Loading...
HomeMy WebLinkAbout146 - 10/16/1984 - ANNUAL APPROPRIATIONS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 1985 AND ENDING DECEMBER 31, 1985 AND • OPTION I ORDINANCE NO. 144 1984 BEING THE ANNUAL APPROPRIATION ORDINANCE RELATING TO THE ANNUAL APPROPRIATIONS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 1985, AND ENDING DECEMBER 31, 1985, AND MAKING THE MILL LEVY FOR SAID FISCAL YEAR BE IT ORDAINED BY THE COUNCIL OF THE CITY OF FORT COLLINS: Section 1. That there be, and hereby is, appropriated out of the revenues of the City of Fort Collins , for the fiscal year beginning January 1, 1985, and ending December 31, 1985, the sum of One Hundred Fifty-Eight Million Eight Hundred Ninety-Eight Thousand Three Hundred Twenty-One Dollars ($158,898,321) to be raised by taxation and otherwise, which sum is hereby divided and appropriated for the following purposes, to wit: Disbursements by Appropriations : TOTAL GENERAL FUND $ 23,076,728 Enterprise Funds Cemeteries Fund $ 345,992 Golf Fund 546,240 Light and Power Fund 35,643,119 Sewer Fund 9,379,489 Storm Drainage Fund 2,660,434 Water Fund 19,956,674 TOTAL ENTERPRISE FUNDS $ 68,531,948 Internal Service Funds Communications Fund $ 1,017,684 Energy Fund 651,346 Equipment Fund 2,053,005 Self-Insurance Fund 1,565,551 TOTAL INTERNAL SERVICE FUNDS $ 5,287,586 Special Revenue and Debt Service Funds Community Services Fund $ 654,217 Cultural Services & Facilities Fund 885,785 Debt Service Fund 3,048,528 Fire Pension Fund 190,000 General Employees' Retirement Fund 135,000 Perpetual Care Fund 51,759 Police Pension Fund 70,000 Recreation Fund 1,282,187 Revenue Sharing Fund 1,724,749 Rockwell Ranch Fund 1,600 Sales and Use Tax Fund 17,808,494 Street Oversizing Fund 1,593,333 Transportation Services Fund 3,352,349 TOTAL SPECIAL REVENUE & DEBT SERVICE FUNDS $ 30,798,001 CAPITAL IMPROVEMENT FUNDS PROJECT AMOUNT GENERAL CITY CAPITAL - ESSENTIAL Street Capital South Lemay-Horsetooth to Harmony including Debt Service & Issuance Expense $ 2,040,000 Timberline-Prospect Intersection 1,074,000 Total Street Capital $ 3,114,000 Street Maintenance Major $ 760,000 Minor 100,000 Pedestrian Access Ramps 20,000 Total Street Maintenance $ 880,000 Poudre Fire Authority Equipment Replacement $ 305,000 Total Poudre Fire Authority $ 305,000 TOTAL GENERAL CITY CAPITAL - ESSENTIAL $ 4,299,000 GENERAL CITY CAPITAL - NECESSARY Street Capital Timberline-Prospect to Summitview ROW $ 200,000 City Park Roads & Parking Lots 119,000 Total Street Capital $ 319,000 Street Maintenance Railroad Crossing Improvements $ 40,000 Total Street Maintenance $ 40,000 Facilities New Concession/Bathhouse-Outdoor Pool$ 75,000 Total Facilities $ 75,000 Capital Equipment Computer Aided Dispatch $ 429,000 Total Capital Equipment $ 429,000 Open Space & Trails Recreation Trails West of Taft Hill $ 140,000 Acquisition of Greenbelt Corridor 100,000 Spring Creek Trail Crossing 40,000 Total Open Space & Trails $ 280,000 TOTAL GENERAL CITY CAPITAL - NECESSARY $ 1,143,000 GENERAL CITY CAPITAL - INDOOR POOL/ICE RINK FACILITY Indoor Pool/Ice Rink Facility including Debt Service and Issuance Expense $ 7,360,000 TOTAL GENERAL CITY CAPITAL-INDOOR POOL/ ICE RINK FACILITY $ 7,360,000 Sewer Service Center Improvements $ 1,500,000 Wastewater Treatment Plant #2 North Improvements 920,000 Harmony Farm Trunk Sewer 700,000 Wastewater Treatment Plant #1 Improvements 659,000 Wastewater Treatment Plant #2 South Improvements 188,000 TOTAL SEWER $ 3,967,000 r � � • Storm Drainage Canal Importation Basin Improvements $ 481,160 Foothills Basin Improvements 453,445 McClellands-Mail Creek Basin Improvements 276,650 Spring Creek Basin Improvements 237,400 Fox Meadows Basin Improvements 222,090 Evergreen Park-Greenbriar Basin Improvements 81 ,000 West Vine Basin Improvements 59,180 Dry Creek Basin Improvements 46,640 TOTAL STORM DRAINAGE $ 1,857,565 Water Water Treatment Plant #2 - 20 MGD $ 10,000,000 Expansion Westside Transmission Main 1,600,000 Minor Road Waterline 37,000 TOTAL WATER $ 11,637,000 TOTAL CAPITAL PROJECTS FUND $ 30,263,565 Conservation Trust Fund Poudre Trail $ 25,000 Spring Creek Trail 25,000 TOTAL CONSERVATION TRUST FUND $ 50,000 Parkland Fund Administration $ 60,048 Contingency 30,000 Fossil Creek Park 70,000 Golden Meadows Park 225,000 Handicapped Fishing Pier 20,000 New Park Site Acquisitions 300,000 Park Site Equipment 60,000 Trilby Area Acquisition (1982) 60,905 Troutman Park 10,000 Transfer to Debt Service 54,540 TOTAL PARKLAND FUND $ 890,493 TOTAL CAPITAL IMPROVEMENTS $ 31,204,058 TOTAL ALL FUNDS $158,898,321 Section 2. That for the purpose of providing necessary funds for meeting the appropriations set forth in Section 1 of this Ordinance, a levy of 12.860 mills upon each dollar of the assessed valuation of all taxable property within the corporate limits of the City of Fort Collins is hereby made and assessed. Such levy represents the amount of taxes for City purposes necessary to provide for payment during the ensuing budget year of all properly authorized demands against the City, taking into account all of the revenues and funds to be received by the City. Said mill levy of 12.860 mills shall be certified to the County Assessor and the Board of County Commissioners of Larimer County, Colorado, by the City Clerk as provided by the Charter of the City of Fort Collins . Introduced , considered favorably on first reading, and ordered pub- lished this 2nd day of October, A.D. 1984, and to be presented for final passage on the 16th day of October, A.D. 1984 . Assistant May r ATTEST: _ V UCity Cle Passed and adopted on final reading this 16th day of October, A.D., 1984. Mayor ATTEST: ity Clerk