Minutes - 1985 - City Council - 07/23/1985 - SpecialPage 37
CITY OF EAGLE
SPECIAL COUNCIL MEETING
JULY 23, 1985
The council met in special session at the Eagle Ctiy
Hall, on Tuesday, July 23, 1985, at 7:30 P.M.. The purpose
of the special meeting was to consider the beer and wine
license for the Circle K Store at the corner of State and
Eagle Road, in Eagle.
Roll call showed the following members present: WALKER,
STOPPELLO, MAILE, GUERBER. Mayor HALEY presiding.
The Circle K beer and wine license application was re-
viewed and there was some discussion concerning the additional
gas price signs at Circle K. Based upon the representation
of the Circle'K representative that they will remove their gas
price signs and make application through Design Review for the
gas price signs, it was moved by STOPPELLO and seconded by
WALKER to approve the Circle K beer and wine license. Roll
call on the motion resulted as follows: AYE: WALKER, STOPPELLO,
MAILE, GUERBER. Motion carried. Mayor HALEY adjourned the
meeting at 7:50 p.m.
Bonnie Krasowski
City Clerk
Approved:
CAROL HALEY, - MAYO~/
/
Page 38
CITY OF EAGLE
COUNCIL WORKSHOP
The City Council held a Budget workshop on Tuesday,
July 23, 1985 at 8:00 p.m. the proposed budget figures
are part of the official minutes of the City of Eagle
as pages 39 and 40 of this journal.
Re~ectfully S~ubmitted
Bonnie Kr~sSwski
City Clerk
Page 39
CITY OF EAGLE
PROPOSED BUDGET FOR FISCAL YEAR 1985-86
REVENUE
GENERAL FUND
Property Taxes
Building Inspections
Penalty & Interest
Alcholic Beverage Licenses
Liquor Revenue
Sales Tax (State Shared)
Sales Tax (Inventory)
Annexation, P&Z, Design Review
Sewer Revenue
Library
Interest Earnings
Printing (Copy Machine)
Franchise
Fund Balance (Projected)
Other
$ 32,690.00
10,000.00
400.00
1,550.00
3,900.00
28,100.00
400.00
1,000.00
100.00
15,690.00
2,000.00
100.00
10,102.00
32,000.00
100.00
$ 138,132.00
REVENUE SHARING FUND
Federal Government & Interest
$ 8,412.00
TORT FUND
Taxes
$ 10,000.00
TOTAL ALL REVENUE $ 156,544.00
~a~e
CITY OF EAGLE
PROPOSED BUDGET FOR FISCAL YEAR 1985-86
EXPENSES
GENERAL FUND
LEGISLATIVE
Salaries
Personnel Benefits
Audit Fee
Advertising & Publication
Printing (Copy Maching Expenses)
Expenses
Total Legislative
$ 6,000.00
1,000.00
1,000.00
1,000.00
2,000.00
2,500.00
$ 13,500.00
EXECUTIVE Salary
Personnel Benefits
Expenses
Public Relations
Dues
Total Executive
$ 5,550.00
891.00
2,000.00
1,000.00
2,000.00
$ 11,441.00
FINANCIAL & ADMINISTRATIVE
Salary
Personnel Benefits
Election
Supplies
Dues, Travel, Education
Office Equipment
Codification
Miscellaneous
Total Finance & Administrative
$ 17,796.00
3,655.00
500.00
3,500.00
1,000.00
2,000.00
1,000.00
500.00
$ 29,951.00
GOVERNMENT BUILDINGS
Utilities
Maintenance
Security
Insurance
Total Government Buildings
$ 4,500.00
2,000.00
360.00
1,000.00
$ 7,860.00
LEGAL
STREET LIGHTING
LIBRARY
· PARKS & RECREATION
PLANNING AND ZONING
BUILDING INSPECTOR
COMPREHENSIVE PLAN
CAPITAL IMPROVEMENT
Total Line Items
$ 5,000.00
3,500.00
32,106.00
6,000.00
1,500.00
5,000.00
1,000.00
21,274.00
$ 75,380.00
TOTAL GENERAL GUND
$ 138,132.00
REVENUE SHARING FUND
$ 8,412.00
TORT FUND
$ 10,000,00
TOTAL BUDGET $ 156,544.00