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Ordinance 31790006.90000 WSS /hrg 12/09/97 R: 12/ 11 /97hrg ORDINANCE NO. 3179 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING ORDINANCE NO. 3150 AS A RESULT OF UNANTICIPATED TRANSFERS AND EXPENDITURES OF VARIOUS FUNDS, AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE. WHEREAS, previous actions taken by the City Council require interfund transfers and increases in appropriations; and WHEREAS, state law requires an ordinance be adopted whenever money is transferred from one fund to another; and WHEREAS, it has been a practice to consolidate these actions into a mid -year ordinance and a year -end ordinance, instead of adopting an ordinance each time the City Council takes action; NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. Section 1 of Ordinance 3150 adopting the final budget for the fiscal year 1997 is hereby further amended to reflect the following changes: A. General Fund #001 - Increase various revenues due to unanticipated surplus $194,700, eliminate ALS Transport fee $97,000, increase transfer revenues from the Council Contingency Fund #119 $63,410, increase recreation fee revenues by $16,000 for sports camp, and increase beginning cash by $158,150; increase the appropriations from said General Fund are hereby amended to reflect the following authorized expenditures: 181322.1 - 1 - 1. Mayor Department - Increase appropriations by $4,200 for Snohomish County promotional publication. 2. Accounting Department - Increase appropriations by $12,000 for Accounting Manager replacement. 3. City Clerk Department - Decrease appropriations by $9,800 due to reclassifying annexation costs to the Non - Departmental Division. 4. Non - Departmental Division - Increase appropriations by $49,000 for annexation census, decrease $97,000 for Medic 7 fee; increase interfund transfers out by $79,370 for 1996 LTGO bond debt service and $20,000 for Senior Center floor repairs; increase ending cash by $176,500 as a result of these adjustments. 5. Police Department - Increase appropriations by $3,580 for police trailer lease. 6. Fire Department - Increase appropriations by $63,410 for labor contract settlement. 7. Parks and Recreation Division - Increase appropriations by $16,000 for Skyhawk sports camp. 8. Facilities Maintenance Department - Increase appropriations by $14,000 for electrician position and $4,000 due to change to full -time for a custodial position. B. Fire /Medical Aid Vehicle Fund #005 - Increase appropriations and decrease ending cash by $12,300 for fire engine related costs. C. Drug Enforcement Fund #104 - Increase appropriations and decrease ending cash by $10,000 due to unanticipated release of confiscated funds to other agencies. D. Building Maintenance Fund #116 - Increase interfund revenues by $20,000, decrease ending cash by $400, and increase appropriations by $20,400 for the Senior Center floor repairs. 181322.1 - 2 - E. Council Contingency Fund #119 - Increase the transfer from said fund by the sum of $63,410 and decrease ending cash by $63,410; said transfer to be set forth in this ordinance. F. Special Capital Fund #126 - Increase interfund transfer revenues by $79,370, reduce ending cash by $14,620 and increase appropriations by $93,990 for payment of 1996 LTGO bond debt service. G. Equipment Rental Fund #511 - Increase appropriations by $16,000 for police laptop computers, $51,000 for bucket truck and $5,000 for unanticipated supply purchases; decrease ending cash by $72,000. H. Medical Self - Insurance Fund #520 - Increase revenues and appropriations by $502,000 for claims payments and related administrative expenses. I. Sister City Commission #623 - Increase private fund revenues and appropriations by $12,000 for additional students to travel to Hekinan. Section 2. Severability. If any section, sentence, clause or phrase of this ordinance should be held to be invalid or unconstitutional by a court of competent jurisdiction, such invalidity or unconstitutionality shall not affect the validity or constitutionality of any other section, sentence, clause or phrase of this ordinance. Section 3. Effective Date. This ordinance, being an exercise of a power specifi- cally delegated to the City legislative body, is not subject to referendum, and shall take effect five (5) days after passage and publication of an approved summary thereof consisting of the title. APPROVED: MAYOR, BARBARA S. FAHEY 181322.1 - 3 - ATTEST /AUTHENTICATED : CITY CLERK, SANDRA S. CHASE APPROVED AS TO FORM: OFFICE OF THE CITY ATTORNEY: 1 iii FILED WITH THE CITY CLERZ: 12/12/97 PASSED BY THE CITY COUNCIL: 12/16/97 PUBLISHED: 12/23/97 EFFECTIVE DATE: 12/28/97 ORDINANCE NO. 3179 181322.1 - 4 - EXHIBIT A BUDGET SUMMARY 1997 1997 1997 FUND FUND BEGINNING + REVENUE - EXPENDITURES = ENDING NO. DESCRIPTION CASH CASH 001 002 005 006 007 008 009 104 111 112 113 114 115 116 117 118 119 120 121 122 123 124 125 126 127 130 191 325 326 411 412 413 414 511 520 610 617 621 623 General Fund Cumulative Reserve /Gen. Fund Reserve Fire /Aid Vehicle Fund Emergency Financial Reserve Fund Criminal Justice Activity Fund Travel/Training & Equipment Fund LEOFF - Medical Insurance Reserve Fund Drug Enforcement Fund Street Fund Combined Street Const. /Imprv. Fund Mulitimodal Transportation Fund Street Beautification Fund Underground Wiring Fund Building Maintenance Fund Municipal Arts Fund Memorial Street Tree Fund Council Contingency Fund Hotel /Motel Tax Fund Employee Parking Permit Fund Youth Scholarship Fund Tourism Arts Comm. Promotional Fund Off Street Parking Fund Park Acquisition /Improvement Fund Special Capital Fund Gift Catalog Fund Cemetery Improvement Fund Shared Revenue -Comm. Dev. Fund Capital Improvement Fund Public Safety Building Construction Fund Combined Utility Operation Fund Combined Utility Const. /Imprv. Fund Combined Utility Bond Reserve Fund Capital Improvements Reserve Fund Equipment Rental Fund Medical Self- Insurance Fund Cemetery Maintenance Fund Firemen's Pension Fund Special Library Fund Sister City Commission Fund TOTALS EXBTA97.XLS $441,940 $17,880,090 250,000 16,000 457,500 105,500 924,700 120,000 63,620 401,930 0 222,090 141,000 37,000 60,220 47,670 155,290 1,226,020 1,255,070 770,400 100,320 767,950 15,000 900 90 0 185,000 104,000 73,890 75,550 9,800 800 129,130 322,000 8,650 51,100 2,200 3,000 2,350 1,500 5,750 16,690 87,000 13,000 986,700 1,135,000 828,680 458,770 42,860 8,300 139,240 116,800 0 150,000 138,000 19,000 9,125,000 1,016,340 1,958,630 8,056,070 1,277,100 755,000 2,220,600 1,615,160 1,498,060 382,060 2,357,720 494,830 0 502,000 334,940 22,000 432,800 39,000 7,580 380 4,470 28,650 $25,720,900 $36,982,550 $18,004,330 16,000 12,300 0 447,790 222,090 0 82,000 1,269,740 1,086,200 561,200 15,000 0 263,200 74,760 6,000 331,130 59,440 0 2,050 16,310 15,000 2,097,000 1,287,450 23,000 176,840 150,000 77,000 2,143,850 9,433,400 1,250,000 1,584,110 777,000 952,850 502,000 0 38,000 100 28,030 $43,005,170 $317,700 250,000 550,700 1,044,700 17,760 0 178,000 25,890 111,570 939,270 307,070 900 90 25,800 74,680 4,600 120,000 310 5,200 1,800 6,130 85,000 24,700 0 28,160 79,200 0 80,000 . 7,997,490 581,300 782,100 2,251,650 1,103,120 1,899,700 0 356,940 433,800 7,860 5,090 $19,698,280 CITY OF EDMONDS BUDGET AMENDMENTS (EXPENDITURES ONLY) 1997 BUDGET AMEND97.XLS 12/19/97 ORD.NO. ORD.NO. ORD.NO. 1997 FUND 3126 AMENDED NO. FUND TITLE 12/17/96 6/97 12/97 BUDGET 001 General $17,517,640 $327,930 $158,760 $18,004,330 002 Cumulative Reserve /General 16,000 16,000 005 Fire /Aid Car Vehicle Reserve 0 12,300 12,300 006 Emergency Financial Reserve 0 0 007 Criminal Justice Activity 405,170 42,620 447,790 008 Travel/Training & Equipment 215,890 6,200 222,090 009 LEOFF - Medical Ins. Reserve 0 0 104 Drug Enforcement 72,000 10,000 82,000 111 Street Maintenance 1,241,890 27,850 1,269,740 112 Street Construction /Improvement 910,200 176,000 1,086,200 113 Multimodal Transportation 561,200 561,200 114 Street Beautification 15,000 15,000 115 Underground Wiring 0 0 116 Building Mantenance 204,800 38,000 20,400 263,200 117 Municipal Arts 64,760 10,000 74,760 118 Memorial Tree 6,000 6,000 119 Council Contingency 0 267,720 63,410 331,130 120 Hotel /Motel Tax Revenue 59,440 59,440 121 Employee Parking Permit 0 0 122 Youth Scholarship 2,050 2,050 123 Tourism /Promotional Arts Comm. 16,310 16,310 124 Off - Street Parking 15,000 15,000 125 Park Aquisition /Improvement 2,097,000 2,097,000 126 Special Capital Fund 1,193,460 93,990 1,287,450 127 Gift Catalog 23,000 23,000 130 Cemetery Maintenance /Improvement 174,600 2,240 176,840 191 HUD Block Grant 150,000 150,000 325 Capital Improvement 77,000 77,000 326 Public Safety Building Construction 2,143,850 2,143,850 411 Combined Utility Operating 9,389,650 43,750 9,433,400 412 Combined Utility Construction /Imprv. 1,175,000 75,000 1,250,000 413 Combined Utility Bond Reserve 1,584,110 1,584,110 414 Capital Improvements Reserve 670,000 107,000 777,000 511 Equipment Rental 875,140 5,710 72,000 952,850 520 Medical Self- Insurance 0 502,000 502,000 610 Cemetery Maintenance Trust 0 0 617 Firemen's Pension 38,000 38,000 621 Special Library 100 100 623 Sister City Commission 16,030 12,000 28,030 Total Budget $40,930,290 $1,130,020 $944,860 $43,005,170 AMEND97.XLS 12/19/97 SUMMARY OF ORDINANCE NO. 3179 of the City of Edmonds, Washington On the 16th day of December , 199 7 , the City Council of the City of Edmonds, passed Ordinance No. 3179 A summary of the content of said ordinance, consisting of the title, provides as follows: AN ORDINANCE OF THE CITY OF ORDINANCE NO. 3150 AS A RESULT EXPENDITURES OF VARIOUS FUNDS, SHALL BECOME EFFECTIVE. EDMONDS, WASHINGTON, AMENDING OF UNANTICIPATED TRANSFERS AND AND FIXING A TIME WHEN THE SAME The full text of this Ordinance will be mailed upon request. DATED this 19th day of December , 1997 - CITY CLERK, SANDRA S. CHASE December 1997 Budget Ordinance Section 1. Section 1 of Ordinance 3126 adopting the final budget for the fiscal year 1997, is hereby amended to reflect the following changes: A. General Fund #001 - Increase various revenues due to unanticipated surplus $194,700, eliminate ALS Transport fee $97,000, increase transfer revenues from the Council Contingency Fund #119 $63,410, increase recreation fee revenues by $16,000 for sports camp, and increase beginning cash by $158,150; increase the appropriations from said General Fund are hereby amended to reflect the following authorized expenditures: 1. Mayor Department - Increase appropriations by $4,200 for Snohomish County promotional publication. 2. Accounting Department - Increase appropriations by $12,000 for Accounting Manager replacement. 3. City Clerk Department - Decrease appropriations by $9,800 due to reclassifying annexation costs to the Non - Departmental Division. 4. Non - Departmental Division - Increase appropriations by $49,000 for annexation census, decrease $97,000 for Medic 7 fee; increase interfund transfers out by $79,370 for 1996 LTGO bond debt service and $20,000 for Senior Center floor repairs; increase ending cash by $176,500 as a result of these adjustments. 5. Police Department - Increase appropriations by $3,580 for police trailer lease. 6. Fire Department - Increase appropriations by $63,410 for labor contract settlement. 7. Parks & Recreation Division - Increase appropriations by $16,000 for Skyhawk sports camp. 8. Facilities Maintenance Department - Increase appropriations by $14,000 for electrician position and $4,000 due to change to full -time for a custodial position. B. Fire /Medical Aid Vehicle Fund #005 - Increase appropriations and decrease ending cash by $12,300 for fire engine related costs. C. Drug Enforcement Fund #104 - Increase appropriations and decrease ending cash by $10,000 due to unanticipated release of confiscated funds to other agencies. D. Building Maintenance Fund #116 - Increase interfund revenues by $20,000, decrease ending cash by $400, and increase appropriations by $20,400 for the Senior Center floor repairs. E. Council Contingency Fund #119 - Increase the transfer from said fund by the sum of $63,410 and decrease ending cash by $63,410; said transfer to be set forth in this ordinance. F. Special Capital Fund #126 - Increase interfund transfer revenues by $79,370, reduce ending cash by $14,620 and increase appropriations by $93,990 for payment of 1996 LTGO bond debt service. G. Equipment Rental Fund #511 - Increase appropriations by $16,000 for police laptop computers, $51,000 for bucket truck and $5,000 for unanticipated supply purchases; decrease ending cash by $72,000. H. Medical Self- Insurance Fund #520 - Increase revenues and appropriations by $502,000 for claims payments and related administrative expenses. I. Sister City Commission #623 - Increase private fund revenues and appropriations by $12,000 for additional students to travel to Hekinan. STATE OF WASHINGTON, sa. COUNTY OF SNOHONISH, of the City of Etlmonds, Washington ember, 1997, the City Council of the City of - Edmonds, passed mmary of the. content of said ordinances consisting of the title, THE CITY OF -EDMONDS WASHINGTON, AMENDING 1 AS A RESULT OF UNANtICIPATED TRANSFERS AND RIOUS FUNDS, AND FIXING A TIME WHEN THE SAME SHALL ince will be mailed upon request. _ ecember, 1997. CITY CLERK, SANDRA S. CHASE EXHIBIT A� BUDGET S t1MMARY 1ss "BEGINNING + REVENUE - EXPENDITURES = ENDING, CASH CASH .$441,940 $17,880,090 $18,004,376--TY770 250,000 16,000 16,000 250,000 457,500- 105,500 _ .1.2,300 550,700_ 924,700. 120,000 0- 1,044,700 63,620 401,930 447,790 .17,760 0. 222,090 '222,090 0 rance 141,000 37,000 - 0 178,000 und 60,220' 47,670 - 82,000 25,890 155,290 1,226,020 1,269,740 111,570 nst./ 1,255,070 770,400 1,086,200 939,270 100,320 767,950 561,200 307,070 'und 15,000 900 15,000 900 Fund 90 0 0 90 Fund 185,000 104,000 263,200 25,800 73,890 75,550 74,760 74,680 Fund 9,800 800 6,000 4,600 :und 129,130 322,000 331,130 120,000 d 8,650 51,100 59,440 310 ermit 2,200 - . 3,000 - 0 51200 und 2,350 1,500 2,050 1,800 5,750 16,690 16,310 6,130 und 87,000 13,000 - 15,000 85,000 986,700 1,135,000 2,097,000 24 -,700 1 828,680 458,770 1,287,450 0 42,860 8,300 23,000 28,160 ant 139,240 116,800 176,840 79,200 0 150,000 150,000 0' 7und 138,000 19,000 77,000 80;000 tq 9,125,000 1,016,340 2,143,850 7,997,490 1,958,630 8,056,070 9,433,400 581,300 nst./ 1,277,100 � 755,000 1,250,000 782,100 id 2,220,600 1,615.160 1,584,110 2,251,650 Is 1,498,060 382,060 777,000 1,103,120 ind 2,357,720 494,830 952,850 1,899,700 tce 0 502,000• 502,000 0 ice 334,940 22,000. 0 356,940 :und 432,800 39,000 38,000 433,800 1 7,580 380 100 7,860 ion 4,4 gg�� 28,()30 4CS $ 3b , . 8, 80 397.- -- ......__ B -2 -1 Affidavit of Publication RECEIVED DEC 2 4 1997 EDMONDS CITY CLERK The undersigned, being first duly sworn on oath deposes and says that she is Principal Clerk of THE HERALD, a daily newspaper printed and published in the City of Everett, County of Snohomish, and State of Washington; that said newspaper is a newspaper of general circulation in said County and State; that said newspaper has been approved as a legal newspaper by order of the Superior Court of Snohomish County and that the notice ......... .. ....................... ...... Summary of Ordinance No. 3179 a printed copy of which is hereunto attached, was published, in said newspaper proper and not in supplement form, in the regular and entire edition of said paper on the following days and times, namely: December 23, 1997 ... ...... ........ ..... . ....... .. . ....... . ........ .. . ............... ............. .' - -' --........ - .............. -- --............. -----' - .......... it-"--, 1 ............... .... .. .... .... ........ ......... ...........-_..-....-..-.--........ ............................... a d ,at_said newspaper was r ul sly '•distributed to its subscribers d rime all of said nerioii, 4, • s v ............................... Principal Clerk Subscribed and sworn to before me this ......... 23rd December ' „? 9 day-of-.: ._ ,........ ...... ...-..-... � p .....- .....I.- ...- i1.......... 19 .......7 � 3 r r ........ ... ...L.....- ..- ..- ...`..: ? -. -. .- .........."..c.?arr.- .. -.. ...-- -.......- ........ t f Notary Public in and for the Statef on, l residing at Everett, Snohomis 1 J q / ,z� ./moo ���c OOTAq y �'��, s.�s•sa \OF w 5N STATE OF WASHINGTON Is COUNTY OF SNOHOIViISH, y SUMMARY ORDINANCE NO. 3119 yOF celNoh 3179 fA summary C99he'lconten( of saidloordlorlsance,ico^fsis�ng ofs�theatltle, I as follows: ORDINANCE OF THE CITY OF EDMONDS WASHINGTON, AMENDING 1INANCE NO. 3150 AS A RESULT OF UNANYICIPATED TRANSFERS AND ENDITURES OF VARIOUS FUNDS, AND FIXING A TIME WHEN THE SAME SHALL OME EFFECTIVE. III text of this Ordinance will be mailed upon request. D this 19th day of December, 1997. CITY CLERK, SANDRA S. CHASE EXHIBIT A I 'BUDGET SU MMARY - 1997 FUND BEGINNING + REVENUE • EXPENDITURES = ENDING , DESCRIPTION CASH CASH General Fund ,3 Cumulative. Reserve/ Gen. Fund 250,000 16,000 16,000 250,000 Reserve Fire/ Aid Vehicle Fund - 457,500 - 105,500 - . . _ 12,300 550,700 Emergency Financial Reserve Fund - - --- 924,700. 120,000 0 1,044,700 Criminal Justice Activity Fund - 63,620 401,930 447,790 .17,760 T TFun EquippmentFund 0 222,090 222,090 0 LE 0'F F- Medical Insurance Reserve Fund 141,000 37,000 - 0 178,000 Drug Enforcement Fund 60,220' 47,670 82,000 25,890 Sheet Fund 155,290 1,226,020 .1,269,740 111,570 Combined Street Const./ Imprv. Fund 1,255,070 770,400 1,086,200 939,270 Multimodat Transportation Fund 100,320 767,950 561,200 307,070 Street Beautification Fund 15,000 900 15,000 900 Underground Wiring Fund Building Maintenance Fund 90 185,000 0 104,000 0 263,200 90 25,800 MuniclVal Arts Fund 73,890 75,550 74,760 74,680 Memorial Street Tree Fund 91800 800 6,000 4,600 Council Contingency Fund 129,130 322,000 331,130 120,000 Hotel /Motel Tax Fund 8,650 51,100 59,440 310 Employee Parking Permit Fund 2,200 -3,000 0 5,200 Youth Scholarship Fund 2,350 1,500 2,050 1,800 Tourism Arts Comm. Promotional Fund 5,750 16,690 16,310 6,130 Off. Street Parking Fund 87,000 13,000 15,000 85,000 Park Acquisition/ Improvement Fund 986,700 1,135,000 - 2,097,000 24,700 Special Capital Fund 828,680 458,770 1,287,450 0 Gift Catalog Fund 42,860 8,300 23,000 28,160 Cemetery Improvement Fund 139,240 116,800 176,840 79,200 Shared Revenue - Comm. Dev.. Fund 0 150,000 150,000 0 Capital Improvement Fund 136,000 19,000 77,000 80,000 Public Safety' Building Construction Fund 9,125,000 1,016,340 2,143,850 7,997,490 Combined Utility Operation Fund 1,958,630 8,056,070 9,433,400 581,300 Combined Utility ConsId Imprv. Fund 1,277,100 755.000 1,250,000 782,100 Combined Utility Bond Reserve Fund 2,220,600 1,615,160 1,584,110 2.251,650 Capital Improvements Reserve Fund 1,498,060 382,060 777,000 1.,103,120 Equipment Rental Fund 2,357,720 494,830 952,850 1,899,700 Medical Self - insurance Fund 0 502,000 - 502,000 0 Cemetery Maintenance Fund 334,940 22,000 0 356,940 Firemen's Pension Fund 432,800 39,000 38,000 433,800 Special Library Fund 7,580 380 100 7,860 City Commission 28,920 Fund d TOTALS 4.470 '�� $43,005.1 10 $fig°.' °v ad: December 23. 1997.- B -2 -1 Affidavit of Publication RECEIVI DEC 2 4 1! EDMONDS CITY t The undersigned, being first duly sworn on oath deposes and says that she is Principal Clerk of THE HERALD, a daily newspaper printed and published in the City of Everett, County of Snohomish, and State of Washington; that said newspaper is a newspaper of general circulation in said County and State; that said newspaper has been approved as a legal newspaper by order of the Superior Court of Snohomish County and that the notice ......... ............................... Summary of Ordinance No. 3179 a printed copy of which is hereunto attached, was published in said newspaper proper and not in supplement form, in the regular and entire edition of said paper on the following days and times, namely: December 23, 1997 .... ( : ................. ............................................ ... ... a d t at x said newspaper was r u�rly ziistributgd to its subscribers ri g all of said period. ^ y n Principal Clerk Subscribed and sworn to before me this ......... 3rd December f day�of..........F, .� s ...... ............. . ta .... 19.9.7 ....... ... ....... .. r .... ........ ..........:�,e.. ... .....: ...... ... / Notary Public in and for the Stat ton, residing at Everett, Snohomis w ,%�J-4 r4TAR y, tA, PUB L %G ► \4y,� S_19.98 \oF w sN