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ORDINANCE NO. 6 2 2 6
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
AUBURN, WASHINGTON, AMENDING ORDINANCE NO.
6215, THE 2009-2010 BIENNIAL BUDGET ORDINANCE AND
AUTHORIZING AMENDMENT TO THE CITY OF AUBURN
2009-2010 BUDGET AS SET FORTH IN SCHEDULE "A"
WHEREAS, the Auburn City Council at its regular meeting of December 1,
2008, adopted Ordinance No. 6215 which adopted the City of Auburn 2009-2010
Biennial budget; and
WHEREAS, the City of Auburn deems it necessary to appropriate additional
funds to the various funds of the 2009 budget; and
WHEREAS, this Ordinance has been approved by one more than the
majority of all councilpersons in accordance with RCW 35A.34.200.
NOW THEREFORE, THE CITY COUNCIL OF THE CITY OF AUBURN,
WASHINGTON DO ORDAIN AS FOLLOWS:
Section 1. Amendment of the 2009-2010 Biennial Budget. The 2009-
2010 Biennial Budget of the City of Auburn is amended pursuant to Chapter 35A.34
RCW, to reflect the revenues and expenditures as shown on Schedule "A" attached
hereto and incorporated herein by reference. The Mayor of the City of Auburn,
Washington is hereby authorized to utilize revenue and expenditure amounts
shown on said Schedule "A". A copy of said Schedule "A" is on file with the City
Clerk and available for public inspection.
Section 2. Severability. If any provision of this Ordinance or the
application thereof to any person or circumstance is held to be invalid, the
Ordinance No. 6226
March 2, 2009
Page 1 of 2
remainder of such code, ordinance or regulation or the application thereof to other
person or circumstance shall not be affected.
Section 3. Implementation. The Mayor is hereby authorized to
implement such administrative procedures as may be necessary to carry out the
directives of this legislation.
Section 4. Effective Date. This Ordinance shall take effect and be in
force five (5) days from and after its passage, approval and publication as provided
by law.
INTRODUCED: MAR 16 2009
PASSED: MAR 16 2009
APPROVED:
PE R B. LEWIS, MAYOR
ATTEST:
Da 'elle E. Daskam
City Clerk
APPROVED AS TO ORM:
; Al
D 'el B. e ; ~
City Attorney
PUBLISHED:
Ordinance No. 6226
March 2, 2009
Page 2 of 2
CITI( OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
GENERAL FUND 007:
Saies Tau 16,685,000 (1,558,275) 15,126;725 ' Revise revenue estimate
Indirect Federal Grants - 16,000 1 16,000 Carry forward Emergency Management
Performance Grant-GR0801
State Grant-Department of Ecology - 50,000 2 50,000 Grant funding for Shoreline Master Plan
Court Interpreter - 10,200 10,200 Court-State Interpreter Funding program
Intergovernmental Revenue - 180,000 Refund from Yakime County far medical
charges related to Contrae[ed JpH Services
1,500,000 22 1,680,000 SCONERepaymenF(July2Q09)'
Arts Commission 61,000 (10,000) 51,000 Budget revisions for General Fund
Operating Transfer In 1,517,000 1,500,000 22 3,017,000 ' Trensfer ln from Cumuletive Reserve for
SC4RE contribution (March 2009)
CHANGE IN REVENUE 1,687,926 1,687,925
EXPENDITURES:
Mayor & Council
Equipment Rental- Fuei Charge 2,400 (500) 1,900 Budget revisions for General Fund
InterfundFacilities 42,900 (1,500) 41,400 Budget revisions for General Fund
IntertundFacilities 42,900 (1,500) 41,400 Budget revisions for General Fund
Intertund IS ServiCes 13,600 (1,000) 12,600 eudget revisions for General Fund
Interfund IS Services 9,800 (1,000) 8,800 Budget revisions for General Fund
Court
Salaries 798,200 (42,880) 755,320 Freeze 1 Court Clerk position
Benefits 280,700 (15,010) 265,690 Freeze 1 Court Clerk position
Uniforms 700 (250) 450 Budget revisions for Generel Fund
Small Tools 5,500 (4,750) 750 Budget revisions for General Fund
Professional Services 440,800 (3,000) 437,800 Budget revisions for GeneralFund
Intertund Facilities 137,100 (4,800) 132,300 Budget revisions for General Fund
Interfund IS Services 129,800 (12,000) 117,800 Budget revisions for General Fund
Probation
Other Wages 2,000 38,100 40,100 Probation Counselor
Benefits 161,300 5,800 167,100 Probation Counselor
Communications 900 (650) 250 Budget revisions for General Fund
Travel 2,000 (1,000) 1,000 Budget revisions for General Fund
Equipment Rental- Fuel Charge 800 (200) 600 Budget revisions for General Fund
Intertund FaCilities 24,500 (800) 23,700 Budget revisions for General Fund
Human Resources
Salaries 458,600 (52,890) 3 405,710 Freeze t Recruitment & Employment
Manager position
Benefits 160,600 (21,490) 3 139,110 Freeze 1 Recruitment & Employment
Manager position
Small Tools & Equipment 2,500 (500) 2,000 Budget revisions for General Fund
Professional Services 37,800 (7,300) 30,500 Budget revisions for General Fund
Travel 2,000 (1,500) 500 Budget revisions for General Fund
Advertising 35,000 (25,000) 10,000 Budget revisions for General Fund
Miscellaneous 54,200 (11,400) 42,800 Budget revisions for General Fund
Equipment Rental- Fuel Charge 2,200 (500) 1,700 Budget revisions for General Fund
IntertundFacilities 32,100 (1,100) 31,000 Budget revisions for General Fund
Interfund IS Services 39,400 (3,600) 35,800 Budget revisions for Generel Fund
Salaries 24,500 (7,780) 3 16,720 Freeze t Recruitment 8 Employmenl
Manager position
Benefits 8,600 (2,720) 3 5,880 Freeze 1 Recruitment 8 Employment
Manager posilion
Professional Services 40,500 (20,000) 20,500 Budget revisions for General Fund
Travel 1,000 (500) 500 Budget revisions for General Fund
Advertising 3,000 (2,500) 500 Budget revisions for General Fund
Miscellaneous 500 (500) - Budget revisions for General Fund
1
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
Finance
Intertund Facilities 32,100 (1,200) 30,900 Budget revisions for Generel Fund
Interfund IS Services 88,100 (7,000) 81,100 Budget revisions for General Fund
Legal
Travel 2,400 (1,200) 1,200 Budget revisions for Generel Fund
Miscellaneous 15,300 (950) 14,350 Budget revisions for General Fund
Interfund FaCilities 75,300 (2,700) 72,600 eudget revisions for General Fund
Supplies 8,000 (2,000) 6,000 Budget revisions for General Fund
Professional Services 59,000 (30,500) 28,500 Budget revisions for General Fund
Travel 8,800 (2,600) 6,200 Budget revisions for General Fund
Miscellaneous 28,500 (2,600) 25,900 Budget revisions for General Fund
Equipment Rental- Fuel Charge 200 (100) 100 Budget revisions for General Fund
Interfund Facilities 43,900 (1,500) 42,400 Budget revisions for General Fund
Interfund IS Services 114,900 (35,100) 79,800 Budget revisions for General Fund
Planning
Salaries 1,202,100 (71,825) Freeze t Plans Examiner position
(71,825) Freeze 1 Plans Examiner position
(14,910) Freeze .25 Building Inspector position
(56,670) 4 986,870 Freeze 1 Planning Technician position
Benefits 422,700 (25,140) Freeze 1 Plans Examiner position
(25,140) Freeze 1 Plans Examinerposition
(5,220) Freeze .25 Building Inspector position
(19,835) 4 347,365 Freeze 1 Planning Technician position
Supplies 5,000 (2,500) 2,500 Budget revisions for General Fund
Small Tools & Equipment 5,000 (2,500) 2,500 eudget revisions for Generel Fund
Professional Services 52,700 (36,700) 16,000 Budget revisions for General Fund
Travel 8,900 (5,300) 3,600 Budget revisions for General Fund
Miscellaneous 27,600 (11,000) 16,600 Budget revisions for General Fund
Equipment Rental- Fuel Charge 17,100 (3,800) 13,300 Budget revisions for General Fund
Interfund Facilities 59,400 (2,100) 57,300 Budget revisions for Generel Fund
Interfund IS Services 136,500 (13,800) 122,700 eudget revisions for Generel Fund
Interfund IS Services 7,500 (700) 6,800 Budget revisions for General Fund
Salaries 1,056,300 (14,170) 4 1,042,130 Freeze 1 Planning Technician position
Benefits 372,000 (4,955) 4 367,045 Freeze 1 Planning Technician position
Supplies 8,000 (6,000) 2,000 Budget revisions for General Fund
Professionel Services 229,000 160,000 CaYry forward butlgeHor Cotle review &
update
50,000 2 Carry forward Shoreline Master Plan
(30,000) 409,000 Budget revisions for General Fund
Travel 18,400 (11,500) 6,900 Budget revisions for General Fund
Miscellaneous 134,700 (40,250) 94,450 Budget revisions for General Fund
Equipment Rentai- Fuel Charge 400 (100) 300 Budget revisions for General Fund
Interfund Facilities 59,400 (2,100) 57,300 Budget revisions for General Fund
Intertund IS Services 138,800 (11,600) 127,200 Budget revisions for Generel Fund
Intertund IS Services 7,500 (800) 6,700 Budget revisions for General Fund
2
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
Police
Salaries 737,400 (59,910) 677,490 Freeze 1 Police Secretary position
Benefits 260,900 (20,965) 239,935 Freeze 1 Police Secretary position
Capital Equipment - 5,700 5,700 Carry forward IDS software purchase
Intertund Facilities 571,600 (23,400) 548,200 Budget revisions for General Fund
Interfund IS Services 746,700 (122,200) 624,500 Budget revisions for General Fund
Other Wages 1,500 10,900 1 12,400 Carry forward Emergency Management
Performance Grant-GR0801
Communications 3,900 1,400 1 5,300 Carry forward Emergency Management
Performance Grant-GR0801
Miscellaneous 4,900 3,700 1 8,600 Carry forward Emergency Management
Performance Grant-GR0801
Salaries 5,834,100 (134,100) 5,700,000 Freeze 2 Supemumerary positions
Benefits 2,132,400 (46,935) 2,085,465 Freeze 2 Supemumerary positions
Equipment Rental- Fuel Charge 280,600 (62,300) (62,300) Budget revisions for General Fund
Intergovemmental Service 2,802,200 136,100 locrease Contrmctad Jail Services
1,500,000 22 4;438,300 SCORE Conuibution
Engineering
Salaries 1,912,100 (102,895) Freeze 1 Transportation Manager position
(59,645) 1,749,560 Freeze 1 Treffic Signal Tech position
Benefits 676,100 (36,010) Freeze 1 Transportation Manager position
(20,875) 619,215 Freeze 1 Traffic Signal Tech position
Supplies 28,000 (4,250) 23,750 Budgel revisions for General Fund
Small Tools & Equipment 33,400 (8,300) 25,100 Budget revisions for General Fund
Professional Services 175,300 (42,000) 133,300 Budget revisions for Generel Fund
Travel 3,000 (1,000) 2,000 Budget revisions for General Fund
Miscellaneous 40,800 (15,130) 25,670 Budget revisions for Generel Fund
Equipment Rental- Fuel Charge 37,200 (8,300) 28,900 Budget revisions for Generel Fund
Interfund Facilities 113,800 (4,000) 109,800 Budget revisions for General Fund
Intertund IS Services 435,300 (36,300) 399,000 Budget revisions for General Fund
Parks
Professional Services 142,500 25,000 Carry fonvard budget for Aubum Symphony
Orchestra Tourism contract
(20,000) 147,500 Budget revisions for General Fund
Professional Services 27,100 (4,000) 23,100 Budget revisions for General Fund
Professional Services 28,700 (10,000) 18,700 Budget revisions for General Fund
Interfund Facilities 202,000 (7,100) 194,900 Budget revisions for General Fund
Interfund IS Services 270,100 (39,900) 230,200 eudget revisions for General Fund
Professional Services 54,600 (2,000) 52,600 Budget revisions for General Fund
Advertising 3,700 (2,000) 1,700 Budget revisions for General Fund
IntertundFacilities 185,100 (76,100) 169,000 Budget revisions for General Fund
Overtime 8,000 (2,600) 5,400 Budget revisions for General Fund
Benefits 48,900 (195) 48,705 Budget revisions for General Fund
Professional Services 24,000 (7,800) 16,200 Budget revisions for General Fund
Advertising 6,600 (1,500) 5,100 Budget revisions for General Fund
Intertund Facilities 5,100 (200) 4,900 Budget revisions for General Fund
Temporary Help 122,400 (47,400) 75,000 Budget revisions for General Fund
Benefits 272,100 (3,555) 268,545 Budget revisions for General Fund
Supplies 228,700 (5,000) 223,700 Budget revisions for General Fund
Utilities 423,100 (60,000) 363,100 Budget revisions for General Fund
Equipment Rental- Fuel Charge 64,200 (14,300) 49,900 Budget revisions for General Fund
3
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
Street
Salaries 154,500 96,600 251,100 Increase budget for Salaries
Benefits 54,100 33,800 87,900 Increase budget for Benefits
CapitalEquipment - 8,000 8,000 Carry forward snow plow
Operating Supplies 190,000 30,000 < 220;000 Supplies for new eddress street'signs
Equipment Rental- Fuel Charge 44,300 (9,900) 34,400 Budget revisions for General Fund
Interfund Rentals & Leases 549,600 (207,000) 5 2009 PI - Truck and Plow on hold
(73,000) 5 269,600 2009 PI - Roller and Trailer on hold
Interfund Facilities 47,800 (1,700) 46,100 Budget revisions for General Fund
Intertund IS Services 124,900 (12,700) 112,200 Budget revisions for General Fund
Non Departmental
Construction Projects - 38,400 38,400 Carry forward Way Finding Signage
Construction Projects 100,000 40,000 140,000 Carry forward Gatewey Program
Transfer Out 2,159,000 188,900 6 Transfer Out to Fund 328 Reflex revenue for
Traffic Calming projects
1,500,000 22 3,847,900 Transier 0ut to Fund 122 -SCORE
reoavment
CHANGE IN EXPENDITURES 1,687,925 1,687,925
Designated Ending Fund Balance 391,800 - 391,800
Undesignated Ending fund balance 5,452,470 - 5,452,470 Adjust Ending Fund Balance
4
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
FUND 102 ARTERIAI STREET
REVENUES
Indirect Federal Grant 1,982,300 416,500 7 Grant Funding for -Carry forward Citywide
ITS Improvements
17,300 8 Grant Funding for -Carry forward Olympic
Middle School
153,400 9 2,569,500 Grant Funding for -Carry forward AWN
Pedestrian Crossing
State Grants 125,000 63,200 10 Grant Funding for -Carry forward A St SE
Ped Improvements
62,700 11 250,900 Grant Funding for -Carry forward 37th Street
SE 8 R St Connedor
Intergovernmental Loan 1,720,000 80,000 12 1,800,000 PW7F loan for Harvey & 8th St NE
Improvements
Operating Transfer In 2,072,800 82,500 12 Traffic Impact for Harvey & 8th St NE
Improvements
95,000 19 Transfer REET 2 from Fund 32$ for West
Valley Highway Improvements
7,920 20 2,258,220 Transfer REET 2 from Fund 328 for Aubum-
Pacific Trail Phase 2
Undesignated Fund Balance 717,062 680,000 1,397,062 Adjust Estimated Fund Balance
1,658, 520
EXPENDITURES
Operating Transfer Out - 296,700 13 296,700 Transfer Out Utility Tax balance for Arterial
Street Preservation to Fund 105
Construction Projects 6,075,200 416,500 7 Carry forward Citywide ITS improvements-
Grent Funded
81,500 Carry forward Auburn/Pacific Trail
7,920 20 IncreaseAuburNPacific Trail Phase 2-REET
z runaea
95,OQ0 18 IncreaserWest Valley Hwy lmprovements -
REET 2 #unded
162,500 12 Carry forward Harvey & Bth St NE
Intersection Improvement
88,300 Carry forward Citywide Ped Crossing
Improvements
63,200 70 Carry forward A St SE Ped Improvements-
Grant Funded
17,300 8 Carry forward Olympic Middle School-Grant
Funded
153,400 9 Carry forward AWN Pedestrian Crossing-
Grant Funded
49,600 Carry forward Comprehensive Plan Update
62,700 11 7,273,120 Carry forward 37th Street SE 8 R St
Connector-Grant Funded
Undesignated Ending Fund Balance 383,062 163,900 546,962 Adjusl Ending Fund Balance
1,658,520
FUND 103 LOCAL STREET
EXPENDITURES
Construction Projects 2,088,100 221,200 2,309,300 Carry forward Local Street Improvements
Undesignated Ending Fund Balance 604,641 (221,200) 383,441 Adjust Ending Fund Balance
FUND 104 HOTEUMOTEL TAX FUND
EXPENDITURES
Professional ServiCes 153,000 32,000 185,000 Miscetianeous appropriations by Aubum
Tourism Board
Designated Ending Fund Balance 32,600 (32,000) 600 Adjust Ending Fund 6alance ,
FUND 106 ARTERIAL STREET PRESERVATION
REVENUES
Operating Transfer In - 296,700 13 296,700 Transfer In Utility Tax balance for Arterial
Street Preservetion from Fund 102
296,700
EXPENDITURES
ConstructionProjects 1,440,000 319,000 1,759,000 Carry forward Arterial Pavement Patching
Undesignated Ending Fund Balance 27,000 (22,300) 4,700 Adjust Ending Fund ealance
296,700
5
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#IDESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
FUND 117 DRUG FORFEITURE
EXPENDITURES
Capital Equipment 79,100 32,000 111,100 Carry fonvard License Plate Reader
Undesignated Ending Fund Balance 414,107 (32,000) 382,107 Adjust Ending Fund Balance
FUND 122 CUMULATIVE RESERVE
REVENUES
Operating Transfer In - 1,500,000 22 1,500,000 Transfer In from Generel Fuod -SCORE
repayment
1,500,000
EXPENOITURES
Operating Transfer Out 488,000 1,500,000 22 " Trsnsfer Out to Generel Fund for 3CORE
CoMribution
2,504,000 2$ 4,488;000 Transfer Out to Capital Projects Fund 328
tor property acqulsiiion
Undesignated Fund Balance 5,371,268 (2,540,000) 2,871`,268 Adjust Entling Furd Balance
1,500,000
FUND 124 MITIGATION FEES
EXPENDITURES
Transfer Out- Traffic Impact Fees 1,491,000 82,500 12 1,573,500 Transfer Out to Fund 102 Traffic Impact
Fees for Haney & Bth Street NE Intersection
Improvement
Transfer Ouf- Parks Mitiga6on 32,300 3,900 21 36;200 Tranafer Out to Fund 321 for 8rannan Park
tigMing
Designated Ending FundBalance 2,581,278 (86,400) 2,494,878 Atljust Ending Fund Balance
FUND 321 PARKS CONSTRUCTION
REVENUES
Interagency Comm. for Outdoor Rec 488,000 40,800 14 528,800 Carry forward Grant for Brannan Park
Lighting project
Transfer In 5,490,200 387,600 1b Carry fonvard Transfer In REET1 for Auburn
Communiry Center
40,100 14 Carry fonvard Transfer In REET1 for
Brannan Park Lighting project
3,900 21 5;921,800 Transfetln Patks Mitigatwndor Brannan
Park lighting project CP0708
472,400
EXPENDITURES
Construction Projects 8,824,800 113,700 14 Carry fonvard Brannan Park Lighting project
CP0708
13,000 ' Inrxease budget for Brannan Park ($3,900
fundedbyPark Mitipstion Trartsferfrom Fund
124)
387,600 15 Carry forward Auburn Community Center
17,000 9,356,100 Carry fonvard Olson Canyon Farm
Development
Undesignated Ending Fund Balance 2,728,979 (58,900) 2,670,079 Adjust Ending Fund Bafance
472,400
6
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
FUND 328 CAPITAL IMPROVEMENT PROJECTS
REVENUES
Transfer In 200,000 188,900 6 Transfer In from General Fund ReFlex
revenue for Traffic Calming projects
2,500,000` 23 2,688,900 Trenafer In from Cumuletive Reaerve Fund '
for property acquisition
2,688,900
EXPENDITURES
REET1 Transfer Out 3,969,900 387,600 15 Transfer Out to Fund 321 for Auburn
Communiry Center
40,100 14 4,397,600 Transfer Out to Fund 321 for Brannan Park
Lighting project
REET2 Transfer Out - 95,000 79 Transfer Out to Fund 102 fa West Veiley
' Hwy Improvementg
7,920 20 102,920 Transfer Out to Fund 102 for Aubum Pacific
Trail-Pfiase 2
Construction Projects 700,000 250,000 950,000 Carry forward PRAB & Senior Center
generetor projed
Capital Equipment - 75,000 75,000 Increase budget for Traffic Signal Equipment
Construction Projects 200,000 11,100 Carry forwardTrafficCalminglmprovements
177,700 388,800 Carry forward Traffic Signal Improvements
Construction Projects 200,000 10,700 210,700 Carry forward Citywide Sidewalk
Construction Projects 100,000 6,000 106,000 Carry forward Mohawk Plastic Site Mitigation
Land - 2,750,000 23 2,750,000 Property acquisitiort (2.5 mitqon from
Cumulative ReserveFund 122)
Construction Projects 500,000 688,500 1,188,500 City HaII Plaza-construction
Undesignafed Ending Fund Balance 4;968,834 (1,810,720) 3,158,114 Adjuat Ending Fund Belance
2,688,900
FUND 430 WATER
REVENUES
Estimated Beginning Working Capital 7,149,566 2,500,000 9,649,566 Adjust Estimated Beginning Working Capital
2,500,000
EXPENDITURES
Salaries 322,200 (4,670) 3 317,530 Freeze 1 Recruitment & Employment
Manager position
Benefits 112,800 (1,630) 3 111,170 Freeze 1 Recruitment 8 Employment
Manager position
Construction Projects 6,019,600 365,400 Carry forward R Street SE -Utility
Improvement
623,300 Carry forward Well 4& Intertie Pump Station
Improvement
481,800 Carry forward SCADA System Improvements
97,800 Carry forward Water Reservoir Safety
75,000 Carry forward Blow off Instaliation
548,100 Carry forward Well 5 upgrade
116,900 Carry forward Coal Creek Spring
Rehabilitation
100,900 Carry forward Water Comprehensive Plan
21,000 Carry forward Standby Generator Study
98,100 Carry forward 2007 Large Meter
Replacement
57,100 Carry forward Braunwood Improvement
160,000 Cerry forward Lea Hill Booster Pump Station
120,000 Carry fonvard Green River Pump Station
42,500 8,927,500 Carry forward Repair & Replac»ment
Operating Transfer Out 106,100 60,000 16 166,100 Transfer out to Equip Rental for Utility
Vehicle
Ending Working Capital 1,506,766 (461,600) 1,045,166 Adjust Ending Working Capital
2,500,000
7
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
FUND 431 SEWER
REVENUES
MITContribution - 1,602,500 17 1,602,500 CarryforwardMlTContributionforAWS
Sewer Replacement project-phase 3
Intergovemmental loan -PWTF . 1,000,000 1,000,000 Carry forward PWTF loan for AWS Sewer
Replacement project-phase 3
2,602,500
EXPENDITURES
Salaries 297,600 (4,670) 3 292,930 Freeze 1 Recruitment & Employment
Manager position
Benefits 104,200 (1,630) 3 102,570 Freeze 1 Recruitment & Employment
Manager position
ProfeS5i0nal Services 24,900 32,800 57,700 Carry forward for Utility Rate Study
ConstructionProjects 4,236,800 3,192,400 17 Carry forwardAWSSewerReplacement -
Phase 3
682,600 Carry forward SCADA System Improvements
18,700 Carry forward Harvey & 8th St NE
Intersection Improvements
1,286,400 Carry forward Sewer Facility Repair &
Replacement
345,900 Carry fonvard Lea Hill Pump Station
Decommissioning
77,200 Carry forward Sewer Comprehensive Plan
Update
393,100 10,233,100 Carry forwardSewerFacilitylmprovements
Ending Working Capital 5,618,692 (3,420,300) 2,198,392 Adjust Ending Working Capitai
2,602,500
FUND 432 STORM
REVENUES
Estimated Beginning Working Capital 5,448,747 2,500,000 7,948,747 Adjust Estimated Beginning Working Capital
2,500,000
EXPENDITURES
Salaries 701,200 (47,600) 653,600 Freeze 1 Maintenance Worker I position
Benefits 256,300 (16,660) 239,640 Freeze 1 Maintenance Worker I position
Salaries 260,200 (4,670) 3 255,530 Freeze 1 Recruitment & Employment
Manager position
Benetits 91,100 (1,630) 3 89,470 FreezelRecruitment8Employment
Manager position
Construction Projects 3,980,100 455,500 Carry forward Downtown Storm Water
Quality Facility
205,300 Carry forward SCADA System Improvements
50,000 Carry forward Harvey & Bth St NE
Intersection Improvements
451,200 Carry forward 15th St NW Culvert
Replacement
250,000 Carry fonvard 17th St SE & M St SE
938,600 Carry fonvard 21st St SE & R St SE
9,100 Carry fonvard Arterial Pavement
Preservation
126,900 Carry fonvard Storm Comprehensive Plan
5,200 Carry forward Airport Storm Pond project
97,700 Carry forward Mill Creek Culver @ Peasley
Canyon
50,000 Carry forward Developer Participation
75,000 6,694,600 Carry forward Airport Storm Projecls
Ending Working Capital 1,530,347 (743,940) 1,386,407 Adjust Ending Working Capital
2,500,000
8
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
PUND 435 AIRPORT
EXPENDITURES
Construction Projects 3,287,900 43,900 Carry fonvard Airport Security Project
20,000 Carry forward Hangar Repair
15,000 3,366,800 Carry forward Parallel Taxiway Construction
Ending Working Capital 717,186 (78,900) 638,286 Adjust Ending Working Capital
FUND 436 CEMETERY
EXPENDITURES
Salaries 46,200 (1,560) 3 44,640 Freeze t Recruitment & Employment
Manager position
Benefits 16,300 (540) 3 15,760 Freeze 1 Recruitment & Employment
Manager position
Miscellaneous 7,900 12,000 19,900 Carry forvvard Pontem 8 QuickBooks
software
Capital Equipment 8,000 8,000 16,000 Move budget for 2nd Gator from 2010
Ending Working Capital 404,465 (17,900) 386,565 Adjust Ending Working Capital
FUND 506 FACILITIES
REVENUES
Property Management Services 2,326,600 (71,800) 2,254,800 Budget revisions for General Fund
(71,800)
EXPENDITURES
Small Tools & Equipment 23,300 (17,000) 6,300 Budget revisions for General Fund
Professional Services 276,600 (34,500) 242,100 Budget revisions for Generel Fund
Travel 1,000 (500) 500 Budget revisions for General Fund
Repairs & Maintenance 273,300 (41,800) 231,500 Budget revisions for General Fund
Miscellaneous 5,600 (2,500) 3,100 Budget revisions for General Fund
Capital Equipment 6,000 (6,000) - Budget revisions for General Fund
Ending Working Capital 162,100 30,500 192,600 Adjust Ending Working Capital
(71, 800)
FUND 518 INFORMATION SYSTEMS
REVENUES
Tech Initiative Grant - 34,500 78 34,500 Grant funding for Velley WiFi project
Intertund Operating Charges 3,425,300 (297,700) 3,127,600 Budget revisions for General Fund
(263,200)
EXPENDITURES
Salaries 1,289,900 (57,880) 1,232,020 Freeze 1 Desktop Support position
Benefits 462,800 (20,260) 442,540 Freeze 1 Desktop Support position
Small Tools 8 Equipment 550,200 (223,000) 327,200 Budget revisions for General Fund
Capital Equipment 859,500 (209,000) 650,500 Budget revisions for General Fund
Construction Projects - 34,500 18 34,500 Carry forward Valley Wifi project
Ending Working Capital 2,136,910 212,440 2,349,350 Adjust Ending Working Capital
(263,200)
9
CITY OF AUBURN
2009 BUDGET AMENDMENT "SCHEDULE A"
Budget Amendment #1 Ordinance 6226
CURRENT REQUESTED REVISED BUDGET
ACCOUNT#/DESCRIPTION BUDGET AMENDMENT BUDGET ADJUST.
FUND 550 EQUIPMENT RENTAL
REVENUES
Fuel Sales 604,400 (100,000) 504,400 Budget revisions for General Fund
Interfund Rentals 1,529,100 (158,400) 6 1,370,700 2009 Street Program Improvements on Hold
Vehicle Replacement Revenue 1,174,100 (121,600) 5 1,052,500 2009 Street Program Improvements on Hold
Transfer In 144,100 60,000 16 204,100 Transfer In from Water fund for Utility
Vehicle
(320,000)
EXPENDITURES
Salaries 175,800 (63,700) 112,100 Freeze 1 ERR Shop Supervisor position
Benefits 62,400 (22,295) 40,105 Freeze 1 ERR Shop Supervisor position
Salaries 86,600 (780) 3 85,820 Freeze 1 Recruitment & Employment
Manager position
Benefits 30,400 (270) 3 30,130 Freeze t Recruitment & Employment
Manager position
Fuel 1,023,500 (100,000) 923,500 Budget revisions for General Fund
Capital Equipment 1,353,800 145,000 Carry forward Street Division 5yd. dump
54,000 Carry fonvard Street Division 1 ton dump
60,000 15 Cerry fonvard Water Division Utilily Vehicle
65,000 Cerry forward Parks Division 15 pass. Bus
265,000 Carry forward Storm Division Catch Basin
Cleaner
118,000 Increase budgetfor Catch Basin Cleaner
165,000 Carry forward Storm Division Street Sweeper
68,000 Increase budget for Street Sweeper
(207,000) b 2009 Street Program Improvement - Truck
and Plow on hold
(73,000) b 2,013,800 2009 StreetProgremimprovement - Roller
and Trailer on hold
Construction Projects 550,000 350,000 900,000 Carry forward Vehicle Maintenance Bay and
Storege
Ending Working Capital 3,845,356 (1,142,955) 2,702,401 Adjust Ending Working Capital
(320,000)
Total Revenue 15,251,945
Total ExpenditureslExpenses 15,251,945
10
s
e '
CITY OF •
r B. Lewis, Mayor
ijBURN Pete
,A
WASHINGTON 25 West Main Street * Auburn WA 98001-4998 * www.auburnwa.gov * 253-931-3000
STATE OF WASHINGTON )
)ss.
COUNTIES OF KING AND PIERCE )
I, Danielle Daskam, the duly appointed, qualified City Clerk of the City of
Auburn, a Municipal Corporation and Code City, situate in the counties of King and
Pierce, State of Washington, certify as follows: ,
1. The foregoing is a full, true and correct copy of Ordinance No. 6226
(the "Ordinance") duly passed by the Council and approved by the Mayor of the said
City of Auburn, on the 16th day of March, 2009, as that ordinance appears on the
minute book of the City.
2. Ordinance No. 6226 was published as provided by law in the Seattle
Times, a daily newspaper published in the City of Auburn, and of general circulation
therein, on the 19th day of March, 2009.
Witness my hand and the official seal of the City of Auburn, this 29th day of
June, 2009.
Danielle Daskam, City Clerk
City of Auburn
AUBURN * MORE THAN YOU IMAGINED