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Ordinance 28590006.030.015 WSS/klt 12/16/91 ORDINANCE NO. 2859 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE 1991 BUDGET BY AMENDING ORDINANCE NO. 2810, ENACTED ON DECEMBER 20, 1990, AS AMENDED BY ORDINANCE NO. 2841, TO TRANSFER MONIES FROM SPECIFIED FUNDS TO OTHER SPECIFIED CITY FUNDS, DECLARING SUCH ACTION TO BE AN EMERGENCY 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, this ordinance has been on file with the City Clerk and the public was given an opportunity to comment prior to the adoption of this ordinance, and WHEREAS, the City Council finds that it is in the best interest of the City to make expenditures and adjustments to various funds as set forth below, that such expenditures and adjustments 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 1992 budget, NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. Section 2 of Ordinance 2810 enacted by the City Council on December 20, 1990, and amended by Ordinance 2841 on WSS8562.1O -1- July 12, 1991, and the budget, attached thereto as an exhibit and incorporated by reference in said ordinance showing the schedule of revenues and appropriations for each individual fund and the aggregate totals thereof, are hereby amended as shown on the attached Exhibit A and generally providing as follows: A. Various Funds. Transfers from one fund to another as authorized by Resolution Numbers 723, 724, 725 and 726. B. General Fund #001. Increase revenues by $30,000 as a result of transfers from the Council Contingency Fund #119 for Pathways for Women ($15,000), and telephone voice mail ($15,000), and increase expenditures by the same amount. Increase revenues by $26,280, which were unanticipated, and increase expenditures by $26,280 for Public Health District building payment. C. Drug Enforcement Fund #104. Increase expenditures and decrease ending cash balance each by $100,000 for unanticipated illegal drug activity. D. Council Contingency Fund #119. Increase transfers to the General Fund #001 by $30,000 (see Item B), and decrease ending cash balance by the same amount. E. Off -Street Parking Fund #124. Increase expenditures and decrease ending cash balance each by $2,000 in order to offset parking lot lease payments. F. Combined Utility Operating Fund 411. Increase transfers to the Combined Utility Reserve Fund #413 by $29,000 for required IRS bond rebate payables. Decrease the ending cash balance by the same amount. WSS8562.1O -2- G. Combined Utility Reserve Fund #413. Increase revenues and ending cash by $29,000, as a result of a transfer from Fund #411 for the purpose of increasing the IRS rebate reserve. H. Firemen's Pension Fund #617. Increase expenditures and decrease ending cash balance each by $100,000 in order to offset extended disability leave payments. Section 2. The Finance Director is hereby authorized and instructed to effectuate the necessary changes to the 1991 budget and to make all necessary and appropriate line item entries and adjustments as set forth in Section 1 of this ordinance. This summary of the budget adjustments shall be as set forth on Exhibit A of this ordinance incorporated by reference as if hereby set forth. The budget adjustments have been individually reviewed and approved by action of the City Council. Section 3. This ordinance is hereby declared to be an emergency measure, under authority of RCW 35A.33.090, in order to meet the pressing and unforeseen needs of the City herein detailed. The ordinance having been filed with the City Clerk for five (5) days prior to its passage shall be in full force and effect five (5) 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. APPROVED: MAYOR RY AUGrAN WSS8562.1O -3- ATTEST/AUTHENTICATED: CI Y CLERK, Rif6NDA J. MARCH APPROVED AS TO FORM: OFFICE OF THE CITY ATTORNEY: BY r FILED WITH THE CITY CLERK: December 16, 1991 PASSED BY THE CITY COUNCIL: December 17, 1991 PUBLISHED: December 22, 1991 EFFECTIVE DATE: December 27, 1991 ORDINANCE NO. 2859 WSS8562.10 —4— EXHIBIT A ADJUSTED BUDGET SUMMARY 1991 1991 FUND FUND BEGINNING + REVENUE - EXPENDITURES = ENDING NO. DESCRIPTION CASH CASH 001 General Fund $784,350 $11,845,460 $12,318,540 $311,270 002 Cumulative Reserve/Gen. Fund 250,000 20,000 20,000 250,000 005 Reserve Fire/Aid Vehicle Fund 109,200 41,000 125,000 25,200 006 Emergency Financial Reserve Fund 227,600 19,000 30,000 216,600 007 Criminal Justice Activity Fund 13,620 360,000 340,310 33,310 104 Drug Enforcement Fund 137,970 109,400 235,520 11,850 111 Street Fund 202,190 1,120,000 1,172,170 150,020 112 Combined Street Const./Imprv. Fund 242,700 1,257,000 1,302,420 197,280 114 Street Beautification Fund 1,210 16,000 4,000 13,210 115 Underground Wiring Fund 80 0 0 80 116 Building Maintenance Fund 96,990 143,500 240,490 0 117 Municipal Arts Fund 40,400 42,350 52,420 30,330 118 Memorial Street Tree Fund 7,200 1,600 2,000 6,800 119 Council Contingency Fund 270,280 201,020 287,940 183,360 120 Hotel/Motel Tax Fund 16,580 33,760 48,820 1,520 121 Tourism Promotional Commission 4,830 9,300 12,500 1,630 122 Youth Scholarship Fund 340 600 650 290 123 Tourism Arts Comm. Promotional Fund 32,410 12,920 22,350 22,980 124 Off Street Parking Fund 61,240 29,200 11,800 78,640 125 Park Acquisition/Improvement Fund 716,500 380,500 638,950 458,050 127 Gift Catalog Fund 2,890 10,100 7,200 5,790 130 Cemetery Improvement Fund 19,000 58,900 68,900 9,000 191 HUD Block Grant Fund 0 40,000 40,000 0 325 Capital Improvement Fund 6,470 35,400 12,000 29,870 411 Combined Utility Operation Fund 1,824,680 6,092,000 7,058,450 858,230 412 Combined Utility Const./Imprv. Fund 3,026,480 6,130,900 7,464,540 1,692,840 413 Combined Utility Bond Reserve Fund 1,838,270 1,521,990 1,481,670 1,878,590 511 Equipment Rental Fund 2,101,340 862,200 729,580 2,233,960 610 Cemetery Maintenance Fund 94,600 110,700 0 205,300 617 Firemen's Pension Fund 460,000 62,000 126,000 396,000 621 Special Library Fund 1,450 5,120 5,100 1,470 623 Sister City Commission Fund 2,070 5,500 5,000 2,570 624 Rescue Boat Operation Fund 8,400 3,600 7,870 4,130 625 Edmonds Centennial Fund 0 26,500 26,500 0 TOTALS $12,601,340 _$30,607,520 $33,898,690 $9,310,170 12/16/91 BUDGET/BUDADJ.WK3 SUMMARY OF ORDINANCE NO. 2859 of the City of Edmonds, Washington On the 17th day of December , 1991, the City Council of the City of Edmonds, passed Ordinance No. 2859 A summary of the content of said ordinance, consisting of the title, provides as follows: AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE 1991 BUDGET BY AMENDING ORDINANCE NO. 2810, ENACTED ON DECEMBER 20, 1990, AS AMENDED BY ORDINANCE NO. 2841, TO TRANSFER MONIES FROM SPECIFIED FUNDS TO OTHER SPECIFIED CITY FUNDS, DECLARING SUCH ACTION TO BE AN EMERGENCY AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE. The full text of this Ordinance will be mailed upon request. DATED this 18th day of December , 1991 . CITY CLERK, R ONDA J. MARCH STATE OF WASHINGTON, Sill, COUNTY OF SNOH0IV1ISH, i • SUMMAFI1 OF ORDINANCE tld,'2854 of the C111 of Edmonds WOShln ftn 17}h dn0 of December. 1991 the Ci s, Ceuncll of the City of Edm4nrls, p�aerl 4rdlnVnee No. gs tallows: M summary of the Co it of said ordinance tonslsllnq df t e fide provides EI7fcAPHT15 1}SIA3NIFIGTON luNE►1bIiFG THE ]491 BUDGE7 By bfNRNC.E OF TkE CITY OF OjNr, FU O50 19�'�0 OrHEaE5F'ECIFIELY ND, 7RAORDINANCE 7R,A2810 MONIE5 FROMpAFC�&EO AN EMERGENCY ANO 1:1 1NG a TIME WHEN TY[E -YIN{15, DECLAt�1NG SllCH ACTION TO 0E StIALL BErr?ME EFFECTIVE. this [lrdinan[e will be mailed upon request. Put text of 7 this 18th day of December, 1991 RHONDA J. MARCH, Cltv Clerk 6,XHI111T A ADJ TED BUDGET S MMARY 1491 FUND 1941 BEGI CASH +REVENUE • EXPENDITURES = ENCCASµ r1E5 'R1PT1 N S79A,350 S11 $m�0 S 12,319,5d9 MAO S31 i,770 250p00 oenefal Fund Cumulaflve Meserve/Cen. Fund 104,200 di,n00 125,000 25,200 Hosel'vP, Ffrt:2Ald Vehkle Fund Emerqencv Flnonclal 227.6b0 14,Dw 10.000 216,600 Reserve Fund Criminnt .lustice Acflvlfy Fund 13,620 137,9M U0,000 109,4m 340,310 23S,520 8313i0 11,850 150,020 Drug Ertforce.ment Fund 202,190 1,120,404 1,172.i70 3irret Fund Combined street Const./ Imnrv. Fund 242,700 1,t57,i100 16,D09 1,3a2,470 4,0000 1917,280 13,2so Streol F3etnrtlficniian Fund 1,210 80 B0 0 Und4rpround Wiring Fund $ulldino Moiniennrue Fund 96,990 143,500' dt,350 '7An,A90 57,d20 36,300 Municipal Arts Fund 66emn['1p1 51re4t Tree Fund 40,400 7,200 2D 1 6v) 2♦i7 440 193,ulf council Conlincenry Fund 270,280 170,280 . 33,750 49,820 ,5 i,5� HnTelrMntel Ta% Fund Tux+rlsm Promotional Commisston 830 4,830 9,340 690 500 ZpQ youih Sc:halarshlo Fund Tnurism Arts Comm. 32,d10 7t,350 22,�i0 VromotlanalPund ofStreet Pr7rkln9 Fund 61,240 79,700 74,2nD 11,900 18,640 Pork AC¢u+lsitlanllmpr9vement 716,500 J00,5tl4 83q,950 7,200 458,05fl S,790 Fund Ott Cainlnp Fund r.me}cry lmarnvP.I11ePT Fund 2,B90 19,00o 10,100 AMIN h8,40fl A0,000 4,000 Hurl M.C.it Grant Fund CaptFnl lmwpwiroont Fund 6, 170 35,E d,0a2, 12.00n 7,050,459 79,870 958,nn Cnmbined U110tyloperatian FUnd 5,924,680 Combined 1RIiI1y C¢nsid 3,026,480 6,130.9a0 7,d6d son 1,692,Ad0 lnrgrv. Fund. Combined iltility Band 1.030177D 1,571?a0 1,eRi,670 7iP,5An 1`Z3J shfl 7, 9.0 Reserve Fund 1c4tflpmenl 4en1a1 Fund 2,101,3i0 04,600 962:1iN.1 11%100 0 396,000 396,000 femetPrr MVInlnnant4 Fund f•lremen 5 FCn51prY %und 4600001t5.0� 1,4711 5net Ipl L Ibrnr y f und CSty Comr+135s1on Funrl 1,d5Q 7A70 1, 00 ! 070 d 136 S cter pestue Bade Qi+crvHnn a.rrnd &�00 Q 26,500 76,500 0 Edmonds Ceniennlal Fund -S1-2,601,a40 530,607,520 SS3,A98.6" SV,3iQ,1N TOTALS Ilshed: Darember 22, 1991. Affidavit of Publication The undersigned, being first duly sworn on oath deposes and sa-, that she is Principal Clerk of THE HERALD, a daily newspap printed and published in the City of Everett, County of Snohomis and State of Washington; that said newspaper is a newspaper general circulation in said County and State; that said newspap, has been approved as a legal newspaper by order of the Superb Court of Snohomish County and that the notice ..................................... Summary of Ordinance No. 2859 ............................ I— ................................. a printed copy of which is hereunto attached, was published in sa: newspaper proper and not in supplement form, in the regular ar entire edition of said paper on the following days and times, namel: December 22, 1991 and that said newspaper was regularly distributed to its subscribe during all of said period. r ,. Principal Clef 23rd Subscribed and sworn to before me this ............. -.- day of .................. c emb e r....... 19._9.1.. Nota P bIic 3n nd f r the State of Washingto resg t Everett, Snohomish County. J B-2-1