HomeMy WebLinkAbout6796 (2) ORDINANCE NO. 6796
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
AUBURN, WASHINGTON, ADOPTING THE 2021-2022
BIENNIAL CAPITAL BUDGET FOR THE CITY OF AUBURN,
WASHINGTON
WHEREAS, in Ordinance No. 6682, the City Council created Chapter 3.06 of
the Auburn City Code to repurpose special capital funds and establish a multi-year
capital budgeting process.
NOW THEREFORE, THE CITY COUNCIL OF THE CITY OF AUBURN,
WASHINGTON, DO ORDAIN AS FOLLOWS:
Section 1. As required by Chapter 35A.34 RCW, the Mayor of the City of
Auburn has completed and placed on file with the City Clerk of the City of Auburn a
preliminary biennial capital budget for 2021-2022. Notice was published, as required
by law, stating that: a) the Mayor had completed and placed the preliminary budget
on file; b) a copy would be provided at the office of the City Clerk to any taxpayer
who requested a copy; c) the City Council of the City of Auburn met virtually on
November 16, 2020 at 7:00 p.m. for the purpose of fixing the budget. Per the
Governor's Emergency Proclamation 20-28, the City of Auburn is prohibited from
holding an in-person meeting at this time. City of Auburn Resolution No. 5533,
designates City of Auburn meeting locations for all Council, Board and Commission
meetings as virtual. Any taxpayer seeking to submit written comments for or against
any part of the budget had the opportunity to do so in advance of 5:00 p.m. on
November 16, 2020; d) the Mayor provided a suitable number of copies of the
detailed preliminary capital budget to meet the reasonable demands of taxpayers; e)
The Mayor and the City Council met at the time and place designated in the notice
Ordinance No. 6796
November 4, 2020
Page 1 of 5
and all taxpayers of the City were given full opportunity to be heard for or against the
budget; f) the City Council has conducted public hearings on November 2, 2020 and
November 16, 2020 to consider this preliminary capital budget; g) at the meeting held
by the City Council on the November 16, 2020 the City Council considered
modifications of the proposed capital budget and approved the 2021-2022 biennial
budget for the City of Auburn as adopted by this Ordinance as shown on Schedule
A.
Section 2. Implementation. The Mayor is authorized to implement those
administrative procedures as may be necessary to carry out the directives of this
legislation.
Section 3. Severability. The provisions of this ordinance are declared to
be separate and severable. The invalidity of any clause, sentence, paragraph,
subdivision, section or portion of this ordinance, or the invalidity of the application
thereof to any person or circumstance shall not affect the validity of the remainder of
this ordinance, or the validity of its application to other persons or circumstances.
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: NOV 1 6 2020
PASSED: NOV 1 6 2020
APPROVED: NOV 1 6 2020
liNCY CKUS, MAYOR
Ordinance No. 6796
November 4, 2020
Page 2 of 5
ATTEST: APPROVED AS TO FORM:
Shawn Campbell, MMC, City Clerk Kendra Comeau, City Attorney
NOV 1 9 2020
Published:
Ordinance No. 6796
November 4, 2020
Page 3 of 5
Schedule A
2021 CAPITAL FUNDS BUDGET SUMMARY
Beginning 2021 2021 Ending
Fund Fund Balance Resources Expenditures Fund Balance
6
z Arterial Street $1,015,159 $4,948,080 $5,535,930 $427,309
u-
LU
D Local Street 1,321,778 2,360,600 2,363,950 1,318,428
z
w
wArterial Street Preservation 1,606,304 2,794,050 2,886,250 1,514,104
J
Q Recreational Trails 79,425 7,700 - 87,125
U
Lu
(r) Mitigation Fees 12,420,562 1,217,560 4,265,480 9,372,642
J cn Municipal Park Construction 819,996 3,095,800 2,883,800 1,031,996
H U
Q -3 Capital Improvements 7,705,844 4,264,180 7,932,720 4,037,304
U
a.
Local Revitalization 244,000 1,000 245,000 -
Water 888,139 11,614,710 10,670,410 1,832,439
co0
z
u_ Sewer 10,762,357 762,400 3,399,600 8,125,157
w .
co
a Storm Drainage 10,569,965 838,870 4,695,700 6,713,135
ix
w
z Airport 20,557 3,000,200 2,891,600 129,157
Lu
Cemetery 48,983 800 40,100 9,683
Q w Innovation and Technology(includes 545,314 579,700 489,200 635,814
ci > p Multimedia)
z
Lu
z co w Equipment Rental 4,104,409 3,046,920 3,248,600 3,902,729
TOTAL CAPITAL BUDGET $52,152,792 $38,532,570 $51,548,340 $39,137,022
TOTAL CAPITAL BUDGET $90,685,362 $90,685,362
Ordinance No. 6796
November 4, 2020
Page 4 of 5
Schedule A
2022 CAPITAL FUNDS BUDGET SUMMARY
Beginning 2022 2022 Ending
Fund Fund Balance Resources Expenditures Fund Balance
0
z Arterial Street $427,309 $5,778,300 $5,892,400 $313,209
U_
D Local Street 1,318,428 1,660,500 1,664,500 1,314,428
z
w
w Arterial Street Preservation 1,514,104 2,058,800 2,135,000 1,437,904
cc
-J
g Recreational Trails 87,125 7,700 - 94,825
U
w
co Mitigation Fees 9,372,642 1,161,900 5,851,450 4,683,092
J co Municipal Park Construction 1,031,996 3,483,950 3,730,050 785,896
1- w
Q• a Capital Improvements 4,037,304 3,109,910 3,689,210 3,458,004
O Q-
a
Local Revitalization - - - -
cn Water 1,832,439 10,450,710 9,466,310 2,816,839
0
z
D
• Sewer 8,125,157 755,600 3,815,900 5,064,857
w
cn
2 Storm Drainage 6,713,135 562,800 4,651,800 2,624,135
a
cc
w
z Airport 129,157 1,847,420 1,780,440 196,137
w
Cemetery 9,683 1,000 100 10,583
J w Innovation and Technology(includes
p Multimedia) 635,814 3,400 414,200 225,014
w ix z
Z (wi) w Equipment Rental 3,902,729 1,993,760 1,435,600 4,460,889
TOTAL CAPITAL BUDGET $39,137,022 $32,875,750 $44,526,960 $27,485,812
TOTAL CAPITAL BUDGET $72,012,772 $72,012,772
Ordinance No. 6796
November 4, 2020
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