HomeMy WebLinkAbout208 - 11/17/1998 - THE ANNUAL APPROPRIATION ORDINANCE RELATING TO THE ANNUAL APPROPRIATIONS FOR THE FISCAL YEAR 1999; A ORDINANCE NO. 208, 1998
OF THE COUNCIL OF THE CITY OF FORT COLLINS
BEING THE ANNUAL APPROPRIATION ORDINANCE
RELATING TO THE ANNUAL APPROPRIATIONS
FOR THE FISCAL YEAR 1999; AMENDING THE BUDGET FOR
THE FISCAL YEAR BEGINNING JANIJARY 1, 1999, AND ENDING
DECEMBER 31, 1999; AND FIXING THE MILL LEVY FOR FISCAL YEAR 1999
WHEREAS,on November 4, 1997,the Council adopted on Second Reading Ordinance No.
176, 1997, thereby approving a biennial budget for the years beginning on January 1, 1998, and
January 1, 1999; and
WHEREAS, the City Manager has submitted to the Council proposed amendments to the
1999 budget adopted by the Council in Ordinance No. 176, 1997; and
WHEREAS, Article V, Section 4, of the City Charter requires that, before the last day of
November of each fiscal year,the Council shall appropriate on a fund basis and by individual project
for capital projects and federal or state grant projects, such sums of money as it deems necessary to
defray all expenditures of the City during the ensuing fiscal year based upon the budget as approved
by the Council; and
WHEREAS,Article V, Section 5,of the City Charter provides that the annual appropriation
ordinance shall also fix the tax levy upon each dollar of the assessed valuation of all taxable property
within the City, such levy representing the amount of taxes for City purposes necessary to provide
for payment during the ensuing fiscal year for all properly authorized expenditures to be incurred by
the City, including interest and principal of general obligation bonds; and
WHEREAS, Article XII, Section 6, of the City Charter permits the City Council to fix,
establish, maintain, and provide for the collection of such rates, fees, or charges for water and
electricity, and for other utility services furnished by the City as will produce revenues sufficient to
pay into the General Fund in lieu of taxes on account of the City-owned utilities such amount as may
be established by Council; and
WHEREAS, Article V, Section 10, of the Charter of the City of Fort Collins authorizes the
City Council to transfer by ordinance any unexpended and unencumbered amount or portion thereof
from one fund or capital project to another fund or capital project, provided that the proposed
transfer is from a capital project in which the amount appropriated exceeds the amount needed to
accomplish the purpose specified in the appropriation ordinance; and
WHEREAS,there are unexpended and unencumbered appropriations in the Capital Projects
Fund Facilities Master Plan capital project that need to be transferred to the General Fund to help
fund the lease/purchase payments for the new office building and parking structure in 1999.
NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF FORT
COLLINS as follows:
Section 1. Budget. That the City Council has reviewed the City Manager's recommended
changes to the"1999 Proposed Appropriations"section of the Fort Collins 1998 and 1999 Biennial
Budget (the `Biennial Budget'), as shown on pages 35 through 37 of Volume I thereof, a copy of
which Biennial Budget is on file with the office of the City Clerk, and hereby amends the Biennial
Budget so as to reflect said changes as follows:
1999 Proposed Appropriations
Amount of
Existina Adjustment As Amended
GENERAL FUND $64,848,761 $ 3,253,137 $ 68,101,898
COPS Universal Grant 125,000 125,000
ENTERPRISE FUNDS
Golf $ 2,014,082 $ 2,014,082
Light & Power 65,899,662 1,353,677 67,253,339
Storm Drainage 3,337 758 3,337,758
Capital:
Canal Importation Basin $ 152,000
Dry Creek Basin Instream 130,000
Evergreen/Greenbriar Basin 36,000
Foothills Basin 1,025,200
Fossil Creek Basin 42,000
Fox Meadows Basin 115,000
McClelland/Mail Creek Basin 47,000
Old Town Basin 107,000
Poudre River Basin 12,000
Spring Creek Basin 420,200
West Vine Basin 159,197
Stormwater Capital Total $ 2,245,597 2,245,597
Wastewater $ 15,225,734
15,225,734
Capital:
Computer Systems & Mapping $ 25,000
Flow Monitoring Stations 320,000
Mulberry WRF Improvements 1,180,000
Service Center Improvements 500,000
Sludge Disposal Improvements 100,000
Treatment Plant Improvements 1,710,000
Wastewater Capital Total $ 3,835,000 3,835,000
Water $ 19,385,533 19,385,533
Capital:
Cathodic Protection $ 130,000
Computer Systems and Mapping 25,000
Halligan Reservoir Expansion 90,000
Harmony Transmission Main 1,750,000
Master Plan Facilities 18,585,000
Meter Conversion Program 645,000
Service Center Improvements 500,000
Water Supply Development 100,000
Water Capital Total $ 21,825,000 21,825,000
TOTAL ENTERPRISE FUNDS $133,768,366 $ 1,353,677 $135,122,043
INTERNAL SERVICE FUNDS
Benefits $ 7,646,220 $ 7,646,220
Communications 1,562,553 1,562,553
Equipment 4,879,118 4,879,118
Self Insurance 2,960,662 2,960,662
TOTAL INTERNAL SERVICE FUNDS $ 17,048,553 $ 17,048,553
SPECIAL REVENUE & DEBT SERVICE FUNDS
Cemeteries $ 571,811 $ 571,811
Cultural Services & Facilities 2,752,292 2,752,292
Debt Service 4,784,770 4,784,770
General Employees' Retirement 1,264 800 1,264,800
Open Lands 2,278,298 2,278,298
Perpetual Care 73,222 73,222
Recreation 6,235,784 6,235,784
Sales & Use Tax 58.129,682 958,995 59,088,677
Special Assessments Debt Service 740,048 740,048
Street Oversizing 2,5%604 1,030,000 3,598,604
Transit Services 4,360,429 910,757 5,271,186
Transportation Services 10.097,377 37,687 10,135,064
1999 VanGo Program (federal) 109,332 109,332
Local Match 315,102 315,102
1999 Regional Marketing
Program (federal) 392,668 274,328 666,996
1999 Local Marketing
Program (federal) 144,000 92,000 236,000
Local Match 72,540 72,540
Metropolitan Planning
Organization (federal) 6,484 6,484
Transportation Projects Total 1,040,126 366,328 1,406,454
TOTAL SPECIAL REVENUE & DEBT
SERVICE FUNDS $ 94,897,243 $3,303,767 $ 98,201,010
CAPITAL IMPROVEMENT FUNDS
General City Ca ital
Administration $ 33,494 $ 33,494
Airport Maintenance 60,000 60,000
Facilities Master Plan Land Acquisition 494,766 494,766
Hickory Park 150,000 150,000
Major Building Maintenance 1,153,765 (474,177) 679,588
Minor Street Capital 196,257 196,257
Pedestrian Accessibility 410,944 410,944
Total General City Capital $ 2,499,226 $ (474,177) $ 2,025,049
1/4 Cent Community Enhancements
Administration $ 52,959 $ 52,959
Northeast Truck Route 1,701,940 1,701,940
Library Technology 2.446,255 2,446,255
Total 1/4 Cent Community Enhancements $ 4,201 154 $ 4,201,154
1/4 Cent Natural Areas and Parks
Administration $ 37,602 $ 37,602
Natural Area 2,300,000 2,300,000
Community Horticulture Center 1,815 402 1,815,402
Fossil Creek Community Park 680,776 680,776
Total 1/4 Cent Natural Areas and Parks $ 4,833,780 $ 4,833,780
1/4 Cent Streets and Transportation
Administration $ 35,416 $ 35,416
Pavement Management Program 3,599,946 941,026 4,540,972
Pedestrian Plan 342,857 342,857
Mason Street Transportation Corridor 544,621 544,621
Total 1/4 Cent Streets and Transportation $ 4,522,840 $ 941,026 $ 5,463,866
Conservation Trust Fund
Administration $ 222,332 $ 222,332
Fossil Creek Trail 350,000 350,000
Open Space & Trails Maintenance 56,620 56,620
Other Open Space 50,000 50,000
Poudre River Boat Chutes 30,000 30,000
Trail Acquisition, Development & Repair 250,000 250,000
Tri-City Trails 30,000 30,000
Total Conservation Trust Fund $ 988,952 $ 988,952
Neighborhood Parkland Fund
Administration $ 230,260 $ 230,260
Cottonwood Glen Park 210,000 210,000
Harmony Park 100,000 100,000
Miramont Park 200,000 200,000
New Park Site Acquisition 100,000 100,000
New Park Site Development 200,000 200,000
Park Site Equipment 5,000 5,000
Spring Park Restroom 100,000 100,000
Total Neighborhood Parkland Fund $ 1,145,260 $ 1,145,260
TOTAL CITY FUNDS $328,754,135 $ 8,502,430 $337,256,565
Fire Fighter's Pension 0 2,441,126 2,441,126
TOTAL ALL FUNDS $328,754,135 $10,943,556 $339,697,691
Section 2. Appropriations. That there be, and hereby is, appropriated out of the revenues
of the City of Fort Collins, for the fiscal year beginning January 1, 1999, and ending December 31,
1999, the sum of THREE HUNDRED THIRTY NINE MILLION SIX HUNDRED NINETY-
SEVEN THOUSAND SIX HUNDRED NINETY-ONE DOLLARS ($339,697,691)to be raised by
taxation and otherwise, which sum is deemed by the City Council to be necessary to defray all
expenditures of the City during said budget year, to be divided and appropriated for the purposes
shown in Section 1 above.
Section 3. Mill Levv
a. That the 1999 mill levy rate for the taxation upon each dollar of the assessed valuation
of all the taxable property within the City of Fort Collins as of December 31, 1998, shall be 9.797
mills,which levy represents the amount of taxes for City purposes necessary to provide for payment
during the aforementioned budget year of all properly authorized expenditures to be incurred by the
City,including interest and principal of general obligation bonds. Said mill levy shall be distributed
as follows:
General Fund 8.717
Parks Debt Service 1.080
TOTAL 9.797
b. The City Clerk shall certify this levy of 9.797 mills to the County Assessor and the Board
of Commissioners of Larimer County,Colorado,in accordance with the applicable provisions of law,
as required by Article V, Section 5, of the Charter of the City of Fort Collins.
Section 4. That the unexpended appropriated amount of ONE HUNDRED EIGHTY-FIVE
THOUSAND NINE HUNDRED AND ONE DOLLARS($185,901)is hereby authorized for transfer
from the Capital Projects Fund Facilities Master Plan capital project, to the General Fund for
lease/purchase expenses and appropriated therein.
Introduced, considered favorably on first reading, and ordered published this loth day of
November, A.D. 1998, and to be presented for final passage on the 17th day of November, A.D.
1998.
Mayor
ATTEST:
City Clerk
Passed and adopted on final reading this 17th day of Nov er, A.D. 1998.
Mayor _
ATTEST:
_4UL 'N''- �-
City Clerk 4 1 (3