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City of Port Townsend
2023 Supplemental #2 Detail
Description
Fund
Account Description
Supplemental
Budget #2
Request
2023 Expense
increase/
(Decrease)
Fund Balance
Jun 30, 2023
Fund Balance
after
Proposed
Supplemental
Change
Funding Source
Explanation
2023 CARES Grant #1
General Fund
Grant Revenue
(130,000)
130,000
AWC Public Safety Grant #1; Pass thru to EJFR
2023 CARES Pass Thru Grant to EJFR
General Fund
Grant Related Expense
130,000
(130,000)
AWC Public Safety Grant #1; Pass thru to EJFR
2023.2024 CARES Grant 42
General Fund
Grant Revenue
(25,000)
25,000
AWC Public Safety Grant #2; 1st reimbursement
2023 CARES Pass Thru Grant to E.lFR
General Fund
Grant Related Expense
25,000
(25,000)
AWC Public Safety Grant #2; 1st reimbursement
Consultant for Permit Fee study
General Fund
Professional Services
28,000
(28,000)
Fund Balance
HausMg Needs Study
General Fund
Professional Services
35,000
(35,000)
Fund Balance
2022,Banked Capacity for Streets Capital
General Fund
Transfer Out
304,000
(304,000)
Fund Balance
2022 Banked Capacity for General Capital Parks
General Fund
Transfer Out
91,000
(91,000)
Fund Balance
Approved in 2022 Budget
General engineering department operating costs
General Fund
Transfer Out
100,000
(100,000)
Fund Balance
New stafftraining and overhead
Evans Vista Clean Up
General Fund
Transfer Out
100,000
(100,000)
Fund Balance
Approved by Council autorization of bid award 5/14/23
Northwest Womens Leadership Train0i;
General Fund
Transfer Out
. .............
12,500
12,5W
_,�ransfer
to Engineering for t eadershnp T4 g oll
(670,500)
5,674,251
5,D03,751
Transfw, out for MEPS Assessment
ARPA
Transfer Out
13,600
(13,600)
Fund Balance
MEPS assessernent for Mountain View Campus Pool
Pool Roof repair;
Transfer out for Pool Roof Repair
ARPA
Transfer Out
91800
w (91,500)
Fund Balance
change funding source from Supp, #1 . ..........ww.
µ µ
(105,100)
1,967,138
1,862,038
Mountain View Golf Course Project
REET
Transfer Out
89,000
(89,000)
Fund Balance
Kearney Street Project
REET
— —
Transfer Out
— ................. .... -
135,000
(135,DtX)j
Balance
.... . . ....
. ....... .
(224,000)
1,164,867
940,867
En&ewng Development Review
Streets Operating
Professional Services
30,000
(30,000)
Fund Balance
Increased cost to trailer purchase
Streets Operating
Machinery & Equipment
7,000
(7,000)
Fund Balance
Stfe,ets StripL��_
ts Op. ra Rnq
caputat
8,wc
Fund Balance
...............
(45,000)
368,491
323,491
MEPS assessement for Mountain View Campus Pool
Facilities
Professional Services
13,600
(13,600)
ARPA
0ty Hall Fire Systern unspectwn corrections
Facilities
Repwr . . ..........
6,0W
Fund Balance
wwwwwwww
(19,600)
1,100,679
1,1381,079
2022 Banked Capacity for General Capital / Parks
General Capital
Transfer In
(91,000)
91,000
Cherry Street
General Capital
Transfer In
(76,000)
76,000
Bond Proceed
For Cherry Street preparation work
Mountain View Golf Course Project
General Capital
Transfer In
(89,000)
89,000
FEET
1 of3
Description
Fund
Account Description
Supplemental
Budget #2
Request
2023 Expense
Increase/
(Decrease)
Fund Balance
Jun 30, 2023
Fund Balance
after
Proposed
Supplemental
Change
Funding Source
Explanation
Evans Vista Clean Up
General Capital
Capital Improvements
100,000
(100,000)
General Fund
Approved by Council autorization of bid award 5/14/23
change from original request in Supp,H1;
Pool Roof Repair
. ............
General Capital
. ......
Capital Improvements
. .....
15,500
(15,500)
BEET
ARPA instead of BEET
140,500
415,497 555,997
2022 Banked Capacity for Streets Capital
Streets Capital
Capital Improvements
(304,000)
304,000
General Fund
2022 Banked Capacity
Kir,,trrrey Street Project
Streets Capital
Transfer In
(90,000)
90,000
REE(
REET for capital project
Kearney Street cairy forward 2022
............... . ......
Streets Cap6ra�
...... .
A[ " �rov n
ap�L�
�510 D
025,0001
REE'r/Granis
Canyfouward
269,000
1,294,241 1,563,241
Mountain View Golf Course Project
Fund 355 2018 GO Bonds
Transfer Out
j7(,000)
76,000
Fund Balance
Transfer to General Capital for Cherry Street
76,000
317,536 393,536
Boring Equipment
Water Sewer Operating
Equipment
8,000
(8,000)
Fund Balance
Old equipment failed. Purchased new boring machine.
Ascrihalt Repairs
Water Sewer Operating
Repairs
8,500
(8,500)
Fund Balance
19th Street and Washington Street crossings
Uttle Quil Meter Replacement
Water Sewer Operating
Equipment
7,400
(7,400)
Fund Balance
AcVvated Carbon
Water Sewer Operating
Supplies
7,000
(7,000)
Fund Balance
ReWaced 3 pumps
Water Sewer Operating
Repairs
9,000
(9,000)
Fund Balance
Engineering Development Review
Water Sewer Operating
Eng Dev Review
55,500
(55,500)
Fund Balance
LigiL*eNrip, DevOoprnent Review
Water Sewerfyperatiiar
Machimery & EquOment
45,000
Q45'000)
Fund Balance
(140,400)
4,259,984 4,119,594
Capital Surcharge funding for Water Projects
Water Sewer Capital
Transfer In
(490,000)
490,00()
Systern Development
Capital Surcharge funding for Sewer Projects
Water Sewer Capital
Transfer In
(766,000)
766,000
System Development
Discovery Road Project— Water Water Sewer Capital Capital Improvements
1.92,702
(1,92,702)
Fund Balance Carryforward
Water/Sewer
OGWS Meters Water Sewer Capital Capital Improvements
300,000
(300,000)
Operating Approved by Council autorization of bid award 8/21/23
Discovery Road Project_. Sewer Water Sewer Capital Capital Improvements
64,311
(64,311)
Fund Balance Carryforward
Land Purchase by Eaglemount Water Sewer Capital Capital Irnprovements
100,000
(100,000)
Fund Balance
Water Street repair design Water Sewer Capital Capital Improvements
602,000
(602,000)
. . ............... -- . . ......... ..........
SVstero Development Approved by Council autorization of bid award 5/15/24
(3,013)
50,087 47,074
- - ------
Discovery Road Storm Storm Operating Transfer
Out
92,680
(92,680)
Fund Balance
Lngdn!L�6ng NivcBoprnent Review Storm Operating Transfer Out
19,500
(29,500)
Fund Balance
.
. . ..... . ...... ----
(112,180)
. ....................
723,700 611,520
. .... .................
Funding for Water Projects Water Sewer Capital Transfer
In
490,000
(490,000)
Fund Balance Transfer
to utility capital fund
Funding for Sewer Projects Water Sewer Capital Transfer
In
766,000
................
(766,000)
Fund Balance Transferto utility capital fund
...........
2 of3
Description
Fund
Account Description
Supplemental
Budget #2
Request
2023 Expense
Increase/
(Decrease)
Fund Balance
Jun 30, 2023,
Fund Balance
after
proposed
Supplemental''
Change'
Funding Source
Explanation
(1,256,DOD)
2,389,740
1,133,740
F250 ww/diesel
ERR
M ach oneay & E quapamment
.......................
70,010
......._,_..... ..
....,... lM 000O
_.,,,.
_..Fund
to purchase now
Balance ,,,.,,...._... Due in ERR in 2024, chance...,.,._._._
_._.._ ..
www_.._,,,,.,.... _......,
(70,000)
2,289,485
2,219,485
Consultant for Permit Fee study
Public Works Admin
Transfer Out
�
7,000
Q7, )�
..
W
W Fund Balance
.. .........ww..,_.....,....._
..........
(7 )
251,346
244,346
'.General engineering department operating costs
Engineering
Transfer In
(100,000)
100,000
General Fund
re"ecthwwesh Womens lender trip `fir ysnMsml
fmtgdrtxerinp..
professional Services
12 500112
a 0D)
Ge neral Fund
87,500
71,281
158,781
9M