Ordinance 2472WSS:jt
12/12/84
ORDINANCE NO. 2472
AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON,
AMENDING THE 1984 BUDGET BY AMENDING ORDINANCE NO.
2412, PASSED BY THE CITY COUNCIL ON DECEMBER 21,
1983, AND AMENDED JULY 24, 1984, TO TRANSFER MONIES
FROM SPECIFIED FUNDS TO OTHER SPECIFIED CITY FUNDS,
AND FIXING A TIME WHEN THE SAME SHALL BECOME
EFFECTIVE.
WHEREAS, the City is required by applicable state law to
finalize its annual budget prior to the commencement of the
fiscal year, and
WHEREAS, the amounts of revenue and appropriation can
only be estimated at the time of finalization of said budget,
and
WHEREAS, the public has been given an opportunity to
comment, and
WHEREAS, the City Council finds that the expenditures
and adjustments to various funds as set forth below will be in
the best interest of the public health, safety, and general
welfare and that these expenditures and adjustments could not
reasonably have been anticipated at the time of the passage of
the 1983 budget, now, therefore,
THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO
ORDAIN AS FOLLOWS:
Section 1. Section 2 of Ordinance No. 2412, passed by
the City Council on December 21, 1983, as amended July 24, 1984,
and the budget attached thereto as Exhibit A and incorporated by
reference in that ordinance showing the schedule of revenues and
appropriations for each individual fund and the aggregate totals
thereof, are hereby amended as follows:
1. In the General Fund No. 001, increase the budgeted revenues
and expenditures of the various divisions as follows: As a
result of transfers from the Council Contingency Fund No.
119:
Division
Purpose
Amount
Planning
530
Main Street center program
$7,500
Buildings
&
Replacement of sign at
Grounds
620
Dayton Street park
$ 640
Buildings
&
Christmas decorations for
Grounds
620
the downtown area
$ 800
TOTAL
$8,940
2. In the Cumulative Reserve for Fire -Aid Vehicle Fund No. 005,
increase expenditures and decrease ending cash balance by
$12,000.
3. In the Street Arterial Fund No. 112, increase both the
budget revenue and the ending cash balance by $249 as a
result of a transfer from closing out the Sidewalk/Trail
Improvement Fund No. 322.
4. In the Underground wiring Fund No. 115, increase
expenditures and decrease ending cash balance by $6,000.
5. In the Building Maintenance Fund No. 116, establish a new
fund with budgeted revenues and ending cash balance of
$8,073 as a result of a transfer from the Anderson Cultural
Fund No. 336.
6. In the Municipal Arts Fund No. 117, increase expenditures
and decrease ending cash balance by $5,000.
7. In the Capital Improvement Fund No. 325, increase both the
budgeted revenues and the ending cash balance by $1,153 as a
result of a transfer from the closing out of the Anderson
Cultural Fund No. 336.
8. In the Street Beautification Fund No. 323, establish a new
fund with budgeted revenues of $15,000, expenditures of
$14,000, and an ending cash balance of $1,000 as a result of
a transfer from the Council Contingency Fund No. 119.
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9. In the Water -Sewer Utility Construction Fund No. 412,
increase beginning cash and expenditures by $300,000.
10. In the Special Library Fund No. 614, increase expenditures
and decrease ending cash balance by $300.
11. In the Fireboat Operation Fund No. 624, increase budgeted
revenues and expenditures each by $10,000 as a result of a
transfer from the Council Contingency Fund No. 119.
Section 2. The Finance Director is hereby authorized
and instructed to effectuate the necessary changes to the 1984
budget and to make all necessary and appropriate line item
entries and adjustments as set forth in Section 1 of this ordi-
nance. The summary of the budget adjustments shall be as set
forth on Exhibit A of this ordinance incorporated by reference
as if herein set forth.
Section 3. This ordinance is hereby declared to be an
emergency measure, under authority of RCW 35A.33.090, to meet
the pressing and unforeseen needs of the City herein detailed.
The ordinance having been filed with the City Clerk for five
days prior to its passage shall be in full force and effect five
days after its passage by a vote of one more than a majority of
all members of the City Council and publication as provided for
by law.
PPP
MAYOR RRY
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ATTEST/AUTHENTICATED:
I . I rllet,
TY CLERK, JACQUELINE G. PARRETT
APPROVED AS TO FORM:
OFFICE OOF,, THE CITY ATTORNEY:
BY (��
FILED WITH THE CITY CLERK:
PASSED BY THE CITY COUNCIL:
POSTED: December 19, 1984
December 12, 1984
'De ttk, a,v 181 1584
EFFECTIVE DATE: December 24, 1984
ORDINANCE NO. 2472
AFFIDAVIT OF POSTING ORDINANCE
STATE OF WASHINGTON )
) ss:
COUNTY OF SNOHOMISH )
JACQUELINE G. PARRETT
, being first duly sworn
on oath deposes and says that she is over the age of eighteen (18)
years and is competent to testify as to the matter stated herein.
There is no official newspaper or other newspaper printed and
published
within
the
City. In
accordance
with RCW
35A.12.160,
on
the 19
day
of
December
1984,
affiant posted
true
and
correct copies of the attached Ordinance No. 2472 passed by the
City Council on the 18 day of December lc 84, at the
official posting places for City notices which are the public
bulletin boards at the following locations:
Edmonds Civic Center
250 Fifth Avenue North
Edmonds, Washington 98020
Edmonds Public Library
Civic Center, 250 Fifth Avenue North
Edmonds, Washington 98020
Edmonds Branch of United States Post Office
201 Main Street
Edmonds, Washington 98020
DATED this 19 day of December , 1984 -
SUBSCRIBED AND SWORN to before me this 19 da of
Docember 19 84
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