HomeMy WebLinkAboutORD 5006CITY OF RENTON, WASHINGTON
ORDINANCE NO. 5006
AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON,
INCREASING THE 2003 BUDGET FOR VARIOUS FUNDS FOR THE
PURPOSE OF MEETING 2002 OBLIGATIONS IN 2003; INCREASING
VARIOUS FUNDS TO MEET THE REQUIREMENTS OF SALARY AND
BENEFIT LABOR AGREEMENTS; AND DECREASING THE 2003
GENERAL FUND APPROPRIATION ACCORDINGLY.
THE CITY COUNCIL OF THE CITY OF RENTON, WASHINGTON, DO ORDAIN
AS FOLLOWS:
SECTION I. Appropriations in the following Funds are hereby increased as
follows for the purpose of paying 2002 obligations in 2003.
Fund
000
110
301
303
304
306
307
316
402
421
Fund Name
General
Hotel/Motel Fund
Parking Garage
Park Mitigation
Fire Mitigation
Leased City Properties
Aquatic Center
Municipal Facilities CIP
Airport
Waterworks Utility
TOTAL
2003 Expenditures
Increase
$163,200
61,200
3,952,200
325,000
3,336,800
34,800
4,899,500
5,071,700
209,300
1,832,900
$19,886,600
Available fund balances in each Fund shall be used to meet the needs of these appropriations.
ORDINANCE NO. 5006
SECTION II. In addition, the 2003 General Fund Budget shall be decreased in
the following amount and the Other Funds shall be increased in the following amounts to meet
the costs of the salary and benefit labor agreements approved after the 2003 Budget was adopted.
Fund
000
101
103
104
106
306
401
402
403
404
501
502
Fund Name
General
Park Fund
Street Fund
CDBG Fund
Library Fund
Leased Property Fund
Water Operations Fund
Airport Fund
Solid Waste Fund
Golf Course Fund
Equipment Rental
Insurance Fund
TOTAL
Increase
$260,100
161,300
8,100
45,200
2,700
165,200
21,300
19,400
32,500
23,400
6,500
$745,700
Decrease
($745,700)
($745,700)
The figures for the adopted budgets for each Fund and the new budget figures for each
Fund amended by this ordinance are shown in Attachment 1 hereto.
Revenues from the General Fund to General Governmental Funds shall be adjusted to
meet these changes. The Enterprise and Internal Services Funds shall meet their increased costs
using their own revenue sources.
SECTION ni. The budgets of various General Fund departments shall be adjusted
accordingly to meet the costs of the salary and benefit labor agreements. These changes do not
require the 2003 General Fund budget to be adjusted, but is for informational purposes only.
ORDINANCE NO. 5006
Fund
000
000
000
000
000
000
000
000
000
000
000
000
000
000
000
Fund Name
Non Departmental
Legislative
Municipal Court
Executive
Finance
Development Services
Police
Fire
Hearing Examiner
City Clerk
Human Resources
PW Administration
PW technical Services
Human Services
EDNSP
TOTAL
-—•—. .
Increase
$0
3,500
37,700
25,500
108,000
97,200
86,300
426,500
4,600
20,100
21,300
14,900
7,900
8,200
35,500
$897,200
Decrease
($897,200)
($897,200)
SECTION IV. This Ordinance shall be effective upon its passage, approval, and
five days after publication.
PASSED BY THE CITY COUNCIL this 21st day of April _, 2003.
Bonnie I. Walton, City Clerk
APPROVED BY THE MAYOR this 21st day of April ; 2003.
Jesse Tanner, Mayor
ORDINANCE NO. 5006
Approvj^Lrfsto fonjp-v^?.
Lawrence J. Warren, City Attorney
Date of Publication: 04/25/2003
ORD. 1029:2/28/03 :ma
ORDINANCE 5006
2003 CARRY FORWARD AND SALARY ADJUSTMENTS BUDGET ORDINANCE
ATTACHMENT I
Dept No. Dept Title
1/1/03
Adopted Budget
Carry Forward Salary/Benefit 4/30/03
Request Change Amended Budget
General Fund
001
002
003
004
005
006
007
008
009
011
012
014
015
017
020
023
General Fund Sbttl
101
103
106
201
207
215
General Govt SBTTL
TOTAL GG FUNDS
Legislative $
Judical $
Executive $
Finance $
Non Dept $
Legal $
Develop Srvs $
Police $
Fire $
Hearing Examiner $
Clerk $
Human Resources $
PW Admin $
PW Tech Srvs $
Human Srvs $
EDNSP $
Park
Street
Library
LTGO
LTGO
LTGO
$
$
$
$
182,100
1,272,700
784,500
3,141,300
5,468,300
1,049,500
3,069,800
14,506,000
11,542,200
125,100
419,800
702,700
334,900
510,000
523,300
1,239,600
$
$
$
$
$
$
$
$
$
$
$
$
$
$ 3,500 $
$ 37,700 $
$ 25,500 $
$ 108,000 $
$(1,642,900) $
4,000
14,000
$
$
$
- $
- $
- $
- $
- $
- $
145,200 $
97,200
86,300
426,500
4,600
20,100
21,300
14,900
7,900
8,200
35,500
$
$
$
$
$
$
$
$
$
$
185,600
1,310,400
810,000
3,249,300
3,825,400
1,049,500
3,167,000
14,596,300
11,982,700
129,700
439,900
724,000
349,800
517,900
531,500
1,420,300
$ 44,871,800 $ 163,200 $ (745,700) $ 44,289,300
9,250,100
5,911,400
1,435,100
654,300
35,100
1,871,300
$
$
$
$
$
$
$
$
$
$
$
260,100
161,300
45,200
$
$
$
$
$
$
$ 466,600
9,510,200
6,072,700
1,480,300
654,300
35,100
1,871,300
$ 64,029,100 $ 163,200 $ (279,100) $ 63,913,200
2003 Carry Forward Ord Attachment l.xls
ORDINANCE 5006
2003 CARRY FORWARD AND SALARY ADJUSTMENTS BUDGET ORDINANCE
ATTACHMENT I
Dept No.
1/1/03 Carry Forward Salary/Benefit 4/30/03
Dept Title Adopted Budget Request Change Amended Budget
102
104
110
118
125
127
219
220
301
303
304
305
306
307
316
317
401
402
403
404
421
424
451
501
502
601
Other Funds SBTTL
TOTAL ALL FUNDS
Arterial Street
CDBG
Hotel/Motel
Paths
1% for Art
Cable
Voted Debt
LID
Garage
Parks Mit
Fire Mit
Trans Mit
Leased Prop
Swim Pool
CD?
Trans CIP
Water Operating
Airport
Solid Waste
Golf Ops
Water CIP
Golf CIP
Water Rev Bond
Equip Rental
Insurance
Fire Pension
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
353,500
295,700
200,000
75,000
31,600
511,500
334,600
950,000
298,000
2,451,400
516,900
2,946,000
6,661,200
20,921,500
1,557,000
9,074,500
2,210,100
13,300,000
359,000
2,920,400
2,991,200
9,047,000
365,900
$
$
$
$
$
$
$
$
61,200
3,952,200
325,000
3,336,800
$ 34,800
$ 4,899,500
$ 5,071,700
$
$
$ 209,300
$
$
$ 1,832,900
$
$
$
$
$
$
$
$
$
$
8,100
$
$
$
$
$
$
$
$
$
$
$
0
2,700
165,200
21,300
19,400
32,500
23,400
6,500
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
$
353,500
303,800
261,200
75,000
31,600
511,500
334,600
3,952,200
1,275,000
3,634,800
2,451,400
554,400
4,899,500
8,017,700
6,661,200
21,086,700
1,787,600
9,093,900
2,242,600
15,132,900
359,000
2,920,400
3,014,600
9,053,500
365,900
$ 142,401,100 $ 19,886,600 $
279,100
$ 162,287,700
2003 Carry Forward Ord Attachment l.xls