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HomeMy WebLinkAbout149 - 10/19/1999 - APPROPRIATING PRIOR YEAR RESERVES AND UNANTICIPATED REVENUE IN VARIOUS FUNDS AND AUTHORIZING THE TRA ORDINANCE NO. 149, 1999 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 9 of the Charter of the City of Fort Collins, (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 9, of the Charter also permits the City Council to make supplemental appropriations by ordinance at any time during the fiscal year,provided that the total amount of such supplemental appropriations,in combination with all previous appropriations for that fiscal year, does not exceed the then current estimate of actual and anticipated revenues to be received during the fiscal year; 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 or capital project to another fund or capital project, provided the purpose for which the transferred funds are to be expended remains unchanged; and WHEREAS, the City has prior year reserves, excess revenue, and unanticipated revenue available to appropriate; and WHEREAS, the City wishes to provide for the expenditures listed below and the City Manager recommends that these expenditures be made. NOW, THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY OF FORT COLLINS as follows: Section 1. That the following funds are hereby appropriated for expenditure for the purposes stated below: A. GENERAL FUND 1. APP. FROM: Unanticipated Revenue (Miscellaneous Police) $ 112,391 APP. FROM: Unanticipated Revenue (Insurance Recovery) $ 38,311 FOR: Police Services $ 150,702 2. APP. FROM: Unanticipated Revenue (Charges-Facilities Services) $ 364,700 FOR: Transfer to Capital Projects Fund $ 364,700 3. APP. FROM: Unanticipated Revenue (House Rental) FOR: Right-of-Way $ 6,600 $ 6,600 4. APP. FROM: Unanticipated Revenue (Building Rental) FOR: Right-of-Way $ 5,772 $ 5,772 5. APP. FROM: Unanticipated Revenue (Retreat Fees) FOR: Multicultural Commission $ 4,951 $ 4,951 6. APP. FROM: Unanticipated Revenue (Neighborhood Resources Misc.) $ 1,035 APP. FROM: Prior Year Reserves (Productivity Savings) FOR: Neighborhood Resources $ 2$ 26,211 6,246 7. APP. FROM: Unanticipated Revenue (Neighborhood Compatibility Fees) $ 8,865 APP. FROM: Prior Year Reserves (Productivity Savings) FOR: Current Planning $ 37$ ,129 ,024 8• APP. FROM: Unanticipated Revenue (Natural Resources Misc.) $ 4 974 APP. FROM: Unanticipated Revenue (Natural Resources Grants) $ 13,500 APP. FROM: Unanticipated Revenue (Radon Program) 918 APP. FROM: Prior Year Reserves (Restricted) $ 13,000 FOR: Natural Resources $ 150, 00 FOR: Clean Air Colorado Grant $ 18,892 FOR: Transfer to Capital Projects - Natural Areas $ 13,500 $ 150,000 9• APP. FROM: Prior Year Reserves - 4th of July 9341 APP. FROM: Unanticipated Revenue (Insurance Recovery) $$ 5,417 FOR: Parks Maintenance , 17 $ 14,758 10. APP. FROM: Prior Year Reserves (Productivity Savings) APP. FROM: Prior Year Reserves (Equipment Replacement) $ 8,200 $ FOR: Information Technology , 00 $ 38,200 11. APP. FROM: Prior Year Reserves (Productivity Savings) FOR: Library Services $ 131,399 $ 131,399 12. APP. FROM: Prior Year Reserves (Productivity Savings) FOR: Human Resources $ 38,000 $ 38,000 13. APP. FROM: Prior Year Reserves (Gift Catalog Donations) FOR: Gift Catalog Account $ 720 $ 720 14. APP. FROM: Transfers from Various Funds FOR: Finance System $ 393,800 $ 393,800 15. APP. FROM: Prior Year Reserves (Productivity Savings) $ 5,500 FOR: Municipal Court $ 5,500 16. APP. FROM: Prior Year Reserves (Productivity Savings) $ 24,000 APP. FROM: Prior Year Reserves ( Equipment Replacement) $ 6,000 FOR: CPES -Administration $ 30,000 17. APP. FROM: Prior Year Reserves (Productivity Savings) $ 3,231 APP. FROM: Unanticipated Revenue (Advance Planning) $ 1,618 FOR: Advance Planning $ 4,849 18. APP. FROM: Unanticipated Revenue (Insurance Recovery) $ 6,492 FOR: Forestry and Horticulture $ 6,492 19. APP. FROM: Prior Year Reserves (Productivity Savings) $ 40,000 FOR: Building and Zoning $ 40,000 B. SALES AND USE TAX FUND 1. APP. FROM: Unanticipated Revenue (Sales Tax) $ 3,556,587 FOR: Transfer to General Fund $ 1,464,117 FOR: Transfer to 0.25 cent BCC Community Enhancements $ 697,490 FOR: Transfer to 0.25 cent BCC Natural Areas and Parks $ 697,490 FOR: Transfer to 0.25 cent BCC Streets and Transportation $697,490 C. CULTURAL SERVICES AND FACILITIES FUND 1. APP. FROM: Unanticipated Revenue (Tuition& Donations) $ 19,292 FOR: Museum Programming Reimbursement $ 19,292 2. APP. FROM: Prior Year Reserves $ 1,848 FOR: Museum Operations $ 1,848 3. APP. FROM: Prior Year Reserves $ 24,500 FOR: Lincoln Center Operations $ 24,500 4. APP. FROM: Unanticipated Revenue (Donations) $ 7,000 FOR: Art-in-Public Places $ 7,000 5. APP. FROM: Transfer from the General Fund $ 10,356 FOR: Museum Personal Services $ 10,356 D. TRANSPORTATION SERVICES FUND - TRAFFIC OPERATIONS 1. APP. FROM: Unanticipated Revenue (Traffic Construction) $ 70,000 FOR: Traffic Operations Traffic Construction Program $ 70,000 2. APP. FROM: Transfer from the General Fund $ 261 FOR: Traffic Operations Personal Services $ 261 E. TRANSPORTATION SERVICES FUND - TRANS. DEMAND MGMT. (TDM) 1. APP. FROM: Unanticipated Revenue (CMAQ Funds) $ 46,000 FOR: Local TDM Expenses $ 46,000 2. APP. FROM: Unanticipated Revenue (Sales & Miscellaneous) $ 1,179 FOR: Regional TDM Expenses $ 1,179 3. APP. FROM: Unanticipated Revenue (Misc. & Insurance Recovery) $ 55,418 FOR: Regional TDM - VanGo Expenses $ 55,418 F. TRANSPORTATION SERVICES FUND -NFRT & AOPC (MPO) I. APP. FROM: Unanticipated Revenue (Miscellaneous) $ 6,000 FOR: MPO Expenses $ 6,000 2. APP. FROM: Unanticipated Revenue (MPO Revenue) $ 30,000 FOR: Highway 14 and I-25 Interchange Study $ 30,000 G. TRANSPORTATION SERVICES FUND - TRANSPORTATION ADMIN. 1. APP. FROM: Prior Year Reserves $ 60,000 FOR: Transportation Administration Expenses $ 60,000 H. TRANSPORTATION SERVICES FUND - TRANSPORTATION PLANNING 1. APP. FROM: Unanticipated Revenue (Miscellaneous) $ 1,000 FOR: Transportation Planning Expenses $ 1,000 2. APP. FROM: Unanticipated Revenue(Miscellaneous) $ 1,820 FOR: Neighborhood Safety Program Expenses $ 1,820 3. APP. FROM: Prior Year Reserves $ 3,890 FOR: Neighborhood Safety Program Expenses $ 3,890 I. TRANSPORTATION SERVICES FUND -PARKING 1. APP. FROM: Unanticipated Revenue (Charges & County Contribution) $ 65,785 APP. FROM: Prior Year Reserves $ 1,108 FOR: Civic Center Parking Structure Expenses $ 66,893 2. APP. FROM: Unanticipated Revenue (Insurance Recovery) $ 3,012 FOR: Old Town Parking Structure Expenses $ 3,012 3. APP. FROM: Prior Year Reserves $ 8,000 FOR: Civic Center Parking Structure Expenses $ 8,000 4. APP. FROM: Unanticipated Revenue (DDA Contribution) $ 15,000 FOR: Old Town Parking Structure Expenses $ 15,000 5. APP. FROM: Prior Year Reserves $ 22,000 FOR: Parking Expenses $ 22,000 6. APP. FROM: Prior Year Reserves $ 42,000 FOR: Parking Expenses $ 42,000 J. STREET OVERSIZING FUND 1. APP. FROM: Prior Year Reserves $ 300,000 FOR: Street Oversizing Expenses $ 300,000 K. RECREATION FUND 1. APP. FROM: Unanticipated Revenue (Northside) $ 10,000 FOR: Northside Programming $ 10,000 2. APP. FROM: Unanticipated Revenue (Youth) $ 500 FOR: Youth Sports Programming $ 500 3. APP. FROM: Prior Year Reserves (Farm Museum) $ 1,500 FOR: Farm Museum $ 1,500 4. APP. FROM: Transfer from the General Fund $ 4,409 FOR: Recreation Personal Services $ 4,409 5. APP. FROM: Transfer from the General Fund $ 15,458 FOR: Recreation Fund Expenses $ 15,458 L. CAPITAL PROJECTS FUND 1. APP. FROM: Unanticipated Revenue (Minor Streets) $ 1,535 APP. FROM: Unanticipated Revenue (Street Maintenance) $ 3,248 FOR: Minor Streets Project $ 1,535 FOR: Street Maintenance Project $ 3,248 2. APP. FROM: Unanticipated Revenue (Property Owner Contributions) $ 5,775 FOR: Street Maintenance Project $ 5,775 3. APP. FROM: Unanticipated Revenue (Contributions) $ 8,226 FOR: Street Maintenance Project $ 8,226 4. APP. FROM: Unanticipated Revenue (Insurance Recovery) $ 2,593 FOR: Minor Streets Project $ 2,593 5. APP. FROM: Unanticipated Revenue (Sales/Use Tax) $ 30,000 FOR: Mason Street Transportation Corridor Project $ 30,000 6. APP. FROM: Transfer from the General Fund $ 364,700 FOR: Major Building Maintenance $ 364,700 7. APP. FROM: Transfer from the General Fund $ 62,400 FOR: Major Building Maintenance $ 62,400 8. APP. FROM: Unanticipated Revenue (Other Rents & User Charges) $ 17,592 FOR: Natural Areas Project $ 17,592 9. APP. FROM: Unanticipated Revenue (Miscellaneous) $ 969 FOR: Natural Areas Project $ 969 10. APP. FROM: Unanticipated Revenue (Miscellaneous) $ 36,980 FOR: Natural Areas Project $ 36,980 11. APP. FROM: Transfer from the General Fund $ 150,000 FOR: Natural Areas Project $ 150,000 M. COMMUNICATIONS FUND 1. APP. FROM: Prior Year Reserves $ 15,000 FOR: CITEL - Consultant Study $ 15,000 2. APP. FROM: Prior Year Reserves $ 10,000 FOR: CITEL Expenses $ 10,000 3. APP. FROM: Unanticipated Revenue (Leased Lines) $ 20,000 FOR: CITEL Expenses $ 20,000 4. APP. FROM: Prior Year Reserves $ 75,000 FOR: CITEL Equipment $ 75,000 5. APP: FROM: Unanticipated Revenue (Charges) $ 50,000 FOR: CITEL Expenses $ 50,000 N. OPEN LANDS FUND I. APP. FROM: Unanticipated Revenue (Other Rents & User Charges) $ 6,179 FOR: Open Lands Fund $ 6,179 O. GOLF FUND 1. APP. FROM: Prior Year Reserves $ 15,000 FOR: Golf Expenses $ 15,000 P. WATER FUND 1. APP. FROM: Unanticipated Revenues (Bond Proceeds) $ 57,625 FOR: Bond Issuance Costs $ 21,376 FOR: Facilities Master Plan Project $ 36,249 2. APP. FROM: Unanticipated Revenue (Miscellaneous Revenue) $ 17,720 FOR: Water Master Plan Facilities Project $ 17,720 3. APP. FROM: Unanticipated Revenues (Insurance Proceeds) $ 140,000 FOR: Water Master Plan Facilities Project $ 140,000 Q. CAPITAL IMPROVEMENTS EXPANSION FUND 1. APP. FROM: Prior Year Reserves $ 29,527 APP. FROM: Unanticipated Revenue (Admin. Fees) $ 87,818 FOR: Transfer to the General Fund $ 117,345 R. TRANSIT SERVICES FUND 1. APP. FROM: Transfer from the General Fund $ 111,776 TO: Transit Services Personal Services $ 111,776 Section 2. That the following transfers of funds are hereby approved by the Council: 1. TRANSFER FROM: Self Insurance Fund $ 194,415 TRANSFER FROM: Light and Power Fund $ 38,000 TRANSFER FROM: Storm Drainage Fund $ 4,630 TRANSFER FROM: Wastewater Fund $ 18,250 TRANSFER FROM: Water Fund $ 25,440 TRANSFER FROM: Conservation Trust Fund $ 580 TRANSFER FROM: Open Lands Fund $ 720 TRANSFER FROM: Neighborhood Parkland Fund $ 800 TRANSFER FROM: Street Oversizing Fund $ 3,620 TO: General Fund- Finance System $ 276,455 2. TRANSFER FROM: General Fund $ 126,802 TO: Transit Services Fund $ 111,776 TO: Cultural Services Fund $ 10,356 TO: Transportation Services Fund (Traffic Operations) $ 261 TO: Recreation Fund $ 4,409 3. TRANSFER FROM: Self Insurance Fund $ 18,751 TO: General Fund $ 17,372 TO: Transportation Services Fund $ 948 TO: Transit Services Fund $ 431 4. TRANSFER FROM: Transportation Fund Existing Op. Appropriations $ 14,858 TRANSFER FROM: Transportation Fund Existing Proj. Appropriations $ 1,706 TRANSFER FROM: Transit Services Fund Existing Appropriations $ 4,241 TO: 1999 BEEP Project $ 8,617 TO: 1999 Informational Kiosk Project $ 1,706 TO: 1999 Enhanced Business Outreach Project $ 5,241 TO: 1999 Local Youth Outreach Project $ 5,241 5. TRANSFER FROM: Police Operations Existing Appropriations $ 121,140 TO: Multi jurisdictional Drug Grant - City Match $ 25,515 TO: COPS Universal Grant - City Match $ 95,625 6. TRANSFER FROM: Existing General Fund Appropriations $ 15,458 TO: Transfer to Recreation Fund $ 15,458 7. TRANSFER FROM: Existing General Fund Appropriations $ 62,400 TO: Transfer to Capital Projects Fund - Major Bldg. Maintenance $ 62,400 8. TRANSFER FROM: East Swallow Sewer Project- Wastewater Fund $ 60,000 TRANSFER FROM: Service Center Improvement Project - Wastewater $ 90,000 TO: Locust Street/Riverside Drive Project - Wastewater Fund $ 150,000 9. TRANSFER FROM: Drake Road/County Road 6 Project - Water Fund $ 206,735 TRANSFER FROM: East Prospect Water Line Project- Water Fund $ 389,038 TO: Water Master Plan Facilities Project - Water Fund $ 595,773 10. TRANSFER FROM: Harmony Road Bikeways - Transportation Fund $ 10,297 TO: Transportation Planning - Transportation Services Fund $ 10,297 Introduced, considered favorably on first reading, and ordered published this 5th day of October, A.D.1999, and to be presented for final passage on the 19th day of October, A.D. 1999. Mayor ATTEST: " o City Clerk Passed and adopted on final reading this 19th day of October, A.D. 1999. Mayor ATTEST: - U "A.. City Clerk