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Ordinance 32720006.030.003A WSS /gjz 8/9/99 ORDINANCE NO. 3272 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING ORDINANCE NO. 3237 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 3237 adopting the final budget for the fiscal year 1999 is hereby amended to reflect the following changes: A. General Fund #001 - Increase transfer revenues from the Council Contingency Fund #119 by $192,040. Also, increase sales tax revenues by $236,000 and SNOCOM Director Services revenues by $89,600. 1. Various Departments - Increase appropriations by $275,040 for salaries and benefits due to labor contract settlements. {WSS407178. W51;1/00006.030003/} -1- 2. Council Office - Increase appropriations by $9,000 for increased cost of videotaping services. 3. Information Services - Increase appropriations by $15,000 for citywide technology study. 4. Police Department - Increase appropriations by $89,600 for SNOCOM Director Services. 5, Fire Department - Increase appropriations by $129,000 for 24 -hour command response unit funding (seven months). B. Fire /Aid Vehicle Fund #005 - Increase appropriations and decrease ending cash by $100,000 for new ladder truck equipment. C. Criminal Justice Fund #007 - Increase Law Enforcement Grant revenues by $14,000; increase appropriations by $56,000 and decrease ending cash by $42,000 for digital imaging and multimedia projection equipment. D. Council Contingency Fund #119 - Increase the transfer from said fund by the sum of $192,040 and decrease ending cash by $192,040; said transfer to be set forth in this ordinance. E. Hotel /Motel Tax Fund #120 - Increase appropriations and decrease ending cash by $20,400 for carryover for 1998 professional services. F. Off - Street Parking Fund #124 - Increase appropriations and decrease ending cash by $15,000 for parking study and $2,000 for attorney fees. G. Parks Acquisition/Improvement Fund #125 - Increase donation revenues and professional services appropriations by $2,500 for Union Oil Marsh master plan. H. Gifts Catalog Fund #127 - Decrease ending cash and increase appropriations by $2,000 for Fire Dept. bicycle purchases. (WSS407178. W51;1/00006.030003/) -2- I. Combined Utility Operating Fund #411 - Decrease ending cash carried over from 1998 by $985,130; increase appropriations for intergovernmental services by $979,130 for City of Lynnwood treatment plant payment and professional services by $6,000 for utility rate study. Section 2. 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 PRO TEM, THOMAS A. MILLER ATTEST /AUTHENTICATED : CITY CLERK, SANDRA S. CHASE APPROVED AS TO FORM: OFFICE OF THE CI-L! ATTORNEY: BY >T- W.SCOTTSNYDER FILED WITH THE CITY CLERK: 08/13/99 PASSED BY THE CITY COUNCIL: 08/17/99 PUBLISHED: 08/22/99 EFFECTIVE DATE: 08/27/99 ORDINANCE NO. 3272 { W S S 407178. W 51;1 /00006.030003 / } -3- FUND FUND NO. DESCRIPTION 001 002 005 006 007 008 009 019 104 111 112 113 114 115 116 117 118 119 120 121 122 123 124 125 126 127 128 130 325 326 411 412 413 414 511 520 610 617 621 623 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 Community Request Grants 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 City Enterprise Fund Cemetery Improvement 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 Equipment Rental Fund Self- Insurance Medical Fund Cemetery Maintenance Fund Firemen's Pension Fund Special Library Fund Sister City Commission Fund TOTALS Exbta99.xls BUDGET SUMMARY 1999 1999 BEGINNING + CASH $1,563,040 251,320 545,560 1,207,700 317,600 39,520 192,040 0 42,870 188,430 2,045,630 33,390 11,270 90 213,040 81,940 11,230 126,200 45,360 17,290 10,210 27,450 88,730 969,860 143,670 82,920 7,500 219,410 114,230 6,435,430 3,463,930 1,244,130 2,150,110 1,049,530 2,390,830 164,520 384,720 496,390 8,390 15,930 $26,401,410 REVENUE - EXPENDITURES $20,201,600 13,000 151,500 142,000 458,260 241,440 4,000 20,000 23,500 908,070 834,500 516,610 500 0 112,000 53,700 400 210,980 56,800 5,000 5,000 28,150 18,000 720,500 550,000 6,900 0 122,300 1,590,550 907,260 10,033,060 1,100,000 1,900,270 348,370 709,190 1,522,000 17,730 47,740 380 45,250 $43,626,410 $21,353,750 13,000 275,000 0 539,960 280,960 0 20,000 31,680 1,049,540 1,880, 950 550,000 0 0 268,500 80,650 0 192,040 84,400 1,000 5,000 30,870 29,000 1,628,000 538,420 3,750 0 318,920 1,694,050 6,191,260 10,790,750 1,346,000 1,883,630 968,000 1,221,740 1,485,000 0 31,500 100 50,000 $54,837,420 1999 = ENDING CASH $410,790 251,320 422,060 1,349,700 235,900 0 196,040 0 34,690 46,960 999,180 0 11,770 90 56,540 54,990 11,630 145,140 17,760 21,290 10,210 24,730 77,730 62,360 155,250 86,070 7,500 22,790 10,730 1,151,430 2,706,240 998,130 2,166,750 429,900 1,878,280 201,520 402,450 512,630 8,670 11,180 $15,190,400 CITY OF EDMONDS BUDGET AMENDMENTS (EXPENDITURES ONLY) 1999 BUDGET Amend99.xls 8/4/99 ORD.NO. $517,640 100,000 56,000 192,040 20,400 17,000 2,500 2,000 985,130 ORD.NO. 1999 AMENDED BUDGET $1,892,710 $0 $21,353,750 13,000 275,000 0 539,960 280,960 0 20,000 31,680 1,049,540 1,880,950 550,000 0 0 268,500 80,650 0 192,040 84,400 1,000 5,000 30,870 29,000 1,628,000 538,420 3,750 0 318,920 0 1,694,050 6,191,260 10,790,750 1,346,000 1,883,630 968,000 1,221,740 1,485,000 0 31,500 100 50,000 $54,837,420 ORD.NO. FUND 3237 NO. FUND TITLE 12/15/98 001 General $20,836,110 002 Cumulative Reserve /General 13,000 005 Fire /Aid Car Vehicle Reserve 175,000 006 Emergency Financial Reserve 0 007 Criminal Justice Activity 483,960 008 Travel /Training & Equipment 280,960 009 LEOFF- Medical Ins. Reserve 0 019 Community Request Grants 20,000 104 Drug Enforcement 31,680 111 Street Maintenance 1,049,540 112 Street Construction /Improvement 1,880,950 113 Multimodal Transportation 550,000 114 Street Beautification 0 115 Underground Wiring 0 116 Building Mantenance 268,500 117 Municipal Arts 80,650 118 Memorial Tree 0 119 Council Contingency 0 120 Hotel /Motel Tax Revenue 64,000 121 Employee Parking Permit 1,000 122 Youth Scholarship 5,000 123 Tourism /Promotional Arts Comm. 30,870 124 Off - Street Parking 12,000 125 ParkAquisition /Improvement 1,625,500 126 Special Capital Fund 538,420 127 Gift Catalog 1,750 128 City Enterprise Fund 0 130 Cemetery Maintenance /Improvement 318,920 191 HUD Block Grant 0 325 Capital Improvement 1,694,050 326 Public Safety Building Construction 6,191,260 411 Combined Utility Operating 9,805,620 412 Combined Utility Construction /Imprv. 1,346,000 413 Combined Utility Bond Reserve 1,883,630 414 Capital Improvements Reserve 968,000 511 Equipment Rental 1,221,740 520 Medical Self- Insurance 1,485,000 610 Cemetery Maintenance Trust 0 617 Firemen's Pension 31,500 621 Special Library 100 623 Sister City Commission 50,000 Total Budget $52,944,710 Amend99.xls 8/4/99 ORD.NO. $517,640 100,000 56,000 192,040 20,400 17,000 2,500 2,000 985,130 ORD.NO. 1999 AMENDED BUDGET $1,892,710 $0 $21,353,750 13,000 275,000 0 539,960 280,960 0 20,000 31,680 1,049,540 1,880,950 550,000 0 0 268,500 80,650 0 192,040 84,400 1,000 5,000 30,870 29,000 1,628,000 538,420 3,750 0 318,920 0 1,694,050 6,191,260 10,790,750 1,346,000 1,883,630 968,000 1,221,740 1,485,000 0 31,500 100 50,000 $54,837,420 SUMMARY OF ORDINANCE NO. 3272 of the City of Edmonds, Washington On the 17th day of August, 1999, the City Council of the City of Edmonds, passed Ordinance No. 3272. A summary of the content of said ordinance, consisting of the title, provides as follows: AN ORDINANCE OF THE CITY OF ORDINANCE NO. 3237 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 18th day of August, 1999. CITY CLERK, SANDRA S. CHASE {WSS407178. W51;1/00006.030003/} Affidavit of Publication STATE OF WASHINGTON, ss COUNTY OF SNOHO1v7LISH, ._ SV�M��__M�� .1 the On the 17th day of August, 1999, tl 6 3272. A summary of the content of said AN ORDINANCE OF THE CITY OF E 3237 AS A RESULT OF UNANTICIF ThiSOne vinaii The undersigned, being first duly sworn on oath deposes and says FUNDS, AND FIXING A TIME WHEN 1, The full text of this Ordinance will be that she is Principal Clerk of THE HERALD, a daily newspaper I DATED this 181h day of August, 199! Performance Pi Performance O� printed and published in the City of Everett, County of Snohomish, Rebate. and State of Washington; that said newspaper is a newspaper of jFUND FUND E general circulation in said County and State; that said newspaper NO. DESCRIPTION P j001 Cumulative Fund I has been approved as a legal news 002 Cumulative Reserve) Gen. Pp g paper by order of the Superior Fund 005 Reserve Fire/ i Court of Snohomish County and that the notice ........................................ Aid Vehicle Fund - 1j 006 Emergency Financial Reserve Fund f o07 Criminal Justice SMmmary ... o.f...Ordinance.. No.,... 3272 ............... ............................... 44 Activity Fund 008 Travel /Training & Equipment Fund I , 009 LEOFF- Medical insurance Budget SunllriaTy 1999 ReserveFund W q .......................... .............. ............................... 019 Community Request Grants - Fund, j 104 Drug Enforcement Fund 1 112 Combined Street Const./ This One via ti ........................................................................ ............................... i Imprv. Fund Performance Pr, p p � 113 Mmnmoaal a printed copy of which is hereunto attached was ublished, in said Transportation Fund Performance Dh 114 Street Beautification Fund Rebate ..............: newspaper proper and not in supplement form, in the regular and 115 Underground Wiring Fund 116 Building Maintenance Fund 117 Municipal Ans Fund entire edition of said paper on the following days and times, namely: 118 Memorial Street Tree Fund 119 Council Contingency Fund 120 Hotel/Motel Tax Fund 121 Fund plloyee Parking Permit AU uSt , 1999 ..22 ......... .1......9 ...................... ...................................... ............................... 122 Youth Scholarship Fund 123 Tourism Arts Comm. Promotional Fund - 124 Off Street Parking Fund 125 Park Acquisition/ yll ........... .. ......... .................. ..........................i.... .................... ... ............................... Imrovement Fund 126 Spec al Capital Fund l Owner $ugeee C; and t i t sai newspaper was regul dist ibuted to its subscribers 127 Gift Catalog Fund 128 City Enterprise Fund 130 Cemetery Improvement $ 14,51 durin of said perio . Fund Payment of 325 Capital Improvement Fund y 326 Public Safety Building "2,74/mt _ _ Construction Fund ......••. 411 Combined utility operation Sik. #200236A Principal Clerk Fund 412 Combined Utility Const./ /9Q 7wi Ford F-I Imprv. Fund {{�� 413 Combined Utility Bond 22nd Reserve Fend GreaS Cabk4a Subscribed and sworn to before me this ............................ 414 Capital Improvements Reserve I 511 Equipment Rental Fund 4 /� g t 99 520 SO'Insurance Medical $ f 9i .............................. 19......... 610 Cemetery Maintenance Payment of 1241 Fund 617 Firemen's Pension Fund 1 Stk #11006 j 621 Spa clet Library Fund - .;., ............................. ............ . 623 Sister City Commission ; Notary Public in and for he St to of Washington, Fund TOTALS residing at Everett, Sno omish ounty. (((Published: August 22, 1999. N yi OE J. ��s FAA •. �: • O� nloTAf�Y N�Pusuc ;• � o; , ; o -= i� /Isi�iWAS ] 10 B -2 -1 Affidavit of Publication STATE OF WASHINGTON, J COUNTY OF SNOH_O.IYiiISH,_ On the 17th day of August, 1999, the G`ity Council of the City of Edmonds, passed Ordinance No. 3272. A summary of the content of said ordinance, consisting of the title, provides as follows: AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING ORDINANCE NO. 3237 AS A RESULT OF UNANTICIPATED TRANSFERS AND EXPENDITURES OF VARIOUS FUNDS, 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 August, 1999. i CITY CLERK, SANDRA S. CHASE EXHIBIT A BUDGET SUMMARY � lass 1999 1999 FUND FUND BEGINNING +REVENUE - EXPENDITURES =. ENDING NO. DESCRIPTION CASH CASH 001 General Fund $1,563.040 $20,201.500 $21,353.750 410,790 002 Cumulative Reserve/ Gen. Fund 251,320 13,000 13,000 251,320 005 Reserve Fire/ Aid Vehicle Fund 545,560 151,500 275,000 422,060 006 Emergency Financial Reserve Fund 1,207,700 142,000 0 1,349,700 007 Criminal Justice kActivity Fund 317,600 458,260 539,960 235,900 008 TraveVrraining & Equipment Fund 39,520 241,440 280,960 0 009 LEOFF- Medical Insurance Reserve Fund 192,040 4,000 0 196,040 019 Community Request Grants Fund 0 20,000 20,000 0 104 Drug Enforcement Fund 42,870 23,500 31,680 34,690 111 Street Fund 188,430 908,070 1,049,540 46,960 112 Combined Street Const./ Imprv. Fund 2,045,630 834,500 1,880,950 999,180 113 Multimodal Transportation Fund 33,390 516,610 550.000 0 114 Street Beautification Fund 11,270 500 0 11,770 115 Underground Wiring Fund 90 0 0 90 116. Building Maintenance Fund 213,040 112,000 268,500 56,540 117 Municipal Arts Fund 81,940 53,700 80,650 54,990 118 Memorial Street Tree Fund 11,230 400 0 11,630 • 119 Council Contingency Fund 126,200 210,980 192,040 145,140 120 Hotel/Motel Tax Fund 45,360 56,800 84,400 17,760 121 Employee Parking Permit Fund 17,290 5,000 1,000 21,290 122 Youth Scholarship Fund 10,210 5,000 5,000 10,210 123 Tourism Arts Comm. Promotional Fund 27,450 28,150 30,670 24,730 124 Off Street Parking Fund 88,730 18.000 29,000 77,730 125 Park Acquisition/ Improvement Fund 969,860 720,500 1,628,000 62,360 126 Special Capital Fund 143,670 550,000 538,420 155,250 127 Gift Catalog Fund 82,920 6,900 3,750 86,070 128 City Enterprise Fund 7,500 0 0 7,500 130 Cemetery Improvement Fund 219,410 122,300 318,920 22,790 325 Capital Improvement Fund 114,230 1,590,550 1,694,050 10,730 326 Public Safety Building Construction Fund 6,435,43.0 907,260 6,191,260 1,151,430 411 Combined Utility Operation Fund 3,463,930 10,033,060 10,790,750 2,706,240 412 Combined Utility ConsL/ Imprv. Fund 1,244,130 1,100,000 1,346,000 998,130. 413 Combined Utility Bond Reserve Fund 2,150,110 1,900,270 1,883.630 2,166,750 414 Capital Improvements Reserve 1,049,530 348.370 968,000 429,9091 511 Equipment Rental Fund 2,390.830 709,190 1,221,740 1,878280 520 Self- Insurance Medical Fund 164,520 1,522,000 1,485,000 201,5201 610 Cemetery Maintenance i Fund 384,720 17,730 0 402,450 617 Firemen's Pension Fund 496,390 47,740 31,500 512,630 621 Special Library Fund 8,390 380 100 8,670 623 Sister City Commission 15.930 45,250 50.000 11.180 Fund TOTALS $26.401,410 $43,626,410 $54,837,420 $15,190,400 +Published: August 22, 1999. B -2 -1 ieing first duly sworn on oath deposes and says tal Clerk of THE HERALD, a daily newspaper led in the City of-Everett, County of Snohomish, ,ington; that said newspaper is a newspaper of in said County and State; that said newspaper as a legal newspaper by order of the Superior 1 County and that the notice ......... ............................... ;dinance ... o..... 3272 ........................... •y 1999 ................................................................. ............................... .. ................................................................ ............................... ihich is hereunto attached, was published, in said and not in supplement form, in the regular and d paper on the following days and times, namely: 9... ............................................................ ............................... ..... ............................... .. ..... ............................... taper was re�ul - y dist ibuted to its subscribers 7 Principal Clerk ribed and sworn to before me this ............2nd f.........�'ug. t #rrdsh .................. 19..99. ....... ............ ...................... Notary Public in anSt to of Washington, residing at Everett, ounty. ``,, ,�•QtR I F � B��I/ :.9� NO 9N; N PUBLIC ell, 2