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HomeMy WebLinkAbout2495 Supplemental Budget AppropriationsORDINANCE 094 AN ORDINANCE appropriating the sum of $9,321 to theCurrent Expense Fund, $11,431 to the Park Fund, $5,282 to the Water- Sewer Fund, amending the 1995 Budget, making findings and declaring an emergency. THE CITY COUNCIL OF THE CITY OF PORT TOWNSEND, upon review of the 1995 Budget, finds that it is appropriate and necessary to amend the 1995 Budget to make 'additional appropriations for certain expenditures which have become necessary and which could not have been anticipated at the time of adoption of the budget, specifically finding as follows: Special training in collaborative negotiations became necessary to enhance the success of labor agreement discussions with Teamsters Local 589. Shortage of available and appropriate meeting space required rental of a meeting room for labor agreement discussions with Teamsters Local 589. o Staff shortages required the use of contract stenography services to prepare minutes of City Council meetings. Staff shortages required retention of a contract testing examiner to conduct civil service testing for police officer positions. The appropriation for fire and liability insurance for City Hall. included in the 1995 Budget proved to be underestimated. 6. Emergency repairs were necessary to correct wind damage to City Hall. o It became necessary to reconfigure use of available office space on the first floor of City Hall, resulting in certain remodelling expenses. o Recreation pro~xns were expanded beyond levels anticipated in the 1995 Budget, requiting additional staff wage and salary expenditures. Inadequate appropriations were included in the 1995 Budget for the medical benefits and industrial insurance costs for recreation program employees. 10. Unanticipated failure of computer network file server equipment in the Utility Billing Department required replacement of failed components. 11. The amount appropriated for installation of a new receipt accounting system in the Utility Billing Department did not include sufficient wage and salary amounts for installation and debugging of the system. 7 THE CITY COUNCIL OF THE CITY OF PORT TOWNSEND IN REGULAR SESSION ASSEMBLED DOES ORDAIN AS FOLLOWS: Section 1. The sum of NINE THOUSAND, THREE HUNDRED AND TWENTY-ONE DOLLARS ($9,321) is hereby appropriated as a supplement to the 1995 Budget in the Current Expense Fund for the expenditures listed in Exhibit A, attached hereto, to be paid from reappropriation from the City Attorney and Contracted Services portions of the 1995 Budget, all as set forth in Exhibit A, attached hereto. Section 2. The sum of ELEVEN THOUSAND, FOUR HUNDRED THIRTY-ONE DOLLARS ($11,431) is hereby appropriated as a supplement to the 1995 Budget in the Park Fund for the expenditures listed in Exhibit A, attached hereto, to be paid fi'om increased estimates of certain revenues as set forth in Exhibit A, attached hereto. Section 3. The sum of FIVE THOUSAND, TWO HUNDRED AND EIGHTY-TWO DOLLARS ($5,282) is hereby appropriated as a supplement to the 1995 Budget in the Water- Sewer Fund for the expenditures listed in Exhibit A, attached hereto, to be paid fi.om an increased appropriation from the beginning fund balance as set forth in Exhibit A, attached hereto. Section 4. There is hereby found and declared to be an emergency requiting the foregoing amendments to the 1995 Budget. Section 5. This ordinance shall take effect upon its passage, approval, and publication in the form and'manner provided by law. Read for the fn'st time on Novem~95. Read for the second and third times, passed by the City Council and appm~~"tqT',q day of December, 1995. /~IVL Clise, Mayor Attest: Approved as to legal form: ORDINANCE ~ q~'- 2 (PORT TOWNSEND, 12/95) Exhibit A 1995 SUPPLEMENTAL BUDGET APPROPRIATIONS - ORDINANCE =,~;~ CURRENT EXPENSE FUND 513.100.41.488 513.100.41.488 513.100.45.427 516.100.49.458 519.500.46.431 519.500.48.436 519.500.48.436 515.200.41.411 528.600.51.507 UNANTICIPA TED EXPENDITURES City Administrator 010.02 Professional Services for Collaborative Negotiations Training 2,300 Professional Services for Council Minutes 2,100 Meeting Space Rental for Labor Contract Negotiations 350 Subtotal 4,750 Civil Service 010.35 Testing Services for Civil Services Police Examinations 2 200 Subtotal 2,200 City Hall 010.32 Fire & Liability Insurance exceeded estimated premium 1,060 Emergency Repairs (Flashing, window, etc.) 175 Expenses of reconfiguring office space exceeded estimates 1,136 Subtotal 2,371 Total Current Expense Fund Unanticipated Expenditures UNANTIClPA TED SA VlNGS City Attorney 010.03 Costs of outside legal counsel less than anticipated -3,667 Subtotal -3,667 Contractual Services 010.10 Dispatch Services agreement below budgeted amount -5,654 Subtotal -5,654 Total Current Expense Fund Unanticipated Savings 9,321 -9,321 Page 1 311.100.00 311.100.00 362.100.00 362.400.00 367.000.00 574.200.11.101 574.200.21.203 574.200.21.204 PARK FUND 130 RESOURCES Increase estimated tax revenues based on actual collections received year-to-date. Budget Revised . Additional Estimate Estimate Revenue Prope~yTax 120,000 120,980 980 Sales Tax 110,000 114,305 4,305 Leases/Rents 0 1,255 1,255 Moorage Fees 0 2,200 2,200 Puget Power Gmnt 0 2,691 2,691 Additional Resouroes 11,431 EXPENDITURES Park Recreation 130.47 Expanded recr. program increased wage & salary expense Recreation staff med. benefits not included in 1995 budget Recr. staff industrial ins. costs not incl. in 1995 budget Additional unanticipated expenditures 2 443 4 961 4,027 11,431 272.000.00 WATER-SEWER FUND 411 RESOURCES Increase appropriation of beginning fund balance. 5,282 UNANTICIPA TED EXPENDITURES Utility Billing 411.09 501.300.48.439 Emergency repairs to network file server. 2,947 501.300.11.101 Additional staff hours required to install and debug new computer-based receipt accounting system. 2,335 Total unanticipated expenditures 5,282 Page 2