Ordinance 3898IVMUG MUDILVIMI'm INN 0
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I -_a E-M • - M - M - I M - M INNIS,
I LVJ I MLIkTAMW I NJNk IV NMI MTJAJV I OLI UM VII ME,'
WHEREAS, previous actions taken by the City Council require InterfuriM
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 appropriatiorM
and information which was made available; and approves the appropriation • local, state, and
MMIMIM
Section 1. Section 1 of Ordinance No� 3897 adopting the final budget for &I
g
1 111 111 •1 i •I 1111111171r r�
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
0
effect five (5) days after passage and publication of an approved summary thereof consisting of
the title.
N
I -
of the City of Edmonds, Washington
On the 20"' day of November, 2012, the City Council of the City of Edmonds,
passed Ordinance No. 3898. 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. 3897 AS A RESULT OF UNANTICIPATED Tlu- NSFERS AND
EXPENDITURES OF VARIOUS FUNDS, AND FIXING A TIME WHEN THE SAME
SHALL BECOME EFFECTIVE.
The lull text of this Ordinance will be mailed upon request.
DATED this 21" day of November, 2012.
rT -UERK, SANDRA S. CHASE
0
�
ORD. NO.
ORD. NO. ORD. NO. ORD. NO.
ORD. NO. ORD. NO. ORD. NO.
2012
FUND
FUND
3861
3882 3886 3891
3893 3897
Amended
NO.
DESCRIPTION
11/22/2011
4/27,/2012 5/25/2012 7/27/2012
8/31/2012 10/23/2012 Nov 2012
Budgq_
004
Criminal Investigations
-
006
Emergency/Financial Reserve
-
009
Leoff-Medical Ins. Reserve
600,550
600,550
010
Reserve Fund
2,200
-
2,200
011
Risk Management Reserve Fund
-
244,000
244,000
012
Contingency Reserve Fund
5,282,000 -
5,282,000
014
Historic Preservation Gift Fund
-
10,000
10,000
104
Drug Enforcement Fund
28,200
2,500
30,700
111
Street Fund
1,313,650
- -
1,313,650
112
Combined Street Const/Improve
2,006,864
833,238 1,800
2,841,902
116
Building Maintenance
56,860
56,860
117
Municipal Arts Acquis. Fund
58,325
7,643
65,968
118
Memorial Street Tree
28
140
168
120
Hotel/Motel TaxRevenue Fund
69,200
(17,250)
-
51,950
121
Employee Parking Permit Fund
20,140
20,140
122
Youth Scholarship Fund
2,525
21525
123
Tourism Promotiona I Fund/Arts
19,000
-
5,500
24,500
125
Park Acq/Improvement
590,850
77,000 103,000
85,143
855,993
127
Gifts Catalog Fund
10,759
-
11,204
21,963
129
Special Projects Fund
313,004
169,000
-
482,004
130
Cemetery Maintenance/Improv
119,850
-
119,850
132
Parks Construction
1,185,000
104,414
115,824
1,405,238
136
Parks Trust Fund
177
-
177
137
Cemetery Maintenance Trust Fd
14,600
-
14,600
138
Sister City Commission
5,230
-
5,230
211
Lid Fund Control
46,700
-
46,700
213
Lid Guaranty Fund
46,725
105,000
151,725
234
Ltgo Bond Debt Service Fund
478,573
-
-
478,573
411
Combined Utility Operation
15,306,920
150,000
4,920
15,461,840
412
Combined Utility Const/Improve
7,888,400
-
-
7,888,400
414
Capital Improvements Reserve
1,126,377
457,012
1,583,389
511
Equipment Rental Fund
1,076,456
111,700
1,188,156
617
Firemen'S Pension Fund
94,423
94,423
Totals
1,070,356 IC
$ 124,200 1 �Mi
�
8
ORD. NO.
ORD, NO.
ORD. NO. ORD, NO. ORD. NO. ORD, M 1
ORD, NO. 2012
FUND
FUND
3861
3882
3886 3891 3893 3897
Amended
NO.
DESCRIPTION
11/22/2011
4/27/2012
5/25/2012 7/27/2012 8/31/2012 12/23/2012
Nov 2012 Budget
001
General Fund
$ 32,949,288
$ 211,384
$103,000 $ 2,656 $2,015,000 148,809
354,365 $35,784,502
004
Criminal Investigations
2,500
- 2,500
006
Emergency/Financial Reserve
1,927,600
1,927,600
009
Leoff-Medical Ins. Reserve
619,811
619,811
010
Reserve Fund
-
1,339,400
1,339,400
011
Risk Management Reserve Fund
-
-
012
Contingency Reserve Fund
014
Historic Preservation Gift Fund
8,500
8,500
104
Drug Enforcement Fund
80,233
-
80,233
Ill
Street Fund
1,604,948
20,200
6,600
- 1,631,748
112
Combined Street Const/Improve
2,075,625
31,803
833,238
1,800 2,942,466
113
Multimodal Transportation Fd.
-
-
-
116
Building Maintenance
245,000
245,000
117
Municipal Arts Acquis, Fund
134,550
134,550
118
Memorial Street Tree
140 140
120
Hotel/Motel TaxRevenue Fund
73,750
(17,250)
56,500
121
Employee Parking Permit Fund
26,086
26,086
122
Youth Scholarship Fund
4,000
- 4,000
123
Tourism Promotional Fund/Arts
19,000
-
5,500 24,500
125
Park Acq/lmprovement
875,000
77,000
103,000
1,055,000
126
Specia I Capital Fund
697,717
-
697,717
127
Gifts Catalog Fund
12,275
-
11,204 23,479
129
Special Projects Fund
313,000
170,500
- 483,500
130
Cemetery Maintenance/Improv
172,005
- 172,005
132
Parks Construction
1,187,000
210,000
(20,900)
85,143 1,461,343
136
Parks Trust Fund
6,930
- 6,930
137
Cemetery Maintenance Trust Fd
-
138
Sister City Commission
4,600
4,600
211
Lid Fund Control
46,500
105,000
151,500
213
Lid Guaranty Fund
-
244,000
244,000
234
Ltgo Bond Debt Service Fund
478,573
-
-
478,573
411
Combined Utility Operation
15,598,246
191,481
(419,326) 3,881
4,920 > 15,379,202
412
Combined Utility Const/Improve
10,465,068
482,611
40,000 312,000 -
16,967 11,316,646
414
Capital Improvements Reserve
1,126,376
457,012
(11,873 )'
1,571,515
511
Equipment Rental Fund
1,321,334
-
- 111,700
1,433,034
617
Firemen'S Pension Fund
�Transportation
123,515
123,515
_631
Benefit District
600,000
600,000
Totals
.000 $ 6,427,238 $ 281,990
$ 48D,039 $ 80,030,095
8
EXHIBIT"C ": Budget Amendments (November 2012)
Department
BARS
Cate or`
Debit
Credit
Description
General Fund
001
000
310
5181
870
310
001 Supplies
4,606
From Clerk Prof.
General Fund
001
000
250
5141
300
410
00 Professional Services
4606
Serv.to IT
General Fund
001
000
620
532
200
490
00 Miscellaneious
1,800
Merchant Bank
'General Fund
001
000
390
508
000
000
001 Endi ng Fund Balance_
1;800
Card Fees
General Fund`
0011
000
310
;518
870
480
00 Re air & Maintenance
66,451
Indefeasible Right
General Fund
001
000
390 <
508
000
000
00JEnding, Fund Balance --
66,451
of Use Agreement
General Fund
001
000
3901
5191
900
110
00 Salaries
274,910
VSIP Program
General Fund
001
000
390
508
000
000
00JEnding Fund Balance
274,910
General Fund
001
000
390
597
127
550
00 Transfer
11,204
Marsh
General Fund
001
000
000'367
110
000
00 Donations
11204
Interpretive Signs
Gifts Catalo Fund
127
000
640
575
500
3101
00 Su lies
11,204
Gifts Catalo Fund
127
0001
0001
3971
001
000
00 Transfer
11;204
Munici al Arts Acq Fund
117
200
6401
5731
<100
410
00 Professional Services
11358
Correction of line
Municipal Arts Ac" Fund
1171
200
6401
5751
500
410
001 Professional Services
1,358 -
entry
Munici al Arts Ac Fund
1171
300
6401
5731
100
410
00 Professional Services
3 000
Correction of line
Municipal Arts Ac Fund
117
300
640 <
573
-100
.490
00 Professional Services
3,000
entry
Memorial Tree Fund
118
000
641'
576
800
310
00 Supplies
140
118 Fund- Tree'
Memorial Tree Fund
118
000
000
367
000
000
00 Donations
140
'Fund Donation
Tourism Promotion /Arts
123
000
640 `
573
.100
410
00 Professional Services
5 500
Arts Tourism
Tourism Promotion Arts
123
000
000
337
070
000
00 Grants
5,500
Grant Award
Parks Construction Fund
1321
000
640
5971
125
550
00 Interfund Transfer
85,143
Old Milltown /
Parks Construction Fund
132
000
000
367
110
000
00 Donations
106,500
'Hazel Miller Plaza
Parks Construction Fund
132
000
640
508
000
000
OO Endi ng Fund Balance
21,357
REET Contri buti on
REET2
125
000
000
397
132
000
00' Interfund Transfer
85,143
FEET
125
000
640
508
000
000
00 Endin .Fund Balance
85,143
Utilily Fund
411
000
654
537
900
350
00 Small _Equipment
,4,920
Hazel Miller-
UtiIi Fund
411
000
000
367
110
000
00 Donations
4,920
Recycle Container
Utility Construction Fund
412
300
6301
597
132
550
00 1 nterfund Transfer
9,324
Interurban TraiI
Utili Construction Fund
412
300
630
508
000'
000
00 Endi nZ Fund Balance
9,324
Parks Construction Fund
1321
000
000
3971
412
300
00 Interfund Transfer
9,324
Parks Construction Fund
1321
000
640'
5081 :
000
000
00 Endin Fund Balance
9,324
Utilily Construction Fund
4121
100
630
5971
_.117
550
00 Interfund Transfer
4,170
Transfer to Arts
Utility Construction Fund
412
100
630
5081
000
000
00 Ending Fund Balance
4,170
Fund
Utility Construction Fund
412
°200
630
597
117
550
00 Interfund Transfer
3,473
Uti I ity Construction Fund
412
200
630'
508
000
000
00 Ending Fund Balance
3,473
Munici al Arts Ac,q Fund
117
;200
000,
397
412
000
00 Interfund Transfer
7,643
Munici al Arts Acq Fund
117
200
640
508
_000
000
OO Endi ng Fund Balance
7,643
Street Construction Fund
112
200
630
595
330
410
OO Professional Services
1 800
226th Walkway
Street Construction Fund
112
200
000'
333
020
205
04 Grants
1
1;800
Pro'ect
I
E=G�•- 1U
171�,•
Fund Name and Title:
General Fund 001
Street Construction Fund 112
Municipal Arts Acq Fund 117
Memorial Street Tree Fund 118
Tourism Promotion /Arts Fund 123
REET 2 125
Gifts Catalog Fund 127
Parks Construction Fund 132
Utility Fund 411
Utility Construction Fund 412
7
Change in
Beginning Fund
Change in Ending
Fund Number
Balance Revenue
Expense
Fund Balance
001
11,204
354,365
(343,161)
112
1,800
1,800
-
117
7,643
7,643
118
140
140
-
123
5,500
5,500
-
125
85,143
-
85,143
127
11,204
11,204
-
132
115,824
85,143
30,681
411
4,920
4,920
-
412
16,967
(16,967)
Total 1
243,378
480,039
(236,661).
171�,•
Fund Name and Title:
General Fund 001
Street Construction Fund 112
Municipal Arts Acq Fund 117
Memorial Street Tree Fund 118
Tourism Promotion /Arts Fund 123
REET 2 125
Gifts Catalog Fund 127
Parks Construction Fund 132
Utility Fund 411
Utility Construction Fund 412
7
EXHIBIT "E ": Budget Amendments (November 2012)
Expenditure Increase (Decrease
Ej
EXHIBIT "E ": Budget Amendments (November 2012)
Prepared By: Rob English
Department: Public Works Department.,
Description on Budget Amendment Summary: Merchant Bank Card Fees
Budget Amendment Detailed Description:
Total Ending Fund Balance Increase Decrease $ 1,800
10
EXHIBIT "E": Budget Amendments (November 2012)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Carl Nelson
Finance Department
indefeasible RiZhtof2je Agreement.
Exoenditure Increase (Decrease
Total Revenue lIncrease) ;Decrease I 1 9
'ndin Fund Balance increase Decrease
:und Fund Title
001 General Fund
Total Endint Fund Balance Increase (Decreasel,
IM
I
EXHIBIT "E ": Budget Amendments (November 2012)
I n a n effort to accom mod ate 'budgetary constraints, the Mayor announced a one =time
limited offerforemployees to voluntarily separate from the city in exchange for a small
incentive (Voluntary Separation Incentive Program, orVSIP). The VSIP aims to reduce the
City's overall salary costs by reducingFTE levels, while minimizing impacts on service level to
citizens. This program gives City departments the Option to offer incentives to employees to
voluntarily separate from employment, etherthroughretirement or resignation.
BARS Number Amount
001.000.390.519.900.110.00 274,91(
$ 274,910
Total Ending Fund Balance_ Increase Decrease $ 274;910
11
EXHIBIT "E": Budget Amendments (November 2012)
Prepared By Renee McRae
Department: Parks, Recreation & Cultural Services
Description on Budget Amendment Summary: Marsh Inter reti ve Si&ns
Budget Amendment Detailed Description,
Expenditure Increase (Decrease)
Fund # Fund Title
Object
BARS Number
Amount
001 General Fund
Transfer
001.000.390.597.127.550.00
11,204
127 Gifts Catalog Fund
Supplies
127.000.640.575.500.310.00
11,204
Total _Exp e� n i ireincrease(D crease)
_
22,408
Revenue (increase) Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
001
General Fund
Parks Donations
001.000.000.367.110.000.00
127
Gifts Catalo& Fund
Transfer
127.000.000.397.001.000.00
-------------
(11,204
,Tota I Revenue ( Increase ) D
$ (22,408)
EXHIBIT "E": Budget Amendments (November 2012)
Prepared By Frances Chapin
Department: Parks, Recreation & Cultural Services
Description on Budget Amendment Summary: Correction of
Budget Amendment Detailed Description:
Exoenditure Increase (Decrease
Ending und Balance Increase Decrease
lFund I Fund Title BARS Number Amount
EXHIBIT "E ": Budget Amendments (November 2012)
Prepared By: Frances Chapin
Department: Parks, Recreation & Cultural Services
Description on Budget Amendment Summary: Correction of Iineentry
Budget Amendment Detailed Description:
Payments for prof essionalservices for scholarships should have been paid from
miscellaneous line. This correction does not impact the fund balance.
Ending Fund Balance Increase Decrease
Fund I Fund Title BARS Number Amount
Total Endi ng Fund _Balance Increase Decrease
14
5
EXHIBIT "E ": Budget Amendments (November 2012)
15
EXHIBIT "E": Budget Amendments (November 2012)
Prepared By: Frances Chapin
Department: Parks, Recreation & Cultural Services
Description on Budget Amendment Summary: Arts Tourism grant award
Budget Amendment Detailed Description:
Expenditure Increase Decrease
Fund# I Fund Title Object
BARS Number
Amount
123 Tourism promotion /Arts Prof Services
123 000 640,573 100 410 00
5,500
Total Ex enditure Increase Decrease
$
5,500
Revenue Increase Decrease
Fund Fund Title
Revenue Source
BARS Number
Amount
123 Tourism Promotion /Arts
Ilnterlocal Grants
123 000 000337 070 000 00
5;500
Total Revenue Increase Decreas
$
(5,500
Ending Fund Balance Increase Decrease'
Fund fund Title
BARS Number
Amount
Total Ending Fund Balance Increase (Decrease)
$
_
16
EXHIBIT " E": - Budget Amendments (November 2012)
Prepared By: Sue Johns on for Carrie Hite
Department: Parks and Recreation
Description on Budget Amendment Summary: Old Milltown /Hazel "Miller Plaza REET Contribution
Budget Amendment Detailed Description:
17
EXHIBIT "E ": Budget Amendments (November 2012)
Expenditure Increase jDecrease
Fund # Fund Title
Object
BARS Number
Amount
411 Uti lily Fund
Small Equipment
411.000.654.537,900.350.00
4,920
Total Expenditure Increase Decrease
$
4,920
Revenue (increase) Decrease
Fund Fund Title Revenue Source
BARS Number
Amount
411 Utility Fund Donations
411,000.000.367.110.000.00
4;920
Total Revenue Increase Decreas
Ending Fund Balance Increase Decease
Fund
Fund Title
BARS Number
Amount
Total Ending Fund Balance Increase (Decrease)
$
IM
�. • ♦ •- i
Expenditure Increase Decrease
Fund #
Fund Title Object
BARS Number
Amount
412 -300
Uti I ily Const Fund Interfund Transfer
412.300.630.597.132.550.00
9;324
Total Ex enditure Increase Decrease
$
9,324
Revenue Increase Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
132
Parks Ca ital Fund
Interfund Transfer In _
_ 132.000.000.397.412.300.00_______19,324
Total Revenue Increase Decreas
$
9-324
Ending Fund Balance! Increase Decrease
Fund fund Title
BARS Number
Amount
132 Parks Capital-fund
Endln& Fund Balance
132.000.640.508.000.000.00
9,324
412 -300 Utility Const Fund
Ending Fund Balance
412.300.630.508.000.000.00
9,324
Total Endin Fund Balance Increase Decrease)
$
m
EXHIBIT "E ": Budget Amendments (November 2012)
Prepared By Rob English
Department: Public Works
Description on Budget Amendment Summary; Transfer to Arts fund -
Budget Amendment Detailed Description:
Several capital improvement projects in the 412 utility construction fund were completed in
2012. This budget amendment will transferfundingfrom the 412 Utility Construction Fund
into the Municipal Arts Fund for the 1% for Arts program in accordance with Chapter 3.13 of
the Edmonds City Code._ The utility projects that contributed 1% to the Municipal Arts Fund
are:
Exoendlture Increase (Decrease
Fund # Fund Title-
0b'ect
BARS Number
Amount
412 -100 Utili Const Fund
Interfund Transfer
412.100.630.597.117.550.00
4;170
412 -200 Utili ty Const Fund
Interfund Transfer
412.200.630.597.117.550.00
3,473
Total Expenditure Increase Decrease
$ 7,643
Revenue Increase Decrease
Fund Fund Title _
Revenue Source
BARS Number
Amount
:117-200 Munici al Arts Fund
Interfund Transfer in
117.200.000.397.412.000.00
7,643
ITotal Revenue (Increase) Decreas
$ 7,643
Ending Fund Balance Increase Decrease -
Fund Fund Title
BARS Number
Amount
412 -100 Utility Const Fund
Endin Fund Balance
412.100.630.508.000.000.00
4,170
412-200 Utilily Const Fund
Ending Fund Balance
412.200.630.508.000.000.00
3,473
117-200 Municioal Arts Fund
Ending Fund Balance
117.200.640.508.000.000.00
7,643
Total Ending Fund Balance Increase (Decrease) ) 1 $
20
EXHIBIT "E": Budget Amendments (November 2012)
WASHINGTON STATE OF
COUNTY OF SNOHOMISH
M
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 Cirdinancc No_ 3845 -
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:
November 25, 2012
and that said newspaper was regularly distributed to its subscribers during all of said period,
Account Name: City of Edmonds Account Number 101416 Order Number: 0001802302