2020-1827 FILE RESOLUTION NO.,2020-1827
A RESOLUTION ADOPTING A BUDGET, APPROPRIATING FUNDS, AUTHORIZING
EXPENDITURES AND LEVYING A TAX THEREFOR BY THE CITY OF JANESVILLE
FOR THE FISCAL YEAR ENDING DECEMBER 31, 2021
WHEREAS, pursuant to Section 3.08.010 of the Code of General Ordinances of the City of Janesville,
and in accordance with Section 65.90 of the Wisconsin Statutes, the City Manager submitted to the Common
Council a Budget containing an estimate of City and Library revenues and expenditures for the fiscal year
ending December 31, 2021; and
WHEREAS, the Common Council has reviewed said estimates, proposed Budget, and held public
hearing(s)thereon;
NOW, THEREFORE BE IT RESOLVED by the Common Council of the City of Janesville that:
SECTION 1. The Budget for the City of Janesville for the fiscal year ending December 31, 2021, as submitted
by the City Manager, and as amended and adopted by the Common Council on the 23rd day of November,
2020, is hereby ratified.
SECTION 2. There is hereby appropriated out of the receipts of the City of Janesville for the year 2020,
including monies received from the general property tax levy, to the various purposes specified in said adopted
City Budget for the purposes therein stated, the following amounts:
2021
General Fund Revenues
Non-Property Tax Revenues $17,506,583.00
Undesignated Funds Applied-General Fund 466,654.00
Total Non-Property Tax Revenues: $17,973,237.00
General Fund Operating Expenditures
General Government $4,107,613.00
Public Safety 27,144,881.00
Public Works 5,707,147.00
Parks and Recreation 3,095,664.00
Community Development 1,656,398.00
Other 767,060.00
Total General Fund Operations $42,478,763.00
General Fund Debt Service 9,571,360.00
Total General Fund Expenditures $52,050,123.00
General Fund Tax Levy without TIF $34,076,886.00
TIF Levy 2,049,835.02
Total Levy for General Fund $36,126,721.02
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PpC1
2021
Hedberg Public Library Revenues
Non-Property Tax Revenues $593,016.00
Unrestricted Funds Applied 0.00
Total Non-Property Tax Revenues: $593,016.00
Hedberg Public Library Expenditures
Operating Expenditures $3,931,361.00
Debt Service 208,397.00
Total Library Expenditures $4,139,758.00
Hedberg Public Library Tax Levy without TIF $3,546,742.00
TIF Levy 213,348.01
Total Levy for Hedberg Public Library $3,760,090.01
SECTION 3. There is hereby levied a combined City and Library tax in the total amount of Thirty Nine Million,
Eight Hundred Eighty-Six Thousand, Eight Hundred and Eleven Dollars and Three Cents ($39,886,811.03) for
all purposes on all taxable real and personal property within the City of Janesville as returned by the City
Assessor for the year 2020, for the uses and purposes set forth in the City's 2021 Budget.
SECTION 4. The City Clerk is hereby authorized and directed to spread this tax on the current tax roll of the
City of Janesville.
SECTION 5. Thereby and hereby is levied a net tax for the year 2020 for taxable real and personal property
within the City of Janesville located within the Janesville School District at the rate amount of $23.1483 per
thousand dollars of assessed valuation.
SECTION 6. Thereby and hereby is levied a net tax for the year 2020 for taxable real and personal property
within the City of Janesville located within the Milton School District at the rate amount of $23.8988 per
thousand dollars of assessed valuation.
SECTION 7. This resolution shall take effect forthwith.
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ADOPTED: December 1, 2020 Motion by: Wolfe
Second by: Williams
APPROVED: Councilmember Aye Nay Pass Absent
tiALL. al ,/1 ,.
Benson X
Conley X
Mark A. reitag, City Manager Farrell X
Johnson X
Marklein X
ATT.,: ': c Williams X
/ ( Wolfe X
1.vld T. Godek, City Clerk-Treasurer
APPROVED AS TO FORM:
Wald Klimcz
Y , Y Attorney
Proposed by: Finance Office
Prepared by: Finance Office
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