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Ordinance 1687ORDINANCE NO. AN ORDINANCE ADOPTING THE FINAL BUDGET OF THE CITY OF EDMONDS, FOR THE FISCAL YEAR, COMMENCING JANUARY 1, 1974. WHEREAS, on or before the first business day in the third month prior to the beginning of January 1, 1974, the City Finance Director and the City Administrative Officer submitted to the Mayor the proposed preliminary budget as required by law, and WHEREAS, the Mayor reviewed the preliminary budget making such revisions and/or additions as deemed advisable and prior to 60 days before January 1, 1974 filed the said revised preliminary budget with the City Clerk as his recommendation for the final budget, and WHEREAS, the City Clerk provided sufficient copies of such preliminary budget and budget message and published and posted notice of filing and availability of said preliminary budget together with the date of public hearing for the purpose of fixing a final budget, all as required by law, and WHEREAS, the City Council scheduled hearings on the pre- liminary budget for the purpose of providing information regarding estimates and programs, and WHEREAS, the City Council did meet on the first Monday of the month next preceding the beginning of the ensuing fiscal year for the purpose of fixing the final budget at which hearing all taxpayers were heard who appeared for or against any part of said budget, and WHEREAS, following the conclusion of said hearing the City Council made such adoptions and changes as it deemed necessary and proper, now, therefore, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON DO ORDAIN AS FOLLOWS: Section 1. The final budget for the fiscal year 1974 be and the same hereby is adopted and by this reference the same is hereby incorporated herein as if set forth in full. Section 2. Attached hereto in summary form are set forth the totals of estimated revenues and appropriations for each separate fund and the aggregate totals for all such funds combined, and by this reference the same is incorporated herein as if set forth in full. Section 3. A complete copy of the final budget as adopted together with a copy of this adopting ordinance shall be transmitted by the City Clerk to the Division of Municipal Corporations of the State Auditor and the Association of Washington Cities. APPROVED: W1 ffl a�Il��.r �� � � ATTEST: CITY CLERK PASSED BY THE CITY COUNCIL: December 4, 1973 FILED WITH THE CITY CLERK: December 4, 1973 PUBLISHED: December 12, 1973 - 2 - 1974 BUDGET SUMMARY OF REVENUES General Property Taxes $ 9067148 General Sales Tax 2459000 Gross Receipts Tax on Utilities 2009766 Business Licenses and Permits 139880 Non -Business Licenses and Permits 499600 Federal Grants 3779465 Federal Shared Revenues 2007000 State Grants 4859000 State Shared Revenues 7059785 Grants from Local Units 219500 Payment in Lieu of Taxes 2319237 Charges for Service 972900 Water & Sewer Service 9792298 Fines & Forfeitures 1009250 Interest on Investments 1699056 Rental Income 142400 Sales of Fixed Assets 509750 Contributions from Public Enterprises 267159 Other Miscellaneous Revenues & Refunds 131,100 Sale of Bonds & Interest Bearing Warrants 197007000 Transfers 312?259 Other Non -Revenue Receipts & Interfund Loans 1497483 Equipment Rental Services 1961711 Estimated Cash on Hand 274819653 TOTAL RESOURCES $ 917277400 1974 BUDGET SUMMARY OF EXPENDITURES - GENERAL FUND & FEDERAL SHARED REVENUE Mayor & Council $ 267290 Mayor's Administrative Assistant 307711 City Clerk 437801 Finance Department 1262911 Police Department 6161074 Fire Department 2877895 Planning Department 527570 Building Department 429955 Engineering Department 1127580 Library (Federal Shared Revenue) 0 Building Maintenance 84,909 Parks & Recreation (Fed. Shared Revenue) 0 Swimming Pool 219396 Civil Service Commission 960 City Attorney 267287 Violations Bureau 357258 Civic Center 27000 Non -Departmental 477060 L.E.F.F. Disability Board 57500 Public Works Administration 629545 General Services 1697084 Park Maintenance 1949955 TOTAL GENERAL FUND & FEDERAL SHARED REVENUE $1, 989, 741 EMERGENCY EMPLOYMENT ACT FUND 271465 STREET DEPARTMENT 5347535 STREET ARTERIAL FUND 3907000 SPECIAL LIBRARY FUND 17180 DANGEROUS DRUG CONTROL CONTINGENCY FUND 250 UNDERGROUND WIRING CUMULATIVE RESERVE FUND 907000 PUBLIC TRANSPORTATION FUND 39000 FEDERAL SHARED REVENUE 2217360 1965 G. 0. BOND DEBT SERVICE - PARKS 421635 1965 G. 0. REFUNDING BOND DEBT SERVICE - CIVIC CENTER 379313 WATER/SEWER BONDS - DEBT SERVICE 176097959 1971 SWIMMING POOL BOND DEBT SERVICE 247960 1974 BUDGET SUMMARY OF EXPENDITURES (CONTINUED) 1973 G. 0. BOND REDEMPTION $ 81784 T. 0. P. I. C. S. 1521000 U. A. B. #1 - 76th 500 U. A. B. #2 - 9th Avenue 207000 U. A. B. 46 - 228th Street S. W. 357000 U. A. B. #7 - 220th 4007000 U. A. B. - 196th Avenue 129000 SENIOR CENTER CONSTRUCTION 507000 PARK IMPROVEMENT 407000 SIDEWALK & TRAIL IMPROVEMENT 207000 WATER/SEWER FUND 174447351 UTILITIES CONSTRUCTION 270007000 EQUIPMENT RENTAL FUND 3217684 L.I.D. GUARANTY 106,000 FIREMEN'S PENSION FUND 1277785 CONTINGENCY FUND 169898 TOTAL EXPENDITURES $ 917271400