service fund
15 Total Current - - - - - - - - - - -
16 Debt service - - - 37,140 102,492 99,574 126,098 123,352 149,913 172,299 169,541 166,783
17 Total Capital Projects 198,500 101,967 1,188,083 592,296 132,583 425,000 61,912 491,828 490,220 161,600 607,353 -
18 Total Expenses 198,500 101,967 1,188,083 629,436 235,075 524,574 188,010 615,179 640,133 333,900 776,894 166,783
19 Revenue Over / (Under) Expenses (109,685) 94,563 (1,077,038) (464,378) 4,869 (281,116) 90,205 (332,596) (322,046) 15,686 (421,811) 194,216
OTHER FINANCING SOURCES / (USES)
20 Bond Proceeds 340,000 515,510 - 250,000 - 250,000 300,000 - 350,000
21 Transfers In 446,422
22 Transfers Out
23 Transfers Out-
24 Total Other Sources / (Uses)- - 786,422 515,510 - 250,000 - 250,000 300,000 - 350,000 -
25 Prior Period Adjustments
26 Ending Fund Balance 206,748 301,310 10,694 61,826 66,695 35,579 125,783 43,188 21,142 36,828 (34,983)159,233
CITY OF SCANDIA
Capital Improvement Plan
Equipment Replacement Fund 406
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Capital Project Name First Year Last Year Costs Budget Projected
27 312-08 Asphalt Patching Equipment Trailer (2008)2025 39000 25,000
28 2000 Engine 1 - 5176 Replacement 2026 650000 806,000
29 2003 Tanker 5178 Tender 2 Replacement 2025 292000 10,000 100,879 286,787
30 201-14 Mack Single Axle w/Plow (2014)2029 275000 415,000
31 202-17 Western Star Single Axle Truck/Plow (2017)2028 350000 400,000
32 203-11 Mack Dump Truck/Plow Replacement (2011)2023 325000 305,509
33 301-98 John Deere Motor Grader (1998)2031 480000 607,353
34 302-22 JD-6410 Tractor w/flail attachments (2022)2022 198500 198,500
35 308-12 New Holland Skid Steer (2012)2024 65000 60,368
36 Motor Grader 2022 0
37 Wall Panel Joint Replacement Fire Hall-leaking 2023 16250 16,250
37 101-18 Chev 1/2 ton pickup (2018)2028 44000 61,912
38 102-19 Dodge 3500 SRW w/plow (2019)2029 52000 76,828
39 103-21 Dodge 2500 w/plow (2021)2031 62000 100,991
40 104-13 Ford F550 w/sander, plow mount, compressor 2024 75000 96,527
41 1995 Utility 1misc purpose truck - replacement 2023 86500 63,202
42 2003 Boat & Trailer - water rescues 2023 38000 12,717 38,152
43 303-17 Kubota F39000 Mower w/Broom & Blower (2017)2023 65000 63,000
44 303-17 Kubota F39000 Mower w/Broom & Blower (2017)2030 75000 116,350
45 304-21 Kubota UTV (2021)2030 16000 24,821
46 Addition Vehicle (truck for addl FT or PT staff)2025 50500 60,000
47 Equipment Attachments (fit skid, loader, tractor)2024 10000 22,956
48 PJ Skid Trailer 14,000 lbs (2012)2025 17000 20,000
49 Rescue 5179 Replacement 2030 225000 349,049
50 Utility Trailer 3,500 lbs (1998)2025 8000 10,000
51 2012 UTV & Trailer replacement off road rescue 2031 - - - - 42,583 - - - - 60,609 - -
52 Total Capital Projects 3,514,750 198,500 101,967 1,188,083 592,296 132,583 425,000 61,912 491,828 490,220 161,600 607,353 -
PROJECTED NEW DEBT TERMS KHM As of Date:6/27/2023
53 Par Amount (Line 14)- - 340,000 515,510 - 250,000 - 250,000 300,000 350,000 -
54 Number of Years 10 10 15 15 10 10 10 10 15 10 20 10
55 Interest Rate 2.00%3.00%5.00%5.00%3.00%3.00%3.00%3.00%3.00%3.00%3.00%3.00%
56 New Debt Levy 0 0 0 38,997 107,617 104,553 132,403 129,519 157,409 180,914 178,018 175,122
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CITY OF SCANDIA
CAPITAL IMPROVEMENT PLAN
LOCAL ROAD IMPROVEMENT FUND 408
Inflation Assumptions
1 Revenue (Non-property tax)2.00%2.00%2.00%2.00%2.00%2.00%2.00%2.00%2.00%
2 Interest Earnings 1.50%3.50%3.50%3.50%3.50%3.50%1.50%1.50%1.50%
3 Expenses 3.00%3.00%3.00%
4 CIP Inflation Factor 0.00%4.00%4.00%4.00%7.50%7.50%7.50%7.00%7.00%
2022 2023 2024 2025 2026 2027 2028 2029 2030
Actual Projected
REVENUE
5 Property taxes 216,860 212,012 375,000 440,000 473,000 508,475 546,611 584,873 625,815
6 Debt levy - 2018 GO Bond - 343,166 340,541 343,009 345,161 341,749 343,429
Debt levy - 2024 GO Bond 112,124 187,828 240,098 332,158 359,258 355,688
7 Special assessments
8 Investment Income 4,655 12,115 5,447 10,000 13,710 9,745 2,950 2,193 1,999
9 Refunds and Reimbursements
10 Intergovermental 17,744 63,082 92,350
11 Rental and lease income - - - - - - - - -
12 Miscellaneous Revenue - - - - - - - - -
13 Total Revenue 239,259 224,127 443,529 542,350 486,710 518,220 549,560 587,067 627,814
EXPENSES
14 Total Current
15 Debt service
16 2018 GO Bond 326,825 324,325 326,675 328,725 325,475 327,075
17 2024 GO Bond 342,750 345,550 342,950 340,150 342,150
18 Total Capital Projects 595,069 815,000 3,840,745 665,000 600,000 600,000 600,000 600,000 600,000
19 Total Expenses 595,069 815,000 3,840,745 665,000 600,000 600,000 600,000 600,000 600,000
20 Revenue Over / (Under) Expenses (355,810) (590,873) (3,397,216) (122,650) (113,290) (81,780) (50,440) (12,933) 27,814
OTHER FINANCING SOURCES / (USES)
21 Bond Proceeds 3,755,973 -
22 Bond premium
23 Transfers In
24 Transfers Out
25 Transfers Out-
25 Total Other Sources / (Uses)- - 3,755,973 - - - -
26 Prior Period Adjustments
27 Ending Fund Balance 896,739 155,620 514,377 391,727 278,437 196,657 146,218 133,285 161,098
CITY OF SCANDIA
Financial Management Plan
Local Road Improvement Fund 408
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Capital Project Name Number Year?First Year Last Year Costs Actual Proposed Est.
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28 Soil Borings for 2024 & 2025 PW-061 2023 20000 25,000
29 Soil Borings for 2026 & 2027 PW-062 2025 20000
30 Soil Borings for 2028 & 2029 PW-069 2027 20000
31 Engineering Fees PW-070 100000 - - - - -
32 2022 Local Road Improvement Project PW-043 2022 707200 707,200
33 2023 Local Road Improvement Project PW-043 2023 671745 671,745
34 2023 Seal Coat & Crack Filling Project PW-050 2023 168374 168,374
2024 Seal Coat & Crack Filling PW-2024 455,000
35 2024 Local Road Improvement Project PW-056 2024 2755745 3,385,745
36 2025 Local Road Improvement Project PW-053 2025 540000 665,000
37 2025 Seal Coat & Crack Filling PW-052 2025 252000
38 2026 Local Road Improvement Project PW-035 2027 870000 600,000
39 2026 Seal Coat & Crack Filling Project PW-051 2027 335000
40 2027 Local Road Improvement Project PW-057 2028 900000 600,000
41 2027 Seal Coat & Crack Filling PW-060 2028 78000
42 2028 Local Road Improvement Project PW-036 2029 1000000 600,000
43 2029 Local Road Improvement Project PW-060 2030 860000 - 600,000
44 2030 Local Road Improvement Project PW-072 2031 880000 - 600,000
45 2031 Local Road Improvement Project PW-073 2032 1000000 -
46 Total Capital Projects 11,178,064 - 707,200 865,119 3,840,745 665,000 600,000 600,000 600,000 600,000 600,000
PROJECTED NEW DEBT TERMS
47 Par Amount (Line 14)- - - 3,635,000 - - -
48 Number of Years 9 15 15 15 15 15 15 15 15 10
49 Interest Rate 2.00%2.50%3.87%5.00%5.00%5.00%5.00%5.00%5.00%
50 New Debt Levy 0 0 0 0 340,170 340,170 340,170 340,170 340,170 340,170
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Project
CITY OF SCANDIA
SUMMARY BUDGET
6/20/2023
Inflation Assumptions 677,171 810,813 804,673 829,090 853,963 879,582
Revenue (Non-property tax) 1.00% 1.00% 1.00% 1.00% 2.00% 2.00% 2.00% 2.00% 2.00% 2.00%
Interest Earnings 3.25% 3.25% 3.25% 3.25% 3.25% 3.00% 3.00% 3.00% 3.00% 3.00%
Expenses 3.00% 3.00% 3.00% 3.00% 3.00% 3.00% 3.00% 3.00% 3.00% 3.00%
Audited Budgeted Budgeted Projected Projected Projected Projected Projected Projected Projected
GENERAL FUND 2022 2023 2024 2025 2026 2027 2028 2029 2030 2031
REVENUE
1 General Property Tax-Current 1,607,142 1,865,918 1,865,918 1,893,907 1,969,663 2,028,753 2,089,616 2,152,304 2,216,873 2,283,379
2 Other taxes 4,115 149,697 134,357 149,179 152,163 155,206 158,310 161,476 164,706 168,000
3 Intergovernmental 69,875 61,000 83,919 69,000 70,380 71,788 73,223 74,688 76,182 77,705
4 Grants 11,700
5 Franchise fees -
6 Licenses and Permits 182,640 161,100 179,100 183,100 186,762 190,497 194,307 198,193 202,157 206,200
7 Charges for Services 53,383 53,000 57,074 58,813 59,989 61,189 62,413 63,661 64,934 66,233
8 Fines & Forfeits 6,027 7,400 7,000 6,000 6,180 6,365 6,556 6,753 6,956 7,164
9 Interest Earnings 5,459 12,100 30,000 30,900 31,827 32,782 33,765 34,778 35,822
10 Miscellaneous Revenues 13,452 9,900 11,000 9,500 9,785 10,079 10,381 10,692 11,013 11,343
11 - - - - - - - - - -
12 Total Revenue 1,942,093 2,331,815 2,338,367 2,399,499 2,485,822 2,555,704 2,627,588 2,701,533 2,777,599 2,855,847
EXPENSES
13 Current
14 General Government 667,685 754,700 714,744 743,567 765,874 788,850 812,516 836,891 861,998 887,858
15 Public Safety 458,856 504,399 560,051 592,625 610,403 628,715 647,577 667,004 687,014 707,625
16 Public Works 636,351 732,450 815,044 821,200 845,836 871,211 897,347 924,268 951,996 980,556
17 Park and Recreation 171,884 175,060 209,226 211,437 217,780 224,314 231,043 237,974 245,113 252,467
18 Applied to Federal Grant
19 Federal fund returned
20 Capital Outlay - 150,000
21 -
22 -
23 -
24 -
25 Total Expenses 1,934,776 2,316,609 2,299,066 2,368,829 2,439,894 2,513,090 2,588,483 2,666,138 2,746,122 2,828,505
26 Revenues Over / (Under) Expenses 7,317 15,206 39,301 30,670 45,928 42,613 39,105 35,395 31,477 27,342
38 Ending General Fund Balance (FB) 1,349,787 1,364,993 1,404,294 1,434,964 1,480,892 1,523,505 1,562,610 1,598,006 1,629,483 1,656,824
39 Restricted - - - - - - - - - -
40 Unassigned 1,349,787 1,364,993 1,404,294 1,434,964 1,480,892 1,523,505 1,562,610 1,598,006 1,629,483 1,656,824
41 Fund Balance as a % of Next Year's Expenditures (net of contingency) 58.3% 59.4% 59.3% 58.8% 58.9% 58.9% 58.6% 58.2% 57.6% #DIV/0!
Preliminary Projected
Levy by Type 2022 2023 2024 2025 2026 2027 2028 2029 2030 2031
41 General Fund Operating Tax Levy 1,607,142 1,865,918 1,865,918 1,893,907 1,969,663 2,028,753 2,089,616 2,152,304 2,216,873 2,283,379
42 Annual Increase 16.3% 16.1% 0.0% 1.5% 4.0% 3.0% 3.0% 3.0% 3.0% 3.0%
ANNUAL DEBT LEVIES BY BOND ISSUE-FUTURE
43
44 BONDS ISSUED 3,635,000
45 EQUIPMENT CERTIFICATES 340,000 515,510 - 250,000 - 250,000 300,000 -
46
47 -
48 Total Annual Debt Issuance - - 3,975,000 515,510 - 250,000 - 250,000 300,000 -
OTHER SPECIAL TAX LEVIES
49 Debt service
50 2025 Certificates 67,000 64,000
51 2024 Certificates
52 2024 GO Bonds 34,524 112,124 187,828 240,098 332,158 359,258 355,688 357,158
53 2018 GO Bonds 344,531 342,536 345,634 343,166 340,541 343,009 345,161 341,749 343,429 344,794
54 Capital Improvement Debt Levy
55 Equipment Replacement Debt Levy - 38,997 107,617 104,553 132,403 129,519 157,409 180,914
56 Local road improvement Debt Levy
57 Total Annual Debt Levies 446,055 406,536 345,634 494,287 635,985 687,659 809,721 830,525 856,525 882,865
ANNUAL CAPITAL PROJECTS LEVIES
58 Capital Improvement 217,336 293,791 235,000 125,000 130,000 135,200 140,608 146,232 152,082 158,165
59 Park Improvement 20,000 20,000 60,000 40,000 40,000 40,000 40,000 41,600 43,264 44,995
60 Equipment Replacement 87,800 - 110,000 125,000 131,250 137,813 144,703 151,938 159,535 167,512
61 Local Road Improvement 216,860 212,012 375,000 440,000 473,000 508,475 546,611 584,873 625,815 669,622
62
63 EDA 8,000 5,300 5,300 -
64
65 Total Other Special Levies 549,996 531,103 785,300 730,000 774,250 821,488 871,922 924,644 980,695 1,040,293
66
67 Total Tax Levy 2,603,193 2,803,557 2,996,852 3,118,194 3,379,898 3,537,899 3,771,259 3,907,473 4,054,094 4,206,538
68 Increase/(Decrease) in Total Tax Levy 14.67% 7.70% 6.89% 4.05% 8.39% 4.67% 6.60% 3.61% 3.75% 3.76%
69 Less: Fiscal Disparities (132,739) (123,279) (107,857) (123,679) (109,591) (119,684) (123,858) (130,854) (134,148) (137,861)
70 Net Levy to Taxpayers 2,470,454 2,680,278 2,888,995 2,994,515 3,270,308 3,418,215 3,647,400 3,776,619 3,919,945 4,068,677
71 Levy % Change 15.11% 8.49% 7.79% 3.65%
72 Existing Tax Base 8,336,001 10,129,722 10,818,416 10,758,518 10,758,518 10,866,103 10,974,764 11,084,512 11,195,357 11,307,311
82 5.37% 21.52% 6.80% -0.55%
83 New Net Tax Capacity 0 0 0 0 0 0 0 0 0 0
84 Total Net Tax Capacity 8,336,001 10,129,722 10,818,416 10,758,518 10,758,518 10,866,103 10,974,764 11,084,512 11,195,357 11,307,311
85 Tax Rate on Tax Capacity 29.636% 26.460% 26.704% 27.834% 30.397% 31.458% 33.234% 34.071% 35.014% 35.983%
86 Tax Rate % Change 9.24063% -10.72% 0.93% 4.23% 9.21% 3.49% 5.65% 2.52% 2.77% 2.77%