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HomeMy WebLinkAbout09/20/2011 16 Grants, Taxes, Fees and Fund Balances in Various Funds; Budget Amendment and Appropriations BUSINESS OF THE CITY COUNCIL YAKIMA, WASHINGTON AGENDA STATEMENT • Item No. For Meeting Of September 20, 2011 ITEM TITLE: An Ordinance Amending the 2011 Budget and making Appropriations in various funds to provide for increased costs of fuel, jail contracts, street maintenance supplies, street light electric power, unexpected retirement cash -outs, along with new grant awards. 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. Additionally, the City has received notice of several grant awards that are planned to be spent in this current budget year. The attached appropriation is balanced by fund, with revenues equaling expenditures when additional • revenues are identified. Where revenues are not identified, the fund reserves are adequate to cover the additional costs. The following is a summary of the proposed budget adjustments, including the total net expenditure by fund, with additional revenue sources italicized: • 000 - General Fund — Police Total net $690,000 o Increased Yakima County Jail Costs $650,000 o Increased per gallon cost of fuel 40,000 • 131- Parks and Recreation Fund Total net $10,000 o Increased per gallon cost of fuel $10,000 Continued Resolution Ordinance X Other (Specify) Schedule I Funding Source: Grants, Taxes, Fees a Fund Balances in Various Funds Approved for Submittal: City Manager STAFF RECOMMENDATION: Read Ordinance by title only at the September 20, 2011 meeting. Pass Ordinance after second reading at the October 4, 2011 meeting. • COUNCIL ACTION: ' 1 • 141 - Streets and Traffic Engineering Fund Total net $99,600 o Increased per gallon cost of fuel $25,000 o Street maintenance materials 35,000 o Grant project - install 6 school zone flashing lights 54,600 o Electricity -new street lights coupled with timing of the switchout To energy efficient lighting 30,000 Revenue -Grant for School Zone flashing lights $45,000 ' • 150 - Emergency Services Fund Total net $50,000 o Unexpected Retirement benefit cash -out $50,000 • 152 - Police Grants Fund Total net $0 o Professional services — Narcotics Unit - $94,000 o . Revenue - Closeout of City /County Narcotics Unit $94, 000 • 471 - Refuse Operations Fund Total net $62,000 o Increased per gallon cost of fuel $62,000 o Grant - funded Tire Disposal Program $12,000 o Revenue -Grant for Tire Disposal program $12,000 Note: Grant was for a slightly larger amount —this is the Refuse Manager's estimate of what would be spent in 2011 —the balance will be included in the 2012 budget. • 462- Transit Operations Total net $50,000 o • Increased per gallon cost of fuel $50,000 • o Fuel for additional grant- funded service $50,000 o Temporary Salaries for additional grant- funded service $30,000 o Revenues: • JARC Grant $30,000 • WSDOT Grant $50,000 • 551 - Equipment Rental and Replacement Fund Total net $0 o Increased fuel costs - Diesel $237,000 o Revenue- divisional purchase of fuel $237,000 Note: Equipment Rental purchases most of the fuel used by the City fleet, therefore, the increased fuel costs must be budgeted both in this fund and the operating division funds. • 323 - Yakima Rev. Development Area Capital Fund Total net $0 o Preliminary Engineering -Fair Avenue extension $800,000 o Revenues: • Sales and Use Tax state credit -LIFT $300, 000 • SIED loan - Yakima County $500,000 Note: Council recently approved the rate of the state sales tax credit as authorized for the Local Infrastructure Financing Tool (LIFT). This credit was in effect 'as of July 1, 2011.. Since there is a two -month delay in the receipt of sales taxes from the State Department of Revenue (DOR), the City's first distribution should be received on September 30, 2011. Along with the approval of the sales tax credit, Council also approved the establishment of a new capital fund to account for the activity in the Yakima Revenue Development Area (YRDA). This appropriation populates the applicable accounts in this new fund. ORDINANCE NO. 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 costs of fuel, jail contracts, street maintenance supplies, street Tight electric power, unexpected retirement cash -outs, along with . new grant awards. 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 costs of fuel, jail contracts, street maintenance supplies, street light electric power, unexpected retirement cash -outs, along with new grant awards, 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 day of , 2011. MICAH CAWLEY, MAYOR ATTEST: CITY CLERK First Reading: • Publication Date: Effective Date: Cepperson 9/14/2011 • City of Yakima 2011 Appropriation Schedule 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 GENERAL FUND • Police 000.031.119.0000.52360.511 $650,000 Increased Yakima County Jail Costs • 000.031.113.0000.52120.320 $40,000 Increased per gallon cost of fuel Total Police and.General Fund $690,000 $690,000 • PARKS & RECREATION • 131.131.421.PK00.57680.320 $10,000 $10,000 Increased per gallon cost of fuel STREETS & TRAFFIC ENG FUND 141.141.521.0000.54230.320 $25,000 Increased per gallon cost of fuel 141.141.521.0000.54230.312 $35,000 Street Maintenance Materials • 141.133.525.0000.59564.640 $54,600 . Install 6 school zone flashing lights 141.133.116.0000.54263.471 $30,000 Electric -new street lights /timing re: energy efficient lighting $144,600 Streets & Traffic Eng- Revenue 141.133.525.0000.33403.5TS $45, 000 Grant - School Zone Flashing Lights Total Revenues • $45,000 EMERGENCY SERVICES 150.150.126.0000.52610.140 $50,000 $50,000 Unexpected Retirement Cash -out • POLICE GRANTS 152.152.112.0000.52120.410 $94,000 Professional Services- Narcotics Unit Total Expenditures $94,000 Police Grants- Revenue 152 -152 -112 -0000- 33221 -DEA $94,000 Closeout of City /County Narcotics Unit Total Revenues $94,000 . REFUSE OPERATIONS 471.471.212.R420.53780.320 $62,000 • Increased per gallon cost of fuel 471.471.212.R420.53780.490 _ $12,000 Grant - funded Tire disposal program Total Expenditures $74,000 Refuse Revenues 471.471.212.R420.33403.DOE $12,000 Grant -Tire disposal program, Total Revenues $12,000 . cje 9/14/2011 Page 1 of 2 City of Yakima 2011 Appropriation Schedule TRANSIT OPERATIONS 462.462.512.T642.54750.320 $50,000 Increased per gallon cost of fuel 462.462.512.T642.54750.320 $50,000 Fuel- additional Grant - funded service 462.462.512.7641.54780.112 $30,000 Temporary Salaries - additional Grant - funded service Total Expenditures $130,000 Transit Revenues • 462.462.512.T646.33320.5DT $30,000 JARC grant 462.462.514. T646.33403.6DT $50,000 WSDOT grant Total Revenues $80,000 . • • EQUIPMENT REPLACEMENT FUND 551.551.634.ER02.54848.344 $237,000 $237,000 Increased Fuel costs - Diesel Equipment Rental Revenues 551.551.634.0000.34850.320 $237,000 $237,000 Equipment Rental Revenue - divisional purchase of Fuel YAKIMA REV DEVELOP AREA FUND 323 - 323 - 322 - 2295 - 59510 -410 $800,000 Prelim. Engineering -LIFT Street Project -Fair Ave Extension Total Expenditures $800,000 YRDA Revenues 323.323.322.0000.31310.RDA $300,000 Sales and Use Tax Credit -YRDA 323.323.322.2295.39180.000 $500,000 SIEDLoan- Yakima County Total Revenues $800,000 • • • • cje 9/14/2011 Page 2 of 2 •