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HomeMy WebLinkAbout103 - 10/16/2012 - APPROPRIATING PRIOR YEAR RESERVES AND UNANTICIPATED REVENUE IN VARIOUS CITY FUNDS ORDINANCE NO. 103, 2012 OF THE COUNCIL OF THE CITY OF FORT COLLINS APPROPRIATING PRIOR YEAR RESERVES AND UNANTICIPATED REVENUE IN VARIOUS CITY FUNDS 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,of the 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) $ 246,326 APP. FROM: Prior Year Reserves (Police Seizure) $ 4,500 APP. FROM: Prior Year Reserves(CAD Reserve) $ 65,000 APP. FROM: Unanticipated Revenue (Seatbelt Grant) $ 7,300 APP. FROM: Unanticipated Revenue (DUI Enforcement Grant) $ 15,020 APP. FROM: Unanticipated Revenue (Victims Assistance Grant) $ 1,380 APP. FROM: Unanticipated Revenue (ICAC Task Force Grant) $ 5,697 APP. FROM: Unanticipated Revenue (HIDTA Grant) $ 4,342 FOR: Police Services $ 246,326 FOR: Drug Free Calendar and Youth Police Academy $ 4,500 FOR: CAD Replacement Project $ 65,000 FOR: Seatbelt Grant $ 7,300 FOR: DUI Enforcement Grant $ 15,020 FOR: Victims Assistance Grant $ 1,380 FOR: ICAC Task Force Grant $ 5,697 FOR: Northern Colorado Drug Task Force HIDTA Grant $ 4,342 2. APP. FROM: Unanticipated Revenue (Grants) $ 24,390 FOR: North Campus Grant project $ 24,390 3. APP. FROM: Prior Year Reserves (General Fund) $ 18,520 FOR: Landmark Rehab Program $ 18,520 4. APP. FROM: Prior Year Reserves-(General Fund) $ 1,420 FOR: Municipal Court Copier Expenses $ 1,420 5. APP. FROM: Prior Year Reserves (General Fund) $ 7,000 FOR: Municipal Court Operating Expenses $ 7,000 6. APP. FROM: Prior Year Reserves (4th of July) $ 33,000 FOR: 4th of July Expenses $ 33,000 7. APP. FROM: Unanticipated Revenue (Donations) $ 46,000 FOR: Holiday Lights $ 46,000 8. APP. FROM: Unanticipated Revenue $ 150,000 FOR: The Gardens on Spring Creek $ 150,000 9. APP. FROM: Unanticipated Revenue (Grants) $ 60,000 FOR: The Gardens on Spring Creek Grant Expenses $ 60,000 10. APP. FROM: Prior Year Reserves (PEG Reserve) $ 70,000 FOR: Cable 14 Expenses $ 70 000 11. APP. FROM: Unanticipated Revenue (Grants) $ 24,895 FOR: Poudre Valley Health System $ 24,895 12. APP. FROM: Unanticipated Revenue (Grants) $ 77,291 FOR: Fort Collins Convention and Visitors Bureau $ 77,291 11 APP. FROM: Unanticipated Revenue $ 5,149 FOR: Radon Program $ 5,149 14. APP. FROM: Unanticipated Revenue (Grants) $ 7,530 FOR: Land Bank Expenses $ 7,530 -2- 15. APP.FROM: Unanticipated Revenue $ 28,277 FOR: Tree Maintenance $ 28,277 16. APP. FROM: Prior Year Reserves (General Fund) $ 7,000 FOR: Boards and Commissions Expense $ 7,000 17. APP. FROM: Prior Year Reserves (General Fund) $ 310,000 FOR: Election Expense $ 310,000 B. CAPITAL PROJECTS FUND 1. APP. FROM: Unanticipated Revenue (Transfer from Natural Areas) $ 22,044 FOR: Soapstone Public Improvements Project $ 22,044 2. APP. FROM: Unanticipated Revenue $ 19,336 FOR: Police Facility Capital Project $ 19,336 3. APP. FROM: Unanticipated Revenue $ 270,144 FOR: Police Facility Capital Project- Debt $ 270,144 4. APP. FROM: Unanticipated Revenue $ 19,903 FOR: Railroad Crossing Replacement Project $ 19,903 5. APP. FROM: Unanticipated Revenue (BOB Taxes) $ 21,200 FOR: Lincoln Center Renovation Project $ 21,200 C. CEMETERIES FUND 1. APP FROM: Prior Year Reserves $ 56,000 FOR: Installation of Fiber Optics $ 56,000 D. CONSERVATION TRUST FUND 1. APP. FROM: Unanticipated Revenue (Donations) $ 2,500 FOR: Engineering and Hydrologic Design Work $ 2,500 2. APP. FROM: Unanticipated Revenue $ 90,750 FOR: Removal of the Storage Building $ 90,750 E. CULTURAL SERVICES AND FACILITIES FUND 1. APP. FROM: Unanticipated Revenue $ 30,641 FOR: Lincoln Center Expenses $ 30 641 -3- 2. APP. FROM: Unanticipated Revenue $ 95,000 FOR: Lincoln Center Expenses $ 95,000 3. APP. FROM: Unanticipated Revenue $ 158,000 FOR: Lincoln Center Expenses $ 158,000 4. APP. FROM: Unanticipated Revenue $ 28,886 FOR: Art-in-Public Places projects $ 28,886 5. APP. FROM: Prior Year Reserves (Cultural Services) $ 21,200 FOR: Transfer to Capital Projects Fund $ 21,200 F. LIGHT AND POWER FUND 1. APP. FROM: Unanticipated Revenue $ 2,500,000 FOR: Purchase of Power $ 2,500,000 2. APP. FROM: Unanticipated Revenue $ 196,700 FOR: BOB - Payment in Lieu of Taxes (PILOTS) $ 196,700 G. NATURAL AREAS FUND 1. APP. FROM: Unanticipated Revenue (REI Grant) $ 4,920 FOR: Natural Areas Expenses $ 4,920 2. APP. FROM: Unanticipated Revenue $ 4,973 FOR: Prairie Education Grant Expenses $ 4,973 H. NEIGHBORHOOD PARKLAND FUND 1. APP. FROM: Unanticipated Revenue $ 1,410 FOR: Maple Hill Park Project $ 1,410 1. RECREATION FUND 1. APP. FROM: Unanticipated Revenue $ 46,942 FOR: Recreation Programs $ 46,942 2. APP. FROM: Unanticipated Revenue $ 28,134 APP. FROM: Prior Year Reserves (Recreation Fund) $ 76,513 FOR: Recreation Programs $104,647 3.a. APP. FROM: Unanticipated Revenue $ 1,660 FOR: Passport Grant $ 1,660 -4- 3.b. APP. FROM: Unanticipated Revenue $ 11,000 FOR: NRPA Achieve Grant $ 11,000 J. SALES AND USE TAX FUND 1. APP. FROM: Unanticipated Revenue (Sales Tax) $ 743,932 FOR: Transfer to Capital Projects - Building on Basics $ 371,966 FOR: Transfer to Natural Areas Fund $ 371,966 2. APP. FROM: Prior Year Reserves (Sales & Use Tax Fund) $ 263,774 FOR: Manufacturing Equipment Use Tax Rebate $ 263,774 3. APP. FROM: Prior Year Reserves (Sales & Use Tax Fund) $ 24,708 FOR: Transfer to Capital Projects - Building on Basics $ 12,354 FOR: Transfer to Natural Areas Fund $ 12,354 4. APP. FROM: Prior Year Reserves (Sales & Use Tax Fund) $ 7,077,614 FOR: Transfer to General Fund $ 7,077,614 K. TRANSIT SERVICES FUND 1. APP. FROM: Unanticipated Revenue (FTA Section 5309 Funding) $ 1,065,720 APP. FROM: Prior Year Reserves (Transit Services Fund) $ 218,280 FOR: Replacement Buses $ 1,284,000 L. TRANSPORTATION SERVICES FUND 1. APP. FROM: Unanticipated Revenue $ 400,000 FOR: Traffic Construction Expenses $ 400,000 2. APP. FROM: Unanticipated Revenue (Transfer from General Fund) $ 36,000 FOR: Transportation SAINT Expenses $ 36,000 3. APP. FROM: Unanticipated Revenue (Transfer from General Fund) $ 50,000 FOR: Transportation Expenses $ 50,000 M. WATER FUND I. APP. FROM: Unanticipated Revenue $ 175,000 FOR: Water Line Relocations for MAX/BRT $ 175,000 2. APP. FROM: Prior Year Reserves (Water Fund) $ 200,000 FOR: Replace Existing Tandem Dump Truck $ 200,000 -5- N. WASTEWATER FUND l. APP. FROM: Unanticipated Revenue (Energy Efficiency Rebates) $ 28,212 FOR: LED Lighting $ 28,212 Introduced, considered favorably on first reading, and ordered published this 2nd day of October, A.D. 2012, and to be presented for final passage on the 16th day of October, A.D. 2012. Y OF FO,Q� IrLL—_ '•(� tp May r ATTEST: 0% JO City Clerk Passed and adopted on final reading on the 16th day of October, A.D. 2012. 4Y OF c0� — ayor ATTEST: City Clerk -6-