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Delano Herald Journal Legal Notices
New public notices published in the issue of Feb. 6, 2012

NOTICE OF HEARINGON THE ADOPTION OF A CODE OF ORDINANCESFOR THE CITY OF MONTROSE, COUNTY OF WRIGHT, MINNESOTA
TO WHOM IT MAY CONCERN:
Minnesota Statutes Sections 415.02 and 415.021 authorize the city to codify its ordinances and print them in a book.
Notice is hereby given the council of the City of Montrose, Minnesota will hold a public hearing at 7 p.m. on Monday Feb. 13, 2011, to consider, and possibly adopt, Title IX: Land Usage, Appendix A: Zoning Ordinances, and Appendix B: Subdivision Ordinances of the proposed City Code. Comments from the public will be taken regarding Title IX: Land Usage, Appendix A: Zoning Ordinances, and Appendix B: Subdivision Ordinances of the proposed City Code at the public hearing.
February 1, 2012
/s/ Barbara C. Thwing-Swanson
Administrator/Clerk-Treasurer
Published in the Delano Herald Journal Feb. 6, 2012.

2012 MINNESOTA CITY SUMMARY BUDGET REPORT
A report for all Minnesota City budgets for ALL GOVERNMENTAL FUNDS
for which annual budgets have been adopted.
Name of City: Montrose
Population for 2011 as provided by the State of Minnesota Demographer was 2847
Revenues 2011 Budget 2012 Budget
Property Taxes 847,580 847,580
Tax Increments 0 0
All other taxes (franchise, hotel taxes etc.) 12,000 14,000
Special Assessment 26,800 24,761
Licenses and Permits 32,100 32,100
Federal Grants 0 0
State General Purpose Aid (e.g. LGA, etc.) 574,312 448,893
State Categorical Aid (state aid for streets,etc.) 1,000 11,000
Grants from County and Other Local Government 350 350
Charges for Services 305,625 306,525
Fines and Forfeits 0 0
Interest on Investments 0 0
Miscellaneous Revenues 51,799 51,799
TOTAL REVENUE 1,952,466 1,737,008
Proceeds from Bond Sales 688,047 0
Other financing sources 0 0
Transfers from other funds(incl. Enterprise Funds) 0 823,063
TOTAL REVENUES & OTHER
FINANCING SOURces 2,540,513 2,560,071
EXPENDITURES
General Government (council, administration, etc.) 418,638 395,945
Public Safety 485,380 492,570
Streets and Highways 164,870 177,420
Sanitation 0 0
Human Services 0 0
Health 0 0
Culture and Recreation 126,308 128,982
Conservation of Natural Resources 0 0
Urban and Economic Development and Housing 41,000 39,667
Miscellaneous Current Expenditure 0 0
TOTAL CURRENT EXPEDITURE 1,236,196 1,243,584
Debt Service-Principal 648,000 672,000
Interest and Fiscal Charges 378,223 362,892
Streets and Highways Construction 0 0
Capital Outlay 0 20,000
Other Financing Uses 0 0
Transfers to other funds (Include Enterprise Funds) 0 0
TOTAL EXPENDITURES AND 2,262,419 2,289,476
OTHER FINANCING USES
FUND BALANCE
General Fund – Beginning Balance (Jan. 1) 405,218 405,218
General Fund – Ending Balance (Dec. 31) 405,218 405,218
Increase (Decrease) in Fund Balance
OTHER ITEMS
Total property tax levy – All Funds 847,580 847,580
Net Unrealized Gain or (Loss) from
Investments for 2009 0 0
/s/ Barbara C. Swanson
Clerk/Treasurer
763-575-7425
Published in the Delano Herald Journal Feb. 6, 2012.