Loading...
HomeMy WebLinkAbout2725 Budget for 2000ORDINANCE NO. ¢2 "7 02 5 AN ORDINANCE adopting the budget for the City of Port Townsend, Washington, for the fiscal year ending December 31, 2000. WHEREAS, the City Manager of the City of Port Townsend, Washington, completed and placed on file with the City Clerk a proposed budget and estimate of the amount of the monies required to meet the public expenses, bond retirement and interest, reserve funds and expenses of government of the City for the fiscal year ending December 31, 2000 (the "2000 Preliminary Budget"), and a notice was published that the City Council would meet on the 6th and 13th of December 1999 at the hour of 6:30 p.m., at the Council Chambers in the City Hall for the purpose of making and adopting a budget for fiscal year 2000 and giving taxpayers within the city limits of the City an opportunity to be heard about the Preliminary Budget; and WHEREAS, the City Council did meet at City Hall on December 6, 1999 and December 13, 1999, and considered the matter of the 2000 Preliminary Budget; and WHEREAS, the 2000 Preliminary Budget does not exceed the lawful limit of taxation allowed by law to be levied on the property within the City of Port Townsend for the purposes set forth in the 2000 Preliminary Budget, and the estimated expenditures in each fund set forth in the 2000 Preliminary Budget are all necessary to carry on the government of the City for fiscal year 2000, and are all necessary to meet the various needs of the City during the period. NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF PORT TOWNSEND, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. The budget for the City of Port Townsend, Washington, for the fiscal year 2000, is hereby adopted at fund level as set forth in the document entitled "City of Port Townsend Annual Budget" three copies of which are on file with the City Clerk. Section 2. Estimated resources, including fund balances for working capital for each separate fund of the City of Port Townsend, and aggregate totals for all such funds combined, for the year 2000, are set forth in summary form below, and are hereby appropriated for expenditure at the fund level during the year 2000: FUND APPROPRIATION General $5,454,224 Drug Enforcement & Education 5,000 Contingency 0 Street 1,071,698 Lodging Tax 264,050 FUND Community Development Block Grant System Development Charges G.O. Debt Service LID #1 LID Guaranty Capital Improvement Water/Sewer Utility Stormwater Utility Solid Waste Utility Transmission Line Replacement 1978 Water Bond Redemption 1992/98 Water/Sewer Bond Redemption Equipment Rental Firemen's Pension GRAND TOTAL APPROPRIATION $0 324,000 190,701 42,700 16,755 845,600 6,622,559 355,866 1,112,662 150,000 23,500 656,930 339,441 62,000 $17,537,686 Section 3. The City Clerk is directed to transmit a certified copy of the City of Port Townsend 2000 Annual Budget to the Office of State Auditor and to the Association of Washington Cities. Section 4. This ordinance shall take effect upon its passage, approval, and publication in the form and manner provided by law. Read for the first, second, and third times and passed by the City Council of the City of Port Townsend, Washington, at a regular meeting thereof, held this Thirteenth day of December, 1999. CITY OF PORT TOWNSEND Forrest Rambo, Mayor Attest: ~"~,?~. .~ Pamela Kolacy, City Clerk Published: Approved as to form: Steven Olsen, Acting City Attorney CITY OF PORT TOWNSEND FUND SUMMARY 2000 BUDGET Beginning 2000 2000 Ending Fund # Description Balance Receipts Expenditures Balance 010 General Fund $ 278,028 $ 5,383,432 $ 5,385,842 101 Drug Enforcement 29,786 1,500 5,000 102 Contingency 0 62,455 0 110 Street 164,744 985,910 1,071,698 150 Hotel/Motel Tax 152,754 264,000 264,050 155 PEG Access Studio 40,080 69,600 68,382 190 CDBG 15,359 0 0 195 System Development Charges 0 324,000 324,000 200 G.O. Debt Service 98,091 185,250 190,701 264 LID #1 48,011 2,500 42,700 265 LID Guaranty 16,255 500 16,755 266 LID#2 1,031 0 0 301 Capital Improvement 283,641 613,494 845,600 411 Water/Sewer 1,130,761 6,080,672 6,622,559 412 Stormwater 99,364 430,406 355,866 413 Solid Waste 224,013 1,174,904 1,112,662 417 Transmission Line Replacement 2,631,993 145,000 150,000 419 1978 Water Bond Redemption 38,402 25,500 23,500 428 1992 WIS Bond Redemption 194,570 662,930 656,930 429 Public Works Trust Fund Construction Account 913,980 1,724,003 1,459,500 500 Equipment Rental 675,545 595,551 339,441 610 Firemen's Pension 173,904 24,027 62,000 Reconciliation of PW Trust Fund Construction (1,459,500) (1,459,500) $ 275 618 26 286 62 455 78 956 152 704 41 298 15359 0 92,640 7,811 0 1,031 51,535 588,874 173,904 286,255 2,626,993 40,402 200,570 1,178,483 931,655 135,931 Total $7,210,313 $17,296,134 $ 17,537,686 $ 6,968,761 Notes: 1. IThe P.E.G. Access Studio Fund shall be incorportated into the General Fund for fiscal year 2000. The ladjusted General Fund expenditures shall be $5,454,224 after consolidation. 12/07/1999 3:03 PM