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HomeMy WebLinkAbout134 - 10/17/1989 - RELATING TO THE ANNUAL APPROPRIATIONS FOR THE FISCAL YEAR 1990 AND MAKING THE MILL LEVY FOR SAID FIS ORDINANCE NO. 134, 1989 BEING THE ANNUAL APPROPRIATION ORDINANCE RELATING TO THE ANNUAL APPROPRIATIONS FOR THE FISCAL YEAR BEGINNING JANUARY 1, 1990, AND ENDING DECEMBER 31, 1990, AND MAKING THE MILL LEVY FOR SAID FISCAL YEAR WHEREAS, Article V, Section 5, of the City Charter requires passage of an Annual Appropriation Ordinance not later than the last day of October in each year; and WHEREAS, the Annual Appropriation Ordinance shall be based on the budget, as adopted, and shall specify such sums of money as the Council deems necessary to defray all expenses and liabilities of the City during the ensuing budget year; and WHEREAS, Article V, Section 6, of the City Code requires that the Annual Appropriations Ordinance include the proper 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 budget year of all properly authorized demands against the City, including interest and principal of general obligation bonds. NOW, THEREFORE, 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 , 1990 and ending December 31, 1990, the sum of TWO HUNDRED FIFTEEN MILLION, ONE HUNDRED EIGHTY-NINE THOUSAND, SIX HUNDRED TWENTY EIGHT DOLLARS ($215, 189,628) to be raised. by taxation and otherwise, which sum is deemed by Council to be necessary to defray all expenses and liabilities of the City during said budget year, to be divided and appropriated for the following purposes, to wit: TOTAL GENERAL FUND $ 35,026,833 Enterprise Funds Cemetery Fund $ 412,236 Golf Fund 734,790 Light and Power Fund 43,316,838 Storm Drainage Fund 3,333,931 Wastewater Fund 16, 173,265 Water Fund 16,850, 163 TOTAL ENTERPRISE FUNDS $ 80,821,223 Internal Service Funds Benefits Fund $ 2, 134,119 Communications Fund 1,593,390 Equipment Fund 2, 110,702 Self Insurance Fund 2,011, 120 TOTAL INTERNAL SERVICE FUNDS $ 7,849,331 Special Revenue and Debt Service Funds Cultural Services & Facilities Fund $ 1,274,012 Firemen's Pension Fund 6,818,302 General Employees' Retirement Fund 434,400 Perpetual Care Fund 64,400 Recreation Fund 2,686,303 Revenue Sharing 39,560 Rockwell Ranch 1,600 Sales and Use Tax Fund 39,043,906 Street Oversizing Fund 1,362,500 Transit Fund 1,315,980 Transportation Services Fund 5,310,644 Debt Service Fund 14,645,379 Special Assessments Debt Service Fund 3,427,593 TOTAL SPECIAL REVENUE & DEBT SERVICE FUNDS $ 76,424,579 CAPITAL IMPROVEMENTS FUNDS GENERAL CITY CAPITAL Streets Facility $ 600,000 Administration - General Capital 33,600 Minor Street Capital 193,000 Annual Concrete Program 105,000 Pedestrian Access Ramps 21,000 Major Building Maintenance 318,500 TOTAL GENERAL CITY CAPITAL $ 1,271,100 GENERAL CITY CAPITAL - NECESSARY Administration - Necessary Capital $ 26,922 TOTAL GENERAL CITY CAPITAL - NECESSARY $ 26,922 GENERAL CITY CAPITAL - 1/4 CENT CHOICES 95 Shields, Davidson to Casa Grande $ 82,000 Prospect - Lemay Intersection 50,000 PFA South Batallion 173,085 Lincoln Center Restroom Additions 75,528 Eastside Neighborhood Park 200,000 Buckingham Park Improvements 25,176 Edora Park Enhancements 156,301 Indoor Pool Renovations 100,000 TOTAL GENERAL CITY CAPITAL - 1/4 CENT CHOICES 95 $ 862,090 GENERAL CITY CAPITAL - STREET MAINTENANCE Street Overlays and Sealcoats $ 3,520,771 TOTAL GENERAL CITY CAPITAL - STREET MAINTENANCE $ 3,520,771 Storm Drainage Spring Creek Basin $ 283,000 Foothills Basin 396,000 Canal Importation Basin 1,040,000 Fox Meadows Basin 58,000 Old Town Basin 250,000 TOTAL STORM DRAINAGE $ 2,027,000 Wastewater WWTP #2 Improvements $ 325,000 Treatment Plant Expansion 3,500,000 Collection System Study 50,000 Shields Street Relief Sewer 380,000 Spring Creek Relief Sewer 260,000 TOTAL WASTEWATER $ 4,515,000 Water Water Treatment Expansion $ 1,173,000 Princeton Water Line 320,000 East Prospect Water Line 100,000 Water Quality Lab Improvements 200,000 Service Center Improvements 200,000 TOTAL WATER $ 1,993,000 TOTAL CAPITAL PROJECTS FUND $ 14,215,883 Conservation Trust Fund Administration $ 83,814 Open Space and Trails Maintenance 37,456 Other Open Space 50,000 Strauss Cabin Trail 50,000 Trail Acquisition/Development/Repair 60,000 TOTAL CONSERVATION TRUST FUND $ 281,270 Parkland Fund Administration $ 119,509 Greenbriar Park 361,000 Park Site Equipment and Plantings 80,000 Sign Program 10,000 TOTAL PARKLAND FUND $ 570,509 TOTAL CAPITAL IMPROVEMENTS $ 15,067,662 TOTAL ALL FUNDS $215, 189,628 Section 2. Mill Levy A. That for the purposes of providing necessary funds for meeting the appropriations set forth in Section 1 of this Ordinance, there is hereby levied a tax of 8.797 mills upon each dollar of the assessed valuation of all taxable property within the corporate limits of the City of Fort Collins. B. 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. C. The City Clerk shall certify this levy of 8.797 mills to the County Assessor and the Board of County Commissioners of Larimer County, Colorado, in accordance with Article V, Section 6 of the Charter of the City of Fort Collins. Introduced, considered favorably on first reading, and ordered published this 3rd day of October, A.D. 1989, and to be presented for final passage on the 17th day of October, A.D. 1989. Mayor ATTEST: City Clerk Passed and adopted on final reading this 17th day of October, A.D. 1989. D Mayor ATTEST: City Clerk