HomeMy WebLinkAboutORD 5268CITY OF RENTON,WASHINGTON
ORDINANCE NO.5268
AN ORDINANCE OF THE CITY OF RENTON,WASHINGTON,
AMENDING THE CITY OF RENTON FISCAL YEAR 2007 ANNUAL
BUDGET AS ADOPTED BY ORDINANCE NO.5245.
'WHEREAS,on December 11,2006,the City Council adopted Ordinance 5245
WHEREAS,funds appropriated in 2006,but not expended in 2006 due to capital project
intenuptions and delays in invoice payments,need to be carried forward and approptiated for
expenditure in 2007;and
WHEREAS,adjustments and corrections made late in the 2007 budget process also
result in the need to amend the City of Renton's 2007 adopted annual budget;
NOW THEREFORE THE CITY COUNCIL OF THE CITY OF RENTON..................."'."....""...•.........•""..~"....."".,.,.
WASHINGTON,DOES ORDAIN AS FOLLOWS:
SECTION I.Ordinance No.5245 establishing the City ofRenton's 2007 Annual
Budget is hereby amended as follows:
-----~--~---_._---~._~---------------------------~-----_._~----------------~--_.---~-----_._-------,---------.~-~--.__._-----_..._----_._.__.-
ORDINANCE NO.5268
1.The General Fund (Fund 000)is hereby amended to reflect the following
appropriation amendments:
GENERAL FUND (Fund 000)
FY2007
REVENUES
New Revenue
Use ofPrior Year Revenue
Revenues
Original
2007 Budget
53,955,289
401,069
54,356,358
Amended
2007 Budget
53,955,289
775,257
54,730,546
o
374,188
374,188
54,356,358
54,356,358
54,356,358
.____~~,9QQ...__"_.
11,738
78,400
240,000
(14,450)
13,500
10,000
EXPENDITURES
Budget Appropriation
M~y~(s~Qf!i~~_.__.._._...._..
N6n~Departmenful
PIBIPW-Development Services
Police Department
Fire Department
PIBIPW -Teclmical Services
EDNSP
Total Appropriation
Expenditures
54,730,546
54,730,546
54,730,546
374,188
374,188
2.The Community Services Fund (Fund 00 1)is hereby amended to reflect the
following appropriation amendments:
COMMUNITY SERVICES FUND (Fund 0(1)
F:Y~2G07·········,
Original Amended
2007 Budget 2007 Budget
REVENUES
Use of Prior Year Revenue
Revenues
EXPENDITURES
Integrated Pest Management Program
Ex enditures
37,000
12,365,390
12,365,390
12,365,390
69,000
12,397,390
12,397,390
12,397,390
32,000
32,000
32,000
32,000
......._..__..•........__._._._._.._-___-__..•......•..........•••••....••___.._.-._.__._.._.._.._.__•..._..•....._..~._..__._.__--__..__.___._,
2
ORDINANCE NO.5268
3.The Library and Museum Fund (Fund 006)is hereby amended to reflect the
following appropriation amendments:
LIBRARYIMUSEUM FUND (fund 006)
FY2007
Original Amended
2007 Budget 2007 Budget
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
2,062,012
o
2,062,012
2,062,012
12,066
2,074,078
o
12,066
12,066
EXPENDITURES
Correction to Intennittent Wages
Expenditures
2,062,012
2,062,012
2,074,078
2,074,078
12,066
12,066
following appropriation amendments:
LEASED CITY PROPERTIES FUND (Fund 108)
FY 2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
960,899
o
960,899
960,899
96,854
1,057,753
o
96,854
96,854
EXPENDITURES
Tennant Improvements /Property Mgmnt 703,521 1,057,753 354,232
Ending.FundBalance ...:;;;;;;;;"'".;;;;"..~..•;;;;:-2;;;.;5;;.;;.7;l,;;.,3;.;;.7;.;:.8====.•.;;;;;.;;..;;.;0.;;;;:".....;......;.....;......;...(.::i,;;;2;.;;:.5;;.i7,:.;;;;37;.;;.8~n
Expenditures 960,899 1,057,753 96,854
5.TheHotel/Motel Fund henebv amended to reflect the toll.owmg._._<_._..._..
appropriation amendments:
HOTEUMOTEL FUND (Fund.ll~)_
FY2007
Change
I Original I Amended r-------
I ',!2007 Budget !2007 Budget I
I I
IRevenues I 255,000 !295,000 I 40,000
3
ORDINANCE NO.5268
6.The One Percent for Arts Fund (Fund 125)is hereby amended to reflect the
following appropriation amendments:
ONE PERCENT FOR ART FUND (Fund 125)
FY2007
Original Amended
2007 Budget 2007 Budget
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
60,000
o
60,000
60,000
60,000
60,000
24,560
84,560
84,560
84,560
o
24,560
24,560
24,560
24,560
Change
7:The Cable Communication Fund (Fund 127)ishereby·amended.to.reflect·the
following appropriation amendments:
CABLE COMMUNICAnON FUND (Fund 127)
FY 2007
Original Amended
2007 Budget 2007 Budget
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
~..
38,900
40,000
78,900
78,900
78,900
38,900
138,148
177,048
177,048
177,048
o
98,148
98,148
98,148
98,148
8.The Park Memorial Fund (Fund 131)is hereby amended to reflect the following
PARK MEMORIAL FUND (Fund 131)
FY2007
Original Amended
2007 Bndget 2007 Budget Change
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Ending Fund Balance
Ex enditures
4
205,800
260,000
o
260,000
o
54,200
54,200
54,200
o
(205,800)
(205,800)
54,200
(205,800)
ORDINANCE NO.5268
9.The Community Development Impact Mitigation Fund (Fund 303)is hereby
amended to reflect the following appropriation amendments:
COMMUNITY DEVELOPMENT IMPACT MITIGATION FUND (Fund 303)
FY 2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
255,000
845,000
1,100,000
255,000
456,038
711,038
o
(388,962)
(388,962)
EXPENDITURES
Reduce Appropriation
Expenditures
1,100,000
1,100,000
711,038
711,038
(388,962)
(388,962)
464,400
o
464,400
600,000
2,900,000
3,500,000
600,000
2,435,600
3,035,600
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
...__.___.JQL .._~IbJ;~_I[ansp.QIj;atioJlImp'lcLMitigation.Eund.(Fund3Q5Jjs.~~r.e.hy.amendedJQ _...-.
reflect the following appropriation amendments:
TRANSPORTATION IMPACT MITIGATION FUND (Fund 305)
FY 2007
Original Amended
2007 Budget 2007 Budget
EXPENDITURES
Budget Appropriation
EXP~ndimre.a"..."
3,035,600 3,500,000 464,400
11.The Municipal Facilities Capital Improvement Fund (Fund 316)is hereby
amended to reflect-thefeHowing'appropriation'amendments:
MUNIClPAt FACILITIES CAPITAt IMPROVEMENT FUND (Fund 316)
...FY2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue 4,232,000 3,583,038 (648,962)
-Bse-of~PTior-:Year Revenue-.------~-_..-8+8;491-'--~'J;H5;8i 0-'-2;2<:>7-;-3-1-3-~...
Revenues 5,050,497 6,698,848 1;648;35-1
EXPENDITURES
2006 Projects Carry Forward....."SprmgoroOK Ti-air··..········
Expenditures
5
3,450,500 5,987,810 2,537,310
.1:·599:9"97··········....."7TDf38 ·········..·-{888;959)1-
5,050,497 6,698,848 1,648,351
ORDINANCE NO.5268
12.The Transportation Capital Improvement Fund (Fund 317)is hereby amended to
reflect the following appropriation amendments:
TRANSPORTATION CAPITAL IMPROVEMENT FUND (Fund 317)
FY 2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
2006 Projects Carry Forward
Expenditures
17,989,100
5,113,000
23,102,100
23,102,100
13,102,100
29,232,715
6,995,585
36,228,300
36,228,300
36,118,300
11,243,615
1,882,585
13,126,200
13,126,200
13,126,200
~,___.J~.:.._Ib.~_~9..mh.1~~}YAJnf~~$1rnct!lS~.P!.9j~Qtt!!llg~(fyJlg..~U~)j§Jl~@Qyc-'!m~1l.4~gJQ _.
reflect the following appropriation amendments:
SOUTH LAKE WA INFRASTRUCTURE PROJECT FUND (Fund 318)
FY2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
2,892,400
10,421,527
13,313,927
7,925,220
8,946,089
16,871,309
5,032,820
(1,475,438)
3,557,382
EXPENDITURES
2006 Project Carry Forward
E~p~p,djJ1,l.r~~.........
13,313,927 16,871,309 3,557,382
14.The Solid Waste Utility Fund (Fund 403)is hereby amended to reflect the
······following·appropFiation··amendments :...............
SOLID WASTE FUND (Fund 403)
I
FY 2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue 9,565,(H6 9,565,016 0
.~Use·{)f-Pri0r Year-Revenue---··-_....1-;3~2-,619·--·l;4·H-;+72--_."64;4-93-'-~--
,···Revenues ----10,917,695 '10,982,188'64,493-
EXPENDITURES
Budget Appropriation 10,917,695 10,982,188 64,493
.."Eipendittires""...-10;917~695""lU;9'82;Unr--~-~-.64~493",.....
6
ORDINANCE NO.5268
15.The Municipal Golf Course Fund (Fund 404)is hereby amended to reflect the
following appropriation amendments:
MUNICIPAL OOIF COURSE FUND (Fund 404)-.--.------1
FY2007
!Original I Atrended
_.-I I 2007 Budget I 2007 Budget I Change
~e~"ue !2,464,465!-2;i64-:46s+'-'--'--O
Use ofPrior Year Revenu;-'------1 0 1 19,140 I -19)"40-
---fR~-;;;';~;------··-------_··I 2,464,465 I 2,483,605 I 19,140
~;~~-=~:::~~:··=:=:·==---:~-=·=:~L~.=:=.=::=::::::·:=r=---=:=.:=:=:.f::=-:::=~~=~::-·
~11~~<:~.~PJ?~R~~~?!1.I 2,464,465 i 2,483,605 I 19,140
!E1:pendifures-1 2,464>465 !2,483,605 I 19,140
16.The Water Utility Fund (Fund 405)is hereby amended to reflect the following
appropriatiOriamendmenfs :
WATER OPERAnONS FUND (Food 405)
FY2oo7
Original Amended
2007 Budget 2007 Budget
REVENUES
New Revenue
Revenues
EXPENDITURES
Budget Appropriation
Ending Fund Balance
Expenditures
8,273,500
8,273,500
8,004,629
268,871
8,273,500
8,273,500
8,273,500
8,022,879
250,621
8,273,500
Change
o
o
18,250
(18,250)
o
Change
17.The Airport Capital Improvement Fund (Fund 422)is hereby amended to reflect
...~~e foll()Vifin~aIJP:()p~~~!i.()J:l_~~en~~eJ:lts:.
AIRPORT CAPITAL IMPROVEMENT FUND (Fund 422)
FY 2007
Original Amended
2007 Budget 2007 Budget
REVENUES
New Revenue
Revenues
EXPENDItURES'
Budget Appropriation
Carryforward reallocation
...E~l!engjjyres.__._..
7
1,500,000
1,500,000
1,500,000
1,5.0.0,0.00
1,500,000
1,500,000
1,500,000
o
o
342,914
(342,914)
ORDINANCE NO.5268
18.The Municipal Golf Course Capital Improvement Fund (Fund 424)is hereby
amended to reflect the following appropriation amendments:
MUNICIPAL GOLF COURSE CAPITAL IMPROVEMENT FUND (fund 424)
FY2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
154,000
26,000
180,000
180,000
180,000
154,000
36,266
190,266
190,266
190,266
o
10,266
10,266
lO,266
10,266
19.The Water Construction Fund IS he]:,ebv amended to reflect the
following appropriation amendments:
WATER UTILITY CONSTRUCTION FUND (Fund 425)
FY2007
Original Amended
2007 Budget 2007 Budget
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
8,780,000
o
8,780,000
8,780,000
8,780,000
8,780,000
169,500
8,949,500
8,949,500
8,949,500
o
169,500
169,500
169,500
169,500
20.The Waste Water Utility Construction Fund (Fund 426)is hereby amended to
refl.ect the following appropriation amendments:
WASTEWATER UTILITY CONSTRUCTION FUND (Fund 426)
FY2007
Originill Amended
2007 Budget 2007 Budget
REVENUES
New Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
8
2,625,000
2,625,000
2,625,000
2,625,000
6,140,000
6,140,000
6,140,000
6,140,000
3,515,000
3,515,000
3,515,000
3,515,000
ORDINANCE NO.5268
21.The Surface Water Utility Construction Fund (Fund 427)is hereby amended to
reflect the following appropriation amendments:
SURFACE WATER UTILITY CONSTRUCTION FUND (Fund 427)
FY 2007
Original Amended
2007 Budget 2007 Budget Change
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
2,300,000
o
2,300,000
3,880,000
1,000,000
4,880,000
1,580,000
1,000,000
2,580,000
EXPENDITURES
Budget Appropriation
Expenditures
2,300,000
2,300.000
4,880,000
4,680,000
2,580,000
2,580,000
o
232)79
232,179
3,588,900
1,011,059
4,599,959
3,588,900
778,880
4,367,780
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
22.The Equipment Repair and Replacement Fund (Fund 501)is hereby amended to
____-'.~__..,~.~_~•._.._,,__~_,.,__,~__•,_.._._~~_••_~_/A.__~•.._.__~_,~_.~__~~~_._..~,,~_.~_.__..~~__~~_~_.,_._,•.~__•._•._.__,_.~_.._v__·_.._~·_·_~~_··,/__,__~__~.,~~_..,~_.•-.,_.y-.•..._.~._-----~--,-_.~.~-~
reflect the fonowing appropriation amendments:
EQUIPMENT REPAIR &REPLACEMENT FUND (Fund 50l)
FY2007
Original Amended
2007 Budget 2007 Budget
EXPENDITURES
Budget Appropriation
Expenditures
4,367,780
4,367,780
4,599,959
4,599,959
232,179
232,179
..
..
Change
23.The Information Services Internal Services Fund (Fund 503)is hereby amended
...JQr~flect th.e follg)Y!!),gJH2PfQpri/;l.tiQll /;l.l11~11<1111~!1t§~....
INFORMATION SERVICES FUND (Fund 503)
....FY2007.
Original Amended
2007 Budget 2007 Budget
REVENUES
New Revenue 3,643,191 3,643,191 0
Use of Prior Year Revenue 434 729,734 729,300
'~-'-...-..--.•---.-----.......-_.~.._~--_..-_..-..----.,.-----,---,.,-,-'----........~~_t-
Revenues 3,643,§25 .4J72,925 729,3()()
EXPENDITURES
Budget Appropriation
...Expenditures ~..
3,643,625
3,643,625 _.
4,372,925
4,312,925
729,300
9
SECTIONn.
ORDINANCE NO.5268
A list of all individual budget adjustments and descriptions are
hereby attached as Attachment A and are available for public review in the Office of the City
Clerk,Renton City Hall.
SECTIONnI.This ordinance shall be effective upon its passage,approval,and
five (5)days after publication.
PASSED BY THE CITY COUNCIL this 19th dayof_......M;..;;.;.a.;::...r..:...;ch......,2007.
Bonnie 1.Walton,City Clerk
APPROVED BY THE MAYOR this -=-::.-=-=_day of __---"-"M=a=.r=cho,,-.,2007.
Date 6fPllblicati6Ii:3/24/2007 (summ<:iry)
ORD.1338:3/14/07:ma
10
ORDINANCE NO.5268
Title and Description
General Fund -Correct 2007 Budget
1 Add one FTE for a Code Compliance Inspector (PBPWfDevelopment Svcs)
Salary and benefits for one FIE Code Compliance Inspector.
Attachment A
Amount
78,400
2
3
4
5
Change effective date for 2 FTE's -patrol officers -to 1/1/07 (police)
Preliminary budget included two patrol officers effective 7/112007,additional salary and
benefits.This correction changes the start date to 11112007.
Increase Overtime for Neighborhood Traffic Enforcement Program (Police)
Increase overtime budget for a neighborhood traffic enforcement pilot program and crime
reduction emphasis.
Capital Ontlav for Vehicles (police &Fire)
Department budgets included funding for new vehicles;however,the vehicles will be
purchased out of Fund 501 Equipment Repair &Replacement
&P~:..!!!~~~!!!!!t~!l!;!!m]!!!!(EDNSP)
Replace the City's BBQ for the Neighborhood Program.
120,000
150,000
(64,200)
10,000
General Fund -Carr)1'orward
6 Community Relations Contract (Mayor's Office)
Contract with PRR for annexation outreach -extended into 2007.
25,000
7
8
9
EIS Consultants (Non-Departmental)
Consultant funds for Boeing Renton Plant Sub-District lA Revenue.
Capital Outlay (Fire)
The order confirmed in October 2006 was delayed due to the manufacturers production
problems.Final delivery and invoicing completed in January.
Professional Services (Technical Services)
Final bill paid in January for aerial update work performed in 2006.
General Fund (Fund 000)Total $
21,738
19,750
13,500
374,188·1
COIl1Il11lJ1ity Services FUnd ..Caffj1'orwafd
10 Integrated Pest Management Program (Community Services)
Consultant is finalizing plan.
Community Services Fund (Fund 001)Total $
Librar)'lMuseum Fund -Correct 2007 Budget
11 Museum Intermittent Salaries and Benefits (Community Services)
Budget correction to reinstate intermittent wages for the Museum base budget Tlus was
previously included in the Library's budget,and was overlooked in 2006 when the new
Museum division was formed.
Library/Museum Fund (Fund 006)Total $
10f 9
32,000
32,000 I
12,066
12,0661
ORDINANCE NO.5268
Title and Description
Leased City Properties Fund -Carryforward
12 Property Management Services (Community Services)
Final reconciliation for 2006 with Property Manager in progress.Revenue and
eXl'enditures will be processed in 2007.
13 Tenant Improvements-200 Mill (Community Services)
For tenant improvements required in 2007.
Leased City Properties Fund (Fund 108)Total
Hotel/Motel Fund -Correct 2007 Budget
14 Marketing (EDNSP)
Council authorized an additional $15,000 for a total of $150,000 for 2007.
15 Tourism (EDNSP)
Council authorized an additional $10,000 for a total of $130,000 for 2007.
HotellMotel Fund (Fund 110)Total
OnePercent for Arts Fund -Carryforward
16 1%for Arts (Community Services)
To complete projects for the Aquatic Center and Heritage Park started in 2006.
One Percent for Arts Fund (Fund 125)Total
Cable Communication -Carryforward
17 Cable Commnnication (City Clerk)
To complete franchise renewal cable consultant contract started in 2006.
One Percent for Arts Fund (Fund 125)Total
Park Memorial Fund -Changes to 2007 Budget
18 Transfer to Fund 316 (C{)1ll11lllllityS~1Yict:l$)
Bids for Springbrook Trail project in Fund 316 is below estimate.
19 Ending Fund Bala.nce 316 (ColIllIl1lnity Services)
Increase to ending fund balance.B149
Pa.rk Memorial Fund (Fund 131)Total
Community Development Impact Mitigation Fund -Changes to 2007 Budget
20 Transfer to Fund 316 (Community Services)
Bids for Springbrook Trail project in Fund 316 is below estimate.
Community Development Impact Mitigation Fund (Fund 303)Total
Transportation Impact Mitigation Fund -Carryforward
21 Transfer to Fund 317 (PBPWlTransportation)
Transfer to Fund 317.
Transportation Impact Mitigation Fund (Fund 305)Total
20f 9
$
$
$
$
$
$
$
Attachment A
Amount
237,276
116,956
354,2321
15,000
10,000
25,000 I
24,560
24,560 I
98,148
98,1481
(260,000)
54,200
(205,800)1
(388,962)
(388,962)1
464,400
464,400 I
ORDINANCE NO.5268
Title and Description
Municipal Facilities CIP Fund -Changes to 2007 Budget
22 Springbrook Trail Missing Link (Community SelVices)
Reduce budget for a total of$711,038,resulting in budget savings of $888,959.A total
of $388,962 will be returned to Fund 303,$260,000 will be returned to Fund 131,and
$240,000 \"ill be used to fund other projects listed.
23 Tree Maintenance (Community Services)
Equipment rental for pruning,removal,and replacement of 30 trees ..Savings from
Springbrook Trail project.
24 Pavement Reuair Program:Parking and Drh'es (Community SelVices)
Root prune trees,patch asphalt,crack seal,sealcoat and stripe Coulon Park Soutll
Parking Lot and Renton Senior Activity Center.Savings from Springbrook Trail project.
25 Pavement Repair Program:Trails,Walks and Paths (Community SelVices)
Walkway removal and repair at Cedar River Park,Jones Park and the Main Library.
Savings from Springbrook Trail project.
Municipal Facilities CIP Fund -Carryfonvard
26 Grant Matching Funds (Community Services)
Property acquisition with grant match.Potential grant match for Panther Creek property
and Sam Chastain Waterfront Trail.
27 Heather Downs (Community Services)
To complete new park construction under contract.
28 Tiffany Park Recreation Building (Community Services)
.-To continue project notcompleted i02006:
29 Major Maintenance Parks (Community Services)
Pmje<;ts ID1deI.~Qwa5<tjn<;lude;Co.ulon Park~tmPtUJ:alrepaiI work $109,823;.Ce.claI:
River Trail Gabion Study $18,570;Kennydale Lions Playground $19,855.
30 MajotMainrenance Operational Facilities {Community Services)
Project savings to Tiffany Park Recreation Building.
31 Major Maintenance Public Facilities (Community Services)
Consultant services to prepare a Library Master Plan and Cross-use Study \\'ith KingCOillity-Lim-ary System.·~----_.._.._...---..----_.~-
32 Major MaintenancePublic Facilities (Community Services)
Carryfonvard for ongoing eIP projects including ADA Rec Building Upgrade,and
Tiffany Park Recreation.Building Project.
33 Major Maintenance Leased Facilities (Community Services)
Museum lighting retrofit,and 200 Mill Building elevator rehabilitation.Final approval
for elevator work not completed.
3 of 9
Attachment A
Amount
(888,959)
32,000
58,000
150,000
300,000
307,785
276,371
148,248
21,240
127,804
435,519
50,517
ORDINANCE NO.5268
Title and Description
34 Pavement Repair Program (Community Services)
Contract to complete Tiffany Park sidewalk construction.
35 Parks Long Range Plan (Conununity Services)
Consultant under contract for Comprehensive Plan Update.
36 Citv Neighborhood Beautification (Community Services)
Consultant services to prepare Urban Forestry Strategic Plan.
37 Museum Major Maintenance (Conununity Services)
Carryforward for the Mezzanine project at the Museum.
38 Major Maintenance Leased Facilities (Community Services)
Balance for the Mezzanine project at the Museum.
39 Cedar RiverTrail Extension (Community Services)
Funding is needed for environmental studies,surveying,easement procurement,and
contract document preparation.
40 Hen"Moses Aguatic Center Lighting (Community Services)
Final billing in process.
41 Reg!s Park Athletic Field EXJ}ansion (Community Services)
Design consultant under contract for Madsen Creek flooding improvements.
42 South Lake Washing!on Redevelopment (EDNSP)
Work is continuing in 2007.The includes a transfer of $59,811 from the Higblands
Redevelopment project
43 Highlands Redevelopment (EDNSP)
Work is continuing in 2007.The remaining balance moved to South Lake Washington
Redevelopment project.
Municipal.Facilities .CIP .Fund .(Fund.316)Total
Tra.llsporhltion CIP FlInd -Ca.rryforWa.rd
44 Walkwav Program (PBPW -TIP)
This is an ongoing program for 2007.
45 Loop Replacement Program (PBPW -TIP)
This is an ongoing program for 2007.
46 Pole Program (pBPW -TIP)
Tills is an ongoing program for 2007.
47 Bridge Inspection and Repair (pBPW -TIP)
Carryforward to complete bridge inspection which was delayed due to weather
conditions.
48 Missing Links Program (pBPW -TIP)
Carryforward to complete the 2006 program.
4 of 9
$
Attachment A
Amount
37,099
41,072
21,520
10,747
15,.000
218,018
49,945
100,000
86,425
50,000
1,648,351·1
23,000
15,000
9,000
150,000
28,000
ORDINANCE NO.5268
Title and Description
49 Trans Concurrency (pBPW -TIP)
Project data collection delayed to 2007.
50 Street Overlav Program (pBPW -TIP)
This is an ongoing program for 2007.
51 Sign Replacement Program (pBPW -TIP)
This is an ongoing program for 2007.
52 Traffic Safety Program (PBPW -TIP)
Carryforward to complete the 2006 program.
53 Duvall Avenue NE (pBPW -TIP)
Construction of this project was delayed to 2007.
54 Duvall Avenue NE (pBPW -TIP)
Transfer to TIP #12301 SunsetJDuvall Intersection.
55 SW Gradv/SR 167 to Sr 515 (PBPW -TIP)
Project delayed to 2008.
56 Traffic Efficiency Program (PBPW -TIP)
The upgrading of signal controllers will continue in 2007.
57 Bicvcle Route Dev.Program (PBPW -TIP)
Bicycle route study to be completed in 2007.
58 SR 169 HOV -140tb to SR900 (pBPW -TIP)
Construction has been delayed to 2007.The removal of the Parks Maintenance Facilities
has been moved forward from 20 10 to 2007.
59 NE 3rdINE 4th Transit (pBPW -TIP)
This project has been delayed to 2008.
60 CBD Bike &Ped.Connections (PBPW ..TIP)
Carryforward to complete the 2006 program.
61 Emironmental Monitoring (pBPW -TIP)
Replanting of wetland vegetation of phase 2 of Oaksdale moved to 2007.
62 NE 4th SflHoqlliam All NE (pBPW -TIP)
Construction delayed to 2007.
63 Strander Bv/SW 27th Phase 1 Seg 1 (pBPW -TIP)
Carryforward to close out project.
64 Duvall Ave NE-King County (pBPW -TIP)
Carryforward increase 2007 program.
5 of 9
Attachment A
Amount
40,000
121,000
1,200
96,000
1,996,000
(430,000)
(48,000)
5,000
14,500
5.870.000
(100,000)
43,000
23,000
347,000
50,000
3,038,000
ORDINANCE NO.5268
Title and Description
65 Sunset/Duvall Intersection-HES (PBPW -TIP)
Carryforward increase 2007 program.
66 Rainier Av -SW 7th to 4th PI (PBPW -TIP)
The railroad bridge construction has been moved to 2007.
67 Rainier Av -S 4th to S 2nd (PBPW -TIP)
The schedule has been revised.
68 Hardie Av SW TransitlMulti-modal (pBPW -TIP)
The railroad bridge construction has been moved to 2007.
69 May Creek Bridge Replacement (PBPW -TIP)
Carryfonvard to complete the design of bridge in 2007.
Attachment A
Amount
430,000
450,000
500,000
700,500
107,000
70
71 Garden Ave Widening (PBPW -TIP)
Design and construction to start in 2007.Project completion delayed to 2008.
Transportation CIP Fund (Fund 317)Total
So Lake WA Infrastructure Project Fund -Carryforward
72 So Lake WA Roadwav Improvements (PBPWlTransportation)
Planned multi-year project.
So Lake WA Infrastructure Project Fund (Fund 318)Total
Solid Waste Utility Fund -Correct 2007 Budget
73 Interfund Charges (pBPWI Solid Waste
Increase funding for interfund charges not paid in 2006.
Solid Waste Utility Fund (Fund 403)Total
Municipal Golf Course Fund ..Carryforward
74 Professional Services (Community Svc/Golf Course)
Carryforward for water rights legal fee appropriation.
Municipal Golf Course Fund (Fund 404)Total
Water Utility Fund ..Carryforward
75 Capital Outlay (PBPW/Water Utility)
Project to furnish and install a "Micro at Source Transfer control s\vitch"at wells 1,2,
and 3 waS completed in January 20m.
76 Ending Fund Balance (PBPWlTransportation)
Funding to be used for capital outlay.
Water Utility Fund (Fund 405)Total
6 of 9
$
$
$
$
(500,000)
13,126,200 I
3,557,382
3,557,3821
64,493
64,4931
19,140
19,140 I
18,250
(18,250)
18,250 I
ORDINANCE NO.5268
Title and Description
Airport Capital Fund -Carryforward
77 AirsidelLandside Separation Project (PBPW!Transportation)
Final payment pending punch list items being completed by contractor.
78 Airport Layout Plan (pBPW!Transportation)
Project not completed in 2006.In the process of holding public meetings to determine
plan.
79 Maintenance Dredging and Shoreline Mitigation (PBPW!Transportation)
Engineering and pennitting not completed in 2006.
80 Airport Entrance Rehabilitation (pBPW!Transportation)
Billing for 2006 not completed.
81 Capital Project (PBPW!Transportation)
Reallocation for carryforward items.
Airport Capital Fund (Fund 422)Total
Golf Course Capital Fund -Carr}forward
82 Golf Course Major Maintenance (Community Services)
Project delay due to door hardware delivery problems and weather.
83 Golf Course Major Maintenance (Community Services)
Final invoice for exterior painting not received until January 2007.
Golf Course Capital Fund (Fund 424)Total
Water Utility ConstructionFund-Carryforward
84 Maplewood Water Rights Compliance (PBPWlUtility Systems)
To complete projects started in 2006.
$
$
Attachment A
Amount
166,742
128,109
26,201
21,862
(342,914)
-I
7,366
2,900
10.2661
26,000
85 30,000
Payments to developers to complete projects started in 2006.
86 Water Telemetry SYstems Improvement (pBPWlUtility Systems)
To complete projects started in 2006.
87 Water System Plan Update (PBPWlUtility Systems)
To update sections ofthe 2006 Water System Plan.
Water Utility Construction Fund (Fund 425)Total
Waste Water Utility Construction Fund ...Carryforward
88 Sanitan:Sewer Main Extension (pBPWlUtility Systems)
$500,000 for construction;Oversizing $350,000 for payment towards the Wedgewood
Lift Station.
70f 9
$
13,500
100,000
169,500 I
2,175,000
ORDINANCE NO.5268
Title and Description
89 Sanitarv Sewer Main Replacement/Rehabilitation (PBPWlUtility Systems)
WSDOT 1405 $10,000 for staff costs;Shattuck Re-line $350,000 for construction;
Landing $10,000 for staff costs;Earlington Sewer E:\iension $800,000 for construction;
Renton Center Extension $150,000 for construction.
90 Long Range WW Management Plan (pBPWlUtility Systems)
Staff costs to complete the plan in 2007.
Waste Water Utility Construction Fund (Fund 426)Total
Surface Water Utility Construction Fund -Carryforward
91 Surface Water Utility System Plan (PBPW/Utility Systems)
To fund completion of contract started in 2006.
92 Small Drainage Projects Program (PBPWlUtility Systems)
to fund and construction in progrel;S.
93 Lower Cedar River Sediment Mgmt Plan (PBPWlUtility Systelns)
To fund City share of final design,permitting and construction of Spawning Channel
Replacement Project,if Anny Corps of Engineer obtains their funding for the project.
94 Wetland Mitigation Bank Proiect (PBPWlUtility Systems)
To fund City share of project cost.
95 Renton Storm water Manual (PBPWlUtility Systems)
To fund completion of contract for development of Manual that was approved in 2006.
96 Springbrook CreekFEMAFloodplainMap(pBPW/Utility Systems)
To fund completion of contract to update the Springbrook Creek floodplain map that is
currently being reviewed by FEMA.
97 Green Riyer Watershed Ecosystem Study (PBPWlUtility Systems)
To fund design and penuitting ofproj~t start(\(j in 2006.
98 N 26th St &Park Place N Storm Improvmt (PBPWlUtility Systems)
To fund construction of project that was delayed due to easement acquisition that added
cost to the project.
99 May Creek Basin Plan CIP Implementation (pBPWlUtility Systems)
To fund project construction final pay estimate and complete project started in 2006.
100 SW 34th Street Culvert Replacement (PBPWlUtility Systems)
Plarmed multi~year project.To fund completion of project design and construction of
project started in 2006.
101 Surface Water Utility GIS (pBPWlUtility Systems)
Fund additional mapping in new annexation areas and perform mapping required by the
NPDES Phase II Municipal Stormwater Pennit.8 of 9
$
Attachment A
Amount
1,320,000
20,000
3,515,000 I
250,000
103,000
175,000
82,000
230,000
35,000
8,000
115,000
190,000
35,000
12,000
ORDINANCE NO.5268
Title and Description
102 Renton Village Storm SYstems Improvement (PBPWlUtility Systems)
Planned multi-year project.To fund completion of project design,pennitting construction
of project started in 2006.
103 Lake Ave SlRainier Ave S Storm System (pBPWlUtility Systems)
To fund completion of project design started in 2006.
Surface Water Utility Construction Fund (Fund 427)Total
Equipment Repair and Replacement Fund -Correct 2007 Budget
104 Machinerv and Equipment (PBPWlMaintenance)
Department budgets included funding for new vehicles;however,the vehicles will be
pufchased out of Ftlnd 501 Equipment Repair &Replacement.
$
Attachment A
Amount
1,150,000
195,000
2,580,000 I
64,200
54,000105MachineryandEquipment(pBPWlMaintenance)
~<-~'·~--'-·~--·-~~·-~---~-'-------Eqmpmenrapptoved foi'2007~--tobe~~par(rfor-rroln"fuiitr6a1ance~~--_._~_._-~--~--_._-_.._-y~~_._.~.,,~.._~.._,~-~---~._-------.----~..__.-------------~,-~--..-..~--..~~----,.-...--..~.-~-
106 Machinerv and Equipment (pBPWlMaintenance)
Funding to cover initial purchase of trailer being donated by McClendons for Tools on
Wheels.McClendons will reimburse the City through a donation.
Equipment Repair and Replacement Fund -Carryfonvard
107 Machinerv and Equipment (pBPWlMaintenance)
Truck retrofit not completed ill 2006 due to parts backordered.
108 Machinerv and Equipment (pBPWlMaintenance)
Equipment approved in 2006,but not purchased.
Equipment Repair and Replacement Fund (Fund 501)Total
Information Servi.cesFund -Carryforward
109 System Proiects (Finance and Information Services)
MmntenanceTasl{"Manageme.l.lt·is an ongoi.l.lgcaplt1irprojecl:f()f·Z007.
110 SvstemPr-ojects (Finance andlnfonnation Services)
The Granicus portion of the Web Site Refresh project is ongoing for 2007.
III System Projects (Finance and Infonnation Services)
New World Windows conversion is an ongoing project for 2007.
112 NetworkProjects (Finance-and Infonnation Services)
Metropolitan Area network is an ongoing project for 2007.
113 Net,w()rk.Projects.Q"i~<::e and Infonnati<:>J.1_S~!yi~s)
Wireless project is an ongoing project for 2007.
Information Services Fund (Fund 503)Total
9 of 9
$
$
6,979
43,000
64,000
232,179 I
427,900
50,500
210,900
20;000
20,000
729,300 I