HomeMy WebLinkAboutORD 5323Amends:ORD 5245
CITY OF RENTON,WASHINGTON
ORDINANCE NO.5323
AN ORDINANCE OF THE CITY OF RENTON,WASHINGTON,
PROVIDING FOR THE 2007 YEAR END BUDGET AMENDMENTS.
NOW,THEREFORE,THE CITY OF COUNCll.,OF THE CITY OF RENTON,
WASHINGTON,DOES ORDAIN AS FOLLOWS:
SECTION I.The appropriations and revenues for the following funds are
hereby amended as follows:
Expenditure Adjustments
2007 Adjusted 2007 Final
Fund No.Fund Description ADDroDriation Amendment ADDroDriation
001 COMMUNITY SERVICES FUND $12,855,890 $37,664 $12,893,554
101 COMMUNITY SERVICES FUND (Closed)137,086 137,086
103 STREETS FUND (Closed)39,074 39,074
207 1978 LIM GO BONDS (Closed)28,885 643 29,528
306 LEASED CITY PROPERTIES (Closed)406,988 406,988
307 AQUATICS CENTER FUND (Closed)192,000 297 192,297
317 TRANSPORTATION CIP 36,228,300 -2,700,000 33,528,300
402 AIRPORT FUND 2,341,464 -56,655 2,284,809
422 AIRPORTCIP 1,500,000 -250,000 1,250,000
405 WATER UTILITY 10,159,629 1,800,000 11,959,629
406 WASTEWATER UTILITY 4,989,667 963,000 5,952,667
407 SURFACE WATER UTILITY 1,066,859 410,000 1,476,859
503 INFORMATION SERVICES 4,372,925 -395,000 3,977,925
601 FIREMEN'S PENSION FUND (Closed)3,191,007 3,191,007
TOTAL ADJUSTMENTS $73,735,619 $3,584,104 $77,319,723
tEt"tAd"tRevenues(ma e (.Jus men s
2007 Adjusted 2007 Final
Revenue Revenue
Fund No.Fund Description Budget Amendment Budget
001 COMMUNITY SERVICES FUND $12,328,390 $137,086 $12,465,476
003 STREETS FUND 7,348,279 39,074 7,387,353
215 GENL GOVT MISC DEBT SERVICE 4,363,265 643 4,363,908
108 LEASED CITY PROPERTIES 960,899 406,988 1,367,887
316 MUNICIPAL FACILITIES CIP 3,583,038 297 3,583,335
403 SOLID WASTE UTILITY 9,565,016 778,000 10,343,016
425 WATER CIP FUND 8,949,500 1,800,000 10,749,500
426 WASTEWATER CIP FUND 6,140,000 963,000 7,103,000
427 SURFACE WATER CIP FUND 4,980,000 410,000 5,390,000
611 FIREMEN'S PENSION FUND 248,000 3,191,007 3,439,007
TOTAL ADJUSTMENTS $58,466,387 $7,726,095 $66,192,482
ORDINANCE NO.5323
2007 Adjusted 2007 Final
NET ADJUSTMENT Budget Amendment Budaet
TOTAL REVENUE ADJUSTMENT $58,466,387 $7,726,095 $66,192,482
TOTAL APPROPRIATION ADJUSTMENT 73,735,619 3,584,104 77,319,723
TOTAL NET ADJUSTMENT $15,269,232 $4,141,991 $11,127,241
SECTION II.The monies for the budget amendments shown in Section I are
derived from available fund balances or increased revenues as described in attachment A.
SECTIONIIL
five days after publication.
This ordinance shall be effective upon its passage,approval,and
PASSED BY THE CITY COUNCIL this l.r.L day of December,2007.
Bonnie 1.Walton,City Clerk
APPROVED BY THE MAYOR this ~day of December ,2007.
c;;1;=ro form'~rA'Wf:~~
Lawrence 1.Warren,City Attorney
ORD..1407:11l15/07:ch
Date of Publication:12/8/2007 (summary)
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ORDINANCE NO 5323 Attachment A
COMMUNITY SERVICES FUND (Fund 001)
Fiscal Year 2007
Adjusted Final
2007 B!!dqet 2OO7Budqet ~Reason
REVENUES
REVENUES 12,328,390 12,328,390
TRANSFER IN FROM ClOSED FUND 137,086 137,086 Transfer fund balance from closed fund.
TOTAL REVENUES 12,328,390 12,465,476 137,086
EXPENDITURES
APPROPRIATIONS
APPROPRIATIONS 12,855,890 12,893,554 37,664 Gas to heat pool
TOTAL EXPENDITURES 12,855,890 12,893,554 37,664
COMMUNITY SERVICES FUND (Fund 101)CLOSED
Fiscal Year 2007
REVENUES
REVENUES
USE PRIOR YEAR REVENUE
TOTAL REVENUES
Adjusted
.2007 Budget
Final
2007 Budget
EXPENOITURES
TRANSFER TO FUND 001
TOTAL EXPENDITURES
_______-:-13::;;7;:;,086;;;-.:;1::;-37if'086;;;;;:,...CIosed Fund,transfer fund balance
137,086 137,086 to Fund 001
STREETS FUND (Fund 003)
Fiscal Year 2007
Fmal
2007 Budget
Adjusted
2007 Budget
7,348,279 7,348,279
_-;-:~==---_=-=39~,O=:7::i:4-----=39~,O:;7:-;4;-.Transferfund balance from closed fund.
7,348,279 7,387,353 39,074
REVENUES
REVENUE
TRANSFER IN FROM CLOSED FUND
TOTAL REVENUES
EXPENDITURES
APPROPRIATIONS
TOTAL EXPENDITURES
STREETS FUND (Fund 103)CLOSED
Fiscal Year 2007
Adjusted
2OO7Budqet
Final
2007 Budget
REVENUES
REVENUE
USE PRIOR YEAR REVENUE
TOTAL REVENUES
EXPENDITURES
TRANSFER TO FUND 003
TOTAL EXPENDITURES
_______-=:39:':,O:,:7;-:4 --=39;::,O::;;7:-;4;-.CIosed FUnd,transfer fund balance
39,074 39,074 to Fund 003
2007 Year End Ordinan<:e _Attachment AxIs 1
ORDINANCE NO 5323 Attachment A
GENERAL GOVT MISe DEBT SERV (Fund 21S)
Fiscal Year 2007
_...,4~.363=;Z~65=-__-:4~.363:::,.908=~643=-Transferfundbalance from closed fund.
4.363;265 4.363.908 643
REVENUES
TRANSFER IN FROM CLOSED FUND
TOTAL REVENUES
Adjusted
2007 Budge!
Final
2007 Budge!
EXPENDITURES
APPROPRIATIONS
TOTAL EXPENDITURES
1978 LIM GO BONDS -SR CTR (Fund 2071 CLOSED
Fiscal Year 2007
REVENUES
USE PRIOR YEAR REVENUE
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budget
EXPENDITURES
TRANSFER TO FUND 215
TOTAL EXPENDITURES
__-=2~8.~885=-__.....;...;;29:.:;.52==8 ~643=-CIosed Fund.transfer fund balance
28.885 29.528 643 to Fund 215
LEASED CITY PROPERTIES (Fund 108)
Fiscal Year 2007
Fmal
2007 Budget
960.899
Adjusted
2007 Budget
960.899
_--:==....-_--,.-:i406:::,,988=,.--__...,406='.;;988~Transferfund balance from closed fund.
960.899 1.367.887 406.988
REVENUES
REVENUE
TRANSFER IN FROM CLOSED FUND
TOTAL REVENUES
EXPENDITURES
APPROPRIATIONS
TOTAL EXPENDITURES
LEASED CITY PROPERTIES (Fund 306)CLOSED
Fiscal Year 2007
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budge!
Final
2007 Budge!
EXPENDITURES
TRANSFER TO FUND 108
TOTAL EXPENDITURES
_______-:;;406==:.988;;;;;;-;406;;;;;:.;;988;;;-CIosed Fund.transfer fund balance
406.988 406,988 to Fund 108
2007 Year End Ordinance _Attaclunent Axis 2
ORDINANCE NO 5323 Attachment A
MUNICIPAL FACILITIES CIP (Fund 316)
Fiscal Year 2007
Final
2007 Budget
3,583,038
Adjusted
2007 Budget
3,583,038
_-=-====--_--==".:29:;:7 --;:29=:7;-Transfer fund balance from closed fund.
3,583,038 3,583,335 297
REVENUES
REVENUE
TRANSFER IN FROM ClOSED FUND
TOTAL REVENUES
EXPENDITURES
TRANSFER OUT
TOTAL EXPENDITURES
AQUATICS CENTER (Fund 307)CLOSED
Fiscal Year 2007
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budget
EXPENDITURES
TRANSFER TO FUND 316
TOTAL EXPENDITURES
_--::1;:;92:;;.:,':000:=-__---:-192=::,29:=7 29=:;7;-CIosed Fund,transfer fund balance
192,000 192,297 297 to Fund 316
TRANSPORTATION CIP (Fund 317)
Fiscal Year 2007
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budget
EXPENDITURES
APPROPRIATIONS
TOTAL EXPENDITURES
----:36=:;,2::2='S,=300=-_--:33:;,~52;:;S?:,300=---(~2:!::,7=00~,OOO=~~Capital Projects re-budgeted in 2008
36,22S,300 33,52S,300 (2,700,000)
SOLID WASTE UTIUTY (Fund 403)
Fiscal Year 2007
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
9,565,016
9,565,016
Final
2007 Budget
10,343,016
10,343,016
ns,ooo Actual revenue greater than projected
ns,ooo
EXPENDITURES
APPROPRIATlONS
TOTAL EXPENDITURES
2007 Year End Ordinance _Attachment AxIs 3
ORDINANCE NO 5323
AIRPORT FUND (Fund 402)
Fiscal Year 2007
Attachment A
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budge!
EXPENDITURES
AIRPORT APPROPRIATIONS
TOTAL EXPENDITURES
_...::2~,34:-:.;.:1,~464:-;-__.;;2:;;,2~84.;:.,809=,.....-__....;(=56::,,=655)=-reduce indirect cost allocation
2,341,464 2,284,809 (56,655)
AIRPORT CIP FUND (Fund (22)
Fiscal Year 2007
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budget
EXPENDITURES
AIRPORT CIP APPROPRIATIONS
TOTAL EXPENDITURES
_--::1:-'i,5OO=',=000=-__~1'i:,2::::5O~,OOO="",,-__7.(2;;:5O::,~000=-)820 Demolition rebudgeted in 2008
1,500,000 1,250,000 (250,000)
WATER UTILITY FUND (Fund 405)
Fiscal Year 2007
REVENUES
REVENUE
USE PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budget
EXPENDITURES
APPROPRIATIONS
TRANSFER OUT TO CIP
TOTAL EXPENDITURES
_1.,.,0;.:.,1;.:59,:.,"=629==-_---,1:.-=1.::,959=-',629==__----::1,.::,8OO:=',::,000=-capital Project Contributions
10,159,629 11,959,629 1,800,000
WATER CIP FUND (Fund (25)
Fiscal Year 2007
Adjusted
2007 Budget
Final
2007 Budget
REVENUES
REVENUE
USE PRIOR YEAR REVENUES
TRANSFER IN FROM FUND 405
TOTAL REVENUES
EXPENDITURES
APPROPRIATIONS
INCREASE ENDING FUND BALANCE
TOTAL EXPENDITURES
2007 Year End Ordinance _A-mnent A.xls
_-;8;'i,949~,'i::5OO=--___;1;;;0.::;,7;-;;49~,5OO~,.....--___;1;';,8OO=,~000=-capital Project Contributions
8,949,500 10,749,500 1,800,000
4
ORDINANCE NO 5323 Attachment A
WASTEWATER UTIUTY FUND (Fund 406)
Fiscal Year 2007
REVENUES
REVENUE
USE PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budget
EXPENDITURES
APPROPRIATIONS
TRANSFER OUT TO C1P
TOTAL EXPENDITURES
_....,4;.:;.989:='.66=::7,......._....,5:::,952:='.::66=7:--__-i:963=':.000=:=-CapitaI Project Contributions
4.989,667 5,952,667 963,000
WASTEWATER CIP FUND (Fund 426)
Fiscal Year 2007
Adjusted
2007 Budget
Fmal
2007 Budget
REVENUES
REVENUE
USE PRIOR YEAR REVENUES
TRANSFER IN FROM FUND 406
TOTAL REVENUES
EXPENDITURES
APPROPRIATIONS
INCREASE ENDING FUND BALANCE
TOTAL EXPENDITURES
_-:6;:-.1,..,4Oc=-.::,000=:-__-=7"".1,:,03"".000==:::-:963,.::.:,,:,000::--Capital Project Contribulions
6.140.000 7.103.000 963.000
SU~ACE WATER UTIUTY FUND (Fund 407)
Fiscal Year 2007
REVENUES
REVENUE
USE PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2007 Budget
EXPENDITURES
APPROPRIATIONS
TRANSFER OUT TO C1P
TOTAL EXPENDITURES
_....:1~.066=,~859=---~1.!.,;.4=76~.859==---...,4~10~,~000~CapitalProject Contributions
1,066,859 1,476,859 410,000
SURFACE WATER CIP FUND (Fund 427)
Fiscal Year 2007
4,980,000 5,390,000 410,000 Capital Project Contributions-....,4;::.980;;;..~000==---.;5,~39O;;::.000=---....,4~10~.000==:....
REVENUES
REVENUE
USE PRIOR YEAR REVENUES
TRANSFER IN FROM FUND 407
TOTAL REVENUES
EXPENDITURES
APPROPRIATIONS
INCREASE ENDING FUND BALANCE
TOTAL EXPENDITURES
Adjusted
2007 Budget
Final
2007 Budget
2007 Year End Ordinance _Attachment AxIs 5
ORDINANCE NO 5323
INFORMATION SERVICES (Fund 603)
Fiscal Year 2007 .
Attachment A
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusled
2007 Budget
Final
2007 Budget
EXPENDITURES
APPROPRIATIONS
TOTAL EXPENDITURES
_-;4,,=,3:n~,92=5__-:3~,9::7~7,=92::5;-_---.;(:395=,,'ooo:=-)Capital project adjustments
4,372,925 3,977,925 (395,000)
FIREMEN'S PENSION FUND (Fund 601)
Fiscal Year 2007
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
Adjusted
2007 Budget
Final
2OQ7Budget
EXPENDITURES
TRANSFER OUT TO 611
TOTAL EXPENDITURES
______--:;3:.;,1~91~,OO=7;__-___:3~,1;:9~1,::,00:.;7:_CIosedFUnd,transfer fund balance
3,191,007 3,191,007 to Fund 611
FIREMEN'S PENSION FUND (Fund 611)
Fiscal Year 2007
_----;2;-::48;:,~000=---_=3:.;,439~,OO=7;__-___:3~,1;.;;9~1,::,00:.;7:_Transferfund balance from closed fund.
248,000 3,439,007 3,191,007
REVENUES
REVENUE
USE OF PRIOR YEAR REVENUES
TOTAL REVENUES
EXPENDITURES
TRANSFER OUT TO 611
TOTAL EXPENDITURES
Adjusted
2007 Budget
Final
2007 Budget
SUMMARY
Fiscal Year 2007
REVENUES
EXPENDITURES
2007 Year End Ordinance _Attachment A.xIs
Adjusted
2007 Budget
58,466,387
73,735,619
(15,269,232)
Final
2007 Budget
66,192,482
77,319,723
(11,127,241)
6
7,726,095
3,584,104
4,141,991