HomeMy WebLinkAboutORD 3486 CITY OF RENTON, WASHINGTON
ORDINANCE NO. 3486
AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON,
ADOPTING AN ANNUAL BUDGET FOR THE YEAR 1981
THE CITY COUNCIL OF THE CITY OF RENTON, WASHINGTON, DO ORDAIN AS FOLLOWS :
SECTION I : That the Annual Budget for the City of Renton for
the year 1981 heretofore prepared and filed with the City Clerk, as
modified and approved by vote of the City Council of the City of Rento►l
on December 1 , 1980, after due notice and hearing thereof as provided
by law, be and the same is hereby in all respects ratified, adopted
and confirmed as such Annual Budget for the year 1981 , and same by this
reference is incorporated herein as if fully set forth, and a complete
and accurate copy of said Budget being attached hereto, labeled
Exhibit "A" .
SECTION II : The following total sums for expenditures are hereb,
allowed and established in each of the following funds in said 1981
Budget, to wit :
(A) 000 -- CURRENT FUND ------------------------- $10,616 , 403
101 -- PARK FUND ---------------------------- 1 ,858, 754
102 -- ARTERIAL STREET FUND ----------------- 1 , 272,000
103 -- STREET FUND -------------------------- 1 ,650, 733
106 -- LIBRARY FUND ------------------------- 460, 563
107 -- CONTINGENCY FUND --------------------- 115,697
108 -- CUMULATIVE RESERVE FUND #1894 -------- 4 , 594
(Municipal Buildings)
109 -- CUMULATIVE RESERVE FUND #1698 -------- 105,486
(Fire Equipment)
110 -- CUMULATIVE RESERVE FUND #1689 -------- 100, 482
(Park Property)
111 -- CUMULATIVE RESERVE FUND #3278 -------- 50,979
(Unemployment Compensation)
112 -- CUMULATIVE RESERVE FUND #2104 -------- 101 , 449
(Park Property)
113 -- CUMULATIVE RESERVE FUND #2283 -------- 1. ,960
(Beautification of Public Property)
114 -- CUMULATIVE RESERVE FUND #2373 -------- 11 ,960
(Underground Wiring)
115 -- CUMULATIVE RESERVE FUND #3362 -------- 9, 360
(Storm Sewers)
116 -- CUMULATIVE RESERVE FUND #3421 -------- 46 ,096
(Sewer Line/Honeycreek-Kennydale)
118 -- CUMULATIVE RESERVE FUND #2755 -------- 11 ,684
(Special Purpose Paths)
119 -- CUMULATIVE RESERVE FUND #3390 -------- 11 ,034
(Library Improvements)
122 -- COMPREHENSIVE EMPLOYMENT TRAINING FUND 3 ,456
124 -- CUMULATIVE RESERVE FUND #2518 -------- 470
(Municipal Arts)
- I
. ORDINANCE NO. - Cont .
(A) - Cont .
125 -- MUNICIPAL ARTS FUND 0% FOR ART) ----- $ 4 , 750
126 -- GREEN RIVER WILDLIFE FUND ------------ 1 , 788
127 -- CABLE COMMUNICATIONS DEVELOPMENT FUND 4 , 294
199 -- FEDERAL REVENUE SHARING FUND --------- 514 , 868
202 -- 1967 LIMITED G.O. BOND FUND ---------- 164 ,953
(Municipal Building)
205 -- 1974 ADVANCE REFUNDING LIMITED G.O.
BOND FUND (Park Property/Branch Library) 148, 751
207 -- 1978 LIMITED G.O. BOND FUND (Sr. Center) 129, 176
208 -- 1.980 UNLIMITED G.O. BOND FUND -------- 1 , 140, 231.
(Coulon Beach Park) Excess Tax Levy
209 -- 1981 LIMITED G.O. BOND FUND ---------- 162,000
(Municipal Facility)
301 -- STREET FORWARD THRUST FUND ----------- 4 ,3291250
305 -- LAKE WASHING'T'ON BEACH FORWARD
THRUST FUND ------------------------- 14 , 715
315 -- COULON BEACH CONSTRUCTION FUND ------- 6 ,325, 274
316 -- CITY SHOP RELOCATION FUND ------------ 897,244
317 -- MUNICIPAL FACILITY CONSTRUCTION FUND - 1 ,800,000
401 -- WATERWORKS UTILITY FUND -------------- 3 ,452, 395
402 -- AIRPORT FUND ------------------------- 446 ,224
415 -- 1975 WATER &. SEWER CONSTRUCTION FUND - 613, 239
501 -- EQUIPMENT RENTAL FUND ---------------- 610, 397
601 -- FIREMEN 'S PENSION FUND --------------- 718,495
602 -- LOCAL IMPROVEMENT GUARANTY FUND ------ 144,000
608 -- UNEMPLOYMENT COMPENSATION FUND ------- -0-
TOTAL ORDINARY EXPENDITURES (A) . 1. . $38,055, 204
(B) Receipts from sources other than taxation. . . $20,297, 737
Add surpluses carried over from previous year 12,950,636
TOTAL TO BE RAISED BY TAXATION:
General Levy ---- $3,676 ,837
Excess Levy ----- 1 , 129,994. . . . . 4,806,831
TOTAL BUDGET FOR EXPENDITURES (A)
AND RECEIPTS (B) . . . . . . . . . . . $38,055,204
SECTION III : A copy of the Budget as herein adopted shall be
transmitted to the Office of the State Auditor, Division of Municipal
Corporations, and such other governmental agencies as provided by law.
SECTION IV: This Ordinance shall be effective on and after its
passage, approval and five days after its publication.
PASSED BY THE CITY COUNCIL this lst day of December 1980.
Delores A. Mead, City Clerk
APPROVED BY THE MAYOR this y�1st- day of December 1980.
Appro ed as to,-So m:
Barbara Y. Shinpoch, Mayor
1
Lawrence J. WaYren, City Attorney
Date of Publication: December 10, 1980 4.
AMENDMENTS TO THE 1981 CITY OF RENTON BUDGET
_ s
EXPENDITURES REVENUES
1 ) CURRENT FUND REVENUE
Page 2, a/c 316.20.11 , Amusement Tax.
Levy 5% Amusement Tax on all paid admissions at
Longacres Race Track, rather than 11t now levied per
paid admission. Increase Current Fund Revenue $10,000 --- $ --- $ 10,000 +
2) AIRPORT FUND
a. Page 420 - Add a Capital Construction Reserve account
to Capital Outlay and allocate $20,000 --------------- 20,000 + ---
b. Page 414 - Add $10,000 to Airport Salaries and
Benefits for part time help -------------------------- 10,000 + ---
c. Page 421 - Reduce a/c 501 , Ending Fund Balance
by $30,000, to keep the fund balanced ---------------- 30,000 - ---
3) GENERAL SERVICES/CURRENT FUND
Page 331 - Add $1 ,200 to a/c 64.00 Machinery & Equipment,
to replace 8 Council chairs (REFER TO AMENDMENT #13) - -- 1 ,200 + ---
4) POLICE RESEARCH/TRAINING/CURRENT FUND
Page 227 - Add $3,501 to a/c 31 .45 Professional Services
for Police Firearms Simulator training program. (S.M.E. -
Synthesized Media Environment) --------------------------- 3,501 + ---
5) LEGAL SERVICES/CURRENT FUND
Page 153 - Add $5,000 to a/c 31 .37 Legal Professional
Services , for codification update - legal review -------- 5,000 + ---
6) PLANNING ADMINISTRATION/CURRENT FUND
a. Page 160 & 161 - Delay hiring Floating Secretary for
one month in 1981 : Cut a/c 11 .00 Salaries ---- $1 ,244
Cut a/c 13.01 Retirement -- 99
Cut a/c 13.02 FICA -------- 57
Total Reduction -------- $1 ,400 1 ,400 - ---
b. Page 164 - Increase a/c 64.00 Machinery & Equipment
by $1 ,400, for word processing viewing screen -------- 1 ,400 + =--
7) PARK FACILITIES/PARK FUND
a. Page 455 & 456 - Reduce Salaries & Benefits
(Reserve for Promotions) --------------------- $ 4,482
b. Page 463 & 464 - Reduce Park Facilities
Part Time Salaries & Benefits ---------------- 13,000
Total Reduction ------- $17,482 17,482 - ---
c. Page 455 & 456 - Add new full time Laborer
position to Park Facilities Salaries, & Benefits ------ 17;482 +
8) POLICY DECISION/TRAVEL
Travel money is to remain in individual budgets, rather
than in Mayor's Budget. Mayor is to give permission for
out-of-state travel , rather than requiring Council
authorization. Mayor also to approve in-state travel .
- l- Amendments
AMENDMENTS TO THE 1981 CITY OF RENTON BURET - Cont.
w�
EXPENDITURES REVENUES
9) MUNICIPAL ARTS COMMISSION/CURRENT FUND
MUNICIPAL ARTS FUND 1% FOR ART
a. Include in the 1981 Budget, special revenue fund
known as "City of Renton Municipal Arts Fund," to
account for 1% for art monies; fund established per
Ordinance #2969.
b. Page 9 - Current Fund Revenue. Reduce Current Fund
a/c 301 Beginning Fund Balance by $4,750 ------------ $ --- $ 4,750 -
c. Increase Municipal Arts Fund (1% for art) , a/c 301
Beginning Fund Balance by $4,750 (Revenue) ---------- --- 4,750 +
d. Page 93 - Reduce Municipal .Arts Commission Budget
(Current Fund) by the following 1% for art amounts:
* Allocation for art; South End Fire
Station #13 (page 93, a/c 64.00) --------- $2,500
* Allocation for art; Burnett Linear
Park (page 93, a/c 64.00) ---------------- 2,250
Total Reduction ------- $4,750 4,750 - ---
e. Add above items to Municipal Arts Fund (1% for art) ,
a/c 64.00 Machinery & Equipment (expenditure budget) 4,750 + ---
NOTE: TheAe wilt be $340 1% jot atc t money .Eei.t in .the .the
1980 Munic i.pat Atm Budget/CukAent Fund; .to be tPLanb6e4Aed in
1980 and appAopAiated in 1981 (by OAd.inance) .to .the Muni pat
AAtz Fund/1% 6oA Att.
10) LEGISLATIVE SERVICES (COUNCIL)/CURRENT FUND
Page 68 - Increase a/c 33.01 Travel/Conferences & Schools
by $4,500 to bring total allocation for Council Travel
to $7,000 ----------------------------------------------- 4,500 + ---
11 ) JUDICIAL (MUNICIPAL COURT)/CURRENT FUND
Page 77 - Increase a/c 64.00 Machinery & Equipment by
$2,000; increases allocation for recording equipment
to $5,000 ----------------------------------------------- 2,000 + ---
12) CIVIL SERVICE COMMISSION/CURRENT FUND
Page 317 & 318 - Increase Civil Service Secretary/Chief
Examiner's Salary & Benefits from $5,588 to $7,115.
Add $1 ,527 to Salaries & Benefits (part time position) -- 1 ,527 + ---
Add to Salaries a/c 11 .00 ---------------- $1 ,431
Add to FICA a/c 13.02 -------------------- 96
Total Increase -------- $1 ,527
13) GENERAL SERVICES/CURRENT FUND
Page 331 - Re-upholster 8 Council chairs rather than
replace them; cost - 8 chairs @ $106 each = $848.
Reduce $1 ,200 allocation to replace chairs (AMENDMENT #3)
by $352, leaving a total of $848 to re-upholster c as rs.
(a/c 64.00, Machinery & Equipment) ---------------------- 352 - ---
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