257141 ORIGINAL TO�CITY CL6RK f�����
CITY OF ST. PAUL couNCi� f•'' �
w OFFICE OF THE CITY CLERK H�E NO.
COUNCIL RESOLUTION—GENERAL FORM �
PRESENTED BY
COMMISSIONE DATF
WHEREAS, pursuant to Section 203.3 of the City Charter, the Comptroller has
reported to the City Council that there are presently funds available in the
General Revenue Fund Balance - Dedicated - Debt, and
WI�REAS, the Council finds that it is necessary to provide for interest due
March 23, 1972 on a $1,091,000.00 note which was authorized under C. F. ,256775
to compensate for a change in the dates of payments of the Homestead Credit, now,
therefore, be it
RESOLVED, that the appropriation in the 1972 Budget for Debt in Charter Fund 28,
Bond and Notelnterest, is hereby increased as follows: �
General City Debt
Appropriation
Charter Fund 28 - Bond and Note Interest
0933 Note Interest
401 Interest Expense 55.733.82
and be it,
FURTHER RESOLVED, that the 1972 Financing Summary be revised in the item
General City Debt, General Revenue Fund Balance - Dedicated by increasing that
item $5,733.82, and be 'it
FINALLY RESOLVED, that this resolution shall not be adopted by the Council
until after a public hearing has been held, for which five (5) days public
notice shall be given once in the official newspaper of the City, and the approval
of the City Comptroller is endorsed on this resolution.
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a e "'Q'^.1/v`a/`„'`. �� ��A_.ilf Y_� ✓
Corporation Counsel City C p roller
JAN 21 t9?�
COUNCILMEN Adopted by the Council 19—
Yeas Nays
Butler ,�N a 1 ��i
Ca��se}r ��.--e�-c
� pp 19—
�� —In Favor
Meredith
Mayor
Sprafka � A _ ; -
gainst
Tedesco �����f;,�-.=,m_., �!����^ � �� `�?'�✓
� ia.�i^�s. t;r.�.0 .� ,;,� ,�! ._
Mr. President, McCarty --
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NO`1'�CE Or P'iJBLIC HEAR.TNC ON :CP1C '+ SING
APF'ROPRII�TI�.IS IN TFiE ���INT PAUL CITY
BUDGF`l� �'OR 1y7>
f'U�I.�IC TdGTTCN' is h�reby given that pursuant to Saint Paul
City C3iaa.^ter, Section 203.3, the aa.nt Paa1 Ci�ty Cour.cil will ��
�
hold a public hearing oi�z th��l� ar , 1972s a,t
Z0:00 A, :�f., in th� Council Chain4•crs in the Ci�ty� Ha7.l a.nd C�urt
4
Hou.se Bui��.ing, Saint Pa,ui, Niinn�:sot�., for the purpose o�' cc�n�
sideri.n� adj•u.str:ier�ts to the �.d.opted bud�et �or. 1972, to inc��.se
certa,in a�p°�v�?�aati�ns in s�.id adopted buci�;e�.
DatE.'r.X.��/`^', �`ot�� � � �' •
HARRY E. T•'I�RSHA.LL,
City Clerk
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� • OFFICE OF TH i COMPTROLLER
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CLEMENS J. SCHLECK ROBERT W. TRUDEAU
Chief Accountant Asst. Chief Accountant
Comptroller Deputy Comptroller
January 12, 1972
Honorable Mayor and
Members of the City Council
This is to advise you that there is a pre-closing balance in the General
Revenue Fund Balance - Dedicated - Debt as of December 31, 1971 of $45,879.26;
this balance will be further increased when appropriation balances from the
1971 budget are closed.
This advice is given to you in support of an anticipated resolution
opening the 1972 budget to provide an appropriation and financing for interest
on a $1,091,000.00 note due March 23, 1972 which note was authorized under
C. F. 256775 to compensate for a change in the dates of payments of the
Homestead Credit. The advice is in accordance with Charter Section 203.3.
Sincerely
� ,/
��Z7ua
Clemens J. ' chleck �
Chief Accountant - Comptroller
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nu�uu►re to ne�nttie
• CITY OF ST. PAUL �u�� N� �
' OFFICE OF THE CITY CLERK
.
� COUNCIL RESOLUTION-GENERAL FORM
���
COMMISSIONE� sl1*F
W�RBAS, pursuant to Section 203.3 of tt�s Cit� Clurl�r, t4e Ce�aptroll�r bas
reported to the Citq Council tlut there ara pr�e�ntly funds availablo in the
General Revenue Fund Balanca - Dedicatfd - Debt, and
W�REAS, the Couacil f�nds that it is nec�ssary to pronide for interest dus
March 23, 1972 oa a $I,091,000.00 not� �rhich Nets tuthorized undsr C. F. 256�75
to camp�naate for a chaage ia the dats• of paqm�nte of the Scm�stead CPadit, na+r,
tharafore, br it
RBSOLVBD, that the appropriation in the 1972 Budget for Debt ia Charter Fuad 2$,
Bond and Iiotelntereat, i� hereby iacreas�d as fallo�as
Ganersl City Debt
Apprapriatioa
Clutrter Fund 28 - Bond �tnd pot� Interest
0933 Note Intarest
401 Intere�t 8xpens� �,�y,,�
and be it,
FURT�R RBSOLVL�D, that the 1972 Financing Summary be r�vissd in the itam
Ge�ersl City Debt, Gen�ral Rcwenue Fund Balance - Dsdicated by incr�asing that
it� $5,733.82, and be it
FINALLY RSSOLVSD, that this r�solution shall not be adopted by the Cauacil
until aftar a public hearing t►�ta been hsld, for �hich five (S) days public
notice shall b� givea oace in�.the official neivapaper of th� City, and t2w apprcrval
of ehe Citq Comptroller is eadoreed on this resolution.
9
Corporation Counsel City troller
,�AN �1 19T2
COUNCILBdEN Adopted by the Conncil 19_
Y�s xaya JAN 21 1972
Butler
��, Approv� 19.—
�� Favor
Meredith
Sprafka � �r
Tedeaco A B�at
Mr. Preaident, McCarty
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