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HomeMy WebLinkAbout2011-051 Miscellaneous Expenses; Budget Amendment and AppropriationsORDINANCE NO. 2011 -51
AN ORDINANCE amending the 2011 budget for the City of Yakima; and making
appropriations from Unappropriated Fund Balances within various
Funds for expenditure during 2011 to provide for increased 911
telephone costs; Integrated Public Safety System costs; Lincoln
Avenue Railroad Underpass project costs; and to replace a
damaged Refuse truck.
WHEREAS, the various funds indicated on the attached Schedule I contain
Unappropriated Fund Balances available for appropriation and expenditures during 2011 in
various amounts to provide for increased 911 telephone costs; Integrated Public Safety
System costs; Lincoln Avenue Railroad Underpass project costs; and to replace a damaged
Refuse truck, all as listed 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 18th day of_ October,
2011.
ATTEST:
— It A,- � CA 2:?4
MICAH CAWLE , MAYOR
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CITY CLERK--'—
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First Reading: October 4, 2011
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Publication Date: October 21, 2011 WASHI
Effective Date: October 21, 2011
City of Yakima
2011 Appropriation Schedule
SCHEDULEI
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
PUBLIC SAFETY COMMUNICATIONS
151.151.120.0000.52870.421 $165,000
Total Expenditures
Public Safety Communications- Revenue
151.151.124.0000.33828.911 $165,000
Total Revenues
Net Use of Fund Balance
COMMUNITY RELATIONS
125.125.434.0000.59473.630
Net Use of Fund Balance
911 Telephone Costs
$165,000
Interlocal payment for services -911
$165,000
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$95,000 $95,000 Local match for Integrated Regional Public Safety System
$95,000
CUMULATIVE RESERVE FOR CAPITAL IMPROVE.
392.392.528.1818.59550.650 $4,000,000
Total Expenditures
Cum Res for Cap Imp.- Revenue
392.392.528.1818.33320.2FH $4,000,000
Lincoln Ave. Railroad Underpass Project -
$4,000,000 Change order to correct the bottom seal (net of deduciton)
Total Revenues $4, 000, 000
Net Use of Fund Balance $0
EQUIPMENT REPLACEMENT FUND
Federal Hiway Administration grant
551.552.636.ER06.59448.644 $230,000 Replace damaged Refuse Truck
Total Expenditures $230,000
Equipment Rental Revenues
551.552.634.0000.39530.INR $130,000 Insurance Reimbursement
Total Revenues $130,000
Net Use of Fund Balance $100,000
cje 10/12/2011
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BUSINESS OF THE CITY COUNCIL
YAKIMA, WASHINGTON
AGENDA STATEMENT
Item No. * ! !O
For Meeting Of October 18, 2011
ITEM TITLE: An Ordinance Amending the 2011 Budget and making Appropriations in
various funds to provide for increased 911 telephone costs; Integrated
Public Safety System (IPSS); Lincoln Avenue railroad underpass project
costs; and to replace a damaged Refuse truck.
SUBMITTED BY: Finance Department
CONTACT PERSON /TELEPHONE: Cindy Epperson, Dep. Director of Accounting &
Budgeting /575 -6070
SUMMARY EXPLANATION:
During the development of the 2012 preliminary budget and the review of 2011 budget
trends and estimates, several instances of additional unbudgeted expenditures that
exceeded the total fund budget authority were noted. Some of these increases come with
additional revenues to support them and others would need to be paid from the affected
fund balance. None of the appropriations require the use of general fund or general
fund reserves.
Following page provides a summary of the appropriation and is summarized by fund; the
bulleted line item identifies the net impact on the fund balance, if any. The sub - bullets
identify (a) the increased costs, followed by (b) additional revenues, when applicable.
Where revenues are not identified, the fund reserves (or fund balances) are adequate to
cover the additional costs. (See attachment for official proposed appropriation.) (Continued
on next page.)
Resolution Ordinance X Other (Specify) Schedule
Funding Source: Grants Fees and Fund Balances in Various Funds
Approved for Submittal:
City Manager
STAFF RECOMMENDATION: Pass ordinance
COUNCIL ACTION: Read Ordinance by title only at the October 4, 2011 meeting.
151 - Public Safety Communications Fund -- No net use of reserves
• Increased 911 telephone costs $165,000
• Revenue - Interlocal Payment for Services - -911 $165,000
At the end of 2010 the County Commissioners had the option to raise the local 911 excise tax
from the current rate of $.50 to $.70. By exercising this option the local 911 would have not only
generated additional revenue to cover local expenses, the then current state funding
mechanism would remain in place, covering network expenses in Yakima County. The County
Commissioners elected not to implement the tax; therefore approx. $280,000 expenses were
shifted to the local 911 and to 2011 operating expenses. About $115,000 of the adopted 2011
budget could .be redirected toward this expense, so that the budget increase is only $165,000.
125- Community Relations Fund Total net use of reserves $95,000
o Local Match for IPSS Project $95,000
At the time the IPSS project was authorized limited funding sources had been secured;
however,. as part of the Interlocal Agreement, the City of Yakima and Yakima county agreed to
jointly cover all costs that were not ultimately secured from other sources. While the project is
not yet complete, many major milestones have been met allowing updated projected funding
estimates to be made. And since these funds may be required prior to the end of 2011, an
appropriation of these funds is necessary at this time. Total project costs are est. at $2.2M; the
city's portion of the unfunded and non= appropriated balance of these costs is approx. $95,000.
The city planned to cover their portion of these costs from the Community Relations Fund
balance; which contemplates technology improvements in communications. Current fund
balance is slightly over_.$900,000 at the beginning of 2011, assisting with the IPSS project would
be an acceptable use of these reserves.
392- Cumulative Reserve for Capital Imprvmt. Fund - No net use of reserves
• Lincoln Ave. Railroad Underpass project $4,000,000
• Revenue - Federal Hiway Administration Grant . $4,000,000
Council has been apprised of the cost overruns associated with the failure of the original
underground seal on the Lincoln Avenue railroad underpass project. After significant additional
research, the seal design was modified, and the new process resulted in a net change order of
approximately $4 million. Since funding was secured for both the Lincoln Ave and Martin Luther
King Blvd (MLK) underpasses, the. Federal Hiway Administration Grant could be redirected from
MLK to Lincoln Ave. Additional funding will need to be secured to complete the MLK project.
551 - Equipment Rental and Replacement Fund - Total net $100,000
• Replace damaged Refuse Truck $230,000
• Revenue - Insurance Reimbursement $130,000
Earlier this year, an, engine fire destroyed one of the City's Refuse trucks. The City's property
insurance carrier set the replacement value at $230,000. Since the program includes a
deductible of $100,000, we received $130,000 from the insurance company. We anticipate that
the truck will cost about $280,000 to replace, however savings on the two Refuse trucks
purchased earlier in the year will make up the $50,000 difference in the 2011 budget. Refuse's
balance in the Equipment Rental replacement fund will be sufficient to cover the deductible by
the end of 2012. The insurance carrier is conducting an investigation, and any recovery from a
third party will come first to the City to be applied toward the deductible.