HomeMy WebLinkAboutORD 5202Amends ORD 5180
CITY OF RENTON,WASHINGTON
ORDINANCE NO.5202
AN ORDINANCE OF THE CITY OF RENTON,WASHINGTON,
AMENDING ORDINANCE NO.5180 RELATING TO mE CITY OF
RENTON FISCAL YEAR 2006 ANNUAL BUDGET,.AND CARRYING
FORWARD APPROPRIATED FUNDS NOT EXPENDED IN 200S.
WHEREAS,the City Council passed the City of Renton's 2006 Annual Budget
Ordinance (Ordinance No. 5180)on December 12,2005;and
WHEREAS,appropriated funds not expended in 2005 due to capital project
interruptions and delays in invoice payments,need to be carried forward into this fiscal year
resulting in the need to amend the City ofRenton's 2006 annual Budget;
NOW,THEREFORE,THE CITY COUNCIL OF THE CITY OF RENTON,
WASHINGTON,DOES ORDAIN AS FOLLOWS:
SECTIONl Ordinance No.5180 establishing the City of Renton's 2006 Annual
Budget is hereby amended as follows:
1.The General Fund (Fund 000)IS hereby amended to reflect the following
appropriation amendments:
GENERAL FUND (Fund 0(0)
FY2006
REVENUES
New Revenue
Revenues
EXPENDITURES
Budget Appropriation
Fire Department
Public Works Admin
Total Appropriation
Ending Fund Balance
Expenditures
Original
2006 Budget
50.096.256
50,096,256
50,061,256
50,061,256
35.000
50,096,256
Amended
2006 Budget
50,096,256
50,096,256
50,061,256
15,791
7.900
50,084,947
11.309
50,096,256
o
o
o
15,791
7,900
23,691
I.1J.(;()l j
°
ORDINANCE NO.5202
2.The Park Fund (Fund 101)IS hereby amended to reflect the following
appropriation amendments:
PARK FUND (Fund 101)
FY 2006
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
Original
2006 Budget
11,260,376
o
11,260,376
11,260,376
11,260,376
Amended
2006 Budget
11,260,376
5,000
11,265,376
11,265,376
11,265,376
o
5,000
5,000
5,000
5,000
3.The Municipal Facilities Capital Improvement Fund (Fund 316)IS hereby
amended to reflect the following appropriation amendments:
MUNICIPAL FACILITIES CAPITAL IMPROVEMENT FUND (Fund 316)
FY 2006
Original Amended
2006 Budget 2006 Budget Change
REVENUES
New Revenue 2,100,000 2,100,000 0
Use of Prior Year Revenue 1,077,000 3,231,096 2,154,096
Revenues 3,177,000 5,331,096 2,154,096
EXPENDITURES
Budget Appropriation 3,177,000 4,929,096 1,752,096
Transfer fund balance to Fund 503 0 402,000 402,000
Expenditures 3,177,000 5,331,096 2,154,096
4.The Transportation Capital Improvement Fund (Fund 317)is hereby amended to
reflect the following appropriation amendments:
2
ORDINANCE NO.5202
TRANSPORTATION CAPITAL IMPROVEMENT FUND (fund 317)
FY 2006
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
Original
2006 Budget
16,597,600
1,686,100
18,283,700
18,283,700
18,283,700
Amended
2006 Budget
16,597,600
5,496,000
22,093,600
22,093,600
22,093,600
o
3,809,900
3,809,900
3,809,900
3,809,900
5.The Airport Fund (Fund 402)IS hereby amended to reflect the following
appropriation amendments:
AIRPORT FUND (Fund 402)
FY2006
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
Original
2006 Budget
1,921,817
494,983
2,416,800
2,416,800
2,416,800
Amended
2006 Budget
1,921,817
720,783
2,642,600
2,642,600
2,642,600
o
225,800
225,800
225,800
225,800
6.The Solid Waste Utility Fund (Fund 403)IS hereby amended to reflect the
following appropriation amendments:
SOLID WASTE FUND (Fund 403)
FY 2006
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
Original
2006 Budget
9,104,429
405,819
9,510,248
9,510,248
9,510,248
3
Amended
2006 Budget
9,104,429
565,819
9,670,248
9,670,248
9,670,248
Change
o
160,000
160,000
160,000
160,000
ORDINANCE NO.5202
7.The Municipal Golf Course System Capital Improvement Fund (Fund 424)IS
hereby amended to reflect the following appropriation amendments:
MUNICIPAL GOLF COURSE CAPITAL IMPROVEMENT FUND (fund 424)
FY 2006
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
Original
2006 Budget
154,000
96,000
250,000
250,000
250,000
Amended
2006 Budget
154,000
288,398
442,398
442,398
442,398
o
192,398
192,398
192,398
192,398
8.The Water Utility Construction Fund (Fund 425)is hereby amended to reflect the
following appropriation amendments:
WATER UTILITY CONSTRUCTION FUND (fund 425)
FY 2006
REVENUES
New Revenue
Use of Prior Year Revenue
Revenues
EXPENDITURES
Budget Appropriation
Expenditures
Original
2006 Budget
6,715,000
o
6,715,000
6,715,000
6,715,000
Amended
2006 Budget
6,715,000
1,476,700
8,191,700
8,191,700
8,191,700
o
1,476,700
1,476,700
1,476,700
1,476,700
9.Waste Water Utility Construction Fund (Fund 426)is hereby amended to reflect
the following appropriation amendments:
4
ORDINANCE NO.5202
WASTEWATER UTILITY CONSTRUCTION FUND (Fund 426)
FY2006
Original Amended
2006 Budget 2006 Budget Change
REVENUES
New Revenue 2,600,000 2,600,000 0
Use of Prior Year Revenue 0 2,022,000 2,022,000
Revenues 2,600,000 4,622,000 2,022,000
EXPENDITURES
Budget Appropriation 2,600,000 4,622,000 2,022,000
Expenditures 2,600,000 4,622,000 2,022,000
10.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 2006
Original Amended
2006 Budget 2006 Budget Chanlle
REVENUES
New Revenue 2,300,000 2,300,000 0
Use of Prior Year Revenue 0 1,545,000 1,545,000
Revenues 2,300,000 3,845,000 1,545,000
EXPENDITURES
Budget Appropriation 2,300,000 3,845,000 1,545,000
Expenditures 2,300,000 3,845,000 1,545,000
11.The Insurance Fund (Fund 502)IS hereby amended to reflect the following
appropriation amendments:
INSURANCE FUND (Fund 502)
FY 2006
Original Amended
2006 Budget 2006 Budget Chanlle
REVENUES
New Revenue 3,007,503 3,007,503 0
Use of Prior Year Revenue 0 728,498 728,498
Revenues 3,007,503 3,736,001 728,498
EXPENDITURES
Budget Appropriation 2,986,001 3,736,001 750,000
Total Appropriation 2,986,001 3,736,001 750,000
Ending Fund Balance 21,507 0 I'll ,\0')\
Expenditures 3,007,503 3,736,001 728,498
5
ORDINANCE NO.5202
12.The Information Services Internal Services Fund (Fund 503)is hereby amended
to reflect the following appropriation amendments:
INFORMATION SERVICES FUND (Fund 503)
FY 2006
REVENUES
New Revenue
Transfer in from Fund 316
Revenues
EXPENDITURES
Budget Appropriation
IS Projects
Total Appropriation
Ending Fund Balance
Expenditures
Original
2006 Bndget
3,431,550
o
3,431,550
3,431,550
o
3,431,550
o
3,431,550
Amended
2006 Budget
3,431,550
402,000
3,833,550
3,431,550
259,000
3,690,550
143,000
3,833,550
o
402,000
402,000
o
259,000
259,000
143,000
402,000
SECTION II.A list of all individual budget adjustments and descriptions IS
hereby attached as Attachment A and is available for public review in the Office of the City
Clerk,Renton City Hall.
SECTIONID.This ordinance shall be effective upon its passage,approval,and
five (5)days after publication.
PASSED BY THE CITY COUNCIL this 24th day of April ,2006.
Bonnie 1.Walton,City Clerk
APPROVED BY THE MAYOR this 24th day of A ril 2006.
6
ORDINANCE NO.5202
Apred as to form:
cx~7W~
Lawrence J.Warren,City Attorney
Date of Publication:4/28/2006 (summary)
ORD.1259:4/19/06:ma
7
Attachment A5202ORDINANCENO.-~"--'=-'~-----
Title and Description Amount
General Fund -Carryforward
1 FDM RepairlMaintenance (Fire Department)
This was not paid from FDM CIP.It should have been paid from Fire Administration
division,repair/maintenance account.
15,791.00
2 Public Work Admin.IVfonument Survey (pBPW)
Project not completed in 2005
General Fund (Fond 000)Total
7,900.00
23,691.00 I
Park Fund -Carryforward
3 Teenage Program (Community Services)
United Way donated $5,000 to Teenage Program in 2005
Park Fund (Fund 101)Total
5,000.00
5,000.00 I
Municipal Facilities CIP Fund -Carryforward
4 Cedar River Trial Extension (Community Services)
Easementllease negotiation,design development drawings,construction bid documents to
be completed in 2006 as initial phase of project
221,148.00
5 Comprehensive Plan Update (Community Services)
Consultant contract executed to complete in 2006
49,413.00
6 Citv Neighborhood Beautification (Community Service)
Through an RFQ,we will hire an urban forestry consultant.The consultant will develop
an urban forestry ordinance using examples of other ordinances with recommendations
applicable to Renton's situation.
24,040.00
7 Parks Contingencv Plan (Community Services)
Consultant executed contract to re-master plan the Cedar River Greemvay,including
Cedar River Park,Liberty Park,and the Narco property addressing potential 1-405
impacts -also known as Tri-Park
95,000.00
8 Grant Matching Fund (Community Services)
Property acquisition with grant match.Likely grants to be received include purchase of
Craig property by the Edlund property
200,000.00
9 Major Maintenance Parks (Community Services)
Burnett Linear Park:$101,325 project under contract.Estimated construction will be
completed in June 2006;Riverview Bridge Deck:$36,380 project under contract.Major
construction was completed,punch list items are remaining;Coulon Launch Lanes 1-4:
$5,500 project under contract;Kennydale Lions Parks:$19,855 project under contract,
estimated completion June 2006.
163,060.00
10f8
ORDINANCE NO._---=5---=2:....:.0-=.2 _Attachment A
Title and Description Amount
10 Major Maintenance Parks (Community Services)85,000.00
Edlund property -$85,000 property demolition,sewer utility counection,property safety
measures
11 Tiffanv Park Recreation Facilitv (Community Services)196,595.00
Project moved to 2006 with additional funding requested below
12 Major Maintenance Operational Facilities (Community Services)80,563.00
Project savings re-appropriated to Tiffany in 2006 for a total of 277,158
13 Maior Maintenance Public Facilities (Community Services)348,981.00
Public Restroom Renovation ($120,000);Liberty Stadium Seating ($10,000);RCC
Storage Building ($100,000);Library DDEC Controls ($42,000)related to Master Plan;
portions of individual building maintenance (painting,staining);other project savings re-
appropriated to Tiffany in 2006
14 Major Maintenance Leased Facilitv (Community Services)4,707.00
Balance for museum mezzanine support in 2006
15 Museum Major Maintenance (Community Services)10,747.00
Balance for museum mezzanine support in 2006
16 Henry Moses Pool Lighting (Community Sewices)182,105.00
This amount covers prior grant commitments (See #18 above)
17 South Lake Washington Redevelopment (EDNSP pass through)49,610.00
To cover two contracts with Blumen re:consistency analysis.
18 South Lake Washington Redevelopment (EDNSP)41,127.00
Complete redevelopment analysis work started in 2005,
19 Information Services Fund 503 (Information Services -New request)402,000.00
Request Cash balance transfer from Fund 316 to 503 for IS CIP due to the IS fund
becoming Internal Services Fund in 2006
Municipal Facilities CIP Fond (Fond 316)Total 2,154,096.00 I
Transportation CIP Fund -Carryforward
20 Street Overlay program (pBPW -TIP)101,000.00
Carryfonvard increase 2006 program
21 SW 27th St./Strander BLVD Connection (pBPW -TIP)(1,902,400J}{})
Transfer to TIP #12240 Strander BLVD/SW 27th PhI Seg 1
20f8
Attachment A5202ORDINANCENO.---------
Title and Description Amount
22 SW 27th St.Phase 1 Seg 1 (pBPW -TIP)
Through bond funding
2,485,000.00
23 Transit Program (pBPW -TIP)
2006 spending anticipated to equal 2005 spending
3,000.00
24 Rainier Ave Corridor Studv/Improvement (pBPW -TIP)
Additional coordination with Sound Transit/Design Staff
2,000.00
25 Walkway Program (pBPW -TIP)
To finish 2005 program and construction in 2006.
321,000.00
26 Project DevelopmentlPredesign (pBPW -TIP)
Increase in progralUlUed funding for pending transfers
50,000.00
27 Mav Creek Bridge Replacement (pBPW -TIP)
To begin designing;there is no BRAe grant cycle until 2007
120,000.00
28 Traffic Safety Program (pBPW -TIP)
Additional funding for Heather Downs to the total of $87,000
37,000.00
29 CBD Bike &Ped Connections (pBPW -TIP)
Construction in 200512006;contract sidewalk standards
80,000.00
30 Gradv Way Corridor Study (pBPW -TIP)
The study wiII start mid 2006 or later
(50,000.00)
31 SR 169 HOV -140tb to SR900 (pBPW -TIP)
Complete Construction Phase 1,Phase 2 construction
906,800.00
32 Benson Rd -S26th to Main (pBPW -TIP)
Construction moved to 2006
157,500.00
33 SunsetlDuvall Intersection (pBPW -TIP)
Construction moved to 2007
1,528,400.00
34 Lake Washington Blvd Slip Plane (pBPW -TIP)
Completed in 2005
(2,400.00)
35 Monster Road Bridge (pBPW -TIP)
Completed in 2005
Transportation CIP Fund (Fund 317)Total 3,809,900.00 I
Airport Fund -Carryforward
30f8
5202ORDINANCENO.---------
Title and Description
36 Apron C utility Installation (PBPW/Airport)
To finish the project not completed in 2005
37 Quonset hnt 2nd Fire Escape (pBPW/Airport)
To finish the project not completed in 2005
38 Secondarv Blast Fence Reconstruction (pBPW/Airport)
To finish the project not completed in 2005
39 Fire Training Area Remediation (pBPWIAirport)
To finish the project not completed in 2005
40 622 Hangar-Rehab (pBPWIAirport)
To finish the project not completed in 2005
Airport Fund (Fund 402)Total
Solid Waste Utility Fund -Carr~fonvard
41 2006 Clean Sweep Renton (pBPWI Solid Waste)
Continne the program in 2006
Solid Waste Utility Fund (Fund 4(3)Total
Golf Course Construction Fund -Carryforward
42 Major Maintenance Golf Course (Golf Course Capital)
Driving range netting replacement,Driving range turf carpet repair,
ClnbhouselDriving
Golf Course Construction Fund (Fund 424)Total
Water Utility Fund -Carryforward
43 Maplewood Water Rights (PBPW!Waterworks Capital)
To continue project not completed in 2005
44 Water Telemetry Systems Improvements (PBPWIWaterworks Capital)
To finish project not completed in 2005
45 Water Svstem Plan Update (pBPW!Waterworks Capital)
To finish project not completed in 2005
46 Update Emergency Response Plan (PBPWIWaterworks Capital)
To continue project not completed in 2005
47 Water Main Rehabilitation (PBPW!Waterworks Capital)
To finish project not completed in 2005
40f8
Attachment A
Amount
105,000.00
27,800.00
25,000.00
45,000.00
23,000.00
225,800.00 I
160,000.00
160,000.00 I
192,398.00
192,398.00 I
27,800.00
14,.600.00
55,600.00
50,200.00
100,000.00
ORDINANCE NO._---"5~2:....o:0'_=2 _
Title and Description
48 Water Conservation Program (pBPW/Watenvorks Capital)
To continue project not completed in 2005
49 Update Fireflow Analvsis (pBPWlWaterworks Capital)
To continue project not completed in 2005
50 Reservoir Recoating (pBPWlWatenvorks Capital)
To continue project not completed in 2005
51 Emergency Response Projects (pBPWIWaterworks Capital)
To continue project not completed in 2005
52 Downtown Core Rehabilitation (pBPW!Watenvorks Capital)
To continue project not completed in 2005
53 Water Qualitv Monitoring (pBPWIWatenvorks Capital)
To continue project not completed in 2005
54 Highlands 565 Zone 2 MG Reservoir (pBPW/Watenvorks Capital)
To continue project not completed in 2005
55 Water Pump Stations Rehabilitations (pBPW!Watenvorks Capital)
To continue project not completed in 2005
56 Maplewood Water Treatment (pBPW!Watenvorks Capital)
To continue project not completed in 2005
57 hnprovements Con~1ructionDuvall Ave NE (pBPW!Waterworks Capital)
To continue pTC>.fect not completed in 2005
58 Emergency Power to PumP Station (pBPW!Watenvorks Capital)
To continue project not completed in 2005
59 Water System Security (pBPWlWatenvorks Capital)
To continue project not completed in 2005
Water Utility Construction Fund (Fund 425)Total
Waste Water Utility Construction Fund -Carryforward
50f8
Attachment A
Amount
7,200.00
5,500.00
4,000.00
68,500.00
86,300.00
13,600.00
391,100.00
11,400.00
396,700.00
100,000.00
104,200.00
40,000.00
1,476,700.00 I
Attachment A5202ORDINANCENO.---------
Title and Description Amount
60 1,200,000.00
Sanitary Sewer Main Extension (pBPW/Sewer Capital)
Sunset Interceptor Phase ill (400,000)has design delays of approximately 9 months,
requiring funds to be carried forward due to King County billings.Central Plateau
Interceptor Phase n (400,000)carry forward design contract funds per Council action in
2005.Carry forward for oversizing at Wedgwood Lift Station.
61 Lift Station Repl/Rehab (pBPW/Sewer Capital)
Lake Washington Flush and Misty Cove Lift Station Rehabilitation project is completed,
but final close out costs will occur in 2006.
30,000.00
62 Sanitarv Sewer Main Replacement (pBPW/Sewer Capital)
Projects not completed in 2005 include:Downtown Sewers (60,000);Earlington Sewer
extension (350,000);Sanitary Sewer Model (100,000);SW 27th Street Sewer Stub
(40,000);and Renton Center EX1ension (200,000).
750,000.00
63 Long Range WW Management Plan (pBPW/Sewer Capital)
To complete the plan in 2006
Waste Water Utility Construction Fund (Fund 426)Total
42,000.00
2,022,000.00 I
Surface Water Utility Construction Fund -Carryforward
64 Surface Water Utilitv Svstem Plan (PBPW/Surface Water Capital)
Planned multi year project.Project delayed due to Ecology NPDES Permit requirements
not being completed and other work priorities due to City transportation project.The
Landing project,and WSDOT 1-405 Projects
191,000.00
65 Small Drainage ProIects Program (PBPW/Surface Water Capital)
Funding to complete the CBD Utility Replacement project on Wells and Williams Ave S
for unplanned CIP needs
79,000.00
66 Lower Cedar River Sediment Mgmt Plan (PBPW/Surface Water Capital)
Funding for the Spawning Channel Replacement project has been delayed due to Army
Corps of Engiueers funding for the project was not approved.
113,000.00
67 Wetland Mitigation Bank Project (PBPW/Surface Water Capital)
Planned Multi year project with WSDOT
31,000.00
68 Renton Storm water Manual (PBPW/Surface Water Capital)
Planned multi year project.Project delayed due to Ecology NPDES Permit requirements
not being completed and other work priorities due to City transportation project,The
Landing project,and WSDOT 1-405 Projects
136,000.00
60f8
Attachment A5202ORDINANCENO.--"'-='~~----
TItle and Description Amount
69 Springbrook Creek FEMA Floodplain Map (PBPW/Surface Water Capital)
Planned multi year project Project delayed due to FEMA review and requirements for
additional technical work.
55,000.00
70 N 26th St &Park Place N Storm Impro\'mt (PBPW/Surface Water Capital)
Funding to finish project not completed in 2005.Project delayed due to not being able to
secure the required project easements from property owners
202,500.00
71 May Creek Basin Plan CIP Implementation (PBPW/Surface Water Capital)
Planned multi year project.Funding is needed for construction in 2006
399,500.00
7of8
ORDINANCE NO.__5_2_0_2 _
Title and Description
72 SW 34th Street Culvert Replacement (pBPW/Surface Water Capital)
Planned multi year project.Funding is needed to complete project design in 2006 with
construction planned for 2007
73 Renton Village Storm Systems Improvement (pBPW/Surface Water Capital)
Planned multi-year project Funding is needed to complete design and construction in
2006 provided pemrits and required easement are obtained for the project
Surface Water Utility Construction Fund (Fund 427)Total
Insurance Fund -Carryforward
74 General GovernmentlLiab-prop Claims (Insurance Fund)
PropertylLiability claim for $750,000 not settled in 2005.This amount was removed
from reserves and appropriated in 2005
In~lIrance Fund (Fund 502)Total
Information Services Fund -Carryforward
75 Computer Replacement (Information Services)
The State granted the Court twelve computers.These computers are used to access the
Judicial Infonnation System and conduct the usual day-to-day business of the court.
76 Systems Proiects (Information Services)
Maintenance Task Management,New World Systems,Web Site Refresh,Library Dynix
Upgrade
77 Network Proiects (Information Services)
Wireless Network Project has one remaining elevated water tower to which radio and
antenna equipment must be installed
78 Council Dais Monitors (Information Services)
Replacement of the council dais monitors in the council chambers and related
equipment
Information Services Fund (Fund 503)Total
8of8
Attachment A
Amount
49,500.00
288,.500.00
1,545,000.00 I
750,000.00
750,000.00 I
14,000.00
208,000.00
25,000.00
12,000.00
259,000.00 I