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HomeMy WebLinkAbout148 - 12/06/1988 - APPROPRIATING PRIOR YEAR RESERVES AND UNANTICIPATED REVENUE IN VARIOUS CITY FUNDS AND AUTHORIZING TH ORDINANCE NO. 148, 1988 OF THE COUNCIL OF THE CITY OF FORT COLLINS APPROPRIATING PRIOR YEAR RESERVES AND UNANTICIPATED REVENUE IN VARIOUS CITY FUNDS AND AUTHORIZING THE TRANSFER OF APPROPRIATED AMOUNTS BETWEEN FUNDS WHEREAS, Article V, Section 8, of the Charter of the City of Fort Collins authorizes the City Council to provide by ordinance for payment of any expense from prior year reserves at any time such reserves are available; and WHEREAS, Article V, Section 15, of the Charter of the City of Fort Collins authorizes the City Council to appropriate unanticipated revenue received at any time during the year and to transfer unexpended, appropriated amounts from one fund to another upon the recommendation of the City Manager, provided that the purpose of the initial expenditure of said funds no longer exists; and WHEREAS, the City has prior year reserves and unanticipated revenue available to appropriate; and WHEREAS, the City wishes to provide for the expenditures listed below. NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF FORT COLLINS that the following funds are hereby authorized for transfer and appropriated for expenditure in the City: A. General Fund 1 . From: Prior Year Reserves $ 47, 100 For: Transfer to Cemeteries Fund $ 47, 100 2. From: Prior Year Reserves $ 378 Unanticipated Revenue (Recycle Something) 511 For: Natural Resources $ 889 3. From: Unanticipated Revenue $ 12,340 For: Police Services $ 12,340 4. From: Equipment Replacement Reserve $ 74,358 For: Police $ 18,701 Park Maintenance 19,903 Facilities 1,755 Engineering 14,494 Forestry 1,573 Transfer to Cemeteries 10,910 Transfer to Recreation 7,022 5. From: Prior Year Reserves $ 27,900 Unanticipated Revenue 216,777 For: Transfer to Sales & Use Tax Fund $244,677 6. From: Prior Year Reserves $155,595 For: Worker's Compensation Charges $155,595 7. From: Prior Year Reserves $ 25,000 For: Transfer to Self Insurance Fund E 25,000 B. Benefits Fund From: Unanticipated Revenue $107,007 For: Dental Account E 64,789 Daycare Account 42,218 From: Prior Year Reserves $190,000 For: Increased Medical Claims $190,000 C. Communications Fund 1 . From: Unanticipated Revenue b 12,261 For: Communications Fund b 12,261 2. From: Unanticipated Revenue b 740 For: Communications Fund - Intern Program $ 740 D. Golf Fund From: Prior Year Reserves E 44,052 For: Unbudgeted Expenditures $ 44,052 E. Perpetual Care From: Unanticipated Revenue b 8,000 For: Transfer to Cemeteries Fund E 8,000 F. Cultural Services & Facilities From: Transfer from General Fund $2,641 For: Miscellaneous Items $2,641 G. Transportation Services Fund - Streets From: Prior Year Reserves $ 78,000 For: Street Maintenance/Snow Removal Expenses $ 78,000 H. Transportation Services Fund - Transfort From: Contributions-in-Aid b 5,000 For: City "In-Kind" Services $ 5,000 I . Technical Studies - UMTA Grant From: Technical Studies Grant $ 22,080 For: CSU Transit Study $ 22,080 J. Capital Projects Fund 1 . From: Street Rehabilitation Project E 41,000 For: Transfer to General Fund $ 41 ,000 2. From: General Fund - Natural Resources $ 17,500 For: Capital Projects Fund - Air Quality $ 17,500 K. Self Insurance Fund 1 . From: Existing Reserves for Claims $991,825 Unanticipated Revenue 15,000 Transfer from General Fund 126,730 For: Claim Coverage $991,825 Administrative Costs 141,730 2. From: Existing Appropriations $ 8,283 For: Transfer to Equipment $ 959 Transfer to Transportation Fund 113 Transfer to Light & Power Fund 5,772 Transfer to Wastewater Fund 84 Transfer to General Fund 1,355 L. Sales & Use Tax Fund From: Unanticipated Revenue $506,357 For: Transfer to the General Fund $506,357 M. Policemen's Pension Fund From: Prior Year Reserves b 15,000 For: Consultant's Fees $ 15,000 N. Parkland Fund From: Prior Year Reserves $101,743 For: Administration $ 1,743 Quinby Park 10,000 Rossborough Park 80,000 Sign Program Design 10,000 0. Conservation Trust From: Prior Year Reserves $100,000 For: Open Space Acquisition $100,000 P. Recreation Fund From: Transfer from General Fund b 7,022 For: Recreation Fund Lease/Purchase Expenses E 7,022 Introduced, considered favorably on first reading, and ordered published this 15th day of November, A.D. 1988, and to be presented for final passage on the 6th day of December, A.D. 1988. Mayor ATTEST: li n City Clerk ` Passed and adopted on final reading this 6th day of December, A.D. 1988. Mayor ATTEST:: City Cler