HomeMy WebLinkAbout2011-016 2010 Year-End Encumbrances; Budget Amendment and AppropriationsORDINANCE NO. 2011 -16
AN ORDINANCE amending the 2011 budget for the City of Yakima; and making
appropriations for 2010 Year -End Encumbrances from
Unappropriated Fund Balances within various Funds for expenditure
during 2011.
WHEREAS, the various funds indicated on the attached Schedule I contain
Unappropriated Fund Balances available for appropriation and expenditures during 2011 in
various amounts and for the purposes mentioned in the attached Schedule, and
WHEREAS, at the time of the adoption of the 2011 budget it could not reasonably have
been foreseen that the appropriation provided for by this ordinance would be required; and the
City Council declares that an emergency exists of the type contemplated by RCW 35.33.091
and that it is in the best interests of the City to make the appropriation herein provided, now,
therefore,
BE IT ORDAINED BY THE CITY OF YAKIMA:
Section 1. Appropriations are hereby made, for expenditure during 2011, from
Unappropriated Fund Balances in the various Funds to the various accounts and in the various
amounts, and for the various specific purposes, all as specified in the Schedule attached hereto
and incorporated herein.
Section 2. This ordinance is one making an appropriation and shall take effect
immediately upon its passage, approval and publication as provided by law and by the City
Charter.
PASSED BY THE CITY COUNCIL, signed and approved this 5th day of April, 2011
Micah Cawley, Vayor
ATTEST:
City Cheirk
First Reading: March 15, 2011
Publication Date: April 8, 2011
Effective Date: April 8, 2011
City of Yakima
2010 Encumbrance Ordinance
SCHEDULE I
Appropriate out of unappropriated fund balances of the various funds and in the various
amounts and for the purposes as described:
ACCOUNT AMOUNT FUND TOT. DESCRIPTION
GENERALFUND
Finance
000.015.624.0000.51420.350 $4,548 Upgrade Microsoft version
Hearing Examiner
000.020.313.0000.55860.410 $8,500 Hearing Examiner Caseload
Police
000.031.103.0000.52120.280
000.031.113.0000.52120.280
000.031.113.0000.52120.280
000.031.115.0000.52320.410
000.031.119.0000.52110.422
Fire
000.032.125.0000.52240.31 P
Engineering
000.041.528.0000.53220.410
Information Systems
$2,253 Uniform Items
$2,383 Uniforms
$3,246 Protective Vests
$6,952 Electonic Home Monitoring Equipment
$1,361 Pack/transport Lab Microscope
$16,194
$5,000 Fire Public Education Supplies (funded by donation)
$5,000 Professional services- project support
000.052.631.0000.59421.641
$164,610
Prosecutorial Case Mgmt System
000.052.631.0000.51880.35C
$11,055
$6,121
HP Server for Firewall
000.052.631.0000.51880.35C
CDBG Infrastructure
$12,500
GIS Server Upgrade
000.052.631.0000.51880.35C
124.124.331.HS02.55920.48E
$25,000
Equipment Upgrades -under $5,000
000.052.631.0000.59418.646
$15,642
$50,000
Equipment Upgrades -over $5,000
000.052.631.0000.59418.646
"A" Street Improvement Project
$15,000
Network Communications Equipment
000.052.631.0000.51880.480
124.124.337.HS09.55920.48M
$27,350
Maintenance Contracts (timing)
000.052.631.0000.51880.410
$263,692
$38,817
Time & Attendance Mgmt Software
$339,398
TOTAL GENERAL FUND $378,640
NEIGHBORHOOD DEV FUND
Grant awards carried forward
124.124.331.CBGR.55920.48F
$11,055
CDBG -R (ARRA) Grants Program
124.124.331.0000.55920.48W
$198,137
CDBG Infrastructure
124.124.331.0000.55920.48T
$290,000
CDBG Economic Development
124.124.331.HS02.55920.48E
$543,022
Single Family Home Rehab - S/F & Sr /Disabled
124.124.331.2299.59212.650
$15,642
"A" Street Improvement Project
124.124.331.2299.59570.650
$77,861
"A" Street Improvement Project
124.124.334.0000.55920.350
$22,945
Public / Community Service (Graffiti)
124.124.337.HS09.55920.48M
$498,961
HOME Single Family Rehab Prgms
124.124.337.HS09.55920.48Y
$263,692
HOME CHDO Program
GROWTH MGMT FUND
140.140.314.1994.54440.410 $6,296
STREETS & TRAFFIC ENG FUND
141.133.525.0000.54264.314
$3,056
141.133.526.0000.54340.' 410
$25,000
141.141.521.0000.54230.312
$7,531
POLICE GRANTS FUND
$1,921,315
$6,296 Transportation Modeling Update
$35,586
Pedestrian Countdown LED Modules
Prof Services- Transportation Plan
Chemicals
cje 4/6/2011 Page 1 of 3
City of Yakima
2010 Encumbrance Ordinance
SCHEDULE I
Appropriate out of unappropriated fund balances of the various funds and in the various
amounts and for the purposes as described:
ACCOUNT
AMOUNT
FUND TOT. DESCRIPTION
152-152-117-0000-52130-311
$2,164
ARRA Byrn grant - supplies
152 -152 -117- 0000 - 52130 -52C
$650
ARRA Byrn grant- Yakima County
152 - 152 - 117 - 0000 - 52130 -52S
$5,254
ARRA Byrn grant- Sunnyside
152 - 152 - 117 - 0000 - 52130 -52T
$159
ARRA Byrn grant - Toppenish
152 - 152 -117- 0000 - 52130 -52U
$18,569
ARRA Byrn grant- Union Gap
$26,796
TROLLEY FUND
364.364.518.0000.59447.630
162.162.326.2153.59479.650
$134,112
$134,112 Trolley Barn Enhancement Project
CONV CENTER PFD FUND
FUND
370.370.328.0000.57520.350
172.172.327.0000.57541.491
$11,000
$11,000 Approved Artwork
FEDERAL "ARRA" FUND
199.199.527.0000.51820.480
$55,816
Energy Upgrade - Public Works
199.199.527.0000.51830.480
$34,230
Energy Upgrade -City Hall
199.199.527.0000.52120.480
$45,612
Energy Upgrade -Law & Justice Center
199.199.527.0000.52220.480
$32,465
Energy Upgrade -Fire Stations
199.199.527.0000.53514.480
$6,384
Energy Upgrade - Wastewater
199.199.527.0000.55920.480
$52,482
Energy Upgrade -SE Comm Center
$226,989
PARKS CAPITAL FUND
331.331.428.0000.59476.630 $2,770 $2,770 Portable Tent
LAW AND JUSTICE CAPITAL FUND
333.333.111.0000.51220.350 $5,310 Police Car Radios
333.333.518.0000.52120.410 $7,657 Security System Improvements
$12,968
TRANSIT CAPITAL FUND
364.364.518.0000.59447.630
$89,806
CONVENTION CENTER CAPITAL
FUND
370.370.328.0000.57520.350
$15,307
370.370.328.0000.57520.350
$11,688
370.370.328.0000.57520.350
$35,734
$89,806 Replumb Public Works Complex
$62,729
Podiums
Dance Floor
Snap Drapes, Portable Stage
TRANSIT OPERATIONS
462.462.514.T646.54780.410 $82,792 $82,792 Dept of Transportation -ADA grant
WASTEWATER OPERATIONS
473.473.232 -S232- 53584 -3B1 $54,100 $54,100 Chemicals - Bioxide
WATER OPERATIONS
474.474.343.000053480.312 $2,644 PVC Spacer
474.474.343.000053480.312 $4,781 Magnetic Flow Transmitter
$7,426
EQUIPMENT REPLACEMENT FUND
551.551.634.ER02.54848.346 $9,145 Equipment Maintenance Parts
551.552.636.ER06.59448.644 $286,730 Wastewater TV Camera Van
$295,875
ENVIRONMENTAL FUND
555.555.639.2145.54650.480 $43,644 Richardson Airway Dirt Removal
555.555.639.2274.53190.410 $24,340 Airport Tank Cleanup
cje 4/6/2011 . Page 2 of 3
City of Yakima
2010 Encumbrance Ordinance
SCHEDULE I
Appropriate out of unappropriated fund balances of the various funds and in the various
amounts and for the purposes as described:
ACCOUNT AMOUNT FUND TOT. DESCRIPTION
555.555.639.2192.59439.630 $225,000 Fuel Capacity Expansion
$292,984
TOTAL ALL FUNDS $3,642,184
cje 4/6/2011 Page 3 of 3
BUSINESS OF THE CITY COUNCIL
OYAKIMA, WASHINGTON
AGENDA STATEMENT
•
is
Item No. A f 5
For Meeting Of April 5, 2011
ITEM TITLE An Ordinance Amending the 2011 Budget for 2010 Year -End Encumbrances
SUBMITTED BY: Department of Finance and Budget
CONTACT PERSON/TELEPHONE: Cindy Epperson, Deputy Director of Accounting
& Budgeting -- 575 -6070
SUMMARY EXPLANATION:
Attached is an Ordinance amending the 2011 Budget to provide appropriations for
encumbrances outstanding at the close of the 2010 Fiscal year.
Encumbrances represent orders (included in 2010 Budget appropriations) for materials which
had been authorized but not yet received, or for services authorized but not yet completed, as
of December 31, 2010. Therefore, appropriations from Unencumbered Fund Balances are
required to move forward the budget for payment when the materials are received or services
completed.
In some instances, the appropriations will be funded by approved grants (i.e. Neighborhood
Development Block Grants, Transit grants, etc.) For these items, Finance will also increase the
grant revenue budgets to match the estimated revenues to the corresponding expenditures. 'in
all other instances, the appropriations will be funded by reserves in their respective funds.
This is an annual year -end accounting requirement.
Resolution—Ordinance XX Contract
Funding Source Vari
APPROVED FOR SUBMITT
Other (Specify) Schedule 1
City Manager
STAFF RECOMMENDATION: Read Ordinance by title only at the March 15, 2011
meeting. Pass Ordinance after the second reading at the April 5, 2011 meeting.
BOARD /COMMISSION /COMMITTEE RECOMMENDATION:
COUNCIL ACTION: