Ordinance 3939ORDINANCE NO.3939
AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON,
AMENDING ORDINANCE NO. 3920 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 2013
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. 3920 adopting the final budget for the
fiscal year 2013 is hereby amended to reflect the changes shown in Exhibits A, B, C, D, and E
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
1
effect five (5) days after passage and publication of an approved summary thereof consisting of
the title.
ATTEST/AUTHENTICATE:
/ ""4' -/ L�w'�
CITY CLERK, SANDRA S. CHASE
APPROVED AS TO FORM:
OFFICE OF THE CITY ATTORNEY:
BY
JEFF TARADAY
VED: /7 A
R, DAVE EARLING
FILED WITH THE CITY CLERK: 08-16-2013
PASSED BY THE CITY COUNCIL: 08-20-2013
PUBLISHED: 08-25-2013
EFFECTIVE DATE: 08-30-2013
ORDINANCE NO. 3939
2
SUMMARY OF ORDINANCE NO.3939
of the City of Edmonds, Washington
On the 20th day of August, 2013, the City Council of the City of Edmonds,
passed Ordinance No. 3939. A summary of the content of said ordinance, consisting of the title,
provides as follows:
AN ORDINANCE OF THE CITY OF
ORDINANCE NO. 3920 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 21 st day of August, 2013.
'f CITY CLERK, SANDRA S. CHASE
3
EXHIBIT "A": Budget Amendments by Revenue (August 2013)
FUND
NO.
FUND
DESCRIPTION
ORD. NO.
3904
12/11/2012
ORD. NO.
3913
2/2013
ORD. NO,
3920
5/2013
ORD. NO.
8/2013
2013
Amended
Budget
001
General Fund
$ 32,846,292
$ 12,297
$ 23,500
$ 11,868
$ 32,893,957
009
Leoff-Medical Ins. Reserve
600,350
(250,000)
350,350
011
Risk Management Reserve Fund
418,200
250,000
668,200
012
Contingency Reserve Fund
123,223
123,223
014
Historic Preservation Gift Fund
-
15,000
15,000
016
Building Maintenance
56,900
-
56,900
104
Drug Enforcement Fund
20,175
20,175
111
Street Fund
1,406,800
1,406,800
112
Combined StreetConst/Improve
6,223,755
140,000
118,274
6,482,029
117
Municipal Arts Acquis. Fund
59,891
9,994
69,885
118
Memorial Street Tree
27
-
27
120
Hotel/Motel Tax Revenue Fund
52,870
52,870
121
Employee Parking Permit Fund
18,120
18,120
122
Youth Scholarship Fund
2,025
2,025
123
Tourism Promotional Fund/Arts
19,000
19,000
125
ParkAcq/Improvement
650,600
12,000
115,232
777,832
126
Special Capital Fund
650,600
650,600
127
Gifts Catalog Fund
20,483
16,000
36,483
129
Special Projects Fund
14,700
208,100
222,800
130
Cemetery Maintenance/Improv
119,950
119,950
132
Parks Construction
1,869,500
140,850
2,010,350
136
Pa rks Trust Fund
228
228
137
Ce metery Ma inte na nce Trust I'd
14,600
14,600
138
Siste r City Commission
3,517
4,500
8,017
139
Transportation Benefit District
645,000
645,000
211
Lid Fund Control
22,130
22,130
213
Lid Gua ra nty Fund
22,230
-
22,230
231
2012 LTGO De bt Service fund
-
1,009,902
1,009,902
234
Ltgo Bond Debt Service Fund
414,500
(414,500)
-
421
Water
10,625,680
10,625,680
422
Storm
3,486,716
3,486,716
423
Sewer/TreatmentPlant
11,020,123
11,020,123
511
Equipment Rental Fund
1,361,972
-
1,361,972
617
1 Firemen's Pension Fund
45,400
45,400
Totals
1572,835,557
1 5 733,649
1 $163,500
$ 525,868
$ 74,2S8,574
EXHIBIT "B": Budget Amendments by Expenditure (August 2013)
FUND
N0.
FUND
DESCRIPTION
ORD. NO.
3904
12/11/2012
ORD. NO.
3913
2/2013
ORD. NO.
3920
5/2013
ORD. NO.
8/2013
2013
Amended
Budget
001
General Fund
$ 32,836,495
$ 123,008
$ 47,500
$ 322,810
$ 33,329,813
009
Leoff-Medical Ins. Reserve
619,400
619,400
011
Risk Management Reserve Fund
661,000
661,000
014
Historic Preservation Gift Fund
15,000
15,000
016
Building Maintenance
35,000
170,000
-
205,000
104
Drug Enforcement Fund
80,033
-
80,033
111
Street Fund
1,557,715
-
1,557,715
112
Combined Street Const/Improve
6,304,984
20,000
140,000
194,260
6,659,244
117
Municipal Arts Acquis. Fund
130,600
9,200
-
9,994
149,794
120
Hotel/Motel Tax Revenue Fund
68,500
68,500
121
Employee Parking Permit Fund
26,726
26,726
122
Youth Scholarship Fund
4,000
4,000
123
Tourism Promotional Fund/Arts
19,000
-
19,000
125
ParkAcq/Improvement
964,000
322,500
115,232
1,401,732
126
SpecialCapita IFund
662,105
6,429
-
668,534
127
Gifts Catalog Fund
20,020
12,297
11,000
43,317
129
Special Projects Fund
14,700
208,100
222,800
130
Cemetery Maintenance/Improv
152,761
152,761
132
Parks Construction
1,887,500
205,700
2,093,200
138
Sister City Commission
4,600
-
9,137
13,737
139
Transportation Benefit District
645,000
645,000
211
Lid Fund Control
22,130
-
22,130
231
2012LTGO Debt Service Fund
1,009,902
1,009,902
234
Ltgo Bond Debt Service Fund
388,671
(388,671)
-
421
Water
9,195,130
6,720
112,140
9,313,990
422
Storm
4,471,135
94,637
20,000
4,585,772
423
Sewer/Treatment Plant
16,854,966
(24,857)
1,337,910
(6,553)
18,161,466
511
Equipment Rental Fund
1,042,840
52,532
1,095,372
617
Firemen's Pension Fund
108,790
108,790
Totals
$ 78,777,801
1 $1,842,497
1 $1,525,410
1 $ 788,020
$ 82,933,728
EXHIBIT "C": Budget Amendment (August 2013)
Department BARS Category Debit Credit Description
Adjustments 2013 Be i ning Fund Balances
General Fund
001
000
308
00
000
00
Beginnin5 Fund Balance
2,805,793
Beginning Fund
Balanceadjusted
to equal 2012
Actual Ending
Balances
General Fund
001
000
39
508
00
00
00
Endi ng Fund Balance
2,805,793
Leoff-Medical Ins. Res er
009
000
308
00
000
00
Beginning Fund Balance
67,643
Leoff-Medical Ins. Resei
009
000
39
508
00
00
00
EndinE Fund Balance
67,643
Risk Mana ement Res er
011
000
308
00
000
00
Beginning Fund Balance
130,600
Risk Management Reser
0111
000
39
508
00
00
00
Ending Fund Balance
130,600
Contingency ReserveFu
0121
000
308
00
000
00
Be i nni ng Fund Balance
3,934
Contingency ReserveFu
0121
000
39
508
00
00
00
Endi ng FundBalance
3,934
Multimodal Trans orta
0131
000
308
00
000
00
jBeginning
Fund Balance
0
Multimodal Trans orta
0131
000
61
508
00
00
00
Ending Fund Balance
0
Historic Preservation G
014
000
3081
00 1
000
00
Beginning Fund Balance
1,063
Historic Preservation G
014
000
62
5081
00
00
00
Ending Fund Balance
1,063
BuildinE Maintenance
016
000
308
00 1
000
00
Beginning Fund Balance
12,900
Bui I di ng Maintenance
016
000
66
5081
00
00
00 -Ending
Fund Balance
12,900
Drug Enforcement Fund
1041
000
308
00 1
000
00
Beginning Fund Balance
16,870
Drug Enforcement Fund
104
000
41
5081
00
00
00
Endi ng Fund Balance
16,870
Drug Enforcement Fund
104
100
308
00
1 000
00
Beginning Fund Balance
9,996
Drug Enforcement Fund
104
100
41
508
00
00
00
Ending Fund Balance
9,996
Street Fund
111
000
308
00
000
00
Beginning Fund Balance
34,309
Street Fund
111
000
68
508
00
00
00
1 Endi ng Fund Balance
34,309
Combined Street Const/
112
200
308
00
000
00
lBeginning Fund Balance
32,343
Combined Street Const/
112
200
68
508
00
00
00
Ending Fund Balance
32,343
Combined Street Const/
1121
502
3081
00
1 000
00
BeginninE Fund Balance
369
Combined StreetConst/
112
502
68
5081
00
00
00
Ending Fund Balance
369
Combined Street Const/
112
503
308
00
1 000
00
Beginnin& Fund Balance
0
Combined StreetConst/
112
503
68
5081
00
00
00
Endi ng Fund Ba I a nce
0
Combined Street Const/
112
506
308
00
1 000
00
Be i ning Fund Balance
0
Combined Street Const/
112
506
68
5081
00
00
00
Ending Fund Balance
0
Municipal Arts Acquis.
1171
100
3081
00
1 000
00
Be i nni ng Fund Balance
11,718
Municipal Arts Acquis.
1171
100
64
1 5081
00
00
00
Ending Fund Balance
11,718
Municipal Arts Acquis.
117
200
308
00
1 000
00
Beginning Fund Balance
21,724
Municipal Arts Acquis.
117
200
64
508
00
00
00
jEnding Fund Balance
21,724
Municipal Arts Ac q uis.
117
300
308
00
000
00
Beginning Fund Balance
5
Municipal Arts Acquis.
117
300
64
508
00
00
00
Endi ng Fund Balance
5
Memorial Street Tree
118
000
308
00
000
00
Beginning Fund Balance
2
Memorial Street Tree
118
000
64
508
00
00
00
Endi ng Fund Balance
2
Hotel/Motel Tax Revenu
120
000
308
00
1 000
00
Beginning Fund Balance
3,730
Hotel/Motel Tax Revenu
120
000
31
5081
00
00
00
Ending Fund Balance
3,730
Employee ParkinPerm
1211
000
308
00
000
00
Beginning Fund Balance
3,451
Em lovee Parking Perm
1211
000
25
508
00
00
00
Endi ng Fund Balance
3,451
Youth Scholarship Func
1221
000
308
00
000
00
Be i nni ng Fund Balance
929
Youth Scholarship Fun
1221
000
64
508
00
00
1 00
Ending Fund Balance_
929
Tourism Promotional F
1231
000
308
00
000
00
Be i nni ng Fund Balance
216
Tourism Promotional F
1231
000
64
5081
00
00
00
Ending Fund Balance
216
REET2 Parks
1251
000
308
00
000
00
BeginninE Fund Balance
239,769
REET2 Parks
125
000
64
508
00
00
00
Ending Fund Balance
239,769
MEET Transportation
125
100
308
00
000
00
Beginning Fund Balance
19,301
REET2Transportation
125
100
62
508
00
00
00
Ending Fund Balance
19,301
EXHIBIT "C": Budget Amendment (August 2013)
Department BARS Category Debit Credit Description
Adjustments 2013 Be i ning Fund Balances
REET1 Parks Acq
1261
000
308
00 1
000
00
Be i ni ng Fund Balance
98,785
Adjustmentto
beginning
balances
continued
REET1 Parks Acq
1261
000
39
5081
00
00
00
Ending Fund Balance
98,785
Gifts Catalog Fund
127
000
308
00 1
000
00
Be inning Fund Balance
304
Gifts CataloE Fund
127
000
64
508
00
00
00
Ending Fund Balance
304
Gifts Catalo Fund
127
100
308
00
000
00
Be i nni ng Fund Balance
9
Gifts Cata I og Fund
127
100
64
508
00
00
00 jEnding
Fund Balance
9
Gifts Catalog Fund
127
200
308
00
000
00
lBeginning
Fund Balance
6,692
Gifts Catalog Fund
127
200
64
508
00
00
00 1
Endi ng Fund Balance
6,692
Special Projects Fund
129
000
308
00
000
00
lBeginning
Fund Balance
108
Special Projects Fund
129
000
00
508
00
00
00
Ending Fund Balance
108
Cemetery Maintenance
130
000
308
00
000
00
Beginning Fund Balance
6,150
Cemetery Maintenance
1301
000
64
508
00
00
00
Endin Fund Balance
6,150
Cemetery Maintenance
130
100
308
00
000
00
Be inning Fund Balance
612
Cemetery Maintenance
130
100
64
5081
00
00
00
Ending Fund Balance
612
Parks Construction
132
000
308
00 1
000
00
[Beginning
Fund Balance
49,604
Parks Construction
132
000
64
5081
00
00
00 1
Endi n& Fund Balance
49,604
Parks Trust Fund
136
100
308
00 1
000
00
Beginning Fund Balance
8
Parks Trust Fund
136
100
64
5081
00
00
00
Endi ng Fund Balance
8
Parks Trust Fund
136
200
308
00 1
000
00
Beginning Fund Balance
8
Parks Trust Fund
136
200
64
5081
00
00
00
Ending Fund Balance
8
Parks Trust Fund
136
300
308
00
1 000
00
Beginning Fund Balance
2
Parks Trust Fund
136
300
64
5081
00
00
00
Ending Fund Balance
2
Cemetery Maintenance
1371
000
308
00
1 000
00
Beginning Fund Balance
5,966
Cemetery Maintenance
137
000
64
5081
00
00
00
Ending Fund Balance
5,966
Sister City Commission
138
100
308
00
000
00
Be i nni ng Fund Balance
1,248
Sister City Commission
138
100
21
508
00
00
00
Ending Fund Balance
1,248
Sister City Commission
138
200
308
00
0001
00
1
Beginning Fund Balance
1,047
Sister City Commission
1381
200
21
508
00
00
1 00
Ending Fund Balance
1,047
Business Im r District
1401
000
308
00
000
00
1
Beginning Fund Balance
0
Business Im r District
1401
000
61
1 508
00
00
1 00
Ending Fund Balance
0
Lid Fund Control
2111
000
3081
00
000
00
Be i nni ng Fund Balance
0
Lid Fund Control
2111
000
31
508
00
00
00
Endi ng Fund Balance
0
Lid Guaranty Fund
2131
000
308
00
000
00
lBeginning Fund Balance
4,947
Lid Guaranty Fund
2131
000
31
508
00
00
00
jEnding Fund Balance
4,947
2012 Ltgo Debt Service 1
2311
000
308
00
000
00
Be i nni ng Fund Balance
496
2013 Lt o Debt Service 1
2311
000
31
508
00
00
00
Ending Fund Balance
496
Lt o Bond Debt Service 1
2341
000
308
1 00
000
00
Beginning Fund Balance
0
Lt o Bond Debt Service 1
2341
000
31
1 508
00
00
00
Ending Fund Balance
0
Equipment Rental Fund
511
000
3081
00
000
00
Beginning Fund Balance
33,613
Equipment Rental Fund
511
000
77
1 508
00
00
1 00
jEndin& Fund Balance
33,613
Equipment Rental Fund
511
100
3081
00
000
00
1
Beginning Fund Balance
29,071
Equipment Rental Fund
511
100
77
508
00
00
00
EndingFund Balance
29,071
Firemen's Pension Fun
617
000
308
00
000
00
Be innin Fund Balance
6,656
Firemen's Pension Fun
617
000
51
508
00
00
1 00
Ending Fund Balance
6,656
EXHIBIT "C': Budget Amendment (August 2013)
De artment BARS Category Debit Credit Description
Budget Amendments
General Fund
0011
0001
21
513
10
11
00
Salaries
2,265
Mayor's Salary
Adjustment
General Fund
001
000
21
513
10
23
00
Benefits
227
General Fund
001
000
39
508
00
00
00
Ending Fund Balance
2,492
General Fund
001
000
22
521
10
41
00
Professional Services
7,,500
As s es s ment Center
Fundin
General Fund
001
000
39
508
00
00
00
Ending Fund Balance
7,500
General Fund
001
000
22
518
10
49
00
Miscellaneous
1,368
Wellness program
Funds
General Fund
0011
000
369
90
220
00
Miscellaneous Revenue
1,368
General Fund
001
000
31
514
20
11
00
Salaries
43,000
Finance Director
Salary
General Fund
001
000
31
514
20
23
00
Benefits
6,000
General Fund
001
000
31
514
20
41
00
Professional Services
10,500
General Fund
001
000
39
508
00
00
00
Endinf Fund Balance
26,500
General Fund
001
000
41
521
22
11
00
Salaries
23,217
Pol i ce Sepa rati on
Payouts
General Fund
001
000
41
521
22
23
00
Benefits
2,993
General Fund
001
000
41
521
21
11
00
Salaries
14,181
General Fund
001
000
41
521
21
23
00
Benefits
1,824
General Fund
001
000
39
5181
10
11
10
Salaries
42,215
General Fund
001
000
61
5191
70
41
00
Professional Services
4,450
Council Authorized
Appraisal
General Fund
001
000
39
5081
00
00
00
Endin Fund Balance
4,450
General Fund
001
000
62
5241
20
41
00
Professional Services
10,500
Grant Adjustment
General Fund
001
000
333
11
1 100
00
Grant
10,500
General Fund
001
000
64
5761
80
12
00
Overtime
5,000
Parks Overtime
General Fund
001
000
39
508
00
00
00
1 Endi ng Fund Balance
5,000
General Fund
001
000
64
576
80
47
00
Public Utility
15,000
Parks Irrigation
Budget
General Fund
001
000
39
508
00
00
00
Ending Fund Balance
15,000
General Fund
001
000
39
597
19
55
11
Interfund Transfer
250,000
Risk Management
Subfund
General Fund
001
000
39
508
00
00
00
Ending Fund Balance
250,000
Risk Management Resei
011
000
3971
19
001
00
Interfund Transfer
250,000
Risk Management Reser
011
000
39
508
00
00
OO.Ending
Fund Balance
250,000
Municipal Arts Acquis.
117
100
64
573
20
41
1 00
Professional Services
2,833
Arts Summit
Donations /
Expenditures
Municipal Arts Acquis.
117
100
64
573
20
49
1 001
Miscellaneous
110
Municipal Arts Acquis.
117
100
64
573
20
31
1 001Supplies
2,770
Municipal Arts Acquis.
1171
100
64
5731
20
45
1 00
1 Rental
4,281
Municipal Arts Acquis.
117
100
367
00
1 000
00
IDonations
9,994
Gifts Catalog Fund
127
000
64
5751
50
31
001Su2plies
8,000
Gifts Catalog
Benches & Corner
Parks
Gifts Catalog Fund
127
000
367
00
1 000
00
Donations
16,000
Gifts Catalog Fund
127
000
64
5081
00
00
00
Ending Fund Balance
8,000
Gifts Catalog Fund
127
200
64
5731
20
41
00
Professional Services
3,000
Gift Catalog -
Public Art
Gifts Catalog Fund
1271
200
64
5081
00
00
00
Ending Fund Balance
3,000
Sister City Commission
1381
100
21
5571
21
49
00
Miscellaneous
3,737
Sister City
138.100
Sister City Commission
138
100
21
508
00
00
1 00
Endi ng Fund Balance
3,73
Sister City Commission
1381
200
21
557
21
43
00
Student Tri p
2,600
Sister City
138.200
Sister City Commission
1381
200
21
557
21
49
00
Miscellaneous
8,000
Sister City Commission
138
200
367
00
300
00
Student Trip
3,000
Sister City Commission
138
200
367
00
100
00
nniversary Donations
7,500
Sister City Commission
138
200
21
508
00
00
001
Ending Fund Balance
900
EXHIBIT "C": Budget Amendment (August 2013)
Department BARS Category Debit Credit Description
Budget Amendments Continued
Street Construction Fun
112
200
68
595 1
33
65
00
Construction Projects
15,100
7th Avenue
Sidewalk
Street Construction Fun
112
200
367
00 1
000
00
Contributions
3,042
Street Construction Fun
112
200
68
508
00
00
00
Ending Fund Balance
12,058
Street Construction Fun
112
200
68
595
33
65
00
Construction Projects
37,500
School Zone
Flashing Beacon
Street Construction Fun
112
200
334
03
050
00
Grant
37,500
Street Construction Fun
112
502
68
595
64
49
00
Miscellaneous
26,428
Pt Edwards Traffic
Fee Refund
Street Construction Fun
112
502
68
508
00
00
00
Ending Fund Balance
26,428
Water Utility Fund
421
000
74
5941
34
65
10
Construction Projects
100,000
76thAve Waterline
Extension
Water Utility Fund
421
000
74
594
34
65
10
Construction Projects
100,000
Sewer Utility Fund
423
000
75
594
35
41
30
Professional Services
27,087
Sanitary Sewer
Comp Plan
Sewer Utility Fund
4231
000
75
508
00
00
00JEnding
Fund Balance
27,087
Street Construction Fun
112
1 200
68
595
33
65
00
Construction Projects
213,732
5th Avenue
Overlay
Street Construction Fun
112
1 2001
68
595
95
65
911
Reimbursement from other funds
98,500
Street Construction Fun
112
200
397
42
1 125
00
llnterfund Transfer
115,232
REET 2
125
100
318
35
1 000
00
1 REET 2 Revenue
115,232
REET2
125
100
62
5971
42
55
121nterfundTransfer
115,232
Water Utility Fund
421
000
74
5941
34
65
90
Reimbursementto other
78,500
Water Utility Fund
421
000
74
508
00
00
1 00JEnding
Fund Balance
78,500
Storm Utility Fund
422
000
72
594
31
65
1 901
Reimbursement to other 1
20,000
Storm Utility Fund
422
000
72
508
00
00
1 00
1 Endi ng Fund Balance
20,000
Water Utility Fund
421
000
74
594
34
65
901
Reimbursement to other,
33,640
LiftStation Project
Water Utility Fund
421
000
74
508
00
00
00
Ending Fund Balance
33,640
Sewer Utility Fund
423
000
75
594
35
65
91
Reimbursement from other funds
33,640
Sewer Uti I ity Fund
423
1 000
75
508
1 00
00
001EndinR
Fund Balance 33,640
EXHIBIT "D": Budget Amendment Summary (August 2013)
Fund Number
Change in
Beginning Fund
Balance
Revenue
Expense
Change In Ending
Fund Balance
001
2,805,793
11,868
322,810
2,494,851
009
67,643
-
-
67,643
011
(130,600)
250,000
119,400
012
(3,934)
(3,934)
014
1,063
1,063
016
12,900
12,900
104
26,866
26,866
111
(34,309)
(34,309)
112
32,712
118,274
194,260
(43,274)
117
33,437
9,994
9,994
33,437
118
(2)
(2)
120
(3,730)
(3,730)
121
3,451
3,451
122
929
929
123
216
-
216
125
259,070
115,232
115,232
259,070
126
98,785
-
98,785
127
6,987
16,000
11,000
11,987
129
(108)
-
-
(108)
130
5,538
5,538
132
49,604
49,604
136
(18)
(18)
137
5,966
-
-
5,966
138
(2,295)
4,500
9,137
(6,932)
213
4,947
-
4,947
231
496
-
496
421
-
112,140
(112,140)
422
20,000
(20,000)
423
(6,553)
6,553
511
4,541
4,541
617
6,656
6,656
Total Change
3,252,604
525,868
788,020
2,990,452
Above is a summary of changes to various funds. Budget amendments pertaining to the fund are as follows.
Fund Name and Title
All Funds except the Utility Funds
General Fund 001
Budget Amendment Summary
Adjust Beginning Fund Balance to 2012 Actuals
Mayor's Salary
Civil Service Assessment Center
Wellness Program
Finance Director Salary
Police Separation Payouts
Council Authorized Appraisal
Grant Adjustment
Parks Overtime
Parks Irrigation Budget
10
EXHIBIT "D": Budget Amendment Summary (August 2013)
Fund Name and Title Budget Amendment Summary (Continued)
General Fund 001 (Continued) Risk Management Subfund
Risk Management Reserve 011 Risk Management Subfund
Street Construction Fund 112 71h Avenue Sidewalk
School Zone Flashing Beacon
Pt Edwards Traffic Fee Refund
5`h Avenue Overlay
Municipal Arts Acquis. Fund 117
Arts Summit
REET 2 125
5`h Avenue Overlay
Gifts Catalog Fund 127
Benches and Corner Park
Public Art
Sister City Commission 138
Student Trip
Anniversary Donations
Water Utility 421
76 h Ave Waterline Extension
51h Avenue Overlay
Lift Station Project
Stormwater Utility 422
51h Avenue Overlay
Sewer Utility 423
Sanitary Sewer Comp Plan
Lift Station Project
11
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Roger Neumaier, Finance Director
Finance Department
Mayor's Salary Adjustment
During 2013 budget development, the Mayor informed staff that he was not interested in a salary increase
as directed by the Citizen's Commission on Elected Official Compensation. As a result, it was not included in
budget. During budget implementation, question arose whether recommendations of Citizens Commission
were mandatory for Councilmembers, the Mayor and the Judge.
The increase was not budgeted for in 2013. Later, questions arose regarding whether the increase was
mandatory since it was in the recommendations by the Citizen's Commission . The issue was forwarded to
the City Attorney for a legal interpretation. In early January, the City Attorney determined that it should
have been automatically rolled into the salary schedule. As a result, Finance staff initiated the pay increase
at that time. When the the Mayor realized that the increase had occurred, he donated the pay difference to
a local organization.
In February, questions came up during the Council hearing to amend the budget to include the increase.
Those questions regarding whether the salary increase was required were referred to the City Attorney and
Human Resources. This action will fund the pay increase that was initiated in January. Without this action
or removing the pay increase, the Office of the Mayor's budget will show a year end negative variance.
Expenditure Increase (Decrease)
Fund #
Fund Title
Object
BARS Number
Amount
001
Mayor's Office
Salaries
001.000.21.513.10.11.00
2,265
001
Mayor's Office
Benefits
001.000.21.513.10.23.00
227
Total Expenditure Increase (Decrease)
$ 2,492
Revenue (Increase) Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue (Increase) Decrease
$
Ending Fund Balance Increase (Decrease)
Fund
Fund Title
BARS Number
Amount
001
General Fund
Fund Balance
001.000.39.508.00.00.00
(2,492)
Total Ending Fund Balance Increase (Decrease)
12
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Mary Ann Hardie
Human Resources
Additional funds for Assessment Center
There will be a Sergeant Assessment Center at the City on 10/2/13 coordinated through Public
Safety Testing. During the budget reduction process in 2013, there was a reduction from the Civil
Service budget of $4,500 as there was not a forecasted need for an assessment center at that
time. The Assessment Centerfees have increased due to the newtesting parameters. The
cost of the upcoming Assessment Center is $8500.
Additionally, there was an unexpected retirement in June 2013 in the department as well as a
loss of an officer to another agency in July 2013. As par tof the recruitment process to fill for
those position, there have been additional medical and psychological testing fees which have
also increased the normal expenditures from the Civil Service budget. Having the additional
$7,500 will cover the costs of both the Sergeant Assessment Center and the required medical
examination fees as part of the recruitment process.
Expenditure Increase (Decrease)
Fund #
Fund Title
Object
BARS Number
Amount
521
General Fund
Professional Service,
001.000.22.521.10.41.00
$ 7,500
Total Expenditure Increase (Decrease)
S 7,500
Revenue (increase) Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue(Increase)Decreas
i $
Endine Fund Balance Increase (Decrease)
Fund
Fund Title
BARS Number
Amount
Ending Fund Balance
001.000.39.508.00.00.00
S (7,500
Total Ending Fund Balance Increase (Decrease)
1 $ (7,500)
13
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Mary Ann Hardie
Human Resources
Description on Budget Amendment Summary: Wellness program funds
Budget Amendment Detailed Description:
There was a forfeiture of funds from the Flexible Spending Account in the amount of $1368.
These funds will be used toward the development of the wellness program to include an
incentive program for employees to encourage them create and maintain healthier habits
through nutrition education and fitness activities . The wellness program may include guest
speaker costs as well as small incentives for completing fitness goals (such as t-shirts, water
bottles, etc.).
The net impact of a wellness program would be to have healthier, productive employees with
less stress and health issues, lower lost work days and potentially lower L & I injury costs and
medical insurance utilization costs (which affect our bottom line premium costs).
Fxnenditure Increase (Decreasel
Fund #
Fund Title
Object
BARS Number
Amount
001
General Fund
Misc
001.000.22.518.10.49.00
$ 1,368
Total Expenditure Increase (Decrease)
$ 1,368
Revenue (Increasel Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
001
General Fund
Flex Plan Services
001.000.369.90.220.00
$ (1,368)
Forfeitures
Total Revenue Increase Decreas
$ (1,368)
Ending Fund Balance Increase IDecrease
Fund
Fund Title
BARS Number
Amount
Total Ending Fund Balance Increase (Decrease)
$ -
14
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By: Roger Neumaier
Department: Finance Department
Description on Budget Amendment Summary: Finance Director Salary
Budget Amendment Detailed Description:
In February of this year, the previous Finance Director resigned. In addition to final
compensation, he was paid accrued vacation. A contracted Finance Director filled that position
until early June. A transfer was made from salaries to professional services.
In early June a Finance Director was hired by the City. This decision package requests funding for
the full amount that will be incurred. Based upon June 3Oth information, the Finance
Department administration area has been underfunded by about $26,500.
This package requests that funding. There are no alternative sources of funding within the
Finance Department.
Exi3enditure Increase (Decrease)
Fund #
I Fund Title
Object
BARS Number
Amount
001
lGeneral Fund
Salaries
001.000.31.514.20.11.00
43,000
001
lGeneral Fund
Benefits
001.000.31.514.20,23.00
(6,000)
001
General Fund
Professional Service
001.000.31.514.20.41.00
(10,500)
Total Expenditure Increase (Decrease)
$ 26,500
Revenue (Increase) Decrease
Fund I
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue (Increase) Decreas
$
Endine Fund Balance Increase (Decrease)
Fund
Fund Title
BARS Number
Amount
001
General Fund
Fund Balance
001.000.39.508.00.00.00
(26,500)
Total Ending Fund Balance Increase (Decrease)
$ (26,500)
15
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Deb Sha
Non -Departmental
Police Separation Payouts
Sgt. Cameron retired effective June30, 2013. There is money in the non -departmental
budgetto coverpayouts at separation. The police department requestthatthe $26,210.21
of salaryand benefit costs associated with Sgt. Cameron's retirement payout, and the
$16,004.58 of salary and benefitcosts associated with Officer Frausto's separation payout
be reimbursed to the department budget from the non -departmental account. The
department has already absorbed the separation costs for Daniel Lavely and Bil I Nelson out
of its current budget.
Exnenditure Increase (Decrease)
Fund #
Fund Title
Object
BARS Number
Amount
001
General
Patrol Salaries
001.000.41.521.22.11.00
23,217
001
General
Patrol Benefits
001.000.41.521.22.23.00
2,993
001
General
Investigation Salarie
001.000.41.521.21.11.00
14,181
001
General
Investigation Benefit
001.000.41.521.21.23.00
1,824
001
General
Nondepa rtmenta 1
001.000.39.518.10.11.10
42,215)
Total Expenditure Increase (Decrease)
$
Revenue (Increase) Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue Increase Decreas
$
Endine Fund Balance Increase Mecreasel
Fund
Fund Title
BARS Number
Amount
Total Ending Fund Balance increase (Decrease)
$
16
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Stephen Clifton
Community Services
Description on Budget Amendment Summary: Council authorized appraisal
Budget Amendment Detailed Description:
This amendment is due tothe motion passed by Edmonds City Council on April 16, 2013 to
authorize a real estate appraisal for property located at City owned Admiralty Acres Lot#12
(Snohomish County Tax Parcel ID No. 00370800101200), with funding for appraisal from
ending cash balance 2012.
_.�: �_ ram,. ,.►
Fund #
Fund Title
Object
BARS Number
Amount
001
General
Professional Sery
001.000.61.519.70.41.00
4,450
Total Expenditure Increase (Decrease)
$ 4,450
Revenue (Increase) Decrease
Fund Fund Title Revenue Source BARS Number Amount
Total Revenue (Increase) Decreas $
Fund
Fund Title
BARS Number
Amount
001
General
001.000.39.508.00.00.00
(4,450)
Total Endi ng Fund Balance Increase (Decrease
$ (4,450)
17
Prepared By:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Rob Chave
Department: Development Services
Description on Budget Amendment Summary: Grant Adjustment
Budget Amendment Detailed Description:
This amendment will adjust the Development Services budget to reflect a reimbursement grant
for $10,500 recently received by the department. This is the 2nd installment of this grant, which
is from the State Department of Energy. The grant match of 20% was accomplished by charging
staff time taken to update online permit access and solar permitting procedures, projects which
fit into the department's regular work priorities. The money received will be allocated to offset
and restore some of the budget cuts required to be taken in the 2013 budget cycle, specifically to
provide needed permit processing assistance in the Building Division to respond to high permit
loads.
Exnenditure Increase (Decrease)
Fund #
Fund Title
Object
BARS Number
Amount
001
Building
Prof Services
001.000.62.524.20,41.00
10,500
Total Expenditure Increase (Decrease)
$ 10,500
Revenue (increase) Decrease
Fund
I Fund Title
Revenue Source
BARS Number
Amount
001
JGeneral Fund
Grant
(10,500)
Total Revenue (Increase) Decreas
$ 10,500)
Endine Fund Balance Increase [Decrease]
Fund
Fund Title
BARS Number
Amount
Total Ming Fund Balance lncrease(Decrease)
$
18
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Rich Linds
Parks & Receation
2013 Parks overtime account line
The Parks Department annual requestfor$5,O00 in overtime funding was left out ofthe
2013 budget process. The Parks Department requests $5,000 be added to their2O13
overtime budget.
FYnanrlihirP InrrPaGP iraPCrP-as@i
Fund #
Fund Title
Object
BARS Number
Amount
001
General Fund
Overtime
001.000.64.576.80.12.00
5,000
Total Expenditure Increase(Decrease)
$ 5,000
Revenue (increasel Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue (Increase) Decreas
$
Fnriinv Fiind RalanrP InrraasP Mp.ereasgi
Fund
Fund Title
BARS Number
Amount
001
jGeneral Fund
001.000.39.508.00.00.00
(5,000)
Total Ending Fund Balance Increase (Decrease)
$ (5,000
19
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Sarah Cocker
Parks, Recreation and Cultural Services
Description on Budget Amendment Summary: Restoring Parks Irragation Budget
Budget Amendment Detailed Description:
City Council approved the restoration of the Parks Irrigation Budgetto allow forwaterand
mowingto be restored to basic maintenance levels, previously not budgeted in the 2013
budget. The estimated amount needed forthe remainerof the yearis $15,000.
Fvnonrlitnra Inrrpacp inprrpacpl
Fund #
Fund Title
Object
BARS Number
Amount
001
lGeneral Fund
Public Utlitly
001.000.64.576.80.47.00
15,000
Total Expenditure Increase (Decrease)
$ 15,000
Revenue (Increase) Decrease
Fund Fund Title Revenue Source BARS Number Amount
Total Revenue (Increase) Decreas . $
Endinry Fund Balance Increase (Decrease)
Fund
I Fund Title
BARS Number
Amount
001
General Fund
001.000.39.508.000.000.00
15,000)
Total Endin Fund Balance Increase (Decrease)
$ (15,000
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Roger Neumaier
Finance
Description on Budget Amendment Summary: Risk Management SubFund
Budget Amendment Detailed Description:
Within the General Fund, the Risk Management SubFund is utilized to reserve forand pay off
costs related to litigation. The SubFund has a negative fund balance of $128,800. This
appropriation requestwould fund thatshortfall and create an additional risk management
reserve of$121,200 which will be availableforfuture council authorized settlements.
The appropriation will reduce fund balance in the General Operations Fund Balance but it
will not impact overall fund balance in the General Fund.
Expenditure Increase Decrease
Fund #
Fund Title
Object
BARS Number
Amount
001
General Fund
Interfund Transfer
001.000.39.597.19.55.11
250,000
Total Expenditure Increase Decrease
$ 250,000
Revenua flnrraasal nacrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
011
Risk M mt Reserve
Interfund Transfer
011.000.397.19.001.00
(250,000)
Total Revenue (increase) Decreas�
$ 250,000
Fndinn Fund Balance Increase Mecrease)
Fund
Fund Title
BARS Number
Amount
001
General Fund
001,000.39.508.00.00.00
(250,000)
011
Risk M mt Reserve
011.000.39.508.00.00.00
250,000
Total Ending Fund Balance Increase (Decrease)
i $
21
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Frances Chapin
Parks, Recreation & Cultural Services
Description on Budget Amendment Summary: Arts Summit Donations/Expenditures
Budget Amendment Detailed Description:
In March 2013 the Mayor announced thatthe City would be holding an Arts Summit atthe
end of June. This was an unbudgeted intitiative. All fundingfortheSummit (outside of staff
time) came from donations. Donations were deposited in the 117100 Municipal Arts Fund
and all expenditures were made out of that fund. A total of$9,995 was received by the City
from seven different community organizations, businesses, and foundations. The funding
was for preparations, presentation, and followupforthe full day Arts Summit event held at
the Edmonds Centerforthe Arts on June 29, 2013. Expenditures for professional services
and supplies forthe Arts Summit eventtotaled $9,995.
Fxnenditure Increase 1Decreasel
Fund #
Fund Title
Object
BARS Number
Amount
117
Municipal Arts
2rof services
117 100 64 573 20 4100
2,833
117
Municipal Arts
miscellaneous
117 100 64 573 20 49 00
110
117
Municipal Arts
supplies
117 100 64 573 20 3100
2,770
117
Munici al Arts
rental
117 100 64 573 20 45 00
4,281
Total Expenditure Increase (Decrease)
$ 9,994
Revenue (Increase) Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
117
Municipal Arts
donations
117 100 367 00 000 00
(9,994)
Total Revenue Increase Decreas
S (9,9941
Endin¢ Fund Balance Increase (Decrease)
Fund
Fund Title
BARS Number
Amount
Total Ending Fund Balance Increase (Decrease)
$
22
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Renee McRae
Parks, Recreation & Cultural Services
Description on Budget Amendment Summary: Gifts Catalog Benches & Corner Parks
Budget Amendment Detailed Description:
At the time the 2013 budget was completed, we did not anticipate that we would be adding
additional benches. After the completion of the Main Street project, between 5th and 6th
Avenue, it was decided that we would add three benches. We also are adding a bench to Pine
Street Park.
All four benches have been paid for as part of the Gifts Catalog program and the revenue covers
the expense of the benches.
A new program, Adopt -A -Corner Park, was started in 2013. This program brought in $8,000 in
revenue which wasn't part of the adopted 2013 budget.
EMnnnrlitiirP InrrPaGP IDP(rPa.;P1
_..r _.. �.__.
Fund #
_ --- __-_ — _- __ _ _
Fund Title
Object
BARS Number
Amount
127
Gifts Catalog
Supplies
127.00.0.64.575.50.31.00
8,000
Total Expenditure increase (Decrease)
$ 8,000
RauanuP 1InrrPa9P1 Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
127
JGifts Catalog
Contributions/Donat
127.000.367.00.000.00
(16,000)
Total Revenue (Increase) Decreas .
$ (16,000)
Endiniff Fund Balance Increase Decrease
Fund
I Fund Title
BARS Number
Amount
127
JGifts Catalog
Ending Cash
127.000,64.508.00.00.00
8,000
Total Ending Fund Balance Increase (Decrease)
1
1 $ 8,000
23
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Frances Chapin
Parks, Recreation & Cultural Services
Description on Budget Amendment Summary: Gift Catalog Fund 127 200- Public Art
Budget Amendment Detailed Description:
The 127 200 program is for publicart projects funded through donations. The current
program is for art enhanced flower basket poles that can be commemorated through a
donation. Donations and expenditures are not always made in the same year. The
professional services line for purchase of the pole and artwork is being increased by $3,000
to accommodate the potential acquisition of more poles towards the end of 2013, The
revenue is from ending cash, all of which is previously donated funds.
Fund #
_ Fund Title
Object
BARS Number
Amount
127 200
Gift Catalog -Public Art
prof services
127 200 64 573 20 4100
3.000
Total Expenditure Increase Decrease
$ 3,000
Revenue (increase) Decrease
Fund Fund Title Revenue Source BARS Number Amount
Total Revenue (Increase) Decreas $
Fund
Fund Title
BARS Number
Amount
127 2001
Gift Catalog -Public Art
ending cash
127 200 64 508 00 00 00
(3,000)
Total Ending Fund Balance Increase(Decrease)
$ 13,000)
24
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Carolvn LaFave
Mayor's Office
Sister City Commission - Fund 138.100
2013 marks the 25th anniversary celebration of the sistercity relationship between
Edmonds and Hekinan Japan. Forthis anniversary celebration, this Fallwe will be hosting a
37 memberdelegation from Hekinan. The added expenditures reqeusted will cover:1)
transportation of the delegation to and from the airport 2)hotel accomodationsfor day use
by home stay delegates upon their arrival in Edmonds 3) venue rental costs forthe
Commission's October30th Cultural Fair.
Expenditure Increase (Decrease)
Fund #
Fund Title
Object
BARS Number
Amount
138
Sister City Commission
Miscellaneous
138.100.21.557.21.49.00
3,737
Total Expenditure Increase (Decrease)
3,737
navanue flncreacel Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue Increase) Decreas
$
Enclincr Fund Balance Increase Decrease
Fund
Fund Title
BARS Number
Amount
138
Sister City Commission
138.100,21.508.00.00.00
3,737
Total Endin Fund Balance Increase (Decrease)
S (3,737)
25
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Carolyn LaFave
Mayor's Office
Sister Citv Commission - Fund 138.200
2013 marks the 25th anniversary celebration of the sistercity relationship between
Edmonds and Hekinan Japan. Forthisanniversary celebration, this Fallwewill behosting a
37 memberdelegation from Hekinan. Forthis reason we applied for and secured a $7,500
grant from the Hazel Mil I e r Foundation. These funds will cove rthe delegation Friendship
dinnerand activities and events scheduled forourdeIegates. Also included in this
amendment, this yearthe Edmonds SisterCity Commission and the Hekinan SisterCity
Association made the decision to not do a student exchange for calendaryear 2013. Due to
that, we will not receive orexpend any student trip funds. The student exchange program
will commence again in 2014.
Fxnenditure Increase fDecreasel
-- -------------------
Fund #
Fund Title
Object
BARS Number
Amount
138
Sister City Commission
Student Trip
138.200.21.557.21.43.00
2,600
138
Sister City Commission
Miscellaneous
138.200.21.557.21.49.00
8,000
Total Expenditure Increase (Decrease)
$ 5,400
Revenue flncreasel Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
138
Sister City Commission
Student Trip
138.200.367.00.300.00
3,000
138
Sister City Commission
Anniversary Contr
138,200,367.00.100.00
(7,500)
Total Revenue Increase Decreas
$ (4,500)
Fnrlina Fund Ralanre Increase (Decreasel
Fund
Fund Title
BARS Number
Amount
138
Sister City Commission
138.200.21.508.00.00.00
(900)
Total Ending Fund Balance Increase (Decrease)
S (900)
F
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Rob English
Public Works Department
7th Ave Sidewalk
The property owner of 220th 7th Ave offered to pay for 104 feet of new sidewalk along their
property frontage across from Civic Playfields. The Public Works Department reviewed the
request and found the existing curb and gutter adjacent to the proposed sidewalk in poor
condition. The curb and gutter must be replaced to allow the sidewalk to be constructed. The
improvements will be completed with a small works contract and the City will pay for the curb
and gutter replacement and one curb ramp and the property owner will reimburse the City for
the new sidewalk.
C..nnnrl i4.— Inrrnmen Inn
Fund #
'} Fund Title
Object
BARS Number
Amount
112
Street Const Fund
Const Surf Const Pro
112.200.68.595.33.65.00
15,100
Total Expenditure Increase (Decrease)
15,100
P—a—in %inrrancnl narrancp
Fund Title
Revenue Source
BARS Number
Amount
reet Const Fund
Contribution
112.000.367.00.000.00
(3,042)
ft
nue(Increase) Decreas
$ (3,042)
Endina Fund Balance Increase (Decrease
Fund
Fund Title
BARS Number
Amount
112
Street Const Fund
Cash & Invesl
112,200.68.508.00.00.00
12,058)
—Ending
Total Ending Fund Balance Increase (Decrease)
I
is (12,058)
27
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By: Rob English
Department: Public Works Department
Description on Budget Amendment Summary: School Zone Flashing Beacons
Budget Amendment Detailed Description:
In 2013, the City secured a grant from the Washington Traffic Safety Commission to install
flashing beacons in five school zones. This amenment will program the expense and grant
revenue for the project.
Expenditure Increase (Decrease)
Fund #
Fund Title
Object
BARS Number
Amount
112
Street Const Fund
Const Surf Const Pro
112.200.68.595.33.65.00
37,500
Total Expenditure Increase (Decrease)
$ 37,500
Revenue (Increase) Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
112
Street Const Fund
Grant
112,200.334.03.500.00
37,500
Total Revenue (Increase) Decreas
$ (37,500
Endiney Fund Balance Increase (Decrease)
Fund
Fund Title
BARS Number
Amount
Total Ending Fund Balance Increase (Decrease)
$ 7-1
28
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Rob English
Public Works
Pt Edwards Traffic Fee Reimbursement
In June 2013, the City refunded $26,427.15 to Point Edwards LLC for traffic mitigation fees
collected in 2004. The mitigation fee was collected in 2004 as a contribution for signalization
improvements to be built with the Edmonds Multi -Modal project. The fee, plus interest, was
returned to Point Edwards in accordance with RCW 82.02.020 since the signalization
improvements were not built.
Expenditure Increase IDecreasel
Fund #
Fund Title
Object
BARS Number
Amount
112
Street Const. Fund
Miscellaneous
112.502.68.595.64.49.00
26,428
Total Expenditure Increase (Decrease)
$ 26,428
Revenue iincreasel Decrease
Fund
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue Increase Decreas
$
Ending Fund Balance Increase iDecrease)
Fund
Fund Title
BARS Number
Amount
112
Street Const. Fund
Ending Cash & Invesl
112.502.68.508.00.00.00
(26,428)
Total Ending Fund Balance Increase (Decrease)
S (26„428)
W
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By:
Department:
Description on Budget Amendment Summary:
Budget Amendment Detailed Description:
Rob English
Public Works Department
76th Ave Waterline Extension
The 2013 Budgetforthe 76th Ave Waterline Replacement Project is currently $665,000.
Based on unforseen soils contamination and the possibility of other unforeseen site specific
circumstances forthe project and management costs, the project budget needs to be
increased by an additional$100,000, bringing the project total to $765,000.
The additional $100,000 will be transferred from the 2013 project budgetforthe 2013
Waterline Replacement Program. The 2013 Budgetforthe 2013 Waterline Replacement
Program will be reduced to $1,577,719.
-�:...__ 1... 1n...........5
Fund #
Fund Title
Object
BARS Number
Amount
421
Water Utility Fund
Construction
421.000.74.594.34.65.10
(100,000)
421
Water Utilit Fund
Construction
421.000.74.594,34.65.10
100,000
Total Expenditure Increase Decrease
$
Revenue (Increase) Decrease
Fund Fund Title Revenue Source BARS Number Amount
Total Revenue (Increase) Decreas $
Ending Fund Balance Increase juecreasep
Fund I Fund Title I I BARS Number Amount
Total Ending Fund Balance Increase (Decrease) I I $
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By: Rob English
Department: Public Works Department
Description on Budget Amendment Summary: Sanitary Sewer Comprehensive Plan
Budget Amendment Detailed Description:
This amendment will provide additional sewer utility funds for the Sanitary Sewer
Comprehensive Plan. The project is currently in progress. This amendment will program unspent
funds from 2012 to 2013 to match the approved current budget of $218,100.
r-anriifiwo lnrranca fnarraacQl
Fund #
- Fund Title
Object
BARS Number
Amount
423
ISewer Utility Fund
Professional Svcs
423.000.75.594.35.41.30
27,087
Total Expenditure Increase (Decrease)
$ 27,087
Ravenna Oncrease! nacre-P
Fund -
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue Increase Decreas
$ -
Fnrllna ri—A Rnlnnre inrranca lnarraaRPl
Fund
Fund Title
BARS Number
Amount
423
Sewer Fund
Endi nE Fund Balance
423.000.75.508.00.00.00
(27,087)
Total EndingFund Balance Increase (Decrease)
$ (27,087
31
Prepared By:
Department:
EXHIBIT "E": Budget Amendment Detail (August 2013)
Rob English
Public Works
Description on Budget Amendment Summary: 5th Ave Ove
Budget Amendment Detailed Description:
This amendment provides $213,732 funding authorization in 2013 for the 5th Ave Overlay
project. The additional funding is required to pay for a higher than expected bid to construct the
project. With the improving economy, repaving costs have grown.
The additional cost is allocated to the Water Utilty Fund which had a waterline replacement
project that created the need for overlay, the Storm water Utility Fund which benefits from the
project as a result of stormline improvements and their impact on the pavement, and REET II.
The REET II contribution is funded by greaterthan anticipated 2013 revenues.
The project overall costs will be just over $1 million and the majority of the costs ($551 thousand)
are being funded by a federal grant.
Ex enditure Increase (Decrease
Fund #
Fund Title
Object
BARS Number
Amount
reet Const Fund
Const Surf Const Pro'
112.200.68.595.33.65.00
213,732
reetConst Fund
Reimbursement from
112.200.68.595.95.65.91
(98,500)
ET
Interfund Transfer
125.100.62.597.42.55.12
115,232
$125
ater Utilit Fund
Reimbursementto of
421.000.74.594.34.65.90
78,50ormwater
Utility Fund
Reimbursement to of
422.000.72.594.31.65.90
20,000
Total Expenditure Increase (Decrease)
$ 328,964
Ravanua t1nrrPaaa1 DP
Fund
Fund Title
Revenue Source
BARS Number
Amount
125
REET
REET Revenue
125.100.318.35,000.00
(115,232)
112
Street Const Fund
Interfund Transfer In
112.200.397.42,125.00
(115,232)
Total Revenue (Increase) Decreas
$ (230,464)
Fndirip Fund Balance Increase Mecrease]
Fund
Fund Title
BARS Number
Amount
421
Water Utili Fund
Endi ng Fund Balance
421.000,74.508.00.00.10
(78,500)
422
Stormwater Utility Fund
Endi ng Fund Balance
422.000,72.508,00.00.00
(20,000)
Total Endi ng Fund Ba I a nce I ncrea s e (Decrea s e)
1 $ (98,500)
32
EXHIBIT "E": Budget Amendment Detail (August 2013)
Prepared By: Rob English
Department: Public Works Department
Description on Budget Amendment Summary: Lift Station Project
Budget Amendment Detailed Description:
The Sewer Lift Station project included water line improvements. This amendment will program
a transfer of $33,640 from the Water Utility Fund to the Sewer Utility Fund to pay for the
waterline work.
Expenditure Increase Decrease)
Fund # I
Fund Title
Object
BARS Number
Amount
421
lWater Utility Fund
Reimbursement to of
421.000.74.594.34.65.90
33,640
423
ISewer Utility Fund
Reimbursement from
423.000.75.594.35,65.91
(33,640)
Total Expenditure Increase (Decrease)
$
Pawannn finrrnacni narrense
Fund
y•
Fund Title
Revenue Source
BARS Number
Amount
Total Revenue (Increase) Decreas
$
Fnrlina Funrl Rnlanrp Increase (Decrease]
Fund
Fund Title
BARS Number
Amount
421
Water Utility Fund
421.000.74.508.00.00.00
(33,640)
423
Sewer UtiIi Fund
423.000.75.508.00.00.00
33,640
Total Ending Fund Balance Increase (Decrease)
$ -
33
Affidavit of Publication
STATE OF WASHINGTON,
COUNTY OF SNOHOMISH } S.S.
SOMMIAR•rtJF ORDINANCE NO, 3939 The undersigned, being first duly sworn on oath deposes and says that she is. Principal Clerk of
01 the City of Edmonds. Washivon
On 1ho tam day of August. 2013. the City Council of the Cilyof THE HERALD, a daily newspaper printed and published in the City of Everett, County of
=1101tls, passetlOrdlnance No.3939. A summary of the content Snohomish, and State of Washington; that said newspaper is a newspaper of general
M sae4t ordinance, Coresislln of the tllfe. provides as 10110sv6_
AN ORDINANCE Or THE CITY OF EDV.0NOS. circulation in said County and State; that said newspaper has been approved as a legal
RSTCTOF'IUANTC ARSaD ULNTED TA FERSANnewspaper by order of the Superior Court of Snohomish County and that the notice
EXPENDITURES OF VARIOUS FUNDS. AND FD(ING A
TIME WHEN THE SAME SHALL BECOME EFFECTIVE..
The full text o1 this 04mincv wiq be mailed upon request
DATED Ibis 2181 day or Augutll, 2013.
Published: August 25, 2013. .
41TY 8LER1t. SANDRA S. CHASE Summary of Ordinance No. 3939
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 25, 2013
and that said newspaper was regularly distributed to its subscribers during all of said period.
Subscribed and sworn to before me this
day of Augusl, 2013
Notary Public in and for the State of
County,
Account Name: City of Edmonds Account Number: 101416
26th
el tV Ct'
Q 9° NOTARY
s�t;,.5i fg at F�Ugohonl shy
,A 2.17-2016 , a
Op WASNA
Order Number: 0001830761