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HomeMy WebLinkAbout105 - 11/03/2009 - APPROPRIATING PRIOR YEAR RESERVES AND UNANTICIPATED REVENUE IN VARIOUS CITY FUNDS AND AUTHORIZING TH ORDINANCE NO. 105, 2009 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 OR PROJECTS WHEREAS, the City has prior year reserves, excess revenue, and unanticipated revenue available to appropriate; and WHEREAS,in accordance with Article V, Section 8(b)of the City Charter,any expense or liability entered into by an agent of the City, on behalf of the City, shall not be made unless an appropriation therefor shall have been made by the City Council; and WHEREAS,Article V, Section 9 of the City 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 City 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 current estimate of actual and anticipated revenues to be received during the fiscal year; and WHEREAS,Article V,Section 10,ofthe City 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 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 that the following funds are hereby authorized for transfer and appropriated for expenditure for the purposes stated below: A. GENERAL FUND 1. APP. FROM: Unanticipated Revenue (Miscellaneous Police) $ 260,850 APP. FROM: Prior Year Reserves (Traffic Surcharge) $ 30,000 APP. FROM: Prior Year Reserves (Camera Radar) $ 21,620 APP. FROM: Unanticipated Revenue (Seatbelt Grant) $ 7,000 APP. FROM: Unanticipated Revenue (DUI Grant) $ 8,500 FOR: Police Services $ 312,470 FOR: Seatbelt Grant $ 7,000 FOR: DUI Grant $ 8,560 2. APP. FROM: Unanticipated Revenue (Grant) $ 4,784 FOR: Radon Grant Expenses $ 4,784 TRANSFER FROM: Natural Resources Operations $ 4,784 TO: Radon Grant Expenses $ 4,784 3. APP. FROM: Prior Year Reserves (PEG Reserve) $ 7,500 FOR: Cable 14 Expenses $ 7,500 4. APP. FROM: Prior Year Reserves (PEG Reserve) $ 35,000 FOR: Cable 14 Expenses $ 35,000 r 5. APP. FROM: Unanticipated Revenue $ 12,000 FOR: Cable 14 Expenses $ 12,000 6. APP. FROM: Unanticipated Revenue $ 33,000 FOR: Gardens on Spring Creek Expenses $ 33,000 7. APP. FROM: Prior Year Reserves (Horticulture) $ 25,000 FOR: Gardens on Spring Creek Expenses $ 25,000 8. APP. FROM: Unanticipated Revenue (Grant) $15,200 FOR: Gardens on Spring Creek Expenses $15,200 9. APP. FROM: Unanticipated Revenue $ 8,160 FOR: Human Resources Expenses $ 8,160 B. RECREATION FUND 1. APP. FROM: Prior Year Reserves $ 10,000 FOR: Youth Special Revenue $ 10,000 2. APP. FROM: Unanticipated Revenue $ 13,000 FOR: Youth Sports $ 13,000 3. APP. FROM: Unanticipated Revenue $ 34,150 FOR: Vida Sana $ 34,150 j 4. APP. FROM: Unanticipated Revenue $ 3.000 FOR: Youth Football $ 3,000 -2- 5. APP. FROM: Prior Year Reserves $ 20,000 FOR: Ice & Aquatics $ 20,000 6. APP. FROM: Prior Year Reserves $ 5,488 FOR: Adult Sports $ 5,488 7. APP. FROM: Unanticipated Revenue $ 3,000 FOR: Alternative Programs $ 3,000 C. DATA & COMMUNICATIONS FUND 1. APP. FROM: Prior Year Reserves $99,772 FOR: Development Tracking System $99,772 D. LIGHT & POWER FUND 1. TRANSFER FROM: Material Control - Operations $86,000 TO: Service Center- Capital Project $86,000 2. TRANSFER FROM: Light& Power Distribution - Operations $200,801 TO: DOE Grant Project $200,801 3 APP. FROM: Unanticipated Revenue (Grant) $430,000 FOR: DOLA Grant Project $430,000 E. WATER FUND 1. TRANSFER FROM: Water Quality - Operations $ 28,000 TO: Service Center Improvements - Capital Project $ 28,000 2. TRANSFER FROM: Water Quality - Operations $ 531 TO: Southwest System Improvements - Capital Project $ 531 F. WASTEWATER FUND 1. APP. FROM: Prior Year Reserves $ 27,800 FOR: Service Center Improvements $ 27,800 2. TRANSFER FROM: Pollution Control Lab - Operations $ 26,200 TO: Service Center Improvements - Capital Project $ 26,200 3. TRANSFER FROM: Pollution Control Lab - Operations $ 177 TO: Harmony Lift Station- Capital Project $ 177 -3- 4. TRANSFER FROM: Pollution Control Lab - Operations $ 915 TO: Drake Water Reclamation Facility Improve - Capital Project $ 915 G. STORMWATER FUND 1. APP. FROM: Prior Year Reserves $ 3,200 FOR: Utility Service Center Phase 2 $ 3,200 2. TRANSFER FROM: Drainage & Detention- Operations $ 28,800 TO: Utility Service Center Phase 2 - Capital Project $ 28,800 3. TRANSFER FROM: Drainage & Detention - Operations $ 257 TO: Old Town Basin Improvements - Capital Project $ 257 4. TRANSFER FROM: Drainage & Detention - Operations $ 1,362 TO: Canal Importation Basin Improvements - Capital Project $ 1,362 H. UTILITY CUSTOMER SERVICE & ADMIN FUND 1. TRANSFER FROM: Regulatory & Government Affairs - Ops $ 150,000 TO: System Additions & Replacements - Capital Project $ 150,000 I. TIMBERLINE/PROSPECT SID 994 FUND 1. APP. FROM: Unanticipated Revenue (Special Assessment) $ 116,237 FOR: Developer Repayment $ 116,237 J. TRANSPORTATION SERVICES FUND 1. APP. FROM: Unanticipated Revenue (Misc.) $ 1,175 FOR: Bike Library Program $ 1,175 2. APP. FROM: Unanticipated Revenue (Misc.) $ 3,463 FOR: 2009 Bike Camp Expenses $ 3,463 3. APP. FROM: Prior Year Reserves (Civic Center Parking) $ 108,250 FOR: Civic Center Parking Structure $ 108,250 4. APP. FROM: Transfer from Capital Projects Fund $110,000 FOR: Transportation Fund Expenses $110,000 -4- K. CAPITAL PROJECTS FUND 1. TRANSFER FROM: Soapstone Public Improve. Project $ 80,000 TO: Robert Benson Dam Project $ 80,000 2. APP. FROM: Unanticipated Revenue (Rent) $ 5,850 TO: Mason Corridor Project $ 5,850 3. APP. FROM: Unanticipated Revenue (CMAQ Grant) $600,000 FOR: Mason Corridor Project - Troutman Crossing $600,000, TRANSFER FROM: BOB Pedestrian Plan & ADA Project $300,000 TO: Mason Corridor Project - Troutman Crossing $300,000 4. TRANSFER FROM: BOB Pedestrian Plan& ADA Project $ 83,000 TO: BOB North College Ave. Improvement Project $ 83,000 5. TRANSFER FROM: BOB Intersection Improvements Project $1,200,000 TO: Mason Corridor Project - BRT $1,200,000 APP. FROM: Transfer from Transportation Fund $ 35,000 FOR: Mason Corridor Project $ 35,000 6. TRANSFER FROM: BOB Pedestrian Plan & ADA Project $ 150,000 TRANSFER FROM: BOB Bicycle Plan Implementation $ 150,000 TO: Mason Corridor Project -NRRC Crossing $ 250,000 7. APP. FROM: Unanticipated Revenue (Misc.) $ 500 FOR: BCC Pedestrian Plan Project $ 500 8. APP. FROM: Unanticipated Revenue (Natural Resources Fund) $ 500,000 FOR: Fort Collins/Discovery Science Center Project $ 500,000 9. APP. FROM: Prior Year Reserves (Capital Projects) $ 241,797 FOR: Department of Energy- RDSI Project $ 241,797 10. APP. FROM: Prior Year Reserves (Capital Projects) $ 110,928 FOR: Department of Local Affairs -NEC Project $ 110,928 I L . APP. FROM: Prior Year Reserves (Capital Projects) $ 500,000 FOR: Transfer to Transportation Fund $ 500,000 12. APP. FROM: Prior Year Reserves (Capital Projects) $ 110,000 FOR: Transfer to Transportation Fund $ 110,000 -5- L. NATURAL AREAS FUND 1. APP. FROM: Unanticipated Revenue (Grant) $ 20,000 FOR: Natural Areas Program $ 20,000 M. CAPITAL IMPROVEMENT EXPANSION FUND 1. APP. FROM: Prior Year Reserves (Library Expansion) $ 21,883 FOR: New Branch Library Books & Materials $ 21,883 2. APP. FROM: Prior Year Reserves (Library Impact) $1,575,307 APP. FROM: Unanticipated Revenue (Library Impact Fees) $ 111,392 FOR: Poudre River Library District $1,686,699 Introduced, considered favorably on first reading, and ordered published this 27th day of October, A.D. 2009, and to be presented for final passage on th r day of November,A. 2009. Mayor ATTEST City Clerk Passed and adopted on final reading on the 3rd day of November, A.D. 2009. Mayor ATTEST:- ' City Clerk -6-