Ordinance 3823ORDINANCE NO. 3823
AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON,
AMENDING ORDINANCE NO. 3711 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 2010
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. 3711 adopting the final budget for the
fiscal year 2010 is hereby amended 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
VAWORDATA\ORDINANCES 3800 TO 3899 \ORD3823.DOCX
effect five (5) days after passage and publication of an approved summary thereof consisting of
the title.
APPROVED:
MAYOR, MIKE COO ER
ATTEST /AUTHENTICATE:
L� 'e. _
CITY CLERK, SANDRA S. CHASE
APPROVED AS TO FORM:
OFFICE OF THE CITY ATTORNEY:
APPROVED AS TO FORM:
OFFICE OF T E C ATTORNEY:
BY
W. SCOTT SNYDER, CIT TORNEY
Na
FILED WITH THE CITY CLERK: 11 -19 -2010
PASSED BY THE CITY COUNCIL: 11 -30 -2010
PUBLISHED: 12 -05 -2010
EFFECTIVE DATE: 1`2 -10 -2010
ORDINANCE NO. 3823
ii
SUMMARY OF ORDINANCE NO. 3823
of the City of Edmonds, Washington
On the 30`h day of November, 2010, the City Council of the City of Edmonds,
passed Ordinance No. 3823. A summary of the content of said ordinance, consisting of the title,
provides as follows:
AN ORDINANCE OF THE CITY OF
ORDINANCE NO. 3711 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 1 s` day of December, 2010.
CITY CLERK, SANDRA S. CHASE
iii
EXHIBIT "A:" BUDGET SUMMARY BY FUND
FUND
NO.
FUND
DESCRIPTION
2010
BEGINNING
CASH
REVENUE
EXPENDITURES
2010
ENDING
CASH
001
GENERAL FUND
2,175,670
35,567,645
35,718,908
2,024,407
006
EMERGENCY /FINANCIAL RESERVE
1,927,600
0
0
1,927,600
009
LEOFF - MEDICAL INS. RESERVE
512,176
387,566
465,161
434,581
010
PUBLIC SAFETY EMERGENCY RESERVE
0
1,334,693
0
1,334,693
104
DRUG ENFORCEMENT FUND
131,976
28,500
74,115
86,361
111
STREET FUND
319,008
1,539,574
1,537,232
321,350
112
COMBINED STREET CONST /IMPROVE
- 184,393
2,172,797
1,982,560
5,844
113
MULTIMODAL TRANSPORTATION FD.
51,542
3,000,000
3,000,000
51,542
116
BUILDING MAINTENANCE
42,035
412,438
454,473
0
117
MUNICIPAL ARTS ACQUIS. FUND
374,547
115,540
110,425
379,662
118
MEMORIAL STREET TREE
17,570
400
0
17,970
120
HOTEL /MOTEL TAX REVENUE FUND
181,037
67,530
86,883
161,684
121
EMPLOYEE PARKING PERMIT FUND
93,897
27,500
26,086
95,311
122
YOUTH SCHOLARSHIP FUND
17,166
3,464
4,307
16,323
123
TOURISM PROMOTIONAL FUND /ARTS
50,855
19,368
23,985
46,238
125
PARK ACQ /IMPROVEMENT
1,570,016
775,356
1,942,000
403,372
126
SPECIAL CAPITAL FUND
442,755
764,397
956,796
250,356
127
GIFTS CATALOG FUND
172,069
32,281
15,259
189,091
129
SPECIAL PROJECTS FUND
3,052
239,910
242,110
852
130
CEMETERY MAINTENANCE /IMPROV
94,066
208,630
151,289
151,407
131
FIRE DONATIONS
22,462
2,800
22,466
2,796
132
PARKS CONSTRUCTION
24,007
1,789,000
1,784,000
29,007
136
PARKS TRUST FUND
144,281
3,760
25,403
122,638
137
CEMETERY MAINTENANCE TRUST FD
766,066
31,223
0
797,289
138
SISTER CITY COMMISSION
11,181
21,400
21,000
11,581
211
LID FUND CONTROL
6,337
107,500
113,300
537
213
LID GUARANTY FUND
50,233
60,000
0
110,233
234
LTGO BOND DEBT SERVICE FUND
0
452,160
452,160
0
411
COMBINED UTILITY OPERATION
6,861,160
14,106,473
18,367,154
2,600,479
412
COMBINED UTILITY CONST /IMPROVE
1,852,225
7,858,332
6,823,600
2,886,957
414
CAPITAL IMPROVEMENTS RESERVE
51 ,152
2,782,176
2,743,588
89,740
511
EQUIPMENT RENTAL FUND
4,709,059
2,138,757
2,892,423
3,955,393
617
FIREMEN'S PENSION FUND
284,951
103,782
125,048
263,685
631
TRANSPORTATION BENEFIT DISTRICT
0
750,000
750,000
0
Totals
22,775,758
76,904,952
80,911,731
18,768,979
iv
EXHIBIT "B ": BUDGET AMENDMENTS BY EXPENDITURE
FUND
NO.
FUND
DESCRIPTION
ORD, NO.
3711
12/2/2008
ORD. NO.
3771
12/15/2009
ORD. NO.
3809
10/17/2010
ORD. NO.
11/16/2010
2010
Amended
Budget
001
GENERAL FUND
35,768,808
(1,321,294)
1,053,826
217,568
35,718,908
006
EMERGENCY /FINANCIAL RESERVE
0
0
0
0
0
009
LEOFF- MEDICAL INS. RESERVE
465,161
0
0
0
465,161
104
DRUG ENFORCEMENT FUND
74,115
0
0
0
74,115
010
PUBLIC SAFETY EMERGENCY RESERVE
0
0
0
0
0
111
STREET FUND
1,537,232
0
0
0
1,537,232
112
COMBINED STREET CONST /IMPROVE
2,332,560
0
0
- 350,000
1,982,560
113
MULTIMODAL TRANSPORTATION FD.
3,000,000
0
0
0
3,000,000
116
BUILDING MAINTENANCE
205,200
0
249,273
0
454,473
117
MUNICIPAL ARTS ACQUIS. FUND
110,425
0
0
0
110,425
118
MEMORIAL STREET TREE
0
0
0
0
0
120
HOTEL /MOTEL TAX REVENUE FUND
77,883
0
4,000
5,000
86,883
121
EMPLOYEE PARKING PERMIT FUND
26,086
0
0
0
26,086
122
YOUTH SCHOLARSHIP FUND
3,400
0
0
907
4,307
123
TOURISM PROMOTIONAL FUND /ARTS
22,100
0
0
1,885
23,985
125
PARK ACQ /IMPROVEMENT
1,190,000
0
552,000
200,000
1,942,000
126
SPECIAL CAPITAL FUND
956,796
0
0
0
956,796
127
GIFTS CATALOG FUND
750
0
6,100
8,409
15,259
129
SPECIAL PROJECTS FUND
0
0
242,110
0
242,110
130
CEMETERY MAINTENANCE /IMPROV
151,289
0
0
0
151,289
131
FIRE DONATIONS
0
0
22,466
0
22,466
132
PARKS CONSTRUCTION
1,784,000
0
0
0
1,784,000
136
PARKS TRUST FUND
0
0
0
25,403
25,403
137
CEMETERY MAINTENANCE TRUST FD
0
0
0
0
0
138
SISTER CITY COMMISSION
21,000
0
0
0
21,000
211
LID FUND CONTROL
55,300
0
0
58,000
113,300
213
LID GUARANTY FUND
0
0
0
0
0
234
LTGO BOND DEBT SERVICE FUND
452,160
0
0
0
452,160
411
COMBINED UTILITY OPERATION
15,301,171
0
2,029,183
1,036,800
18,367,154
412
COMBINED UTILITY CONST /IMPROVE
6,823,600
0
0
0
6,823,600
414
CAPITAL IMPROVEMENTS RESERVE
571,412
0
2,172,176
0
2,743,588
511
EQUIPMENT RENTAL FUND
1,702,193
0
1,190,230
0
2,892,423
617
FIREMEN'S PENSION FUND
125,048
0
A
0
125,048
631
TRANSPORTATION BENEFIT DISTRICT
0
0
750,000
0
750,000
Totals
72,757,689
(1,321,294)
8,271,364
1,203,972
80,911,731
EXHIBIT "C ": BUDGET AMENDMENT DETAIL
Department BARS Category Debit Credit Description on Summary Sheet
General Fund
001
000
000
313
100
000
00
Sales & Use Tax
1,000,000
Reduction of Sales Tax Revenue
General Fund
001
000
390
508
000
000
00
Ending Fund Balance
1,000,000
Estimate
Police
001
000
410
521
710
350
00
Small Equipment
985
Grant for Radar Purchases
Police
001
000
410
521
710
350
01
Small Equipment
985
General Fund
001
000
000
334
030
500
00
Grants
1,970
Police
001
000
410
521
710
120
00
Overtime
2,645
Slow Down or Pay Up July 2010
General Fund
001
000
000
333
020
601
00
Grants
2,645
Police
001
000
410
521
710
120
00
Overtime
2,125
DUI and Target Zero
General Fund
001
000
000
333
020
601
00
Grants
2,125
Enforcement
Police
001
000
410
521
710
120
00
Overtime
1,757
X -52 DUI Enforcement
General Fund
001
000
000
333
020
601
00
Grants
1,757
Police
001
000
410
521
710
120
00
Overtime
1,465
X -52 Speed Grant
General Fund
001
000
000
333
020
601
00
Grants
1,465
Police
001
000
410
521
100
350
00
Small Equipment
4,210
Byrne Grant Funding
Police
001
000
410
521
220
350
00
Small Equipment
8,436
General Fund
001
000
000
331
160
580
00
Grants
12,646
City Attorney
001
000
360
515
100
410
00
Professional Services
144,250
Unbudgeted Attorney Costs
General Fund
001
000
390
508
000
000
00
Ending Fund Balance
144,250
Parks & Recreation
001
000
640
575
510
110
00
Salaries
15,000
Aquatic Salaries
General Fund
001
000
390
508
000
000
00
Ending Fund Balance
15,000
Parks & Recreation
001
000
640
575
530
430
00
Travel
457
Senior Adventures Field Trip
Parks & Recreation
001
000
640
575
530
490
00
Miscellaneous
603
Fees
General Fund
001
000
000
347
600
000
00
Program Fees
1,060
Parks & Recreation
001
000
640
574
200
490
00
Miscellaneous
50,000
Merchant Bankcard Fees
Police
001
000
410
521
110
490
00
Miscellaneous
150
Court
001
000
230
512
500
490
00
Miscellaneous
14,500
General Fund
001
000
390
508
000
000
00
Ending Fund Balance
64,650
Stormwater
411
000
652
542
900
490
00
Miscellaneous
8,100
Water
411
000
654
534
800
490
00
Miscellaneous
12,200
Sewer
411
000
655
535
800
490
00
Miscellaneous
16,500
Utility Fund
411
000
654
508
000
000
00
Ending Fund Balance
36,800
Water
411
000
654
597
412
550
00
Interfund Transfer
800,000
Transfers from Operations to
Stormwater
411
000
652
597
412
550
00
Interfund Transfer
200,000
Capital
Utility Fund
411
000
654
508
000
000
00
Ending Fund Balance
1,000,000
Water Construction
412
100
000
397
411
000
00
Interfund Transfer
800,000
Water Construction
412
100
630
508
000
000
00
Ending Fund Balance
800,000
Stormwater Construction
412
200
000
397
411
000
00
Interfund Transfer
200,000
Stormwater Construction
412
200
630
508
000
000
00
Ending Fund Balance
200,000
Street Construction
112
200
630
595
330
650
00
Construction Projects
350,000
Decrease Construction Project
Street Construction
112
200
630
508
000
000
00
Ending Fund Balance
350,000
Costs
Youth Scholarship
122
000
640
574
100
490
00
Miscellaneous
907
Youth Scholarships- Increase
Youth Scholarship
122
000
640
508
000
000
00
Ending Fund Balance
907
Awards
Tourism Promotion Arts
123
000
640
573
100
440
00
Advertising
1,885
Adjustment for grant
Tourism Promotion Arts
123
000
000
337
070
000
00
Grants
1,885
Gifts Catalog Fund
127
000
640
575
500
310
00
Supplies
4,800
127 Fund
Gifts Catalog Fund
127
000
000
367
000
000
00
Donations
23,920
Gifts Catalog Fund
127
000
640
508
000
000
00
Ending Fund Balance
19,120
Gifts Catalog Fund
127
000
640
575
500
410
00
Professional Services
2,000
Interpretive Panel Marina Beach
Gifts Catalog Fund
127
000
640
575
500
310
00
Supplies
1,609
Gifts Catalog Fund
127
000
640
508
000
000
00
Ending Fund Balance
3,609
Vi
Hotel /Motel Tax
120
000
310
597
132
550
00
Interfund Transfer
5,000
Transfer to 132 for grant match
Hotel /Motel Tax
120
000
310
508
000
000
00
Ending Fund Balance
5,000
Capital Projects
132
000
000
397
120
000
00
Interfund Transfer
5,000
Capital Projects
132
000
640
508
000
000
00
Ending Fund Balance
5,000
Parks Trust Fund
136
300
640
597
001
550
00
Interfund Transfer
25,403
2010 Pool Subsidy
Parks Trust Fund
136
300
640
508
000
000
00
Ending Fund Balance
25,403
General Fund
001
000
000
397
136
000
00
Interfund Transfer
25,403
General Fund
001
000
390
508
000
000
00
Ending Fund Balance
25,403
LID Fund Control
211
000
320
597
213
550
00
Interfund Transfer
58,000
LID Receipts
LID Fund Control
211
000
320
508
000
000
00
Ending Fund Balance
58,000
LID Guaranty Fund
213
000
000
397
211
000
00
Interfund Transfer
58,000
LID Guaranty Fund
213
000
320
508
000
000
00
Ending Fund Balance
58,000
REET 2
125
000
640
594
750
650
00
Construction Projects
200,000
125 Fund
REET 2
125
000
640
508
000
000
00
Ending Fund Balance
200.000
Vii
STATE OF WASHINGTON,
COUNTY OF SNOHOMISH
F EDP
a
tic.
1890.
u.- SUMMARY OF ORDINANCE NO. 3823 _
- o e Cary o f dmon s, ashmgton
id
On the 30th day of November, 2010; the City Council of the City of Edmonds, passed Ordinance No. 3823. A summary o e
r:gontent of saki ordinance, consistin of the title provides as follows:
:i pN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING ORDINANCE NO. 3711 AS A RESULT OF
AN
TRANSFERS AND EXPENDITURES OF VARIOUS FUNDS, AND FIXING A TIME WHEN THE SAME SHALL
jENEC EFFECTIVE.
EL The full text of this Ordinance will be mailed upon request.
'-:A' DATED this 1st day of December, 2010. CITY CLERK, SANDRA S. CHASE
EXHIBIT-A:° BUDGET SUMMARY BY FUND
' 2010 2010
u' ",FUND FUND BEGINNING REVENUE EXPENDITURES ENDING CASH
'NO. DESCRIPTION CASH
'001 GENERAL FUND 2,175,670 .35,567,640 35,718,908 2,024,407
1,927,600 0 - 1,927,600
`y 006 EMERGENCY /FINANCIAL RESERVE 512 176 387 566 465,161 434,581
"bog LEOFF - MEDICAL INS. RESERVE 0 1,334,693 0 1,334,693
ft lo PUBLIC SAFETY EMERGENCY RESERVE 131 976 28 500 74,115 86,361
04 DRUG ENFORCEMENT FUND 311,008 1,539,574 1,537,232 321,350
.14 11 STREETFUND - 184,393 2,172,797 1,982,560 5,644
,412 COMBINED STREET CONST /IMPflOVE 51,542 3,000,000 3,000,000 51,542
". "A 13 MULTIMODAL TRANSPORTATION FD- 42,035 412.438 454,473 0
16 BUILDING MAINTENANCE 374547 115,540 110,425 379,662
MUNICIPAL ARTS ACOUIS. FUND 17570 400 0 17,970
ttms MEMORIAL STREET TREE 181037 67;530 86,883 161,684
1 20 HOTEUMOTEL TAX REVENUE.FUND 93897 27500 26,086 95,311
SYa27 EMPLOYEE PARKING PERMIT FUND 17 766 3,464- 4,307 16,323
ro122 YOUTH SCHOLARSHIP FUND 50,855 79,364 23,985 46,238
EtY23. TOURISM PROMOTIONAL FUND /ARTS 1,570,016 775,356 1,942,000 403,372
425 - . PARK ACOAMPROVEMENT 442755 764387 956,796 250,356
0726 SPECIAL CAPITAL FUND 172,069 32,281 15,259 189,091
5427 GIFTS CATALOG FUND 3,052 239,910 242.110 852
,7929 SPECIAL PROJECTS FUND - 14,066 208,630 151,289 151,407
.1%136 CEMETERY MAINTENANCE/IMPROV. 22,462 2,800 22,466 2,796
•w131. FIRE`DONATIONS 24,007. .1,789,000 1,784,000 29,007
0'732 PARKS CONSTRUCTION 144 281 3,760 - 25,403 122,638
N136 PARKS TRUSTFUND 766,066 31,223 0 797209
' 137 C ETERY MA NTE(�1 CE TRUST FD , 11,187. .27,400. 21,000 11 5ft�S
'138 Rt11Tl� tdIISSItiN s; ,' 6,337 107,500 113,300. Si
.,$17Ut>I�a'1Nfrt } a 50 233 60,000 i 0 110 23,.9resnl.
""::2213 mL113�af1A`RARM -P11ND " "'' p - ..452,160 452,160
3A LTGO.BQND DEBT SERVICE FUND 6,861,160 14,106,473 18,367,754 2,600"'.
29
11 sC.OMBINE0l7fILITY OPERATION 6,823,600 2886957
p:12 ,COMBINED UT7LITYCONST/IMPROVE 7.852225 7,888.332 15
14 ?CAP,•ITAL IMPROVEMENTS RESERVE 4,709,059 2138,757 2,892,423 3,955,393
ry§71EOt11PAAENT RENTAL.F.UND 284951 103,782 125,048 263,680
YS617 .FIREMEN'S PENSION FUND 0 750,000 - 750,000
2431 , EANSPORTATION BENEFIT DISTRICT. 22;775,758 76,904,952' 80,911,731 18,768,979
"Va.- !Totals _ _ --.-
Account Name: City of Edmonds
:IJLC I. o 201n
-T
Affidavit of Publication
S.S.
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 Courtof Snohomish County and that the notice
Summary of Ordinance No. 3823
Amending Ordinance No. 3711
a printed copy of which is hereunto attached, was published in said newspaper proper and na + -s
supplement form, in the regular and entire edition of said paper on the following days and
times, namely:
December 05, 2010
and that said newspUer was regularly `buted to its s scribers during all of said period.
°-' Principal Clerk
Subscribed and sworn to before me this Iith'
day of Dec mber,2010 _
OW
,�
Notary P 1n and fo he State of Washington residing at:Evbrett Snbhonti'sh
County.
Account Number: 101416
Order Number: uuurreucor