HomeMy WebLinkAbout068 - 05/05/1981 - REAPPROPRIATING 1980 FUNDS ORDINANCE NO 68 , 1981
OF THE COUNCIL OF THE CITY OF FORT COLLINS
REAPPROPRIATING 1980 FUNDS
WHEREAS, as of December 31, 1980, there existed a Charter provision
(Article V, Section 10) whereby an appropriation unexpended or unencumbered
at the end of the budget year lapsed to the applicable special or general
fund, and
WHEREAS, pursuant to Section 8, Article V, of the Charter of the City
of Fort Collins, the City is authorized to make expenditures of funds from
reserves accumulated in prior years
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 in 1981
from accumulated reserves in the General Fund the total sum of ONE HUNDRED
EIGHTY THOUSAND SIX HUNDRED NINE DOLLARS ($180,609) as follows
Transfer to Capital Projects Fund $176,134
City Clerk's Department 3,663
Parks and Recreation Department 812
$180,609
Section 2 That there is hereby appropriated for expenditure in 1981
from accumulated reserves in the Equipment Fund the total sum of TWO
THOUSAND TWO HUNDRED FIVE DOLLARS ($2,205) as follows
Transfer to Capital Projects Fund
for Equipment Repair Facility $ 2,205
Section 3 That there is hereby appropriated for expenditure in 1981
from accumulated reserves in the Seven Year Capital Fund the total sum of
NINE HUNDRED NINETY SIX THOUSAND TWO HUNDRED SIXTY EIGHT DOLLARS ($996,268)
as follows
Lincoln Center $ 29,828
New Municipal Building 38,730
Poudre Acquisition 71,345
Spring Creek Acquisition 219,707
Foothills Acquisition 43,087
Open Space Acquisition 450
Spring Creek Phase I 9,986
Spring Creek Phase II 7,228
Spring Creek Bridge Phase II 1,052
Poudre-Phase I $ 30,641
Poudre Stabilization 29,833
Poudre Mulberry-Prospect 150,899
Riverside Park - Phase II 4,365
Poudre Lincoln-Mulberry Phase II 9,796
Foothills Foot & Horse Path 31,005
Master Signal System 57,114
Mulberry & Taft Hill raffic Signal 16,000
College & Troutman Signal 1,610
Clearview Detention Pond 2,614
Prospect and College 549
W Mulberry Storm Sewer 5,258
Riverside & Pitkin 3,172
Woodwest Storm Sewer 135,323
Allen Farm Storm Sewer 43,000
N College-Vine-Willox 7,156
Drake Road Bikepath 42,213
Orchard P1 Pedestrian Path 4,307
$996,268
Section 4 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Par.lana Fund the total sum of ONE
HUNDRED EIGHTY TWO THOUSAND NINE HUNDRED THIRTEEN DOLLARS ($182,913) as
follows
Rolland Moore Park $ 24,821
Warren Park 90,890
Landings Park 44,178
Parkland Administration 23,024
$182,913
Section 5 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Capital Projects Fund the total sum
of ONE MILLION SEVEN HUNDRED SEVEN THOUSAND FIVE HUNDRED FIFTY-ONE DOLLARS
($1,707,551) as follows
Equipment Repair Facility $ 2,205
Service Center Expansion 26,913
Downtown Employees Parking Lot 271
Lincoln Center 22,000
Methane Fuel Conversion 120,546
W Mulberry-Crestmore Impr Dist #74 56,966
Drake and Shields 3,429
N College-Vine-Willox 9,039
Sidewalk Impr Dist #8 1,545
Drake Road Bikepath 72,781
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Orchard Place Pedestrian Path $ 4 ,323
Lemay Avenue Extension 17,612
S College Frontage Road 16,500
Drake Rd @ Unitarian Church 12,000
N College Design 30,000
Street Impr District #73 33,426
Street Rehabilitation Program 30,731
Meadowlark & Drake Signal 3,474
Prospect and Riverside Signal 3,545
Drake & McClelland Signal 9,982
College and Harvard Signal 2,690
Storm Sewer Impr Dist #17 18,564
Contingency 368,200
Horsetooth Poad Water Line-Phase C 151,065
West Elizabeth Street Water Line 25,618
Sec 20 - 12-inch Diagonal 'Water Line 2,492
N Lemay Ave 24-inch Water Line 2,398
S Shields St Water Line 107,021
Sludge Disposal 473,749
Warren Lake Trunk Sewer-C 78,466
$1,707,551
Section 6 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Revenue Sharing Fund the total sum of
ONE HUNDRED SIXTY FIVE THOUSAND FIVE HUNDRED FORTY SIX DOLLARS ($165,546)
as follows
Transfer to Capital Projects
Fund for Methane Fuel
Conversion Project $120,546
Downtown Convention Center
Complex Study 45,000
$165,546
Section 7 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Community Development Block Grant
Fund the total sum of EIGHT HUNDRED FORTY NINE THOUSAND SIX HUNDRED SEVEN-
TEEN DOLLARS ($849,617) as follows
1981 CDBG Program $849,617
Section 8 That there is hereby appropriated for expendr ture in
1981 from accumulated reserves in the Larimer County Community Development
Block Grant Program Fund the total sum of ONE HUNDRED NINETY EIGHT THOUSAND
FOUR HUNDRED FIVE DOLLARS ($198,405) as follows
1981 Larimer County CDBG Program $198,405
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Section 9 That there is hereby appropriated for expenditure in 1981
from accumulated reserves in the S A V E MiniGrant Fund the total sum of
SIX HUNDRED TWENTY DOLLARS ($620) as follows
Continuance of 1980 grant $ 620
Section 10 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Larimer County Library Services Fund
the total sum of FOUR HUNDRED EIGHTONE DOLLARS ($481) as follows
Continuance of 1980 grant $ 481
Section 11 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Light and Power Fund the total sum of
NINE HUNDRED SEVENTEEN THOUSAND EIGHT HUNDRED SIXTY-EIGHT DOLLARS
($917,868) as follows
Transfer to Capital Projects Fund
for the Service Center Expansion
Project $ 11,208
Substation 400 906,660
$917,868
Section 12 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Water Fund the total sum of SIX
HUNDRED NINETY-FOUR THOUSAND ONE HUNDRED ONE DOLLARS ($694,101) as follows
Transfer to Capital Projects Fund $656,794
WTP #2 Expansion 37,307
$694,101
Section 13 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Sewer Fund the total sum of FIVE
HUNDRED EIGHTY-ONE THOUSAND SEVEN HUNDRED SIXTY-SEVEN DOLLARS ($581,767) as
follows
Transfer to Capital Projects Fund $567,920
Spring Creek Final Plan 7,834
Fox Meadows Basin Plan 3,928
Foothills Basin Plan 2,085
$581,767
Section 14 That there is hereby appropriated for expenditure in
1981 from accumulated reserves in the Storm Drainage Fund the total sum of
FOUR HUNDRED SIXTEEN THOUSAND THREE HUNDRED EIGHTY THREE DOLLARS ($416,383)
as follows
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Transfer to Capital Projects Fund $393,499
West Vine Basin Plan C 2,265
Repayment to Sewer Fund 20,371
McClelland Mail Creek Basin Plan 248
$416,383
Introduced, considered favorably on first reading, and ordered
published this 21st day of �Apr,_l A D 1981 , and to be presented for
final passage on t e- 5th days—0a A D , 1981
ayor
�ATTEST
,ty c e^
Passed and adopted on final reading this 5th_ day of May A D
1981
ayor
ATTEST
City Clerk
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