Ordinance 3603ORDINANCE NO. 3603
AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON,
AMENDING ORDINANCE NO. 3575 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, the City Council has reviewed the amended budget appropriations
and information which was made available; and approves the appropriation of local, state, and
federal funds and the increase or decrease from previously approved programs within the 2006
Budget; and
THEREFORE,
WHEREAS, the applications of funds have been identified;
THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO
ORDAIN AS FOLLOWS:
Section 1. Section 1. of Ordinance No. 3575 adopting the final budget for the
fiscal year 2006 is hereby to reflect the changes shown in "Exhibit A" adopted herein by
reference.
Section 2. Effective Date. This ordinance, being an exercise of a power
specifically delegated to the City legislative body, is not subject to referendum, and shall take
DOCUMENT2
effect five (5) days after passage and publication of an approved summary thereof consisting of
the title.
APPROVE
MAY , G Y HAAKENSON
ATTEST /AUTHENTICATE:
CITY CLERK, SANDRA S. CHASE
APPROVED AS TO FORM:
OFFICE OF THE CITY ATTORNEY:
APPROVED AS TO FORM:
OFFICE OF THE CITY ATTORNEY:
BY ( 5�&&
W. SCOTT SNYDER, CITYVVTORNEY
FILED WITH THE CITY CLERK: 08/11/2006
PASSED BY THE CITY COUNCIL: 08/15/2006
PUBLISHED: 08/20/2006
EFFECTIVE DATE: 08/25/2006
ORDINANCE NO. 3603
SUMMARY OF ORDINANCE NO. 3603
of the City of Edmonds, Washington
On the 15th day of August, 2006, the City Council of the City of Edmonds,
passed Ordinance No. 3603. 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. 3575 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 16th day of August, 2006.
CITY CLERK, SANDRA S. CHASE
3
EXHIBIT "A:" BUDGET SUMMARY BY FUND
FUND
NO.
FUND
DESCRIPTION
2006
BEGINNING
CASH
REVENUE
EXPENDITURES
2006
ENDING
CASH
001
GENERAL FUND
3,273,822
28,762,212
30,493,717
1,542,317
006
EMERGENCY/FINANCIAL RESERVE
1,927,600
0
0
1,927,600
009
LEOFF - MEDICAL INS. RESERVE
312,641
69,100
74,415
307,326
104
DRUG ENFORCEMENT FUND
64,973
94,812
154,343
5,442
111
STREET FUND
21.5,887
1,152,755
1,350,966
17,676
112
COMBINED STREET CONST /IMPROVE
1,082,984
2,524,342
2,842,919
764,407
113
MULTIMODAL TRANSPORTATION FD.
0
1,250,000
1,250,000
0
116
BUILDING MAINTENANCE
323,300
2,006,227
2,326,510
3,017
117
MUNICIPAL ARTS ACQUIS. FUND
177,038
65,510
101,420
141,128
118
MEMORIAL STREET TREE
15,208
450
0
15,658
120
HOTEL/MOTEL TAX REVENUE FUND
47,696
60,800
66,600
41,896
121
EMPLOYEE PARKING PERMIT FUND
62,035
12,300
17,500
56,835
122
YOUTH SCHOLARSHIP FUND
6,726
3,580
4,000
6,306
123
TOURISM PROMOTIONAL FUND /ARTS
20,551
15,300
21,200
14,651
125
PARK ACQ /IMPROVEMENT
3,410,965
1,085,000
4,342,000
153,965
126
SPECIAL CAPITAL FUND
1,514,173
2,630,000
1,970,781
2,173,392
127
GIFTS CATALOG FUND
140,838
8,710
5,320
144,228
129
SPECIAL PROJECTS FUND
0
327,000
327,000
0
130
CEMETERY MAINTENANCE /IMPROV
564,608
171,382
632,514
103,476
131
FIRE DONATIONS
6,792
2,425
0
9,217
211
LID FUND CONTROL
8,411
476,000
476,225
8,186
213
LID GUARANTY FUND
127,382
1,950
100,000
29,332
234
LTGO BOND DEBT SERVICE FUND
0
403,710
403,710
0
411
COMBINED UTILITY OPERATION
3,335,891
12,375,976
12,508,483
3,203,384
412
COMBINED UTILITY CONST /IMPROVE
3,502,929
5,615,973
7,002,000
2,116,902
414
CAPITAL IMPROVEMENTS RESERVE
1,191,228
1,278,330
1,536,625
932,933
511
EQUIPMENT RENTAL FUND
3,566,794
1,921,325
2,065,273
3,422,846
601
PARKS TRUST FUND
115,122
1,480
0
116,602
610
CEMETERY MAINTENANCE TRUST FD
604,876
22,889
0
627,765
617
FIREMEN'S PENSION FUND
338,523
41,992
95,448
285,067
621
SPECIAL LIBRARY
2,589
120
1100
1,609
623
SISTER CITY COMMISSION
11,143
20,375
25,000
6,518
Totals
25,972,725
62,402,025
70,195,069
1 8,179,681
EXHIBIT `B ": BUDGET AMENDMENTS BY EXPENDITURE
FUND
NO.
FUND
DESCRIPTION
ORD. NO.
3575
11/15/2005
ORD.
NO.
3591
5/2/2006
ORD.
NO.
ORD.
NO.
2006
Amended
Budget
001
GENERAL FUND
29,564,059
675,760
253,898
0
30,493,717
006
EMERGENCY/FINANCIAL RESERVE
0
0
0
0
0
009
LEOFF- MEDICAL INS. RESERVE
74,415
0
0
0
74,415
104
DRUG ENFORCEMENT FUND
150,985
0
3,358
0
154,343
III
STREET FUND
1,284,966
0
66,000
0
1,350,966
112
COMBINED STREET CONST /IMPROVE
2,917,919
0
(75,000)
0
2,842,919
113
MULTIMODAL TRANSPORTATION FD.
1,250,000
0
0
0
1,250,000
116
BUILDING MAINTENANCE
399,500
1,847,010
80,000
0
2,326,510
117
MUNICIPAL ARTS ACQUIS. FUND
101,420
0
0
0
101,420
118
MEMORIAL STREET TREE
0
0
0
0
0
120
HOTEL/MOTEL TAX REVENUE FUND
63,000
0
3,600
0
66,600
121
EMPLOYEE PARKING PERMIT FUND
17,500
0
0
0
17,500
122
YOUTH SCHOLARSHIP FUND
4,000
0
0
0
4,000
123
TOURISM PROMOTIONAL FUND /ARTS
21,200
0
0
0
21,200
125
PARK ACQAMPROVEMENT
4,142,000
0
200,000
0
4,342,000
126
SPECIAL CAPITAL FUND
1,970,781
0
0
0
1,970,781
127
GIFTS CATALOG FUND
5,320
0
0
0
5,320
129
SPECIAL PROJECTS FUND
0
0
327,000
0
327,000
130
CEMETERY MAINTENANCE/IMPROV
632,514
0
0
0
632,514
131
FIRE DONATIONS
0
0
0
0
0
211
LID FUND CONTROL
476,225
0
0
0
476,225
213
LID GUARANTY FUND
100,000
0
0
0
100,000
234
LTGO BOND DEBT SERVICE FUND
403,710
0
0
0
403,710
411
COMBINED UTILITY OPERATION
12,430,483
0
78,000
0
12,508,483
412
COMBINED UTILITY CONST /IMPROVE
7,002,000
0
0
0
7,002,000
414
CAPITAL IMPROVEMENTS RESERVE
1,536,625
0
0
0
1,536,625
511
EQUIPMENT RENTAL FUND
1,865,273
200,000
0
0
2,065,273
601
PARKS TRUST FUND
0
0
0
0
0
610
CEMETERY MAINTENANCE TRUST FD
0
0
0
0
0
617
FIREMEN'S PENSION FUND
95,448
0
0
0
95,448
621
SPECIAL LIBRARY
1,100
0
0
0
1100
623
SISTER CITY COMMISSION
25,000
0
0
0
25000
Totals
66,535,443
2,722,770
936,856
0
70,195,069
EXHIBIT "C ": BUDGET AMENDMENT DETAIL
Items Previously Approved by Council
Police
Various
265,506
General Fund
Intergov't Revenue
336,750
Remove Hospital Security Program
Non Dept
Fund Balance
71,244
from Budget.
Special Projects
Construction
316,000
SR99 International District
Special Projects
Grant Revenue
316,000
Enhancement Grant.
Admin. Services
Machinery/Equip
45,000
Non Dept
Fund Balance
45,000
Communication Network Switches.
Engineering
Prof Services
125,000
75th PI W /76th Ave W Walkway
REET 2
Fund Balance
125,000
Project.
Building Maint.
Repairs / Maint
80,000
Building Maint.
Insurance Recovery
75,000
Building Maint.
Fund Balance
5,000
Non Dept
Insurance
5,000
Senior Center Fire Repairs and
Non Dept
Transfer Out
5,000
Insurance Reimbursement.
Admin. Services
Small Equipment
3,000
E- connect web server, approved
Non Dept
Fund Balance
3,000
decision pkg, not entered in budget.
Admin. Services
Prof Services
85,000
Technology Initiative appropriation,
Non Dept
Fund Balance
85,000
Phase I complete fiber link.
Street Maintenance
Repairs / Maint
66,000
Street Patching portion of 2006 Street
Street Maintenance
Beg. Fund Balance
66,000
Overlay program.
Development Svcs
Prof Services
25,785
Implement PermitTrax and
Non Dept
Fund Balance
25,785
integration of payment manager
Development Svcs
Prof Services
63,800
Non Dept
Fund Balance
63,800
Lidar Map Work Phases 1 & 2.
EXHIBIT "C ": BUDGET AMENDMENT DETAIL - Cont.
New Items for Council to Consider
Police
Machinery/Equip.
11,005
Police foundation donation for
General Fund
Donations
11,005 purchase of equipment.
Non -Dept
Salaries
15,500
Increase SNOCOM Director sa ary
Non -Dept
Fund Balance
7,660 and corresponding reimbursement
General Fund
Intergovt Revenue
7,840 amount.
Non -Dept
Prof Services
25,000
Non -Dept
Fund Balance
25,000 Increase Public Defender budget.
Admin. Services
Prof Services
5,600
Non -Dept
Fund Balance
5,600
Utilities
Prof Services
14,820
Utilities
Prof Services
40,560
Active Networks - software and
Utilities
Prof Services
22,620
services which will enable City to
Utilities
Fund Balance
78,000 accept credit cards.
Non -Dept
Transfers Out
11,000
1 mns er funds donated by private
Non -Dept
Fund Balance
11,000 parties for Hwy 99 International
Special Projects
Prof Services
11,000
District project to Special Projects
Special Projects
Transfers In
11,000 Fund.
Police
Intergovt Services
300,000
Non -Dept
Fund Balance
300,000 Increase in jail fees.
Parks
Travel
500
General Fund
Contributions
500 Americans for the Arts Scholarship.
Hotel/Motel
Prof Services
3,600
Update for Sept. 2005 Committee
Hotel/Motel
Fund Balance
3,600 recommendations.
Facilities
Salaries
30,000
Facilities
Benefits
4,000
Vacation/Sick leave payout for
Non -Dept
Fund Balance
34,000 retiring employee.
REET 2
Transfer Out
75,000
REET 2
Fund Balance
75,000
Street Capital
MVFT
150,000
Street Capital
Capital Projects
75,000 Record reduction of General Fund
Street Capital
Transfer In
75,000 subsidy to Street Operations,
Street Maintenance
Transfer In
150,000
replacing it with additional MVFT
Street Maintenance
MVFT
150,000 from Fund 112. Fund 112 is partially
Non -Dept
Fund Balance
150,000
made whole with additional REET 2
Non -Dept
Transfer Out
150,000 Funds.
Fire
Overtime
242
Reimbursement for overtime Sno Co
General Fund
Service Revenue
242 Project Readiness.
Fire
Overtime
1,561
Reimbursement for overtime Sno Co
General Fund
Service Revenue
1,561 MCI Drill.
Fire
Miscellaneous
1,463
General Fund
Grant Revenue
1,463 WA EMS Prehospitalization Grant.
Police
Overtime
2,161
General Fund
Intergovt Revenue
2,161 School District Overtime.
Police
Overtime
3,939
General Fund
Grant Revenue
3,939 Click It or Ticket Grant
Police
Overtime
486
General Fund
Grant Revenue
486 Drug Recognition Expert Grant
Police
Overtime
345
General Fund
Grant Revenue
345 Drive Hammered Get Nailed Grant
Police
Salaries
872
Police
Overtime
4,812
Chamber of Commerce 4th of July
General Fund
Police Services
5,684 Parade.
Police
Overtime
7,334
General Fund
Grant Revenue
7,334 FBI Overtime Reimbursement.
Narc Fund
Overtime
3,358
Nine Fund
Grant Revenue
3,358 DEA Overtime Grant.
Police
Machinery/Equip.
8,241
Non -Dept
Ending Cash
271 Police foundation donation for
General Fund
Donations
7,970 purchase of equipment.
Police
Small Tools
1,958
Radar Purchased for School Zone
General Fund
Grant Revenue
1,958 Program.
Engineering
Prof Services
6,600
Non Dept
Fund Balance
6,600 Cedar Street Survey
Parks
Small Tools
1,600
Purchase of laptop with funds
General Fund
Donations
1,600 donated by Hubbard Foundation.
Parks
Small Tools
2,600
Purchase of additonal server required
Non -Dept
Ending Cash
2,600 for e- connect project.
Affidavit of Publication
STATE OF WASHINGTON, S.S.
COUNTY OF SNOHONHSH
SUMMARY OF ORDINANCE NO 3603 The undersigned, being first duly sworn on oath deposes and says that she is Principal Clerk
o t e ny o mon s, as mgton of THE HERALD, a daily newspaper printed and published in the City of Everett, County of
,ity Council of the City of Edmonds, passed Ordinance No. 3603. A summary of the Snohomish, and State of Washington; that said newspaper is a newspaper of general
MONDS,rWASHINGTON. AMENDING ORDINANCE NO. 3575 AS A RESULT OF circulation in said County and State; that said newspaper has been approved as a legal
ICPENDITURES OF VARIOUS FUNDS, AND FIXING A TIME WHEN THE SAME
ailed upon request. newspaper by order of the Superior Court of Snohomish County and that the notice
CITY CLERK, SANDRA S. CHASE Summary of Ordinance No. 3603
CHIBIT "A ": BUDGET SUMMARY BY FUND
2006
BEGINNING REVENUE
EXPENDITURES
2006
ENDING
3VE
CASH
3, 273,822 28,762,212
,493,717
30,542,317
CASH
1
1,927,600 0
312,641 69,100
0
1,927,600
64,973 94,812
74,415
154,343
307,326
5,442
,ROVE
1,082,984 2,524,342
N FD
0 1,250,000
2,842,919
764,407
323,300 2,006,227
1,250,000
2301,420
0
65,510
15,208 450
141,128
JND
1ND
47,696 60,800
62,035 12,300
0
66,600
15,658
41,896
17,500
56,835
ARTS
20,551 15,300
4,000
6,306
3,410,965 1,085,000
1,514,173 2,630,000
4,342,000
153,965
140,838 8,710
1,970,781
2,173,392
5,320
144,228
IOVE
564,608 171,382
327,000
632,514.
p
103,476
6,792 2,425
6,411 476,000
0
9217
D
127,382 - 1,950
476,225
100,000
8,186
29,332
OVE
0 403,710
3,502,929 237 15,615,973
403,710
17,002,000
0
2,116,902
iVE
1,191,228 1,278,330
1,536,625
932,933
3,566,794 1,921,325
115,122 1,480
2,065,273
3,422,846
T FD
604,876 22,689
0
0
116,602
338,523 41,992
95,448
627,765
285,067
2,589 120
11,143 20,375
1,100
1,609
25,972,725 62,402,025
25,000
70,195,069
6,518
18,179,681
Account !f'F►e
tv r 0
AUG 2 8 2006
City of Edmonds
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:
August 20, 2006
and that said newspaper was regularly distributed to its subscribers during all of said period.
Subscribed and sworn to before me this
day of August, 2006
21st
Notary Public in,2hd for th State of Washington, residing at
County.
Account Number: 101416
�. S'44
'9
acs
G
9 1 72008
O�
OF WASH�N��
Order Number. 0001429999
Affidavit of Publication
STATE OF WASHINGTON, I S.S.
COUNTY OF SNOHONIISH
SUMMARY OF ORDINANCE NO. 3603 The undersigned, being first duly sworn on oath deposes and says that she is Prii
o t e fly o mon s, as mgtan of THE HERALD, a daily newspaper printed and published in the City of Evere)
On the 75th day of August, 2006, the City Council d the City of Edmonds, passed Ordinance No. 3603. A summary of the Snohomish, and State of Washington; that said newspaper is a newspaper of gen
intent of said ordinance, consisting of the title, PProvides as follows:
N ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING ORDINANCE NO. 3575 AS A RESULT OF circulation in said County and State; that said newspaper has been approved as a
NANTICIPATED TRANSFERS AND EXPENDITURES OF VARIOUS FUNDS, AND FIXING A TIME WHEN THE SAME
HALL BECOME EFFECTIVE.
The full text of this ordinance will be mailed upon request. newspaper by order of the Superior Court of Snohomish County and that the not
DATED this 161h day of August, 2006.
CITY CLERK, SANDRA S. CHASE
EXHIBIT "A ": BUDGET SUMMARY BY FUND
JND FUND
'O DESCRIPTION
2006
BEGINNING
REVENUE
1 GENERALFUND
i 6 EMERGENCY /FINANCIAL RESERVE
CASH
28,762,272
)9 LEOFF•MEDICAL INS. RESERVE
14
1,927,600
312,641
69,100
DRUG ENFORCEMENT FUND
41 STREET FUND
64,973
94,812
k COMBINED STREET CONST/ IMPROVE
215,887
1,082,984
1,152,755
2,524,342
3 MULTIMODAL TRANSPORTATION FD .
6 BUILDING MAINTENANCE
1 250,227
7 ARTS ACQUIS. FUND
323,300
177,038
MUNICIPAL
65,510
8 MEMORIAL STREET TREE
0 HOTEL/MOTEL TAX REVENUE FUND
a printed copy of which is hereunto attached, was published in said newspaper pi
1,250,000
2,326,510
1 EMPLOYEE PARKING PERMIT FUND
2
47,696
62,035
60,800
12,300
YOUTH SCHOLARSHIP FUND
3 TOURISM PROMOTIONAL FUND /ARTS
times, namely:
0
5 PARKSACOAMPROVEMENT
1 SPECIAL CAPITAL FUND
20,5511
3,410,965
15,300
1,085,000
TALOG
APROJ
1,514,173
140,838
2,630,000
1 SPECIAL CTS FUND
0
8,710
000
1 CEMETERY MAINTENANCEAMPROVE
C FIRE DONATIONS
564,608
1371,382
LID FUND CONTROL
1 LID GUARANTY FUND
6,792
1 8,41
2,425
476,000
k LTGO BOND DEBT SERVICE FUND
,411
127
0
1,950
COMBINED UTILITY OPERATION
' COMBINED UTILITY CONST /IMPROVE
3,335,8 .
403,710
12,375,976
CAPITAL IMPROVEMENTS RESERVE
3,502,929
1,191,228
5,615,973
1,278,330
EQUIPMENT RENTAL FUND
PARKS TRUST FUND
3,566,794
1,921,325
CEMETERY MAINTENANCE TRUST FD
115,122
604,876
1,480
22,889
FIREMEN'S PENSION FUND
SPECIAL LIBRARY
338,523
41,992
SISTER CITY COMMISSION
2,5B9
11,143
120
20,375
Totals
I!shed: August 20, 2006. f Y f
25,972,725
62,402,025
Summary of Ordinance No. 3603
Account f!_ `ke Z v r= o
AUG Z 8 1006
EDMONDS 017Y CLERK
Notary Pubric in Ad for th State of Washington, residing at Ev ett, oho
County. N� 9-
9�F
O,c
Account Number. 101416 Order Number. 00(
2006
City of Edmonds
EXPENDITURES
ENDING
CASH
30,493,717
1,542,317
0
1,927,600
74,415
307,326
154,343
5,442
2,842,9169
764,407
a printed copy of which is hereunto attached, was published in said newspaper pi
1,250,000
2,326,510
0
in supplement form, in the regular and entire edition of said paper on the followil
101,420
141,28
times, namely:
0
15,658
117,500
56,935
August 20, 2006
4,000
6,306
21,200
14,651
4,342,000
153,965
1,970,781
2,173,392
5,320
144,228
327,000
0
632,514.
103,476
476.220 5
9, 88
that said newspaper was regularly distributed to its subscribers during all of
100,000
and
29,332
403,710
12,508,483
3,203,384
7,002,000
2,116,902
1,536,625
932,933
Principal
2,065,273
3,422,846
0
627,765
Subscribed and sworn to before me this 21 st
95,448
285,067
1,100
1,609
25,000
6,518
a
70,195,069
f
18,179,681
day of August, 2006 c.�y
Account f!_ `ke Z v r= o
AUG Z 8 1006
EDMONDS 017Y CLERK
Notary Pubric in Ad for th State of Washington, residing at Ev ett, oho
County. N� 9-
9�F
O,c
Account Number. 101416 Order Number. 00(