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Ordinance 1966ORDINANCE NO. 1966 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE SCHEDULE ATTACHED TO SECTION 2 OF ORDINANCE NUMBER 1885, PASSED DECEMBER 21, 1976, AS AMENDED BY ORDINANCE NUMBER 1938, PASSED AU- GUST 23, 1977, AS FURTHER AMENDED BY ORDINANCE NUMBER 1962, PASSED DECEMBER 6, 1977, BY MAKING CERTAIN ADJUSTMENTS TO THE 1977 BUDGET BY TRANS- FERS BETWEEN FUNDS ADJUSTING FOR UNANTICIPATED REVENUES AND MAKING CERTAIN APPROPRIATIONS. WHEREAS, the City has received reimbursement from the City of Lynnwood and unanticipated Federal grants which were not reasonably anticipated at the time of passage of the 1977 Budget, and WHEREAS, since the passage of the 1977 Budget Ordinance, the City Council has determined that it would be in the best interest of the public health, safety and general welfare to authorize certain construction projects thus necessitating a transfer of funds to the FAM Fund No. 110, and WHEREAS, the City Council for the foregoing reasons find that there is an emergency and that this Ordinance has been introduced for not less than five (5) days prior to its pas- sage, now, therefore, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. Section 2 of Ordinance Number 1885, passed on December 21, 1976, and the schedule attached to said Ordinance and incorporated by reference in Section 2, as amended by Ordi- -1- nance Number 1938, passed August 23, 1977, and as further amended by Ordinance Number 1962, passed December 6, 1977, is hereby further amended to reflect the following changes: 1. An increase of Twelve Thousand Seven Hundred Sixteen and No/100 Dollars ($12,716.00) to the Street Arterial Fund No. 112 from reimbursements from the City of Lynnwood and a corresponding appropriation of the same for interfund distri- bution. 2. An increase of Sixty -Seven Thousand Three Hun- dred Seventy -Eight and No/100 Dollars ($67,378.00) to the FAM Fund No. 110 from unanticipated Fed- eral grants. 3. Transfer from Street Arterial Fund No. 112 the sum of Eighty -Three Thousand Six Hundred Twenty - Two and No/100 Dollars ($83,622.00) to the FAM Fund No. 110. 4. An appropriation in the FAM Fund No. 110 in the amount of One Hundred Fifty -One Thousand and No/100 Dollars ($151,000.00) for construction projects previously authorized by the City Council. Section 2. The Finance Director is hereby instructed and authorized to make the necessary line adjustments and entries to reflect the transfers and appropriations set forth herein and above in Section 1. Section 3. A copy of the amendatory Ordinance, together with the amended summary schedule and Budget shall be transmitted -2- by the City Clerk to the Division of Municipal Corporations of the State Auditor and the Association of Washington Cities. APPROVED: MAYOR PRO TEM, PHIL CLEMEN ATTEST: J_e'� iK'i A-0�� CITY CLERK, IRENE, ARNEY MORAN FILED WITH THE CITY CLERK: DECEMBER 29, 1977 PASSED BY THE CITY COUNCIL: JANUARY 3, 1978 PUBLISHED: JANUARY 11, 1978 -3- BUDGET SUMMARY 1 9 7 7 REVISED 12/29/77 Fund Fund Budgeted Budgeted Total Cash Number Title Revenue Cash Revenue Expenditures 001 General $3,097,932 $ 123,774 $3,221,706 $3,221,706 101 C.E.T.A. 210,283 0 210,283 210,283 102 Special C.E.T.A. 31,800 0 31,800 31,800 104 Library 132,327 0 132,327 132,327 105 Edmonds Junior High 26,558 0 26,558 26,558 110 Street (FAM) 317,620 0 317,620 317,620 111 Street 458,100 30,000 488,100 488,100 112 Street Arterial 152,416 0 152,416 152,416 113 Special Library 65 708 773 773 114 Dangerous Drug Control 250 0 250 250 115 Underground Wiring 41,339 45,661 87,000 87,000 116 Public Transportation 0 9,556 9,556 9,556 117 Municipal Arts 2,000 1,300 3,300 3,300 119 Contingency Fund 11,691 26,873 38,564 38,564 191 Shared Rev. Comm. Dev. 350,500 0 350,500 350,500 195 Fed. Shared Home Safety 28,349 2,371 30,720 30,720 197 Public Works Title II 21,000 21,020 42,020 42,020 199 Fed. Shared Revenue 201,000 7,000 208,000 208,000 214 1965 C.C. Ref. Bd. 39,255 8,000 47,255 47,255 216 Swim Pool Bond 22,935 0 22,935 22,935 217 1973 G.O. Bd. Red. 16,975 0 16,975 16,975 312 T.O.P.I.C.S. 9,126 0 9,126 9,126 318 U.A.B. Project #6 27,200 0 27,200 27,200 319 Yost Pool 0 975 975 975 322 Sidewalk/Trail 0 16,000 16,000 16,000 411 Water/Sewer 1,668,334 23,000 1,691,334 1,691,334 412 Water/Sewer Const. 124,550 272,450 397,000 397,000 511 Equipment Rental 246,786 13,553 260,339 260,339 617 Firemen's Pension 21,755 0 21,755 21,755 623 Aid Car Operating 1,200 1,300 2,500 2,500 TOTALS $7,261,346 $ 603,541 $7,864,887 $7,864,887