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HomeMy WebLinkAbout5702ORDINANCE NO. $ 7 0 2 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF AUBURN, WASHINGTON, ADOPTING THE BUDGET FOR THE CITY OF AUBURN, WASHINGTON, FOR THE YEAR 2003. THE CITY COUNCIL OF THE CITY OF AUBURN, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. That pursuant to the provisions of Chapter 35A.33, the Mayor of the City of Auburn has heretofore duly completed and placed on file with the City Clerk of the City of Auburn, a preliminary budget for the year 2003, and that notice was thereupon duly published, as required by law, stating that the Mayor had completed and placed on file such preliminary budget and a copy would be furnished to any taxpayer who would call therefor at the office of the City Clerk, and that the City Council of the City of Auburn would meet on November 4, 2002 at 7:30 p.m. for the purpose of fixing the budget and any taxpayer might appear at such time and be heard for or against any part of such budget, and designating the place of such meetings as the Council Chambers of the Auburn City Hall, 25 West Main Street, Auburn, Washington; That the Mayor of the City of Auburn duly provided a suitable number of copies of such detailed preliminary budget to meet the reasonable demands of taxpayers therefore; That the Mayor and the City Council of the City of Auburn duly met at the time designated in said notice in the Council Chambers of the Auburn City Hall, 25 West Main Street, City of Auburn, on November 4, 2002 at 7:30 p.m.; That any Ordinance No. 5702 December 2, 2002 Page 1 and all taxpayers of the City of Auburn were given full opportunity to be heard for or against such budget; That the City Council has conducted public hearings on September 16, 2002 and November 4, 2002 to consider this preliminary budget; That at said meetings said budget was considered; and that, at the meeting held by the City Council on the 2nd day of December, 2002 the City Council considered modifications of said budget and thereafter approved the 2003 budget for the City of Auburn as herein adopted by this Ordinance as follows, to- wit: Fund # Fund Name Estimated Beginning Soumes of Uses - Estimated Ending Fund Balance Revenue Expenditures Fund Balance General Fund: 001 General Special Revenue Funds: $ 12,681,260 $ 37,348,820 $ 43,534,380 $ 6,495,700 101 Street 0 839,000 839,000 0 102 Artedal Street 535,945 5,205,000 5,199,000 541,945 104 Hotel Motel Tax 42,521 45,000 70,000 17,521 117 Drug Forfeiture Fund 38,841 11,000 46,000 3,841 118 Local Law Enforce BIk Grant 52,481 5,905 58,386 0 119 Housing & Corem Dev. 41,535 483,000 506,600 17,735 120 Recreational Trails 12,551 1,600 0 14,151 121 Business Improvement Area 72,798 53,000 80,800 44,998 122 Cumulative Reserve 4.260,351 100.000 0 4,360,351 123 1986 Parks & Street Improv 0 300 0 300 124 Mitigation Fees 783,816 245,000 241,000 787,816 125 Special Parks & Rec Prog 59,348 10,000 26,500 42,848 Debt Service Funds: 229 1998 GO Library Bond Debt 3,860 249 LID Guarantee 1,806,236 Capital Projects Funds: 321 Park Construction 32,300 328 Capital Improvement Project 10,703,338 Permanent Fund: 701 Cemetery Endowed Care 1,188,832 Fiduciary Funds: 611 Fire Relief & Pension 3,570,570 Total 2003 Governmental Funds 304,000 303,940 3,920 35,000 11,000 1,830,236 23,200 0 55,500 2,109,036 3,501,600 9,310,774 55,000 30,000 1,213,832 225,000 286,300 3,509,270 35,886,583 47,098,861 54,734,706 28,250,738 Ordinance No. 5702 December2,2002 Page 2 Fund # Fund Name Estimated Beginning Sources Of Working Capital Revenue Proorietarv Funds: EnterDrise Funds: 430 Water 3,154,153 6,960,937 431 Sewer 6,919,998 10,199,050 432 Storm 3,545,423 3,175,200 434 Solid Waste 3,253,133 8,398,102 435 Airpor[ 143,120 827,600 436 Cemetery 278,441 618,200 437 Golf Course 243,264 1,000,000 Internal Service Funds: 501 Insurance 2,892,106 55,000 550 Equipment Rental 3,514,649 2,134,870 Total 2003 Proprietary Funds 23,944,287 33,368~959 Total 2003 For All Funds $ 59~830~870 $ 80,467~820 Uses - Estimated Ending Expenditures Working Capital 7,390,740 2,724,350 10,237,075 6,881,973 4,701,575 2,019,048 8,958,982 2,692,253 816,290 154,430 660,790 235,851 1,044,600 198,664 68,000 2,879,106 2,461,700 3,187,819 36~339~752 20,973~494 $ 9%074,458 $ 49~224~232 Section 2. By approving the Ordinance, the City Council authorizes the unaffiliated employees compensation to be increased by two point five percent (2.50%) for cost of living effective January 2003, and that the City continue to contribute toward health care premiums at the current ratio. Section 3. City Code section 3.04.460 (B) is changed from "Special Parks and Recreation programs trust fund" to "Special Parks and Recreation Programs Fund" to reflect a change in accounting requirements. Section4. The Mayor is hereby authorized to implement such administrative procedures as may be necessary to carry out the directions of this legislation. Ordinance No. 5702 December 2, 2002 Page 3 Section 5. 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: DIe - 2 2~ PASSED: DEC - ~ 20~ PETER B. LEWIS MAYOR ATTEST: City Clerk APPROVED AS TO FORM: Da-niel B Hei~l~, - City Attorney Published: Ordinance No. 5702 December 2, 2002 Page 4