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HomeMy WebLinkAboutCOUNCIL - AGENDA ITEM - 10/19/1999 - SECOND READING OF ORDINANCE NO. 149, 1999, APPROPR AGENDA ITEM SUMMARY ITEM NUMBER: 9DATE: October 19, 1999 S FORT COLLINS CITY COUNCIL STAFF: Doug Smith SUBJECT: Second Reading of Ordinance No. 149, 1999,Appropriating Prior Year Reserves and Unanticipated Revenue in Various Funds and Authorizing the Transfer of Appropriated Amounts Between Funds. RECOMMENDATION: Staff recommends adoption of this Ordinance on Second Reading. EXECUTIVE SUMMARY: The purpose of the annual clean-up ordinance is to combine dedicated revenues or reserves that need to be appropriated before the end of the year to cover the related expenses that were not anticipated and, therefore not included in the 1999 budget. The unanticipated revenue is primarily from fees, charges, rents, contributions and grants that have been paid to City departments to offset specific expenses. Prior year reserves are primarily being appropriated for unanticipated operation expenses from reserves that are aside for that purpose. Ordinance No. 149, 1999 was unanimously adopted on First Reading on October 5, 1999. AGENDA ITEM SUMMARY ITEM NUMBER: 10 DATE: October 5, 1999 10 FORT COLLINS CITY COUNCIL STAFF: Doug Smith SUBJECT: First Reading of Ordinance No. 149, 1999,Appropriating Prior Year Reserves and Unanticipated Revenue in Various Funds and Authorizing the Transfer of Appropriated Amounts Between Funds. RECOMMENDATION: "" Read Staff recommends adoption o . 's Ordi ce o F in FINANCIAL IMPACT: This Ordinance appropriates $4,963,397 from unanticipated revenue, $1,109,134 from prior year reserves,and$1,113,160 transfe from d�er funds�ln additionpappropriations in the amount of $1,397,881 are being transferred between projkts or from o�eraf ons to a capital or grant project within the same fund (these items do ntl veialI`City appropriations). .. EXECUTIVE SUMMARY: Following is a list of funds that make up the increase in appropriations. General Fund Unanticipated Revenul $ 588,544 'Transfer from Other F s ' 393,800 Prior Year Reserves 432,473 Sales/Use Tax Fund 3,556,587 Cultural Services&Facilities Fund 62,996 Transportation Services Fund 412,473 Street Oversizing Fund 300,000 Recreation Fund 31,867 Capital Projects Fund 684,018 Communications Fund 170,000 Open Lands Fund 6,179 Water Fund 215,345 Golf Fund 15,000 Capital Improvement Expansion Fund 117,345 Transit Services Fund 111,776 DATE: October 5, 1999 2 ITEM NUMBER: 10 The purpose of the annual clean-up ordinance is to combine dedicated revenues or reserves that need to be appropriated before the end of the year to cover the related expenses that were not anticipated and,therefore not included in the 1999 budget. The unanticipated revenue is primarily from fees, charges, rents, contributions and grants that have been paid to City departments to offset specific expenses. Prior year reserves are primarily being appropriated for unanticipated operation expenses from reserves that are aside for that purpose. This Ordinance appropriates prior year reserves and unanticipated revenue in various City funds,and authorizes the transfer of appropriated amounts between funds. The City Charter permits the City Council to provide by ordinanrapproi y nt o yxpense�fromprior year reserves. The Charter also permits the City Council ate unautic ated rev ue received as a result of rate or fee increases or new revenue sources. Zional°�y, It authoriz s the City Council to transfer any a ,. unexpended appropriated amour om oh'e fund fio`another upon recommendation of the City Manager provided the purpose for which the transferred funds are to be expended remains unchanged; or the purpose.for which they were initially appropriated no longer exists; or the proposed transfer is from a fund or capital project account in which the amount appropriated exceeds the amount needed to accomplish the purpose specified in the appropriation ordinance. If these appropriations are not approved, the City runs the risk of being in violation of the City Charter if appropriations are exceeded,or having to reduce expenditures even though revenue and reimbursements have been rece ed to coyer-those-expenditures. Several funds require supplem tal appropriatioris for 1999 expenditures.The Background Summary gives the details for each appropriation. BACKGROUND: A. GENERAL FUND 1. Police Services has received revenue from various sources which needs to be appropriated to cover the related expenditures. A listing of these items follows: $2,607 Chemical Test es-PUnn4=t to .I S 1 11` 501'(2)0),the costs of chemical tests (blood breath tests) sh�l be rerrburse 'reatly by the defendant to the law enforcement agency which performeda a tost.SQ at'tn ,99,$2,6Q leas been collected by Fort Collins Police Services under this provision. $27,447 Police Report Fees-When report copies are requested by citizens,a fee is collected to help offset processing costs(i.e.,employees' time,photo copier, supplies). This amount is the total collected as of mid September, 1999. $879 Dispatch Revenue-Poudre Emergency Communications Center charges a testing fee for all dispatcher applicants. The fee revenue is used to cover the cost of the testing materials. $1,000 Training Refund(Traffic Unit)-In 1999 the Traffic Unit received a$500 rebate on a class held at CSU. The unit also sponsored a multi-agency program,which other agencies DATE: October 5, 1999 3 ITEM NUMBER: 10 paid a total of$500 to attend. Police Services would like to apply this money to the Traffic Unit training budget. $448 Training Refund(Victims Services)-Earlier in 1999,the victims services coordinator and several detectives attended a Power Point class which was later refunded due to unsatisfactory content. This class refund needs to be returned to the Victim Services training budget. $22,214 CSU Football - Police Officers are assigned to CSU football games to provide crowd and traffic control. The department has been reimbursed this amount by CSU to help cover personal services costs incurred during the 1998/1999 football season. $1,178 DARE - Th " funds ere reieiv d.XT P iidre School District and DARE- sponsored events to he cover �mnate altosts of th rogram. $7,218 CAD/RMS Maintenance Fees - CAD/RMS Maintenance fees are paid directly by Fort Collins Police Services. CSU also uses the City's CAD/RMS system, and these funds have been received from CSU to cover their portion of the charges. $19,258 Organized Crime Drug Enforcement Task Force - In 1999 the Fort Collins Police Services personnel of the Larimer County Drug Task Force worked overtime which the federal government funds. These funds from the federal government are used to pay back the original overtime account which vvas charged for.the time. } . $1,000 Marijuana Era&cation 1n 1999(he GYorado Association of Chiefs of Police issued $1,000 to Police Servic for marijuanaeradkation in Rirt Collins. Half of these funds will be used to fund the overtime worked and the other half will be used for supplies and equipment. $10,000 Chill Campaign-In conjunction with the Seat Belt Grant, Fort Collins Police has received an additional$10,000 in funding for overtime to target aggressive driving practices. Offenses targeted for citation are reckless driving, seat belt law violations, speeding in construction zones and school zones, speeding, following too close, etc. $2,000 Underage Liqudlgnforc ent-Ufi�!'Gjlz contracted with Fort Collins Police Services to pr amide $2, 0 for ireime for to,erage liquor enforcement. One thousand dollars is to b sedforcaen c ontamer/party�orcement,and the other$1,000 is to be used for DUI enforcement. $3,570 Police Officer Testing Fees -In order for police officers to be hired at Fort Collins Police Services the applicants are required to take a written exam. Each applicant must pay a fee to take the test. The tests are costly and the fees are charged to cover the cost of the exam. $13,572 SCAM Conference - In September of 1999, the Crimes vs. Persons Unit hosted a • training seminar for outside agencies to attend. The tuition monies and donated monies for this class total $13,572. These funds will be used to offset the expenses of the class and to buy equipment for the Crimes vs. Persons Unit. DATE: October 5, 1999 4 ITEM NUMBER: 10 $38,311 Insurance Recovery - Police Services receives monies due from individual restitution and insurance claims for damage done to Police property. These funds are used to cover outside vehicle repair and maintenance. FROM: Unanticipated Revenue (Miscellaneous Police) $ 112,391 FROM: Unanticipated Revenue (Insurance Recovery/Damages) $ 38,311 FOR: Police Services $ 150,702 2. Facilities has performed work (maintenance, repairs, alterations, and misc. services) for various city departments (Fleet Services CLRS, Utilities, Golf, Police etc.) on a cost reimbursement basis. This item appropriates the$364,700 billed to those departments and transfers that amount to e Capi of ct Fes`- aj Bui 9 Maintenance project. (See les acritieL.6.) LFROM: Unanticipatednu ls Services) $ 364,700 FOR: Transfer to Capital Projects Fund $ 364,700 3. The City of Fort Collins purchased 945 East Prospect Road as part of the Prospect/Lemay Intersection project. This project has been delayed until the property at the southwest corner redevelops. During the interim, the decision was made to rent the house to discourage vandalism and to have the tenant perform landscape maintenance and pay utility costs. The rent payments have resulted in unanticipated revenue in the amount of$6,600 for 1999. These funds are used to,manage rgntalTroperties and-cover-upkeep of the property at 945 East Prospect Road. FROM: Unanticipated Revenue (House Rental) $ 6,600 FOR: Right-of-Way $ 6,600 4. The City has been leasing space at 405 Canyon since December of 1994. The space was needed for the Human Rights Officer,Neighborhood Coordinator and staff. The City does not need all the space available at 405 Canyon;therefore, a decision was made to sublease part of the area. All of the costs associated with renting this space are paid from the Right- of-Way budget and the unanticipated revenue from this sublease helps to cover the costs for 405 Canyon, including rent payme boil i. mgintenance and utility expenses. FROM: Unantieipatedcevenue utld ) $ 5,772 FOR: Right-of Way ;, , ` $ 5,772 5. The Human Rights Office has received$4,951 in unanticipated revenue from participants of the Multicultural Community Retreat held in April. These funds will be used to cover expenses for the upcoming retreat in November and to cover general operating expense of the Human Rights Office. FROM: Unanticipated Revenue(Retreat Fees) $ 4,951 FOR: Multicultural Commission $4,951 6. Neighborhood Resources Office funds come from a combination of productivity savings (gained through various cost-saving efforts and personnel openings)and revenue generated from sponsorship of the"Discover Neighbors,Discover Home"program. These funds will be used to cover a number of mandatory facility and equipment expenses. Building upgrades DATE: October 5, 1999 5 ITEM NUMBER: 10 center on efforts to soundproof two existing work spaces. Equipment upgrades includes purchase of a newer,high-speed copier for neighborhood volunteers to use for reproduction of newsletters; upgrades to the office network server and personal computers; and contributions to a marketing campaign designed to address problem rental properties. FROM: Unanticipated Revenue (Neighborhood Resources Misc.) $ 1,035 FROM: Prior Year Reserves (Productivity Savings) $ 25,211 FOR: Neighborhood Resources $26,246 7. Current Planning receives funds from developers who pay Planning to mail their Affected Property Owner notices. These mailings notify the property owners of neighborhood meetings and schedule&d"ieazipgs�'on site development pTa s. In 1999 $8,865 has been received and needs tokejrpt� propriated he�'lp„,cover the'cost of supplies and postage for mailing the affected p owne. rnoAttces Current Planning is requesting the use of a total of$28,159 from its productivity savings for the following: A Web Page will be developed for$3,400 to make more information available through the Internet to the outside customers. The web page may include digital images of sites being proposed, staff reports, minutes and agendas. The amount of$10,000,jS-requested to:cover-the 1999 Hearing Officer contract. Ongoing funding for this posit has been included in a 200 *proposed budget. The Heating Officer is responsible for presid``iig ove henfi} ype I he ngs. IkLI The remaining funds of$14,759 will be used to purchase office furniture and equipment. These purchases include a network printer for the department,furniture to adapt the planners offices to the work they perform, and a digital camera used when making presentations to Council and the Planning& Zoning Board on proposed development plans. FROM: Unanticipated Revenue (Neighborhood Compatibility Fees) $ 8,865 FROM: Prior Year Reserves (Productivity Savings) $ 28,159 FOR: Current Planning $ 37,024 8. Natural Resources has eived re eenuee om ous s `es which need to be appropriated to cover the related ex ° dihtresA lungf these ite ''s follows: $13,500 - Funds to be received from the Colorado Department of Public Health and Environment Clean Air Colorado Program. As an extension of the present grant,these funds cover the period July 1 through December 31, 1999. The funds will be used to support projects approved by City Council through the Air Quality Action Plan. The money is used for education, outreach, data collection, and analysis. $2,578 - Funds have been received from the sale of Radon Test Kits. These funds will be used for education and the purchase of additional radon kits. • $2,500 - These funds represent donations received from members of the Weld/Larimer/Rocky Mountain National Park Clean Cities alternative fuels coalition. They DATE: October 5, 1999 6 ITEM NUMBER: 10 have given this money to the coalition to support alternative fuel vehicle education and outreach. $2,000-These funds were received from the U.S.Department of Energy to conduct one or more alternative fuel workshops during 1999. $474 - These funds represent refunds received for a conference registration fee that was subsequently waived because the participant was a presenter;a subscription to a publication that was discontinued; and a duplicate payment on a subscription to a wetland regulation update. These funds will be used for future registrations and subscriptions. $11,340 - Revenue has en ce3'"ed)rom' ie Gyolo ado impartment of Public Health and A Environment, Laborat and Radiatio a Divasion, for radon test kits, mitigation workshops, data collec on,and tducaf $150,000-In 1998 Natural Resources sold parcels of Kane property to the Stormwater Fund for$150,000. The funds were deposited in the General Fund for Natural Resources. These funds are now in the General Fund reserves and need to be appropriated for transfer to the Capital Projects Fund for Natural Areas for future land acquisitions. (See L.11.) FROM: Unanticipated Revenue(Natural Resources Misc.) $ 4,974 FROM: Unanticipated Revenue(Natural Resources Grants) $ 13,500 FROM: Unanticipated (Radon Program)• - - $ 13,918 FROM: Prior) Re4i rves(Restricte f� $ 150,000 FOR: Natural Resources $ 18,892 FOR: Clean Air Colo Io-(3 an A $ 13,500 FOR: Transfer to Capital Projects-Natural Areas $ 150,000 9. Park Maintenance is responsible for the budget that covers the 4th of July celebration. The total cost for 1999 was $30,143, but $20,802 was budgeted. The remaining amount of $9,341 is requested from the 4th of July reserve. Revenue collected from the 4th of July vendors is deposited in this reserve each year to help cover the cost of the celebration. Parks Maintenance has al eceived$5,417 tom insurane_claim settlements as a result of damages to insurable prope These fun etieingappropriated to repair or replace the damaged property. FROM: Prior Year Reserves (4th of July) $ 9,341 FROM: Unanticipated Revenue(Insurance Recovery) $ 5,417 FOR: Parks Maintenance $ 14,758 10. Information Technology is requesting the following items from its productivity savings and equipment replacement reserves: $30,000 from productivity savings reserves for hiring a contract systems analyst position. This position will assist with the heavy workload of the IT applications development and support group, and enable existing staff to focus on implementation of the JD Edwards system. t LDATE: October 5, 1999 7 ITEM NUMBER: 10 $3,200 from equipment replacement reserves for a Cable equipment upgrade. The Cable program acquired a new editing system in 1998. This system has been so successful in expanding video editing capabilities that more hard disk storage space is needed. The additional space will allow staff to edit and store more than one video at a time, thus maintaining a short turn-around time for delivery of videos to customer departments. $3,500 from equipment replacement reserves for a replacement wave form monitor. A wave form monitor, which allows staff to calibrate cameras and other equipment to produce a video image that is within FCC acceptable parameters,is currently scheduled for replacement in 2000. Replacing the equipment now will allow staff to make better use of recent equipment upgrades. $1,500 from equipmt replacement r se a Mfor a microphone. The increase in cellular and other di tal co mmunicatibn n the ci has resulted in a high level of interference with the Vcropli6tte use8 or field pruction work by cable staff. This interference affects the quality of the audio signal and causes staff to have to re-record some of the footage made outside. This request is for a UHF microphone that will not receive the same type of interference. FROM: Prior Year Reserves (Productivity Savings) $ 30,000 FROM: Prior Year Reserves (Equipment Replacement) $ 8,200 FOR: Information Technology $ 38,200 11. The Library realized s gs by temporarily filiitig a position that was vacated in early 1998, with a lower level posidDn and by.reducing eiFp nditurs�hrough the use of gifts,memorials • and Capital Expansion eeareveriiies: 'The*tibrary now.pians on applying these savings towards interior renovations,improvements and upgrades including furniture,shelving,and heightened building security. These improvements will result in better utilization of existing space,improve handicap access,improve customer service with existing staff,and improve the monitoring of building access by staff and service personnel. FROM: Prior Year Reserves (Productivity Savings) $ 131,399 FOR: Library Services $ 131,399 12. In 1998,Human Resources expert aced ary sa" gs ii.�Ao vacant positions,including the Human Resource D" for pos"ion. eseiimds now in the Human Resource productivity savings e and are request for expenditure for the following purposes: $18,000 for Human Resource Director recruitment and relocation expenses incurred in 1999. $5,000 for printing and distributing personnel policies and procedures revisions. $10,000 to partially fund salary and benefits for computer technical support. This is for two contractual computer technicians who provide technical support to Human Resources and five other departments. These positions are coordinated through IT. This is a pilot program which replaces an outside contractor and is expected to reduce department costs. • $5,000 for computer hardware upgrades required for the JD Edward's payroll software. Human Resources provides the personnel side of payroll implementation. Hardware L upgrades and new computers are needed to meet the software requirements. i DATE: October 5, 1999 8 ITEM NUMBER: 10 FROM: Prior Year Reserves (Productivity Savings) $ 38,000 FOR: Human Resources $ 38,000 13. In 1999,$3,000 was budgeted in the CLRS Gift Catalog account for potential expenditures. Earlier this year$1,177 was spent for playground equipment leaving a balance of$1,823 in the Gift Catalog account. The 1999 "Fort Collins Fore Kids"junior golf program is also funded from this account. The cost of the junior golf program was $2,543 leaving the gift catalog account$720 short. In 1999,the Golf Board raised$2,785 in donations which were put into the Gift Catalog reserve. The remaining $720 expense needs to be appropriated from the Gift Catalog reserve. FROM: Prior Year Res. es�ii_ a og nations $ 720 FOR: Gift Catalog Account $ 720 14. The new J.D. Edwards Finance co uter system wil a lease purchased over a five year period. Funds that are benefitting from the system have agreed to contribute money to purchase the system. This item appropriates the 1999 funds that are transferred from various funds to the General Fund for future financial system payments. (See Q.1. & S.1.) FROM: Transfers from Various Funds $ 393,800 FOR: Finance System $ 393,800 15. Fort Collins Municipal Gotut�ould-like tofequest-7the use-of$5,500 from its productivity savings reserve. Savings were realized fro acint p 5sitivns. These funds will be used to purchase new famituraor Judged ane s chain ers. The urrent furniture is ten years old and in need of repair. The aes"€'ui aiti re_w111 be ergOnomi&lly correct and make better use of the office space. This furniture will also be moved to the new justice center. FROM: Prior Year Reserves (Productivity Savings) $ 5,500 FOR: Municipal Court $ 5,500 16. Community Planning and Environmental Services Administration is making the following requests from its productivity savings and equipment replacement reserves: $9,000 from productivit'savingsreserves,fol onsulttngsupportof Land Use Code Revision projects. Some majot Land Use Code evisiiofi proJ&1 is require consulting assistance to adequately evaluate issues and'develop aropriate ecommendations. These projects include further refinement to the urban design standards for application within the "block standards" zone districts. These land-use code refinements are necessary in order to best implement the city plan and vision for these areas. $15,000 from productivity savings reserves to contribute towards the replacement of the CPES network file server. The Service area's one network file server is over five years old, no longer covered by the warranty, and lacks adequate storage capacity to support the increased use of digital graphic images by service area staff. This will replace the server with current technology that will provide adequate support for staff to increase their use of multimedia and graphic information. The total cost of the new server is estimated to be approximately $15,000. DATE: October 5, 1999 9 ITEM NUMBER: 10 $6,000 from equipment replacement reserves to upgrade network wiring and switches at 281 North College Avenue to support implementation ofthe new Development Tracking System. The existing network cabling within portions of 281 North College Avenue is substandard. Recent tests of the wiring in key office areas indicates that it is not adequate to support implementation of the new Development Tracking system. This project will bring the wiring and switch capacity within these offices into conformance with the City's adopted standards. Existing substandard wiring will be replaced with CAT 5 wiring for each of the DTS users within the Building and Zoning Department, and a new switch will be added to directly connect the DTS server and these users to the City's network. FROM: Prior Year Reserves (Productivity Savings) $ 24,000 FROM: Prior Year Resei ves � ii�f went RVIacement) $ 6,000 FOR: CPES - Admiistrarion� $ 30,000 17. In 1998,Advance Plannin eceived`fim`'ds from documen-sales and demolition review fees. These funds ($3,231) were not used in 1998 and are currently in Advance Planning's productivity savings reserve. In 1999, $318 has been received from document sales and $1,300 has been received from demolition review fees. All of these funds are requested for appropriation to be used to cover unanticipated printing costs incurred this year and for the cost of administration of the demolition review process. FROM: Prior Year Reserves (Productivity Savings) $ 3,231 FROM: Unanticipated Revenue (Advance Rlammng)­ w $ 1,618 FOR: Advance Planning F: $ 4,849 . e;.. . ; 18. Forestry has received$6;492Tfrorri' nsurance=claun settlements as a result of damages to city trees. These funds are requested for appropriation to be used for the restoration and replacement of the damaged trees. FROM: Unanticipated Revenue (Insurance Recovery) $ 6,492 FOR: Forestry and Horticulture $ 6,492 19. Building and Zoning requests the following items from their productivity savings reserve: $12,000 for hourly salaries. .Money wall be dsed to cover expenditures for the hourly employee who has been responsible fofrscannmg an`c indexing papers from our manual address file onto the DocMan system soxfar this year. AA!hourly employee began this"paper to electronic" conversion in 1996. DocMan will not be effective until all files have been converted; therefore, it has been important to keep the process ongoing to completion, without interruption. $14,000-Money will be used to cover some of the one-time costs that were incurred earlier this year as a result of the creation of a new Lead Building Inspector position. This position was not included in the approved 1998-1999 budget therefore,funds had not been allocated for the associated one-time costs. Building and Zoning's assigned office area needed additional space for the person filling the position. Therefore, it was necessary to remodel . the existing office space and refurnish the building inspector room with a compact modular furniture system. DATE: October 5, 1999 10 ITEM NUMBER: 10 $14,000 for"outsourcing"the remainder of the Doc Man conversion process. The DocMan conversion process has taken considerably longer than first anticipated. In fact,after almost three years of utilizing hourly employees to scan and index,the conversion in now only half completed. Staff proposes to`outsource"the remainder of the project as soon as possible. Once the process is outsourced,the entire conversion will be completed in about two months. Even though the cost is significant,it will result in a net savings of at least$20,000 in hourly salaries that will no longer be necessary over the next two years. Additionally, the outsourcing will result in a fully functional electronic file system in place by the first part of 2000, rather than in 2002. FROM: Prior Year Reserves (Productivity Savings) $ 40,000 '11FOR: Building and Zng $ 40,000 B. SALES &USE TAX*VUND/ U 1. The adopted 1999 budget estimated a 7.1% increase in 1999 sales tax collections over the 1998 estimated collections. Sales tax collections through August 1999 are approximately 8.8% over actual 1998 collections through August 1998. This item transfers $1,464,117 from the Sales and Use Tax Fund to the General Fund. The $1,464,117 will not be appropriated for expenditure in the General Fund. The balance will be held in General Fund reserves. This item also transfers$2 692 47�*om the;Sales and Uset1 ax Fund to the Capital Projects Fund for the three Building Community oicesprogram%($697,490toeachoftheprograms - Community Enhancements, Natural as and Pazk ; and Streets and Transportation). L Collections for the dedi8tedb0`. ;"'cent for-each progrram are approximately 13.8%over actual 1998 collections through August. The $2,092,470 will not be appropriated for expenditure and$697,490 will be held in the Capital Projects Fund Balance for Community Enhancements, Natural Areas and Parks, and the Streets and Transportation Building Community Choices programs. FROM: Unanticipated Revenue (Sales Taxes) $3,556,597 FOR: Transfer to the General Fund $1,464,117 FOR: Transfer to 0.25 cent BCC Community Enhancements 697,490 FOR: Transfer to 0.25ent BCC Na 4reasRll ndPazlss 697,490 FOR: Transfer to 0.4,cent BCC, Stree avid ranspo�& ion 697,490 C. CULTURAL SERVICES & FACILITIES FUND 1. Throughout the year the Museum received donations from the Fort Fund Exhibit and Program Sponsorship,Pinhole Camera Workshop,Boxelder Summer Schoolhouse Program, corporate and individual exhibit sponsorships and general Museum donations. These donations will be used to cover the expenses incurred in providing Skookum Day, the Boxelder Summer Schoolhouse Program,and to replenish the Museum exhibits fund. FROM: Unanticipated Revenue (Tuition& Donations) $ 19,292 FOR: Museum Programming Reimbursement $ 19,292 2. The Museum contracted with CCMK Architects in 1999 in an effort to look into the redesign of the Museum to allow for better handicap accessibility. This item appropriates prior year DATE: October 5, 1999 11 ITEM NUMBER: 10 reserves in the Cultural Services&Facilities Fund to be used to reimburse the Museum for the architectural consulting fees incurred. FROM: Prior Year Reserves $ 1,848 FOR: Museum Operations $ 1,848 This item appropriates prior year reserves in the Cultural Services & Facilities Fund to be used to replace equipment and enhance existing services. The appropriations will be used for sound and light equipment in the Performance Hall and Mini Theatre. In addition, miscellaneous catering equipment, including dishes, silverware, will be purchased and conference tables and chairs will be replaced. FROM: Prior Year Res es $24,500 FOR: Lincoln Centep ti ` $ 24,500 P� I 4. The City has received a$7,000 donation from the Chamber of Commerce for the "Human Spirit' sculpture recently installed at Creekside Park, commemorating the flood in July, 1997. The donation will be appropriated and applied towards payments to Jack Kreutzer,the sculptor. FROM: Unanticipated Revenue (Donations) $ 7,000 FOR: Art-in-Public Places $ 7,000 ` Z 5. A personal services contingency 'as establi ' ed 5 the=Creneral Fund in 1999 to fund the new pay plan, adopted by 6ouncil akhe end"'of.�1`998. Item S.2. of this Ordinance authorizes $10,356 for transfer from4h&GeneraLFfmd tti.the Cultural-Services&Facilities Fund. This item appropriates the transfer in the Cultural Services&Facilities Fund where it will be used for personal services. FROM: Transfer from the General Fund $ 10,356 FOR: Museum Personal Services $ 10,356 D. TRANSPORTATION SERVICES FUND -TRAFFIC OPERATIONS 1. The Traffic Constructor Program is raflc Operation "Work for Others" program. Expenditures for traffi�c,signal rk, traficcaimmg projects and installation of signs and pavement markings are�tracked in this account and billed out to other City departments, municipalities and developments. An additional appropriation of$70,000 is needed this year to complete one unanticipated signal project and several signing and striping projects. The appropriation will cover labor, materials, and equipment needed to complete these projects. This request appropriates funds from Traffic Operations unanticipated revenue in the amount of$70,000 to the Traffic Operations budget. FROM: Unanticipated Revenue(Traffic Construction) $ 70,000 FOR: Traffic Operations Traffic Construction Program $ 70,000 DATE: October 5, 1999 12 ITEM NUMBER: 10 2. A personal services contingency was established in the General Fund in 1999 to fund the new pay plan,adopted by Council at the end of 1998. Item S.2.of this ordinance authorizes$261 for transfer from the General Fund to the Transportation Services Fund. This item appropriates the transfer in the Transportation Services Fund where it will be used for personal services. FROM: Transfer from the General Fund $ 261 FOR: Traffic Operations Personal Services $ 261 E. TRANSPORTATION SERVICES FUND -TRANS. DEMAND MGMT. (TDM) 1. The City's Local TDM program cei $ edelM Congestion Mitigation&Air Quality funds that were includein th 19 ntra th the Colorado Department of Transportation, but we not ipclk d ' ocal TD 1999 budget. The appropriations will be used to promote 1hise of a1 mative anspo" ion in the City. FROM: Unanticipated Revenue(CMAQ Funds) $ 46,000 FOR: Local TDM Expenses $ 46,000 2. The City's Regional TDM Program received money from the sale ofbike month t-shirts,bike locker sales and miscellaneous auction sales. This item requests that the funds received be appropriated and used by the regional SMARTTrips marketing program to market and promote alternative transportatio de o ottxerlorado and to provide for staff training. FROM: Unanticipatedtie (Sales M scellaneo $ 1,179 FOR: Regional TDM Expenses $ 1,179 3. This item appropriates funds received by the VanGo Vanpool program from sales of equipment,fuel rebates,and insurance reimbursements. The appropriations will be used by the regional vanpool program to cover partial cost of the fleet rotation program. FROM: Unanticipated Revenue (Miscellaneous &Insurance Recovery) $ 55,418 FOR: Regional TDM - ,anGo Expenses $ 55,418 4 F. TRANSPORTATION SERVIC ES F"QRT OPC O 1. The Metropolitan Planning Organization(MPO)hosted a training for local government staff and consultants on its new modeling software. The tuition for the workshop generated $6,000 in revenue. This item appropriates the revenue received to help cover the expenses of providing the workshop. FROM: Unanticipated Revenue (Miscellaneous) $ 6,000 FOR: MPO Expenses $ 6,000 2. The MPO will receive an additional $30,000 from the Colorado Department of Transportation through the North Front Range Small Urban Pool. The additional funds are needed to cover the increase to the contract for the consultant working on the State Highway 14 and Interstate 25 Interchange Study. The cost of the contract increased due to the expanded scope of work on the study. DATE: October 5, 1999 13 ITEM NUMBER: 10 FROM: Unanticipated Revenue (MPO Revenue) $ 30,000 FOR: Highway 14 and I-25 Interchange Study $ 30,000 G. TRANSPORTATION SERVICES FUND -TRANSPORTATION ADMIN. 1. During the latter part of 1998, several divisions within the Transportation Service Area consolidated space into the 235 Mathews building, which had been vacated by the Stormwater division. The cost of the rent for the space was higher than the amount included in the budgets for the divisions. In addition,the lease for the entire building,including 210 East Olive and 235 Mathews,was recently renegotiated,resulting in higher costs for the last third of 1999. The fundgohese increased 1 come from Transportation Services Fund prior year resery s. FROM: Prior Year Rese $ 60,000 FOR: Transportation Administration Expenses $ 60,000 H. TRANSPORTATION SERVICES FUND -TRANSPORTATION PLANNING 1. The Rocky Mountain ACT Chapter is contributing $1,000 towards the cost of sending one staff member to the ACT `99 International Conference this fall. This item appropriates the $1,000 and reimburses the Planning operating budget for conference expenses. FROM: Unantici ated,Revenue Miscelaneous $ 1,000 • FOR: Transportatio�Plammng Expenses $ 1,000 2. The Neighborhood Safety Program will be adding a crossing guard position for Olander Elementary School in the year 2000. The school's PTA has asked the City to add the guard starting in the fall of 1999 and is paying for the full cost of adding the guard for the remainder of 1999. FROM: Unanticipated Revenue (Miscellaneous) $ 1,820 FOR: Neighborhood Safety Program Expenses $ 1,820 kl time osi on i e Fort Collins Local Transportation 3. Neighborhood Safety sliares a Demand Management ogram. n orderio aritraet appraiits for the position,the salary was increased to be more cicsea ali6e4 fi market cond lions. Also, due tore-organization at the 235 Mathews office,new office space/furniture is needed for the position. The funds will come from Transportation Services Fund prior year reserves and will be placed in the Neighborhood Safety operating budget. FROM: Prior Year Reserves $ 3,890 FOR: Neighborhood Safety Program Expenses $ 3,890 I. TRANSPORTATION SERVICES FUND - PARKING . 1. The estimated cost to operate the Civic Center Parking Structure for 1999 is $84,434, of which$17,541 has been appropriated. The remaining$66,893 required for the operation of the structure will be funded by unanticipated revenue from charges,a contribution from the County and prior year reserves. The City of Fort Collins and Larimer County have an DATE: October 5, 1999 14 ITEM NUMBER: 10 agreement to share equally in any shortfall between expenditures and revenues collected. Larimer County will be billed for its portion of the shortfall at the end of 1999. Any additional contribution required from the City will also be reconciled at year-end. This item appropriates the additional funds needed ($66,893) to operate the structure for 1999, including the County's share of$17,541,revenues from permits and hourly parking charges, totaling $48,244, and prior year reserves of$1,108. FROM: Unanticipated Revenue (Charges & County Contribution) $ 65,785 FROM: Prior Year Reserves $ 1,108 FOR: Civic Center Parking Structure Expenses $ 66,893 2. This item appropriate(Renue s in an "m etfflents received by the Parking Division as a result ofges the O ar Structure prox card machine. FROM: Unanticipated (In ance ecovery $ 3,012 FOR: Old Town Parking Structure Expenses $ 3,012 3. With the Civic Center Parking Structure coming on-line in late 1999,Parking is reorganizing and adding a customer services supervisor position due to increased workload and the increase in total number of parking attendants. Transportation Services Fund prior year reserves will provide the funds required for this position in the Parking Services operating budget for the remainder of 1999. This position is in the 2000-2001 budget. FROM: Prior Year Reserves $ 8,000 FOR: Civic Center Perking StIcture#kpimses $ 8,000 %"W"._11, NI�11 LL Y" 4. The Downtown Development Authority(DDA)is contributing$15,000 towards the cost of a consultant to evaluate the physical condition ofthe Old Town Parking Structure. This item reimburses Parking expenses relating to a consultants study of the parking structure. FROM: Unanticipated Revenue (DDA Contribution) $ 15,000 FOR: Old Town Parking Structure Expenses $ 15,000 5. Parking Services requested propos or a new tick tipg s stem. Spectra Corporation was the candidate selected. orfier ne s azking needs to purchase three computers, two printe and a rver, d top for data conversion and training. These funds will also p ` for ti<v onto me pay nts to Spectra in order to begin the contract on October 1, 1999. Transportation Services Fund prior year reserves will provide the additional appropriation needed in the Parking budget. FROM: Prior Year Reserves $ 22,000 FOR: Parking Expenses $ 22,000 6. Transportation Services Fund prior year reserves will provide the balance of funds needed in the Parking budget for the remainder of 1999 to address the pay plan adopted by Council. FROM: Prior Year Reserves $42,000 FOR: Parking Expenses $ 42,000 DATE: October 5, 1999 15 ITEM NUMBER: 10 J. STREET OVERSIZING FUND 1. Projected expenditures from the Street Oversizing Fund will exceed the $3.4 million budgeted for 1999. The City is presently in a growth cycle, and the street network is expanding accordingly to meet the demand. It is estimated that an additional appropriation of$300,000 may be necessary. Any unspent appropriations at year-end would fall into the Fund's unreserved fund balance at the end of 1999. This item requests an additional appropriation of$300,000 from prior year reserves in the Street Oversizing Fund to be used to cover the obligations of the Street Oversizing Fund. This additional appropriation is not expected to adversely affect the Street Oversizing Fund's ability to meet its obligations for street construction in 2000. FROM: Prior Year Reorves $ 300,000 FOR: Street Oversiv�g Expenses L $ 300,000 • ;._ K. RECREATION FUND The Recreation Division administers several restricted revenue accounts for various programs. The following items(1 -3)appropriate specific expenditures from unanticipated revenue and restricted reserves established for these special revenue accounts. 1. The dollars appropriated through this item will cover the cost of running `BOB", the bus providing transportatio tv swimmirtg. These dollars-wilhalso help underwrite the cost of the Summer Basketbal program Sixty-sevenIearnsplayed both during the season and during league play. The appropriation 011ialso be used to expand the Recreation at your Door (RAD)program info the'fall. FROM: Unanticipated Revenue (Northside) $ 10,000 FOR: Northside Programming $ 10,000 2. The funds appropriated in this item will be used to purchase youth sports equipment. FROM: Unanticipated Revenue (Youth) $ 500 FOR: Youth Sports Programming $ 500 3. Dollars appropriated ough this item t t rm be'vsed fi additional outdoor displays and signage at the Fa M ,ern:;` FROM: Prior Year Reserves(Farm Museum) $ 1,500 FOR: Farm Museum $ 1,500 4. A personal services contingency was established in the General Fund in 1999 to fund the new pay plan, adopted by Council at the end of 1998. Item S.2. of this ordinance authorizes $4,409 for transfer from the General Fund to the Recreation Fund. This item appropriates the transfer in the Recreation Fund where it will be used for personal services. FROM: Transfer from the General Fund $ 4,409 FOR: Recreation Personal Services $ 4,409 DATE: October 5, 1999 16 ITEM NUMBER: 10 5. The General Fund budgets$25,000 for new billings of water charges for facilities. In 1999, facilities owned by the Recreation Fund will be billed directly for water at an estimated cost of$15,458. Item S.6. of this ordinance authorizes $15,458 for transfer from the General Fund to Recreation Fund. This item appropriates the transfer in the Recreation Fund where it will be used for facility water charges. FROM: Transfer from the General Fund $ 15,458 FOR: Recreation Fund Expenses $ 15,458 L. CAPITAL PROJECTS FUND 1. Engineering collects esarow eposrtjF s'� pm eon tN for.7ght-of-way repairs that cannot be completed due to bad weather or o err1Wual otim tances so that Certificates of Occupancy can be issued. If the tepair eompb d withinthe identified fime framethe City will contract tc athe w$fk comd. This item appropriates escrowed funds received to be used to reimburse various capital projects. FROM: Unanticipated Revenue(Minor Streets) $ 1,535 FROM: Unanticipated Revenue(Street Maintenance) $ 3,248 FOR: Minor Streets Project $ 1,535 FOR: Street Maintenance Project $ 3,248 2. An agreement was reached-with the owner7uf�26smington for the City to design and construct the curb, gutter, and pai emend ey aunt to the property in conjunction with the Street Maintenance program e '-ity has received$5,775 from the owner of the property to cover his portionmf the'cost''f thaTepairs. Ae revenue needs to be appropriated into this project. FROM: Unanticipated Revenue (Property Owner Contributions) $ 5,775 FOR: Street Maintenance Project $ 5,775 3. Reimbursement from Union Insurance in the amount of$8,226 was received for damages done by Tank Excavating to the new curb and gutter on Cherry Street. Express Concrete was paid out of the Street Maintenance project t re air thedamages. The reimbursement needs to be appropriated into e pr je udg r FROM: Unanticipated evenue�( onttbuti ` ) $ 8,226 � FOR: Street Maintenance Project $ 8,226 4. This item appropriates funds from insurance claim settlements received in the Capital Projects Fund. The incidents for which the City was reimbursed occurred in the Minor Streets capital project. FROM: Unanticipated Revenue(Insurance Recovery) $ 2,593 FOR: Minor Streets Project $ 2,593 5. The original scope of services for consultant work with the Burlington Northern Santa Fe Railroad was not adequate. Balloffet & Associates, Inc. and the City have negotiated the additional scope and fee needed to address this critical issue. The revenues are available from 1999 1/4 cent sales and use taxes dedicated to the Building Community Choices Streets DATE: October 5, 1999 17 ITEM NUMBER: 10 and Transportation projects. Appropriations in 2000 for the corridor project will be decreased by this amount. FROM: Unanticipated Revenue (Sales/Use Tax) $ 30,000 FOR: Mason Street Transportation Corridor Project $ 30,000 6. Facilities has performed work for various departments and has billed these departments for the work. Item A.2. of this ordinance appropriates $364,700 for transfer from the General Fund to the Capital Projects Fund, Major Building Maintenance capital project. This item appropriates those funds in the Capital Projects Fund where it will be used for facility maintenance projects. FROM: Transfer from1. e Gene Fund' P Y $ 364,700 FOR: Major Buildin aintenance $ 364,700 7. New positions were added to the General Fund with the 1999 budget. The funds set aside for tenant finish need to be transferred to the Capital Projects Fund. Item 5.7. of this ordinance appropriates $62,400 for transfer from the General Fund to the Capital Projects Fund,Major Building Maintenance project. This item appropriates those funds in the Capital Projects Fund where it will be used for facility maintenance projects. FROM: Transfer from the General Fund $ 62,400 FOR: Major Building amlen eel $ 62,400 8. The City purchased bui Sings an , arm land L ociated th the Nix Natural Area acquisition in January 1997. The "riy=recei s rem: i come fro"�1`-the buildings and farm land as a result of the purchase. This item appropriates the unanticipated revenue from rental income to be used for the Natural Areas capital project. FROM: Unanticipated Revenue (Other Rents &User Charges) $ 17,592 FOR: Natural Areas Project $ 17,592 9. The City received a donation from Poudre School District Media&Technology Services for a Master Naturalist Line presentation. The ' Master Naturalist Training Program is funded through the 1/4 snt Na Areas ca glr jest. addition the City received$849 from Operation Ospre , repres ting a're of ed mitigation funds. This item appropriates the unanti vatteed re enue rece ed in the atural Areas capital project. FROM: Unanticipated Revenue (Miscellaneous) $ 969 FOR: Natural Areas Project $ 969 10. Natural Areas received payment from the City's Engineering Department as reimbursement for Timberline Road Extension costs. This item appropriates the payment in the Natural Areas capital project. FROM: Unanticipated Revenue (Miscellaneous) $ 36,980 FOR: Natural Areas Project $ 36,980 j 11. In 1998,Natural Resources sold parcels of the Kane property to the Storm Drainage Fund for $150,000. The funds were deposited in the General Fund for Natural Resources. Item DATE: October 5, 1999 18 ITEM NUMBER: 10 A.B. of this ordinance appropriates $150,000 for transfer from the General Fund to the Capital Projects Fund, Natural Areas project. This item appropriates those funds in the Capital Projects Fund where it will be used for natural areas acquisitions. FROM: Transfer from the General Fund $ 150,000 FOR: Natural Areas Project $ 150,000 M. COMMUNICATIONS FUND 1. The Communications Fund,the Utilities,and the General Fund are sharing the cost incurred by a fiber design consultant(for fiber loop). The consultant will provide a 5-year plan to use the fiber optic strands ro i$�gdto the r � 'A inieir SONET loop. This item appropriates the Co cations Fund p ear reserves. FROM: Prior Year Rese s $ 15,000 FOR: CITEL- Consultant Study $ 15,000 2. In order to take advantage of open streets and easements during various construction projects downtown,the Communications Fund contributed$10,000 to the cost of installing conduit and fiber in the downtown area. This amount will be recovered over the next 5 years as other City buildings are constructed in the downtown area and telecommunication costs are assessed against the various projects. This item appropriates prior year reserves in the Communications Fund toqeimburse GIT EIS o exon tion. FROM: Prior Year Re es $ 10,000 FOR: CITEL Expend§ '3=» - ' $ 10,000 3. The number of leased lines (frame relay and traffic circuits) from US West has exceeded projections. Departments are billed for these US West services. This item appropriates additional revenue received that will be used to cover CITEL expenses incurred. FROM: Unanticipated Revenue(Leased Lines) $ 20,000 FOR: CITEL Expenses $ 20,000 4, This item requests an a roprtati fro pnnr rase s m the Communications Fund to be used for an up a of the..,BX. ' e ip e Ac uled for 2000, but because of higher than projected pkine traffi" the A needs tole upgraded in 1999. Customers are currently experiencing delays in service because the current system does not have the capacity to handle the volume of calls. FROM: Prior Year Reserves $ 75,000 FOR: CITEL Equipment $ 75,000 5. As an internal service fund, the Communications Fund manages and implements various projects related to voice and data communications. The charges are passed through to departments. This request appropriates the revenue received from departments into the CITEL budget. FROM: Unanticipated Revenue(Charges) $ 50,000 FOR: CITEL Expenses $ 50,000 DATE: October 5, 1999 19 ITEM NUMBER: 10 N. OPEN LANDS FUND 1. The City purchased open space associated with the McMurray Pond Natural Area acquisition in June 1998. The City receives rental income from two existing mobile home owners located in the natural area. Agreements call for the City to assist the tenants for up to two years in their relocation efforts.This item appropriates the unanticipated revenue from rental income to be used for Open Lands acquisition. FROM: Unanticipated Revenue (Other Rents& User Charges) $ 6,179 FOR: Open Lands Fund $ 6,179 O. GOLF FUND ," 7 YF 1. An appropriation of '000 i ' eeded'in e Golf Fund from prior year reserves for unexpected and unbudgete xpen lames. Banking service charges were increased over what was budgeted, and several pumps, motors, and equipment needed repairs. FROM: Prior Year Reserves $15,000 FOR: Golf Expenses $15,000 P. WATER FUND 1. Emergency Ordinance wso"19f99 -appropriatedproceeds mtheWaterUtilityEnterprise Water Revenue Bond, Series 99. Ho ` ver; only_ the par amount of the bond was appropriated. A pre _um of$57,625 was received on the bond which also needs to be appropriated. $21,376 llbeiised=&the costofissuing'he bonds and$36,249 will be used for the Water Master Plan Facilities Project. FROM: Unanticipated Revenues (Bond Proceeds) $ 57,625 FOR: Bond Issuance Costs $ 21,376 FOR: Facilities Master Plan Project $36,249 2. The Water Fund has received $17,720 in unanticipated revenue from a reimbursement for work done for the Soldier canyon F'. ter PT hefty u�e--d existing appropriations from the Water Master Plan cilities oject 7o y f6r the work. The additional appropriation is needed to reimburs a Wat aster, Facilitiy es roject. FROM: Unanticipated Revenue (Miscellaneous Revenue) $ 17,720 FOR: Water Master Plan Facilities Project $ 17,720 3. The Water Fund has received$140,000 in unanticipated revenue from insurance proceeds. These funds will be used for the Water Master Plan Facilities Project to cover the cost of repairing the Poudre Pipeline. FROM: Unanticipated Revenues (Insurance Proceeds) $140,000 FOR: Water Master Plan Facilities Project $140,000 DATE: October 5, 1999 20 ITEM NUMBER: 10 Q. CAPITAL IMPROVEMENT EXPANSION FUND 1. This item appropriates administrative fees earned in the Capital Improvement Expansion Fund and authorizes those fees for transfer to the General Fund to be used for the purchase of the finance computer system(See A. 14.). FROM: Prior Year Reserves $ 29,527 FROM: Unanticipated Revenue (Admin. Fees) $ 87,818 FOR: Transfer to the General Fund $ 117,345 R. TRANSIT SERVICES FUND 1. A personal services contingency 'as es Ais elan the 'eral Fund in 1999 to fund the new pay plan, adopted by uncil a e e o 998. Item S.2. of this ordinance authorizes $111,776 for transfer fro the Ge ral un to the"�Tiansit Services Fund. This item appropriates the transfer in the Transit Services Fund where it will be used for personal services. FROM: Transfer from the General Fund $ 111,776 FOR: Transit Services Personal Services $ 111,776 S. TRANSFERS OF APPROPRIATIONS BETWEEN FUNDS Article V,Section 10,of the City harterau „ rizes A,'0ty Council,upon recommendation of the City Manager, to transfei,mexpehQ and unencumbered appropriations from one fund to another provided1hat-the purpose foiiuhich the. ansferred funds are to be expended remains unchanged. 1. This item authorizes the transfer of $393,800 from various funds to the General Fund, Finance Department for the new J.D. Edwards finance system. (See A.14.) FROM: Self Insurance Fund $ 184,415 Light& Power Fund 38,000 Storm Drainage Fed . 4,630 Wastewater Fund 18,250 Water Fund r 25,440 Conservation Tiust Fund S80 Open Lands Fund 720 Neighborhood Parkland Fund 800 Street Oversizing Fund 3,620 TO: General Fund - Finance System $ 276,455 2. This item authorizes the transfer of $126,802 from the General Fund personal service contingency to various funds. The personal service contingency was set aside in the 1999 budget to fund the new pay plan. (See C.5., D.2., KA., & R.1.) FROM: General Fund $126,802 FOR: Cultural Services & Facilities Fund $10,356 Transportation Services Fund $261 DATE:October 5, 1999 21 ITEM NUMBER: 10 Transit Services Fund $111,776 Recreation Fund $4,409 3. This item requests the transfer of $18,751 from the Self Insurance Fund to various departments from monies collected from citizens and contractors who caused damage to City property. FROM: Self Insurance Fund $18,751 FOR: General Fund $17,372 FOR: Transportation Services Fund $948 FOR: Transit Services Fund $431 4. City Council adopted Ordinance o. 124 9 Au 7, 1999,appropriating additional federal transportation dllazs as mstere y the Col o Department of Transportation (CDOT). This items a orizee trans er of exis ing appropriations in the Local Transportation Demand Management program to provide matching funds required by CDOT as part of the Congestion Mitigation and Air Quality(CMAQ)dollars that were awarded for a Bicycle Education and Enforcement Program (BEEP), construction of an informational kiosk enhancement of the business outreach program, and enhancement of the youth outreach program,via Ordinance No. 124, 1999. FROM: Transportation Fund Existing Operating Appropriations $14,858 FROM: TransportationFAmd.,Existing roject-Apprgpriatiiens $1,706 FROM: Transit Services Fund Existin L'App o P"ations $4,241 FOR: 1999 BEEP Project $8,617 FOR: 1999 Informat onal&Kios1k( ao3ec $1,706 FOR: 1999 Enhanced Business Outreach Project $5,241 FOR: 1999 Local Youth Outreach Project $5,241 5. $25,515 Drug Grant Match - The Multi jurisdictional Drug Grant was appropriated in August, 1999 by Ordinance No. 131, 1999. This ordinance appropriated the grant in the amount of$295,506 and city matching funds in the amount of$129,399. Total city matching funds for the grant are $154,914. This item transfers an additional $25,515 from the police operating budget to the gratlt two cov the total ers n service costs for Fort Collins Police Services' portion of th4f rolect. $95,625 COPS Unveil Grant ity ate ` - The IS Universal Grant for 1999 was appropriated with the 1999 bbudget on Ordinance No. 208, 1998. This grant requires city matching funds in the amount of$95,625 which have been included in the Police Services operating budget. This item is needed to transfer the matching funds from Police Services operations to the COPS Universal grant project. FROM: Police Operations Existing Appropriations $ 121,140 TO: Multi jurisdictional Drug Grant- City Match $ 25,515 TO: COPS Universal Grant- City Match $ 95,625 6. The General Fund budgets$25,000 for new billings of water charges for facilities. In 1999 facilities owned by the Recreation Fund will be billed directly for water at an estimated cost of $15,458. These funds need to be transferred from the General Fund existing appropriations to the Recreation Fund to cover this cost. (See KA.) DATE: October 5, 1999 22 ITEM NUMBER: 10 FROM: Existing General Fund Appropriations $ 15,458 FOR: Transfer to Recreation Fund $ 15,458 7. New positions were added to the General Fund with the 1999 budget. The funds set aside for tenant finish expenses need to be transferred to the Capital Projects Fund - Major Building Maintenance for future needs. Funds in the amount of$62,400 have been identified in the General Fund as tenant finish costs which need to be transferred to the Capital Projects Fund. (See L.7.) FROM: Existing General Fund Appropriations $ 62,400 FOR: Transfer to Capital Projects Fund-Major Bldg. Maintenance $ 62,400 8. The Wastewater Fund questsgen4ter 0 00 ' the Fast Swallow Sewer Project and$90,000 from the trvicero ments P :eet to the Locust Street/Riverside Drive Project to cover the st a East w ow Project is completed and has appropriations of$60,000 which are unexpended and unencumbered. The Service Center Improvements Project has $1,133,313 of unexpended and unencumbered appropriations of which, $90,000 are available for transfer to other projects. FROM: East Swallow Sewer Project $60,000 FROM: Service Center Improvements Project $90,000 FOR: Locust Street/Riverside Drive Project $150,000 9. The Water Fund requesfs the Ntirder of 20-:73 x o e Road/County Road 6 Project and$389,038 from the ast Prospect Water mne Projec o the Water Master Plan Facilities Project to cover the cost e30-mchFpipelnie facili the Soldier Canyon Filter Plant. The Drake Road/County Road 6 Water Project is completed and has appropriations of $206,735 that are unexpended and unencumbered. The East Prospect Water Line Project is also completed and has appropriations of$389,038 that are unexpended and unencumbered for this project. FROM: Drake Road/County Road 6 Project $206,735 FROM: East Prospect Water Line Project $389,038 FOR: Water MasterC��geted ciliti roject $595,773 10. The Harmony Bikelanct(beingco ed in es. Since costs for Phase I were lower than originallys ,ansfr reimbur -s the Planning Operating Budget which provided the local match for Phase III earlier this fall. FROM: Harmony Bikelanes Project-Transportation Services Fund $ 10,297 FOR: Transportation Planning- Transportation Services Fund $ 10,297