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HomeMy WebLinkAbout023 - 03/18/2008 - APPROPRIATING PRIOR YEAR RESERVES ORDINANCE NO. 023, 2008 OF THE COUNCIL OF THE CITY OF FORT COLLINS APPROPRIATING PRIOR YEAR RESERVES WHEREAS, Article V, Section I of the Charter of the City of Fort Collins (the "Charter") requires that all appropriations unexpended or unencumbered at the end of the fiscal year shall lapse to the applicable general or special fund, except that appropriations for capital projects and federal or state grants shall not lapse until the completion of the capital project or until the expiration of the federal or state grant; and WHEREAS, Article V, Section 9, of 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. 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 from prior year reserves in the General Fund the sum of ONE MILLION FOUR HUNDRED FIFTY-ONE THOUSAND FOUR HUNDRED FIFTY-FOUR DOLLARS ($1,451,454) for the following purposes: On-line Supervisory Summit Program $ 18,900 Mountain States Employers Council 25,000 Traffic Unit Expenses 16,405 Larimer Emergency Telephone Authority 11,881 Planning-South College Project 4,164 Planning-South College Corridor Consulting Services 12,000 Land Bank Property Maintenance 20,056 Building Maintenance Projects 1,162,000 JD Edwards Server Replacement Project 75,000 Purchase PEG Equipment 68,590 Fort Collins Public Access Network 16,680 Municipal Court Expansion 20.778 Total General Fund $1,451,454 Section 2. That there is hereby appropriated for expenditure from prior year reserves in the Cultural Services & Facilities Fund the sum of ONE HUNDRED FORTY THOUSAND SEVEN HUNDRED FORTY-SIX DOLLARS ($140,746) to be used for the purpose specified in the City's Art-in-Public Places program. Section 3. That there is hereby appropriated for expenditure from prior year reserves in the Light & Power Fund the sum of THREE HUNDRED SEVENTY THOUSAND DOLLARS ($370,000) to be used for the following purposes: Art in Public Places $170,000 Electric Planning and Engineering-Transformers 200,000 Total Light& Power Fund $370,000 Section 4. That there is hereby appropriated for expenditure from prior year reserves in the Storm Drainage Fund the sum of ONE HUNDRED EIGHTY-NINE THOUSAND THREE HUNDRED SEVENTEEN DOLLARS ($189,317) to be used for the purpose specified in the City's Art-in-Public Places program. Section 5. That there is hereby appropriated for expenditure from prior year reserves in the Wastewater Fund the sum of ONE HUNDRED TEN THOUSAND FOUR HUNDRED SIXTY DOLLARS ($110,460) to be used for the purposes specified in the City's Art-in-Public Places program. Section 6. That there is hereby appropriated for expenditure from prior year reserves in the Water Fund the sum of TWENTY-FIVE THOUSAND DOLLARS ($25,000) to be used for the purposes specified in the City's Art-in-Public Places program. Section 7. That there is hereby appropriated for expenditure from prior year reserves in the Recreation Fund the sum of FIFTY-ONE THOUSAND DOLLARS ($51,000) to be used to purchase equipment and supplies for the new Northside Aztlan Community Center. Section 8. That there is hereby appropriated for expenditure from prior year reserves in the Transportation Services Fund the sum of FOUR HUNDRED FORTY-SEVEN THOUSAND SEVEN HUNDRED FORTY-NINE DOLLARS ($447,749) to be used for the following purposes: Harmony Road Maintenance $442,749 Parking Operations 5,000 Total Transportation Services Fund $447,749 Introduced, considered favorably on first reading, and ordered published this 4th day of March, A.D. 2008, and to be presented for final passage on the 18th d f March, A.D. 2008. Mayor .ATTEST: City Clerk -2- Passed and adopted on final reading on the 18th day of March, . 2008. dei�4 - 6-?4 r Mayor ATTEST: City Clerk -3-