Loading...
Ordinance 27850006.030.015 WSS/dk 07/03/90 ORDINANCE NO. 2785 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE 1990 BUDGET BY AMENDING ORDINANCE NO. 2745, PASSED BY THE CITY COUNCIL ON DECEMBER 19, 1989, TO TRANSFER MONIES FROM SPECIFIED FUNDS TO OTHER SPECIFIED CITY FUNDS, AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE. WHEREAS, the City is required by applicable State law to finalize its annual 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 and the public was given an opportunity to comment prior to the adoption of this ordinance, and WHEREAS, the City Council finds that it is in the best interest of the City to make expenditures and adjustments to various funds as set forth below, that such expenditures and adjustments will be in the best interest of the public health, safety, and general welfare and that these expenditures and adjustments could not reasonably have been anticipated at the time of the passage of the 1990 budget, NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO ORDAIN AS FOLLOWS: WSS525030 -1- Section 1. Section 2 of Ordinance No. 2745 passed by the City Council on December 19, 1989, and the budget, attached thereto as an exhibit and incorporated by reference in said ordinances showing the schedule of revenues and appropriations for each individual fund and the aggregate totals thereof, are hereby amended as follows: A. General Fund #001 - Increase revenue ($227,750), expenditures ($291,250) and beginning cash ($63,770) as provided in the following details: 1. Parks & Recreation Div. - increase expenditures by $8,590 for winter activities that carried over from 1989 but were not rebudgeted. 2. Parks & Recreation Div. - increase expenditures by $2,880 as a result of relocating the Ladies Fitness Class to the Senior Center and having to pay monthly rent. 3. Parks & Recreation Div. - increase expenditures by $1,050 for Beach Ranger service to schools which is fully reimbursable from the school district. 4. Personnel Div. - increase expenditures by $4,000 to reflect a grant received from the Association of Washington Cities for a wellness program. 5. A transfer of $222,000 to the Council Contingency Fund #119 as a result of unanticipated revenue. 6. A transfer of $53 , 000 to the Street Beautification Fund #323 to underground wires and install decorative street lights on Main Street. B. Combined Street Construction/Improvement Fund�0112 - Increase revenues by $15,000 as a result of a transfer from the Combined Utility Construction/Improvement Fund #412 and increase expenditures by $42,150 for resurfacing streets ($15,000) WSS525030 -2- and for predesign work on Highway 99 ($27,150). Decrease ending cash by $27,150. C. Council Contingency Fund #119 - Increase revenues by $222,000 as a result of a transfer from the General Fund, and ending cash balance by $188,900 which is the net amount of transfers to the Accounting Division for part time employee assistance ($14,000) and to the Building Division for new inspector/plan checker position ($18,600); and to the Park Acquisition/Improvement Fund #125 for placement of Brackett's Memorial ($500). D. Park Accuisition/Improvement Fund .#1.2.5 - Increase revenues and expenditures each by $500 as a result of a transfer from the Council Contingency Fund #119 for the placement of Brackett's Memorial. E. Street Beautification Fund #3.23 - Increase revenues and expenditures each by $53,000 as a result of a transfer from the General Fund #001 for placing utility wires underground and installing decorative street lights on Main Street. F. Combined Utility Construction/Improvement Fund #412 - Increase expenditures and decrease ending cash each by $15,000 as a result of a transfer to the Combined Street Construction/Improvement Fund #112. Section 2. The Finance Director is hereby authorized and instructed to effectuate the necessary changes to the 1990 budget and to make all necessary and appropriate line item entries and adjustments as set forth in Section 1 of this ordinance. This summary of the budget adjustments shall be as set forth on Exhibit A of this ordinance incorporated by reference as if herein set forth. WSS525030 -3- Section 3. This ordinance is hereby declared to be an emergency measure, under authority of RCW 35A.33,.090, to meet the pressing and unforseen needs of the City herein detailed. The ordinance having been filed with the City Clerk for five (5) days prior to its passage shall be in full force and effect five (5) days after its passage by a vote of one more than a majority of all members of the City Council and publication as provided for by law. AVPVnvFn- ATTEST/AUTHENTICATED: CITY'CLERK, JACQUELINE G. PARRETT APPROVED AS TO FORM: OFFICE O THE CITY ATTORNEY: BY FILED WITH THE CITY CLERK: July 3, 1990 PASSED BY THE CITY COUNCIL: July 16, 1990 PUBLISHED: July 22, 1990 EFFECTIVE DATE :Jul y 27, 1990 ORDINANCE NO. 27Rti WSS525030 -4- Exhibit A BUDGET SUMMARY 1990 BEGINNING ENDING CASH + REVENUE EXPENDITURES - CASH 001 General Fund 422,370 11,078,250 11,400,620 100,000 002 Cumulative Reserve/Gen.Fd. 250,000 20,000 20,000 250,000 005 Reserve Fire/Aid Vehicle 148,000 49,000 178,000 19,000 006 Emergency Fin.Res./1987 210,600 17,000 -0- 227,600 104 Drug Enforcement Fund 120,460 26,500 56,310 90,650 111 Street Fund 97,000 841,700 907,870 30,830 112 Combined Street Const./Imprv. 265,240 852,900 893,150 224,990 115 Underground Wiring Fund 120 -0- 120 -0- 116 Building Maintenance 154,000 110,000 258,000 6,000 117 Municipal Arts Fund 35,940 32,790 35,810 32,920 118 Memorial Tree Fund 7,600 1,600 2,000 7,200 119 Council Contingency Fund 105,880 262,500 83,100 285,280 120 Hotel/Motel Tax 4,100 35,000 33,970 5,130 121 Tourism Promotional Committee 7,290 14,050 8,750 12,590 122 Youth Scholarship Fund 140 600 400 340 123 Tourism Promotional Commission 21,000 11,680 10,600 22,080 124 Off -Street Parking Fund 57,700 24,800 8,200 74,300 125 Park Acquisition/Improvement 518,000 328,100 581,000 265,100 127 Gift Catalog Fund 2,500 2,250 4,500 250 130 Cemetery Improvement Fund 21,310 24,500 26,380 19,430 191 HUD Block Grant Fund -0- 50,000 50,000 -0- 323 Street Beautification 290 68,030 68,000 320 325 Capital Improvement Fund 400 29,000 25,000 4,400 411 Utilities Operation 13271,100 5,543,700 5,947,510 867,290 412 Combined Util.Const./Imprv. 7,617,210 10,623,000 15,328,000 2,912,210 413 Bond Reserve Fund 12802,100 1,347,380 1,336,070 1,813,410 511 Equipment Rental Fund 1,838,700 786,830 521,700 2,103,830 610 Cemetery Maintenance Fund 80,600 14,000 -0- 94,600 614 Special Library Fund 1,360 120 380 1,100 617 Firemen's Pension Fund 423,000 57,000 31,000 449,000 623 Sister City Commission 180 11,500 10,680 1,000 624 Rescue Boat Operation Fund 6,400 5,100 6,200 5,300 625 Edmonds Centennial Fund 23,500 113,120 136,620 -0- TOTALS 15,514,090 32,382,000 37,969,940 9,926,150 06/19/90 EXHIBT.904/TXTBGT90 Affidavit of Publication STATE OF WASHINGTON, COUNTY OF SNOHOMISH, sa SUMMARY OF CMDINANCE NO. 2705 of the C of Edmonds WonhinWron 1n ih0 16fh bay u# July, 199p, the Clty Council at the CIt� of Edmonds, smssed Ordllnnnte Ho. 2785. ./nlmary 61 the content of Auld ardll�once crins[3HI ORUINANCC OF THE CITY OF EDMON[35 WAS>�INGTON qq of the Elite pravfdes AIRM1EE-ND1NG a fpllews; �4E 1440 BUUGET BY 1E: FlUING QRD}NANCE NO. 2745 PASSED ¢S' TMl= CITY CiSUNCIL ON OF_CEMBFR 19 i409 TO A745FER MONIES FROM SPlrCS�IED'FUHOS TQ OTFfER SPE_GiF'ED CITY FUNUS, ANf] F17(MA - '1ME WHEN THE SAME SHALL BECOME EFFECTIVE. 'hc lull 1@xt of tltls Grdlnunce will ba m011ed upon. rCquesf..- 1AT✓»D 11x15 i6flt duy al Juty, �990,3' .C'CCFIe kINE 0.PARRETT $UOGET SUMMARY 490 {SEGINNII� �• .ENDING CASH + RCVENUE --EXPENDITURES - CASH General Fund 422,370 1I,078,250 ll,�i40A20 100,000 Cunnula#lve Reserve/ Gen,Fd. 750,0D0 20000 20,000 250,000 Reserve FlrelAid Vehicle 149,000 49,000 178,000 19,000 006 Emergency F.in..Re9,: 187 210,600 17,000 0• 227,600 Urua Enforcement Fund 17.0,460 761�,500 56,310 90,650 Sheet Fund 97,000 94t,700, 907.870 30,830 Combined Street Consi./ Ifnprov. 265,240 8RNO 093,150 224,990 Undervrwilu Wlring Fund 170 0- l70 0- BuihlinoMnlntenonCe Munlglpnl Arts Fand 154000 3.040 If0,00D 37,7" 258,000 35,810 6,000 32,920 Memorial Tree FW1d 7y600 1,600 2,000 7,200 Comicli Cent1r1g6ncy Fund 105,880 262,500 83,100 285,280 Nolewmatel Tux 4,10D 35,000 ,13,970 5,130 Tourism Prgrnot1pnoi Committee - 7,290 14,050 8,750 12,590 Youth SchOlorshlp.Funa 140 600 400 340 Tourism Premotionai CpmmisslWl 21,000 11640 101600 22,080 Ott Slree} Parnp Fund Pra'k Acqulsiliokn/l 5 7,700 24,800 8200 74,300, trnpprovement . 510,000 328;100 581,000 265,100 GIM Catalog Fund Cemetery improvement 2;500 2,250 4,500 250 Fund 21,314 74,500 76,300 19,430 HUD Block Granl Fund - 0• 50,000 50,000 •0• Street BeoutMlcutlgn •290 68,030 6e,000 320 CnpltoI Improvement Fund Uilliles operation 400 1,211,500 79,000 5,543,700 25,000 3,947,510 .4,g00 867,290 Combined U10. ConstAmprv, Hand Reserve Fund 7,a17,210 1$02,100 10,623,fd10 1,347,300 15,328.000 1;3M,07O 2,912,210 1,813,410 Equipment Rentql Fund 1;838r700 766,830 .521,700 2,103,830 COhlatery. MnlntenanceFuna - 80,600 14.000 •0• 94,600 SOW01 Library Fund 1,360 120 300 1,100 Ftremen's Pension Fund. 423,000 57,BQpO 11,000 449,000 Sider City CommissJon 180 ] 1,5{IO 10,600 1,000 Rescue BpaFOp6ro}10n Fund6,400 Edmoud5- Centennial Fund 23,500 5,100 113,120 61200 136,620 5,300 -o- TOTALS 15,514,090 32,382,000 37,969,940 r9,926,150 Ished; July 22, 1990. 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. 2785 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: July 22, 1990 and that said newspaper was regularly distributed to its subscribers during all of said period. .................... Principal Clerk 25th Subscribed and sworn to before me this .................... day of ..... July -•--•-•. ....... 1920 .. Nota ublie in a d fo e hState of Washington, rest` i at Event , Snohomish County. �y B-2-1