HomeMy WebLinkAbout1842 Supplemental Budget AppropriationAN ORDINANCE APPROPRIATING THE SUM OF $841,028
TO VARIOUS FUNDS AND DECLARING AN EMERGENCY.
THE CITY COUNCIL OF THE CITY OF PORT TOWNSEND, IN P~GULAR SESSION ASSEMBLED, DO
ORDAIN AS FOLLOWS:
Section 1. The following appropriations are here and hereby made as
supplemental to the 1979 budget of the City of Port' Townsend as described in
exhibit "A" attached hereto and made a part hereof as though fully set forth
herein.
Section 2. There is here and hereby found and declared to be an emergency
requiring the foregoing appropriations to the said 1979 budget cf the City of
Port Townsend.
Section 3. This Ordinance shall take effect upon its passage, approval
and publication in the form and manner provided by law.
Read for the first time September 18, 1979, and read for the second and
third times, passed by the Council and approved by the Mayor on October 2, 1979.
ATTEST:
City Clerk
APPROVED AS TO FORM:
EXHIBIT "A"
SUMMARY OF 1979 ESTIMATED EXPENDITURES
1979
ESTIMATE
FUND
Current Expense 733,354
Street 218,039
Library 75,242
Park 38,390
Arterial Street 82,0a0
Federal Shared Revenue 95,000
1959 Water Revenue Bond Redemption 23,618
1959 Reserve Account-Water Rev. Bond Red. 0
Water-Sewer 595,152
1956 Water Revenue Bond Redemption 116,000
1978 Water-Sewer Revenue Bond Redemption 24,750
1967 Water-Sewer Revenue Bond Redemption 54,538
1978 Water-Sewer Revenue Bond Red. Ser. B 74,513
Equipment Rental 106,755
Firemen's Pension & Relief 12,000
1956 Water Works & System Construction 0
Public Works Employment Act 0
1978 Water Construction 0
Transmission Line Replacement 0
CHANGE
REVISED
1979
ESTIMATE
126,496 859,850
4,500 222,539
9,000 84,242
0 38,390
0 82,000
8,719 103,719
0 23,618
25,000 25,000
0 595,152
0 116,000
0 24,750
0 54,538
0 74,513
0 106,755
0 12,000
0 0
1,365 1,365
0 0
665,948 665,948
TOTAL 2,249,351 841,028 3,090,379
1979
010 .CURRENT EXPENSE
REVENUES
301.00 Beginning Balance
313.00 Retail Sales and Use
316.47 Private Utility, Telephone
330.60 Motor Vehicle Excise Tax
330.70 Liquor Excise Tax
330.80 Liquor Board Profits
334.30 State Grant-Physical Envir.
342.10 Law Enforcement Services
343.75 Garbage
343.90 Misc. Charges for Services
351.80 Justice Court
351.82 Parking Fines
EXPENDITURES
521.00.11.11
521.00.12
521.00.13.01
521.00.13.04
521.0036.04
526.20.38
541.74.65
589.90.71
534.50.31
539.30.23.01
539.30.23.07
Extra Police
Overtime
Social Security
Industrial Insurance
Insurance
Ambulance Repair
Restroom Construction
Principal Loss
Garbage Collection
Building Materials
Small Tools
BUDGET CHANGES
BUDGET
ESTIMATE
128,954
140,000
14,000
%40,000
15,000
40,000
14,000
120,000
--0--
21,000
9,000
14,000
8,000
10,900
50O
1,600
--0--
--0--
--0--
100,000
300
50
CHANGE
(16,554)
10,000
2,000
14,000
2,000
8,000
10,000
85,000
5,000
1,400
4,000
1,650
126,496
85,000
2,000
5,100
1,000
1,550
196
15,000
3,000
13,000
600
5O
126,496
EXHIBIT "A"
REVISED
ESTIMATE
112,000
150,000
16,000
54,000
17,000
48,000
10,000
99,000
125,000
1,400
25,000
.10,650
98,000
10,000
16,000
1,500
3,150
196
15,000
3,000
113,000
900
100
120
301.00
333.70
389.90
LIBRARY
REVENUES
Beginning Balance
Federal Grant - CETA
Non Revenue (FSR)
1979 BUDGET CHANGES
BUDGET
ESTIMATE
6,162
0
10,000
EXPENDITURES
572.20.11
572.20.13
572.20.31
572.20.38.01
572.20.22.13
572.20.21
Salaries and Wages
Benefits
Legal Services
Building Repair and Maint.
Furnace Oil
Office Supplies
39,534
10,174
0
1,250
1,800
750
CHANGE
(2,942)
6,000
5,942
9,000
4,800
1,200
1,000
750
75O
50O
9,000
EXHIBIT "A"
REVISED
ESTIMATE
3,220
6,000
15,942
44,334
11,374
1,000
2,000
2,550
1,250
110
301.00
343.90
STREET
REVENUES
Beginning Balance
Charges for Services-Other
EXPENDITURES
542.31.23
542.63.37
Repair and Maint. Supplies
Street Lighting
35,239
13,500
15,000
34,375
(20,000)
24,500
4,500
14,500
(10,000)
4,500
15,239
38,000
29,500
24,375
1979
199 FEDERAL SHARED REVENUE
REVENUE
301.00 Beginning Balance
EXPENDITURES
572.00.11.08 Temporary and
541.61.65.01 Sidewalks
Hourly-Library
BUDGET CHANGES
BUDGET
ESTIMATE
21,496
10,000
0
CHANGE
8,719
8,719
5,942
2,777
8,719
EXHIBIT
REVISED
ESTIMATE
30,215
15,942
2,777
iiA ii
411 WATER-SEWER FUND
REVENUE
301.00 Beginning Balance
EXPENDITURES
534.30.64.14
534~40.65
501.00
Machinery
Construction Projects
Estimated Ending Cash
430,000
1,200
15,000
328,948
(5,804)
(5,804)
25,600
20,000
(50,404)
(5,804)
424,196
26,800
35,000
378,544
410
REVENUE
301.00
369.30
1959 WATER REVENUE
Beginning Balance
Contributions from
BOND REDEMPTION
23,766
Active Funds 0
(4,082)
4,082
19,684
4,082
1979 BUDGET CHANGES
BUDGET
ESTIMATE
409
REVENUE
301.00
1959 REVENUE BOND REDEMPTION RESERVE ACCOUNT
Beginning Balance
0
EXPENDITURES
519.80.71 Transfer to Bond Redemption
501.00 Estimated Ending Cash
0
0
CHANGES
25,000
25,000
4,082
20,918
25,000
EXHIBIT "A"
REVISED
ESTIMATE
25,000
4,082
20,918
191
REVENUE
301.00
361.10
P. W. E. A.
Beginning Balance
Investment Interest
EXPENDITURES
542.00.11 Equipment Trainee
0
0
0
1~322.34
41.87
1,364.21
1,364.21
1,364.21
1,322.34
41.87
1,364.21
418
REVENUE
301.00
369.30
TRANSMISSION LINE REPLACEMENT
Beginning Balance 0
Contributions from Water-Sewer Fund
EXPENDITURES
534.30.65 Bridge
501.00 Ending
Construction 0
Cash 0
650,948
15,000
665,948
700
665,248
665,938
650,948
15,000
700
665,248
310
.20
351
521 11
! to
521 36
526 38
5411 65
5891 71
539! 23
i
301 I
3~3 '! 70
389 90
572 11
to
13
572 31
572 38
572 22
572121
301
343 90
ARRAT IVE S HEE
Page 1
R E M A R K S
The beginning balance was over estimated, however our revenue estimates
were conservative and allowed enought tO offset this shortage. The
majority of increase is for law enforcement services because of the
additional ferry traffic controllers the State is reimbursing us for.
These increases are to cover the wages and benefits necessary for"the
ferry traffic controllers and overtime for police officers which was
underestimated due to the loss of the Hood Canal Bridge.
False arrest insurance was underestimated but deemed to be necessary.
When the ambulance was returned to the City, there was a limited amount
of repair cost over the sum donated by the Homer Smith Agency which was
necessary to put it back in operation as an aid car for the fire dept.
The contract tO construct public restrooms was an unforeseen expense when
the budget was passed.
This is to cover the loss of funds taken during the March robbery.
Building materials were purchased late in December of 1978 to finish the
improvements to the pound, but the bills were not received prior to the
close of the 1978 budget causing a budget overrun now.
The beginning balance was overestimated.
A C.E.T.A. Grant was awarded after the budget was passed.
It is proposed to cover the shortage in beginning balance and additional
appropriations for building maintenance, furnace oil, and office supplies
from Federal Shared Revenue.
The added appropriations for salarieS and benefits are proposed to cover
the C.E.T.A. Grant which was spent.
This is to cover the reimbursement made to the library board members for
legal costs incurred in defense of their part in the Wallin suit.
Due to cuts made in the preliminary budget and a new children's area be-
ing recently completed,additional appropriation is needed for building
maintenance and cleaning.
The price and consumption of furnace oil have increased beyond the limits
of the exsisting appropriation.
The need for more office supplies has resulted from the increased use of
the library materials.
The beginning balance was overestimated.
The street crew will be spending more time on the arterial streets than
was originally projected offsetting the shortage in beginning cash.
542 23
542 37
199 301
572 11
541 65
411 301
5~4.30.64
5114.41.65
5011
410 301
369 30
~09
191
ARRATIVE
S HE E T]~
Page 2
R E M A R K S
Roadway supplies were underestimated because improvements were necessary
relative to the State Highway improvement made to Sims Way at Kearney
and Washington Streets.
This reduction is possible because the appropriation was originally in-
creased in anticipation of a rate increase and new lights being added to
the system sooner.
The beginning balance was underestimated.
This appropriation was increased to meet'the emergencies outlined in funi
120.
Due to a need caused by a change in the school busing policy,'it is pro-
posed to spend additional funds of sidewalk construction.
The beginning balance was overestimated.
The ditch witch purchased in January by the Equipment Rental Fund was to
have been offset at the time by a transfer from the Water-Sewer Fund.
This transfer was not made in January as appropriated so a new appropria-
tion is necessary.
The apprbpriation covering the construction Of the garage building was
underestimated.
Ending cash has been reduced to offset the above increases.
Beginning balance was overestimated. It was determined late in 1978 thai
additional transfers from the Water-Sewer operating fund were not needed.
This replaces the shortage in beginning cash by drawing from the reserve
which will cover the remaining bonds outstanding.
This budget has been set up to authorize the transfer from reserves.
This budget has been set up to allow Robert Watkins Junior to remain on
the payroll beyond his C.E.T.A. maximum and closes the f~nd out.