HomeMy WebLinkAbout013 - 03/05/2002 - APPROPRIATING PRIOR YEAR RESERVES AND TRANSFERRING APPROPRIATIONS ORDINANCE NO. 013, 2002
OF THE COUNCIL OF THE CITY OF FORT COLLINS
APPROPRIATING PRIOR YEAR RESERVES
AND TRANSFERRING APPROPRIATIONS
WHEREAS, Article V, Section 11 of the Charter of the City of Fort Collins, hereinafter
"the Charter", requires that all appropriations unexpended or unencumbered at the end of the
fiscal year shall lapse to the applicable general or special fund, except that appropriations for
capital projects and federal or state grants shall not lapse until the completion of the capital
project or until the expiration of the federal or state grant; and
WHEREAS, Article V, Section 9, of the Charter permits the City Council to appropriate
by ordinance at any time during the fiscal year such funds for expenditure as may be available
from reserves accumulated in prior years, notwithstanding that such reserves were not previously
appropriated; and
WHEREAS, Article V, Section 10, of the Charter authorizes the City Council to transfer
by ordinance any unexpended and unencumbered amount or portion thereof from one fund to
another fund, provided that the purpose for which the transferred funds are to be expended
remains unchanged.
NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF
FORT COLLINS as follows:
Section 1. That there is hereby appropriated for expenditure from prior year reserves in
the General Fund the sum of FOUR MILLION FIVE HUNDRED EIGHTY-SEVEN
THOUSAND THIRTY-FOUR DOLLARS ($4,587,034) for the following purposes:
Landmark Rehabilitation Grant Program $24,752
Update City Plan 23,993
Historic Preservation Projects 92,491
Affordable Housing Land Bank 750,000
Affordable Housing Competitive Process 908,327
Affordable Housing Trust 80,606
City Plans 262,771
Community Opportunity Investments 63,843
Camera Radar and Red-Light Camera Systems 281,495
Computer Aided Dispatch 360,000
800 MHz 164,000
Police Shooting Range System Replacement 17,010
Larimer County Drug Task Force 15,166
Police Low-Rider Project 7,842
Recycling Drop-Off Center 47,863
Construction/Demolition Debris Project 1,668
Recycling Center Expansion 95,000
Clean Air Program Position 26,864
Carbon Monoxide Monitoring Site 15,000
Office Equipment 7,176
JD Edwards Financial System 598,949
Library - Children's Programs 5,000
Lease Purchase of Equipment 95,243
Parks Maintenance Life Cycle 32,920
Community Park Improvements 17,328
Newspaper Stands 27,000
Gateway Park 54,609
GIS Contractual Position 17,600
Spatial Database Engine (SDE) Implementation 48,318
Document Management Program 20,000
Promotional Campaign 3,000
Equipment Loan Pool 400,000
Current Planning P&Z Board Training 6,000
Restorative Justice Program 14,000
Municipal Court Equipment 1,200
Total General Fund $4,587,034
Section 2. That there is hereby appropriated for expenditure from prior year reserves in
the Cemetery Fund the sum of THIRTY-FIVE THOUSAND FIVE HUNDRED TWENTY-
SEVEN DOLLARS ($35,527) to be used for the lease purchase of Cemeteries equipment.
Section 3. That there is hereby appropriated for expenditure from prior year reserves in
the Cultural Services & Facilities Fund the sum of TWO HUNDRED SEVENTY-SEVEN
THOUSAND EIGHT HUNDRED TWENTY-SEVEN DOLLARS ($277,827) to be used for the
following purposes:
Art-in-Public Place Program $ 273,035
Museum— Courtyard Improvements 4,792
$ 277,827
Section 4. That there is hereby appropriated from prior year reserves in the Equipment
Fund, the sum of THREE HUNDRED FIFTEEN THOUSAND SIX HUNDRED EIGHTY-
EIGHT DOLLARS ($315,688) for transfer to the Capital Projects Fund, Operations Services
Facility project and appropriated therein to be used for studies and preliminary design.
Section 5. That there is hereby appropriated for expenditure from prior year reserves in
the Light & Power Fund the sum of FIVE MILLION SIX HUNDRED SIXTY-TWO
THOUSAND SIX HUNDRED FORTY DOLLARS ($5,662,640) to be used for the following
purposes:
Station Capacitors $ 106,000
Station Additions 78,000
Harmony Station 230,000
Major Duct Banks and Circuits 900,000
Dixon Creek Substation 245,000
Transformer Purchases 200,000
Customer Information System 220,000
General Plan Additions 2,800,000
Power Operated Equipment 151,000
Eastside Station 500,000
Art-in-Public Places 232,640
Total Light & Power Fund $5,662,640
Section 6. That there is hereby appropriated for expenditure from prior year reserves in
the Open Lands Fund the sum of TWO MILLION TWO HUNDRED EIGHTEEN THOUSAND
NINE HUNDRED SEVENTY-ONE DOLLARS ($2,218,971) to be used for the acquisition of
natural areas and other purposes specified in the County's Help Preserve Open Spaces Initiative.
Section 7. That there is hereby appropriated for expenditure from prior year reserves in
the Transportation Services Fund the sum of ONE HUNDRED THIRTY-ONE THOUSAND
DOLLARS ($131,000) to be used for the following purposes:
Parking Enforcement Officer $ 50,000
Stairwell Canopy, Old Town Parking Structure 6,000
Elevator Modernization, Old Town Parking Structure 10,000
Exit Light Replacement, Old Town Parking Structure 5,000
Pay Parking Machine, Mason Street Lot 25,000
Mason Street Lot Resurfacing/Restriping 20,000
Transportation Model Improvements 15,000
Total Transportation Services Fund $ 131,000
Section 8. That there is hereby appropriated from prior year reserves in the
Transportation Services Fund, the sum of THIRTY-THREE THOUSAND THREE HUNDRED
FORTY-FOUR DOLLARS ($33,344) for transfer to the Transit Services Fund and appropriated
therein to be used for the Commuter Bicycle Coach program.
Section 9. That there is hereby appropriated for expenditure from prior year reserves in
the Storm Drainage Fund the sum of TWENTY-TWO THOUSAND SIX HUNDRED TWO
DOLLARS ($22,602) to be used for the purpose specified in the City's Art-in-Public Places
program.
Section 10. That there is hereby appropriated for expenditure from prior year reserves in
the Utility Customer Service & Administration Fund the sum of SEVEN HUNDRED
TWENTY-NINE THOUSAND DOLLARS ($729,000) for the following purposes:
Computer Telephony Integration $ 555,000
Customer Information System (CIS) 124,000
Category V Wiring Upgrade 50,000
Total Utility Customer Service & Admin. Fund $ 729,000
Section 11. That there is hereby appropriated for expenditure from prior year reserves in
the Wastewater Fund the sum of ONE HUNDRED FORTY-NINE THOUSAND SEVEN
HUNDRED EIGHTY-ONE DOLLARS ($149,781) to be used for the purpose specified in the
City's Art-in-Public Places program.
Section 12. That there is hereby appropriated for expenditure from prior year reserves in
the Water Fund the sum of THREE HUNDRED SEVENTY THOUSAND ONE HUNDRED
SEVENTY-SEVEN DOLLARS ($370,177) to be used for the purpose specified in the City's
Art-in-Public Places program.
Section 13. That there is hereby appropriated for expenditure from prior year reserves in
the Downtown Development Authority Operations & Maintenance Fund the sum of THREE
THOUSAND SIX HUNDRED NINETY-TWO DOLLARS ($3,692) to be used for the purpose
of payment for parking structure signage.
Introduced, considered favorably on first reading, and ordered published this 19th day of
February, A.D. 2002, and to be presented for final passage on the 5t y of March, A`.D. 2002.
Mayor
ATXEST:
— ILlff� �j -". —
City Clerk
Passed and adopted on final reading this 5th day
.-offM�March, A.D.2002.
Mayor
ATTEST: nn
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City Clerk