HomeMy WebLinkAbout133 - 11/20/2018 - BEING THE ANNUAL APPROPRIATION ORDINANCE RELATING TO THE ANNUAL APPROPRIATIONS FOR THE FISCAL YEAR 2 ORDINANCE NO. 133, 2018
.OF THE COUNCIL OF THE CITY OF FORT COLLINS
BEING THE ANNUAL APPROPRIATION ORDINANCE
RELATING TO THE ANNUAL APPROPRIATI.ONS
FOR THE FISCAL YEAR 2019; ADOPTING THE BUDGET FOR
THE FISCAL YEARS BEGINNING JANUARY 1, 2019, AND ENDING
DECEMBER 31, 2020; AND FIXING THE MILL LEVY FOR FISCAL YEAR 2019
WHEREAS,the City Manager has,prior to the first Monday in September 2018, submitted
to the City Council a proposed budget for the next ensuing budget term, along with an explanatory
message, complete financial plan for each fund of the City, and the City Manager's
recommendations for the ensuing budget term pursuant to the provisions of Article V, Section 2
of the City Charter; and
WHEREAS, within ten days after the filing of said budget estimate, the City Council set
September 18 and October 2, 2018, as the dates for the public hearings thereon and caused notice
of such public hearings to be given by publication pursuant to Article V, Section 3 of the City
Charter; and
WHEREAS, the public hearings were held on those dates and persons were given the
opportunity to appear and comment on any or all items and estimates in the proposed budget; and
WHEREAS, Article V, Section 4 of the City Charter requires that, before the last day of
November of each fiscal year, the City Council shall adopt the budget for the ensuing term by
ordinance and appropriate,on a fund basis and by individual project for capital projects and federal
and state grants, such sums of money as the Council deems necessary to defray all expenditures of
the City during the ensuing fiscal year, based upon the budget approved by the City Council; and
WHEREAS,Article V, Section.5 of the City Charter provides that the annual appropriation
ordinance shall also fix the tax levy in mills 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.
NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF FORT
COLLINS as follows:
Section 1. That the City Council hereby makes and adopts the determinations and
findings contained in the recitals set forth above.
Section 2. Budget
a. That the City Council has reviewed the City Manager's 2019-2020
Recommended Budget, a copy of which is on file with the office of the City Clerk,
and has approved certain amendments thereto described on Exhibit"A".
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b. That the City Manager's 2019-2020 Recommended Budget, as amended by
the Council as described on Exhibit"A"attached hereto and incorporated herein by
reference,is hereby adopted in accordance with the provisions of Article V, Section
4 of the City Charter and incorporated herein by reference; provided, however, that
the comparative figures contained in the adopted budget may be subsequently
revised by City Council as deemed necessary by the City Manager to reflect actual
revenues and expenditures for the fiscal year 2020.
C. That the adopted budget, as described on Exhibit "A", shall be maintained
in the office of the City Clerk and identified as "The Budget for the City of Fort
Collins for the Fiscal Years Ending December 31, 2019, and December 31, 2020,
as Adopted by the City Council on November 20, 2018."
Section 3. Appropriations. That there is hereby appropriated out of the reserves and
anticipated revenues of the City of Fort Collins, for the fiscal year beginning January 1, 2019, and
ending December 31,2019,the sum of SIX HUNDRED THIRTY-FIVE MILLION EIGHTY-SIX
THOUSAND ONE HUNDRED SIXTY DOLLARS ($635,086,160) 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 following purposes,to wit:
GENERAL FUND $152,740,315
ENTERPRISE FUNDS
Golf
Operating Total $3,645,142
Capital Projects:
SouthRidge Irrigation System 125,000
Capital Projects Total $125,000
Total Golf $3,770,142
Light&Power
Operating Total $131,034,189
Capital Projects:
Art in Public Places 14,800
CMMS-Maintenance Management 435,000
Dist. System Impr. &Replace. 1,418,360
L&P Vehicle Storage Bldg 160,000
New Capacity-Circuits 1,480,000
Substation Cap Prj -Parent 649,000
Capital Projects Total $4,157,160
Total Light&Power $141,191,349
Storm Drainage
Operating Total $12,156,126
Capital Projects:
Art in Public Places 7,611
2017-Castlerock SW Remediation 300,000
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2017-Remington St Storm Sewer 412,000
CMMS-Maintenance Management 11,000
Developer Repays 300,000
Master Planning 450,000
Oxbow Levee Improvements 412,000
Spring Creek Rehab @ Edora 801,000
Stormwater Basin Improvements 1,400,000
Stormwater Drake Levee 51,500
Stormwater Flood Warn System 100,00.0
Stormwater N College Drainage 267,800
Stormwater Timberline Levee 103,000
Utility Service Center Phase 2 40,000
Capital Projects Total $4,655,91 l
Total Storm Drainage $16,812,037
Wastewater
Operating Total $18,201,482
Capital Projects:
Art in Public Places 32,936
2015=Bio Gas to CoGen 800,000
2018-City Park WWM Replace 225,000
CMMS-Maintenance Management 253,500
Collec System Replcmt 793,000
Collect Small Projects 1,400,000
Cured In Place Pipe 600,000
Polo Control Cap Repla 550,000
Sery Center Improvemnts 40,000
Water Reel Replcmt Prgm 2,700,000
Stormwater/Wastewtr Improvemnt 345,050
Capital Projects Total $7,739,486
Total Wastewater $25,940,968
Water
Operating Total $25,694,606
Capital Projects:
Art in Public Places 17,500
CMMS-Maintenance Management 653,250
Enviro Learning Center Dam 500,000
Distro,Small Projects 1,400,000
Service Cntr Improvm't 80,000
Water Prod Replcmt Prgm 1;575,000
Water Qual Cap Replace 550,000
Watershed Protection 80,000
Capital Projects Total $4,855,750
Total Water $30,550,356
Broadband
Operating Total $3,695,000
Capital Projects:
BB Capital Interest 5,827,788
Capital Projects Total $5,827,788
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Total Broadband $9;522,788
TOTAL ENTERPRISE FUNDS $227,787,640
INTERNAL SERVICE FUNDS
Benefits $34,944,129
Data&Communications $10,854,216
Equipment $14,449,711
Self Insurance $4,673,854
Utility Customer Service&Administration $18,929,752
TOTAL INTERNAL SERVICE FUNDS $83,851,662
SPECIAL REVENUE&DEBT SERVICE
FUNDS
Capital Improvement Expansion $2,565,000
Capital Leasing Corporation $6,514,684
Cemeteries $700,944
Cultural Services&Facilities
Operating Total $4,298,298
Capital Projects-Art in Public Places $127,390
Total Cultural Services&Facilities $4,425,688
General Employees'Retirement $5,829,250
Keeping Fort Collins Great
Operating Total $28,135,724
Capital Projects:
City Bridge Program 1,700,000
Transportation Small Capital 125,000
Capital Projects Total $1,825,000
Total Keeping Fort Collins Great $29,960,724
Museum $I,1 l 1,836
Natural Areas $13,048,392
Parking $3,042,753
Perpetual Care $34,534
Recreation $7,564,864
Sales&Use Tax $8,308;543
Transit Services
Operating Total $18,421,829
Capital Projects:
2019 CMAQ Bus Purchase 2,387,000
5307 PASS-THRU 1,271,040
Capital Projects Total $3,658,040
Total Transit Services $22,079,869
Transportation CEF Fund $9,092,987
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Transportation Services $27,037,991
SPECIAL REVENUE&DEBT SERVICE $140,918,059
FUNDS
CAPITAL PROJECTS FUND
Capital Projects Fund
Operating-Administrative Charge $101,403
General City Capital Projects:
Arterial Intersection Imprvmnt $400,000
Bicycle Infrastructure Im 350,000
Bike/Ped Grade Sep Cross 2,000,000
Bus Stop Improvements 100,000
Nature in the City 186,097
Pedestrian Sidewalk-ADA 1,100,000
Willow Street Imprvmts 2,667,000
City Bridge Program 600,000
College&Trilby Intersections 600,000
East Community Park 550,000
Linden St Renovat-Design/Const 563,000
N Mason St 500,006
Northeast Community Park 1,550,000
Poudre River Plan Reach 4 100,000
Prospect Rd/Sharp Pt/1-25 2,000,000
Railroad Crossing Replacment 300,000
S Timberline/Stetson/Trilby 2,300,000
Harmony/Power Trail Grade Sep 400,000
Capital Projects Total $16,266,097
Total General City Capital Projects $16,367,500
Community Capital Improvement
Afford Housing Capital Program $400,000
Arterial Intersection Imprvmnt 400,000
Bicycle Infrastructure Imprvmt 350,000
Bike/Ped Grade Separated Cross 2,000,000
Bus Stop Improvements 100,000
Gardens Visitor Ctr Expansion 40,000
Lincoln Avenue Bridge 36,000
Linden St Renovation 563,000
Nature in the City 200,000
Pedestrian Sidewalk-ADA 1,100,000
Poudre River Proj (CCIP only) 50,000
Willow Street Improvements 2,667,000
Capital Projects Total $7,906,000
(CCIP 1/4 Cent)
Conservation Trust
Operating Total Administration&Parks Maint $544,116
Capital Projects:
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Trail Acquisition/Development 1,023,453
Capital Projects Total 1,023,453
Total Conservation Trust $1,567,569
Neighborhood Parkland Fund
Operating Total-Administration $397,415
Capital Projects:
New Park Site Development 2,350,000
Side Hill Neighborhood Park 200,000
Trailhead Park 600,000
Capital Projects Total $3,150,000
Total Neighborhood Parkland $3,547,415
TOTAL CAPITAL PROJECTS FUNDS $29,388,484
TOTAL CITY FUNDS $635,086,160
Section 4. Mill Levy
a. That the 2019 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,
2018, 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.
b. That the City Clerk shall certify this levy of 9.797 mills to the County Assessor and
the Board of Commissioners of Latimer 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.
Introduced, considered favorably on first reading, and ordered published this 6th day of
November, A.D. 2018, and to be presented for final passage on the 2 of November, A.D.
2018. C:
Mayor
ATTEST:
OF FORRTCO
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SEAL y
City C
GotoiiM
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Passed and adopted on final reading on the 20th day of November, A.D. 2018.
Mayor
ATTEST:
FORT.
City Cler
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EXHIBIT A
CHARTS SUMMARIZING CITY COUNCIL AMENDMENTS TO
THE CITY MANAGER'S RECOMMENDED 2019-2020 BUDGET
-offersOn oin One-Time
Outcome Offer Name 2019, 2020_ 2619 2020
C&R 57.4-Increased Contractual Pruning of Larger Trees - - ---- - -- _- _ $ 200 $ 200
ECON 80.2-Tourism Master Plan,Visitor and Convention Services 50 -
ENV 9.90-L&P Energy Efficiency without additional L&P rate change 238 238
ENV 9.92-UP Non-Residential Solar Rebates without additional L&P rate change 125 125
ENV 43.1 -Add back participation in the Reglonal.Air Quality Council 10 10
ENV 43.6 Accelerated Muni Electric Lawn&Garden Equipment-Net of estimated 20k RA QC giant 20 20
E_NV 86.10 Encampment Cleaning Services funding/rom Natural Areas replaced with General Fund 100 100
HPG. _ 13.6-Redistricting Study I - 79
NLSH 42.1-Add"back funding for the multi-cultural retreat 10 10
NLSH 42.3-Human Services:Program"Grant Funding" - - - 100 100 150 150
NLSH" 42.6--Increased1unding for the Murphy-Center beyond current funding level - 50 -50
NLSH 42.12-Murphy Center - _.. -. -- - - - -. - - _ _88. .88.
NLSH 165.5-Wireless Communications Plan 50 -
NLSH 65.8-1.0 FTE Contractual-Historic Presenetion Building Survey M92NLSH 89.2-West Nile Virus-Adult Mosquito TreatmentfficacyStudySAFE 25 19-Police SROs for Poudre School District(1 FTE per year)-Net of PSD contribution 63 156
SAFE 75.1-Stairstep funding to PFA per the IGA 500 500
TRANS 1.17 ENHANCEMENT:Harmony/PowerTrail Grade-Separated Crossing and Trail Extension
Grand Total of Council Interest in Funding $1,183 $1,277 $1,080 $ 641
Reduction Offsets On oin One-Time
Outcome Fundin "Sources 2019 2020" "2019 2020
WA General Fund Ongoing Revenue - -- - " - - - $- 120 "$ -120- - -
WA - Keep Fort Collins Great-Other Community Priorities 1-Time/Reserves- 210 _ 183
C&R"- - - 29.1"Parks,-Trails and Facility Grounds Maintenance--Offer reduced- --- - - - 50 - 50
ECON 8.7-Distribution Transformer Replacements-..Offer reduced 223 (95)
ECON 8.16-New Feeder Capacity-Circuit 576B-Offer unfunded 458
ECON 30.1 Downtown Landscaping and Maintenance-Offer reduced 50 50
ECON" 41.1 Economic Health Office-Offer reduced(partial repurpose of the Cluster funding) 30 30
ENV 9.82-Core Renewable Energy-Offer reducer! 140
ENV 92.2 Municipal Energy Efficiency Fund-Offer unfunded 75 75
HPG 5.1 HR Core Services-Offer reduced(advertising/marketing for job postings) _ 40 __-40
_. _ _
HPG_ 5.2 Benefits and Wellness Program-Offer reduced(stop loss insurance reduction) 140. 200
HPG 13.2.Elections-Offer reduced - 200 200
HPG' 15.2:Communications and Public Involwment=Offer reduced(consulting)_ - - 40- 40
HPG" - 15,3"ENHANCEMENT Video Production'Assistance-FC PAN-Offer reduced from$30-each year - -- 15 15
HPG 39.3ENHANCEMENT., State Gmemment Adwcacy-Offer unfunded -- - - 45 45
HPG 44.1 Sustainability'Services Admin-O"fifer reduced(replicon time keeping:system) 8 8
HPG- - 50.3 ENHANCEMENT:Facility Major Maintenance-Offer reduced- - - 100 100
HPG. 52.1 Financial'Programs and Services-1 Offerreduced-(training for Financial Analysts) --" - 21 21
NLSH 66.1 Neighborhood Programs and Services-Offer-reduced(hourly support)' - - - 40 40
NLSH 66.2 Larimer Humane-Society,Contract(cost reduction finalized-after Recommended Budget)" - - 100 50
NLSH 89.3 ENHANCEMENT:0.25"FTE=EnAro,Regulatory Specialist-West Nile Virus-Offer unfunded - - 33 35
Various` 3.5 FTE Position Reductions - - - -_-_. - - " - 256 259
Subtotal of Prio ` A-Non Personnel $1,233 $1,296 $ 703 $ 628