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HomeMy WebLinkAbout5562ORDINANCE NO. 5 5 6 2 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF AUBURN, WASHINGTON, AMENDING ORDINANCE NO. 5467, THE 2001 BUDGET ORDINANCE, AS AMENDED BY ORDINANCE NOS. 5517 and 5547 AND AUTHORIZING THE MAYOR TO ACCEPT SCHEDULE "A" WHICH RELATES TO THE CITY OF AUBURN 2001 BUDGET REALLOCATION OF FUNDS IN VARIOUS ACCOUNTS IN SEVERAL FUNDS PURSUANT TO RCW 35A.33.120, AND SETTING FORTH FINDINGS. WHEREAS, the Auburn City Council at its regular meeting of December 18, 2000, adopted Ordinance No. 5467 which adopted the City of Auburn 2001 budget; and WHEREAS, the Auburn City Council at its regular meeting of February 20, 2001, adopted Ordinance No. 5517 which amended Ordinance No. 5467 which adopted the City of Auburn 2001 budget; and WHEREAS, the Auburn City Council at its regular meeting of June 4, 2001, adopted Ordinance No. 5547 which amended Ordinance 5467, the 2001 Budget Ordinance, as amended by Ordinance No. 5517; and WHEREAS, the City of Auburn deems it necessary to reallocate funds in various accounts in several funds of the 2001 budget; and WHEREAS, this Ordinance has been approved by one more than the majority of all councilpersons in accordance with RCW 35A.33.120. NOW THEREFORE, THE CITY COUNCIL OF THE CITY OF AUBURN, WASHINGTON DO ORDAIN AS FOLLOWS: Section 1. The Mayor of the City of Auburn, Washington, is herewith authorized to accept Schedule "A" relating to the reallocation of funds of various Ordinance No. 5562 June 26, 2001 Page 1 of 2 accounts in several funds of the 2001 budget pursuant to RCW 35A.33.120. A copy of said Schedule "A" is on file with the City Clerk and available for public inspection. Section 2. The Mayor is hereby authorized to implement such administrative procedures as may be necessary to carry out the directives of this legislation. Section 3. 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: July 2, 2001 PASSED: July 2, 2001 APPROVED: July 2, 2001 &"A. -�4A CHARLES A. BOOTH MAYOR ATTEST: �r Danielle E. Daskam City Clerk Z N FORM: Michael J. Reynolds City Attorney PUBLISHED: 1-6-6) l Ordinance No. 5562 June 26, 2001 Page 2 of 2 CITY OF AUBURN 2001 BUDGET AMENDMENT "SCHEDULE A" Budget Amendment #3 Ordinance 5562 REQUESTED ACCOUNT # / DESCRIPTION AMENDMENT GENERAL FUND 001: Revenue: No changes. Expenditures: 2,260,300 To adjust actual beginning fund balance. Federal Grants Indirect Planning: State Grants (11,590,000) Reducing capital projects and related revenue. Salaries & benfits 35,500 New position: Environmental Compliance Manager Professional Services 8,600 Carry forward of 2000 balance of Neighborhood Match grant. Professional services 15,000 Six month contract for Community Based Domestic Violence Services. BUILDING: Permits & Inspections Professional Services 50,000 Increase $15,000 for structural engineering consultant; $35,000 for ICBO Plans Review. NON -DEPARTMENTAL: Transfers Out 7,500 Transfer to fund Equip. Rental fund 550: $4,500 for Walk - behind paint striper and $3,000 for 1/4 share of portable emergency light stand. Intergovernmental Professional Services 150,000 Payment for Fire District #" serivices. Ending Fund Balance (266,600) Ending Designated Fund Balance 4,074,315 Ending Undesignated Fund Balance 4,716,318 ARTERIAL STREET FUND 102: Revenue: Beginning fund balance - undesignated 2,260,300 To adjust actual beginning fund balance. Federal Grants Indirect 299,000 Reducing capital projects and related revenue. State Grants (11,590,000) Reducing capital projects and related revenue. Intergovernmental Services (1,735,000) Reducing capital projects and related revenue. Operating Transfers In (412,000) Reducing capital projects and related revenue. (11,177,700) Expenditures: Other Improvements (12,990,717) Reducing capital projects and related revenue. Ending fund balance -designated (771,000) Funds previously designated for projects are now scheduled for expenditure, eliminating the designation requirement. Ending fund balance 2,584,017 (11,177,700) Page 1 CITY OF AUBURN 2001 BUDGET AMENDMENT "SCHEDULE A" Budget Amendment #3 Ordinance 5562 REQUESTED ACCOUNT#/DESCRIPTION AMENDMENT CAPITAL IMPROVEMENT PROJECTS FUND 328: Revenue: No changes. Expenditures: Operating transfers out - REET 1 (141,000) Transfers not needed due to reduction of street projects. Operating transfers out - REET 2 (271,000) Transfers not needed due to reduction of street projects. Ending fund balance 412,000 WATER FUND 430: Revenue: Beginning working capital 259,700 To adjust actual beginning working capital. Water Sales 347,076 Increase projected water revenue due to 2001 rate increase and increased water district usage. Revenue Bond Proceeds (3,000,000) Eliminate bond issue. Contributionsother governments (PWTF) 1,254,000 To recognize portion of PWTF proceeds that will offset related 2001 project expenditures. Contributions joint partnership (Algona) 85,300 Reimbursement on water project PR601. (1,053,924) Expenditures: Other Wages 7,000 Summer help Office & Operating supplies (110,000) Eliminate small replacement meters. Professional services (85,000) Elim. Unidirectional main flushing ($125,000) 139,500 Various repair projects (37th St. sewer break; pump station Elim. Water Quality Data Base 0MA09 ($25,000) new manhole covers). Add Cross Connection Cont. Program $25,000 (2,297,000) Reducing capital projects. Transfers out Add Large Meter Remote Reads $40,000 Repairs and maintenance 62,000 Increase repairs for Well 5. Interfund oper rantalstleases 3,000 Increase equipment rental usage by summer help. IA2 refund of contributions to other governments 950,000 Refund of IA2 advance contributions and Interest. Construction Projects (2,115,400) Reducing capital projects. Debt Service principal 182,368 7/1/01 PWTF loan principal Transfers out 3,000 $3,000 to Equip. Rental fund 550 for 1/4 share of portable emergency light stand. Ending working capital 49,108 (1,053,924) Revenue: Beginning working capital 2,226,500 To adjust actual beginning working capital. Expenditures: Professional Services (19,900) Remove Ellingson Pump Station study $40K; Ina cost of svc rate study $20.1 K Repairs & Maintenance 139,500 Various repair projects (37th St. sewer break; pump station cross connection control; Ellingson pump station repairs; new manhole covers). Construction Projects (2,297,000) Reducing capital projects. Transfers out 3,000 To Equip. Rental fund 550 for 1/4 share of portable emergency light stand. Ending working capital 4,400,900 2,226,500 Page 2 CITY OF AUBURN 2001 BUDGET AMENDMENT "SCHEDULE A" Budget Amendment #3 Ordinance 5562 REQUESTED ACCOUNT Il / DESCRIPTION AMENDMENT STORM DRAINAGE FUND 432: Professional services Revenue: Eliminate program evaluation DOE mandate. Beginning working capital 1,973,400 To adjust actual beginning working capital. Storm Service Charge (1,000,000) Reduce estimated revenue. Revenue Bond Proceeds (500,000) Eliminate for 21701 the Central Auburn Storm Water Quality Other Improvements Facility project and need for bonds. Reducing capital projects. 473,400 Expenditures: Professional services (50,000) Eliminate program evaluation DOE mandate. Land (502,000) Eliminate for 2001 the Central Auburn Storm Water Quality Facility project ROW acquisition. Other Improvements (1,111,391) Reducing capital projects. Transfers out 3,000 To Equip.Rental fund 550 for 1l4 share of portable emergency light stand. Ending working capital 2,133,791 473,400 SOLID WASTE FUND 434: Revenue: Beginning working capital 568,600 To adjust actual beginning working capital. Expenditures: Building 230,000 Increase Decant Facility construction/permits. Transfers out 20,000 To Equip. Rental fund 550 for street waste facility tractor. Ending working capital 318,600 568,600 EQUIPMENT RENTAL FUND 550: Revenue: Transfer In 36,500 For new program Improvements. For new program improvements: from fund 001 $7,500; from funds 430, 431, 432 $3,000 each; from fund 434 $20,000. Expenditures: Machinery & Equipment (14,500) Decreasing costs of asphalt roller ($48,000) Eliminating asphalt paving trailer ($45,000) Increasing costs on backhoelloader $12,000 Increasing costs on tractor mower $30,000 Adding portable emergency light stand $12,000 (reimbursable from other funds) Adding Walk behind paint striper $4,500 (reimbursable) Adding Street Waste Facility Tractor $20,000 (reimbursable) Ending working capital 51,000 36,500 Page 3