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Ordinance 25980006.03004 WSS/naa 11/20/86 ORDINANCE NO. 2598 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE 1986 BUDGET, BY AMENDING ORDINANCE NO.2546, PASSED BY THE CITY COUNCIL ON DECEMBER 17, 1985, IN ORDER TO TRANSFER MONIES FROM SPECIFIED FUNDS TO OTHER SPECIFIED FUNDS AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE WHEREAS, the City is required by State law to finalize its final budget prior to the commencement of the fiscal year, and WHEREAS, the amounts of revenue and appropriation can only be estimated at the time of finalization of said budget, and WHEREAS, this ordinance has been on file with the City Clerk since November 20, 1986, and the public has been given an opportunity to comment prior to the adoption of this ordinance, and WHEREAS, the City Council finds it is in the best interest of the City to make the expenditures and adjustments to the various funds as set forth below, that such expenditures and adjustments are in the best interest of the public health, safety and general welfare, and that these expenditures and adjustments could not have reasonably been anticipated at the time of the passage of the 1986 budget, NOW, THEREFORE, FOLLOWS: THE CITY COUNCIL OF EDMONDS, WASHINGTON, DO ORDAIN AS Section 1. That section 2 of Ordinance 2546, passed by the City Council on December 17, 1985, and the budget, attached thereto as Exhibit A and incorporated by reference in that Ordinance showing the schedule of revenues and appropriation for each individual fund and the aggregate totals thereof, are hereby amended as follows: A. General Fund #001 Increase expenditures of the various departments as follows, as well as General Fund revenues as a result of transfers from the Council Contingency Fund #119: Dept/Div. Purpose Amount City Council Main Streets Project $ 7,500 City Clerk Voter Registration Assessment 14,735 $22,235 B. Street Fund #111 Increase the beginning cash balance by $92,372, expenditures by $45,532, and ending cash by $46,840. The increase in expenditures is for transfer of $15,532 to the Equipment Rental Fund for the purchase of an asphalt spreader and $30,000 for the crosswalk marking project. C. Building Maintenance Fund #116 Increase the beginning cash balance by $4,155 and revenues from interest earnings by $1,977 and expenditures by $27,600 of which $25,000 was authorized for removing asbestos from the Community Services Building and $2,600 for reroofing the Anderson Center. Decrease ending cash balance by $21,468. D. Convention/Performing Arts Center Fund #120 Increase beginning cash balance by $15,880; expenditures by $5,297; ending cash balance by $7,083 and decrease revenues by $3,500. The increase in expenditures is for tourism advertising. E. Tourism Promotion Fund #123 Decrease ending cash balance by $1,200 and increase expenditures in a like amount as a result of the committee authorizing the printing of more brochures for resale. F. Park Acquisition/Improvement Fund #125 Decrease beginning cash by $19,685, and increase revenues by $52,385 as a result of receiving additional income from real estate sales tax. Increase expenditures by $19,049 for Yost Park Pool, $14,000 for Meadowdale Playfield project, and decrease ending cash balance by $349. G. Cemetery Improvement Fund #130 Decrease beginning cash balance by 18,295; revenues by $33,500; expenditures - 2 - by $21,140 and ending cash balance by $30,655. These adjustments are made to align the budget more closely to projections. H. Street Beautification Fund #323 Increase the revenues and expenditures by $2,000 as a result of a transfer from the Council Contingency Fund #119 for resurfacing traffic island on SR 104. Decrease ending cash balance and increase expenditures by $996 for purchasing decorative brick to be placed around trees in sidewalk right-of-way. I. Capital Improvement Fund #325 Decrease beginning cash balance by $46,142; revenues by $44,500 as a result of not receiving the full IAC Grant in 1985 and 1986; expenditures by $249,800 and increase ending cash balance by $159,158 as a result of delays with the Brackett's Landing jetty project. J. Water/Sewer Fund #411 Increase expenditures and decrease ending cash balance by $20,000 as a result of a transfer to the Water/Sewer Construction Fund #412 for the joint venture drainage basin analysis with Snohomish County. K. Water/Sewer Construction Fund #412 Increase beginning cash balance by $479,945 as a result of the costs of the Meadowdale project being less than anticipated and revenue by $20,000 to provide for the transfer from Fund #411. Expenditures should be decreased by $352,300 and ending cash balance increased by $852,245 as a result of 1985 cash carryover and certain projects not being completed. L. Equipment Rental Fund #511 Increase the revenues and expenditures by $15,532 as a result of a transfer from the Street Fund #111 for an asphalt spreader. M. Fire Boat Operation Fund #624 Increase beginning cash by $2,272; expenditures by $4,011; and decrease revenues by $125; ending cash by $2,561. Operating expenditures such as supplies and maintenance were underbudgeted. Section 2. The Finance Director is hereby authorized and instructed to effectuate the necessary changes to the 1986 budget and to make all necessary and appropriate line item entries and adjustments as set forth in Section 1 of this ordinance. The summary of the budget adjustments shall be as set - 3 - forth in Exhibit A of this ordinance and incorporated by reference as if herein set forth. Section 3. This ordinance is hereby declared to be an emergency measure, adopted under authority of RCW 35A.33.090 in order to meet the pressing and unforeseen needs of the City as herein afore detailed. This ordinance has been filed with the City Clerk for five (5) days prior to its passage and shall be in full force and effect five days after its passage by vote of a majority, plus one, of all the members of the City Council, and publication of the full text of this ordinance as provided for by law. APPROVED: YOR, LARRYAS: N,�UGHTEN ATTEST/AUTHENTICATED: ' W r PITY/CLERK, JACQUELINE PARRETT APPROVED AS TO FORM: OFFICE OF THE CITY ATTORNEY: BY FILED WITH THE CITY CLERK: November 21, 1986 PASSED BY THE CITY COUNCIL: December 16, 1986 PUBLISHED: December 21, 1986 and January 3, 1986 EFFECTIVE DATE: December 26, 1986 ORDINANCE NO. 2598 4 - EXHIBIT A •:: BEGINNING ENDING CASH + REVENUE - EXPENDITURES = CASH 001 General Fund $ 212,954 $8,399,635 $8,562,589 $ 50,000 002 Cumulative Reserve/Gen.Fd. 250,000 19,000 19,000 250,000 005 Reserve Fire/Aid Vehicle 52,581 37,000 -0- 89,581 006 EYnergency Fin.Res./1987 -0- 100,000 -0- 100,000 110 Street - FAM -0- 477,000 477,000 -0- 111 Street Fund 282,860 757,200 975,518 64,542 112 Street Arterial Fund 264,233 217,200 411,000 70,433 113 FASP-Fed.Aid Safety Proj. -0- 90,000 90,000 -0- 115 Underground Wire Comm.Res. 9,472 508 -0- 9,980 116 Building Maintenance 129,532 37,000 139,700 26,832 117 Municipal Arts Fund 24,395 6,050 24,900 5,545 118 Memorial Street Tree 6,922 600 -0- 7,522 119 Council Contingency Fund 89,755 -0- 28,640 61,115 120 Conv/Perf. Arts Center 36,527 11,000 18,797 28,730 122 Youth Scholarship Fund 1,000 1,150 1,500 650 123 Tourism Promotion Fund -0- 4,500 3,700 800 124 Off -Street Parking Fund 42,320 3,200 10,000 35,520 125 Park Acquisition/Improvement 205,585 231,785 408,300 29,070 130 Cemetery Improvement Fund 27,360 42,500 52,560 17,300 191 Shared Revenue - Comm. Dev. -0- 180,000 180,000 -0- 199 Federal Shared Revenue Fund -0- 175,800 175,800 -0- 216 Swimming Pool Bond Issue -0- 21,790 21,790 -0- 217 1973 G.O. Bond Redemption -0- 16,976 16,976 -0- 218 1980 G.O. Bond Anderson Ctr. -0- 371,677 371,677 -0- 219 1984 G.O. Bond Computer -0- 37,740 37,740 -0- 323 Street Beautification 1,996 2,100 2,996 1,100 325 Capital Improvement Fund 143,600 72,600 43,800 172,400 411 Utilities Operation 3,016,582 4,050,858 4,211,049 2,856,391 412 Utilities Construction 679,945 620,000 447,700 852,245 413 Bond Cash Reserve 838,746 638,728 613,669 863,805 511 Equipment Rental Fund 1,229,282 662,791 563,717 1,328,356 614 Special Library Fund 700 50 200 550 617 Firemen's Pension Fund 314,064 31,622 14,000 331,686 624 Fire Boat Operation Fund 5,039 10,175 14,011 1,203 TOTALS $7,865,450 $17,328,235 $17,938,329 $7,255,356 AJH/11/18/86 EXHIBIT2/TXTSCHED STATE OF WASHINGTON, ss. COUNTY OF SNOHOMISH, On December 16, 1986, the City Council of the City of Edmonds passed Ordinance No. 2598 which provides as follows: Section 1, Amends the 1986 Bu P as adopted by Ordinance No. 2546. Section 2. Authorizes ,the j Finance rector to make said changes, entries and adjust. merits as set forth in Section 1: Section 3. Declaration of emergency and establishment of. an effective date The full text of this ordinance will be mailed without charge to anyone who submits a written request to the City Clerk of the City of Edmonds for a copy of the text. APPROVED by the City Council at their meeting . of (December 16, 1986. JACQUELINE G. PARRETT City Clerk Published: Dec. 21, 1986. Affidavit of Publication 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 ORDINANCE NO. 2598 .................................................................................................................................... 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: ........ -DECEMBE-R... 2.3:-..... .-986............................................................................. ................................................•-----...---------.................................................................... and that said newspaper was regularly distributed to its subscribers during all of said period. ........................... ::....................................... .......... ..........................................7............. Principal Clerk Subscribed and sworn to before me this... 22nd............... day of......... DECEMBER ................................... 19 86... Nota�,Public ih and for the State of Washington, resiingl at Everett, Snohomish County. B-2-1 D1N1L Vi �Y nuaaaa�va vas, 53. COUNTY OF SNOHONLISH, _- ThP undersigned being first duly sworn on oath deposes and says ORDINANCE NO. 2598 AN ORDINANCE OF THE CITY OF EDMONDS WASHINGTON AMENDING THE 1986 BUDGET, 11 Clerk of THE HERALD, a daily newspaper BY AMENDING ORDINANCE NO. 2546 PASSED BY THE &Y COUNCIL ON DECEMBER 17, 1985, IN ORDER TO TRANSFER MOWIIES FROM SPECIFIED FUNDS TO OTHER SPECIFIED FUNDS AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE ?d in the City of Everett, County of Snohomish, WHEREAS, the City is required by State law to finalize Its final budget prior to the commencement fi 0f the , the and ngton; that said newspaper is a newspaper of WHEREAS, the amounts of revenue and appropriation can only be estimated of The time of final• Izatlon of said budget and WHEREAS, this ordinance has been on file with the City Clerk since November 20, 1986, and thin said County and State; that said newspaper public has been given on opportunity to comment prior to the adoption of this ordinance, and adjustment WHEREASthe the City ndsdasi set forth below,lthatssuch expenditureskand adjustments are iras a legal newspaper by order of the Superior the best interest of the public health, safety and general welfare, and that these expenditures and adjustments could not have reasonably been anticipated at the time of the passage of the 1986 County and that the notice ........................................ EFORE THE CITY COUNCIL OF E`DMONDS, WASHINGTON DO ORDAIN AS FOLLOWS: Section 1. That section 2 of Ordinance 2546, passed 6y the City Council on December 17, 1985, and fheZiu�eT, attached the as Exhibit A and Incorporated by reference In that Ordinance showing The schedule of revenues and appropriation for each individual fund and the aggregate total!E thereof, are hereby amended as follows: A. General Fund #001 Increase expenditures of the various departments as follows as well as GenA roTFuArevenues as a result of transfers from the Council Contingency Fund #,19: Dept/Div, Purpose Amount City Council Main Streets Protect $ 7,SOC City Clerk Voter Registration Assessment 14,735............................ .................. ................. ............................... $22,235 B. Sheet Fund 111 Increase the beginning cash balance by $92,372, expenditures by $45,532, and en ng c quipment Rental Fund for the purchase of an asphalt spreader and $30,000 for the crosswalk morking--...."-'-,-""""""""""""'""""""""""""'""""""""""""'"""""""""'"""""""""""""""""""- project. C. Bullding Maintenance Fund #116 Increase the beginning cash balance byy $4,155 and revenueshich is hereunto attached, was published in said from imeres o n ngs y , a d expenditures by $27,600 of which $25,000 was authorized for removing asbestos from the Community Services Building and $2,600 for reroofing the Anderson Center. Decrease ending cash balance by $21,468. grid not in supplement form, in the regular and D. Convention/Performing Arts Center Fund 120 Increase beginning cash balance by $15,880; -P-011m, es by • ending coshan y 7,083 and decrease revenues by $3,500. Th Increase in expenditures is for tourism advertising. paper Ori the following days and times, namely: E. Tourism Promotion Fund #123 Decrease ending cash balance by $1,200 and Increase expendl• ture§mdTOcTSmo�as o result of the committee authorizing the printing of more brochures for resale. F. Pork Ac ulsitlon/Improvement Fund #125 Decrease beginning cash by 519,685, and Increase rev nu s y 52'3E5 as a i e3 oJlf-f i� receiving oddltlonot income from real estate sales tax. Increase expenditures by $19,049 for Yost Park Pool, $14,000 for Meadowdole Playfield project, and v 3 x.d.,....1...8.7--......... decrease ending cash balance by $349. G. Cemetery Im rovement Fund t1130 Decrease beginning cash balance by $18,295• revenues by S3 , xpen ures y a endlnpp cash balance by $30,655. These adjustments are made to align the budget more closely to prolectlons. H. Street Beautification Fund #323 Increase the revenues and expenditures by $2,000 as 0 result o1 ......-•••••• •-----.... ••""""""' """'"' a transfer from oun ontingency Fund #119 for resurfacing traffic Island on SR 104. Decrease ending cash balance and Increase expenditures by $996 for purchasing decorative brlck)aper was regularly distributed to its subscribers to be placed around frees in sidewalk right-of-way. 1. Copifol Improvement Fund #325 Decrease beginning cash balance by S46 142; revenues by 5- WO as a result nor receiving the full IAC Grant In 1985 and 1986• expenditures by $249,800eriod. and Increase ending cash balance by $159,158 as a result of delays with the Brackett's Landing jetty project. J. Water/Sewer Fund *411 Increase expenditures and decrease ending cash balance by S20,000 as result at a onster`57he Water/Sewer Construction Fund #412 for the Joint venture drainage . -- basin analysis with Snohomish County. - _. .... -••,,,-_••.•,-,..,•-•_•• K. Water/Sewer Construction Fund 412 Increase beginning cash balance by $479,945 as a result Principal Clerk of cos s o e ea ow a e ProleProlecT being less than onticloated and revenue by son nnn m eoa'ny casn Downce mcreasea Dy 4e52,245 as a result of 1985 cash carryover and certain projects not being completed. L. E u�_ ipment Rental Fund 511 Increase the revenues and expenditures by $15,532 as a result otribed and sworn to before me this ..... 6 t h o trans er frorom a tie un #111 for an asphalt spreader. M. Fire Boat Operation Fund #624 Increase beginning cash by $2,272; expenditures by $4,011; and decrease revenues y n ng cash by $2,561. Operating expenditures such as supplies and 8 7 maintenance were underbudgeted. JANUARY Section 2. The Finance Director Is hereby authorized and Instructed to effectuate the necessarf 19......... changes the 1986 budget and to make ail necessary and appropriate line Item entries and adjust'.' " ""' """""""""""""""""""'"'' meets as set forth in Section 1 of this ordinance. The summary of the budget adjustments shall be as set forth in Exhibit A of this ordinance and Incorporated by reference as If herein set forth. . Section 3. This ordinance Is hereby declared to be an emergency measure adopted under author• / IN OTIZCW35A.33.090 in order to meet the pressin and unforeseen needs of the City as herein afore . detailed, This ordinance has been filed with the Clty Clerk for five (5) days prior to Ifs passage and L f `t" shall be In full force and effected five days after Its passage by vote of a majority, plus one, of all the &-Eo7y Public in and for the State of Washington, members of the City Council, and publication of the full text of this ordinance as provided for by law. / APPROVED: /residing at Everett, Snohomish County. ATTESTLARRY S. NAUGHTEN, Mayor ACQUELINE PARRETT City Clerk APPROVED AS TO FORM: OFFICE OF THE CITY ATTORNEY: BY W. SCOTT SNYDER FILED WITH THE CITY CLERK: November 21 1986. PASSED BY THE CITY COUNCIL: December f6, 1986. EFFECTIVE DATE: December 26,,1986. ORDINANCE NO, 2598 EXHIBIT A BUDGET SUMMARY 1986 BEGINNING.- ENDING CASH+ -REVENUE --EXPENDITURES--- CASH 002 Cumulative Reserve/ 00General Fund - S 212,954 $8,399,635 $8,562,589 S 50,000 Gen. Fd. 250,000 19,000 19,000 250,000 005 Reserve Fire/Aid Vehicle 52,581 37,000 -0- 89,581 006 Emergency Fin. Res./1987 -0- 100,000 -0- 100,000 110 Street - FAM 0- 477,000 471000 -0- 111 Street Fund 282,860 757,200 975 518 61,542 112 Street Arterial Fund 264,233 217,200 411,000 70,433 113 FASP-Fed, Aid Safety Prof, -0- 90,000 90,000 -0- 115 Underground Wire Comm. Res. 9,472 508 0- 9,980 116 Building Mointenace 129,532 37,000 139,700 26,832 117 Municipal Arts Fund 24,395 6,050 24,900 5,545 118 Memorial Street Tree 6,922 600 0- 7,522 119 Council Contingency Fund 89,755 -0- 28 640 61,122 120 Conv/Pert. Arts Center 36,527 11,000 18,797 28,730 122 Youth Scholarship Fund 1,000 1,150 1,500 650 123 Tourism Promotion Fund 0- 4,500 3,700 800 124 Off -Street Parking Fund 42,320 3,200 10,000 35,800 125 Park Acquisition/ Improvement 205,585 231,785 408,300 29,070. 130 Cemetery Improvement Fund%27,360 42,500 52,560 17,300 191 Shored Revenue - -- - - 199 Federal Shared Comm, Dev. -0- 180,000 180,000 -0- Revenue Fund -0- 175,800 175,800 -0- 216 Swimming Pool Bond Issue -0- 21,790 21,790 -0.- 217 1973 G.O. Bond Redemption -0- 16,976 16,976 -0- 218 1980 G.O. Bond Anderson Ctr. -0- 371,677 371,677 -0- 219 1984 G.O. Bond Computer 0- 37,740 37,740 - -0- 323 Street Beautification 1,996 2,100 2,996 1,100 325 Capital Improvement Fund 143,600 72,600 43,800 172,400 411 Utilities Operation 3,016,582 4,050,858 41,211,049 2,856;391 412 UfIIItles Construction 679,945 620,000 447,700 852,245 413 Bond Cash Reserve 838,746 638m,728 613,669 863,805 511 Equipment Rental Fund 1,229,282 662,791 563,717 1,328,356 614 Special Library Fund 700 50 200 550 617 Firemen's Pension Fund 314,064 31,622 14,000 331,686 624 Fire Boat Operation Fund 51039 10,175 14,011 1,203