HomeMy WebLinkAboutORD 5584CITY OF RENTON, WASHINGTON
ORDINANCE NO. 5584
AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON, AMENDING THE CITY
OF RENTON FISCAL YEAR 2010 ANNUAL BUDGET AS ADOPTED BY ORDINANCE
5510 AND THEREAFTER AMENDED BY ORDINANCES 5536 AND 5548.
WHEREAS, on November 23, 2009, the City Council adopted Ordinance 5510 approving
the City of Renton's 2010 Annual Budget; and
WHEREAS, on April 26, 2010, the City Council adopted Ordinance 5536 carrying forward
funds appropriated in 2009, but not expended in 2009, due to capital project interruptions and
delays in invoice payments, that needed to be carried forward and appropriated for
expenditure in 2010; and
WHEREAS, on August 9, 2010, the City Council adopted Ordinance 5548, modifying the
City's revenue projections and appropriations for 2010 due to current economic conditions; and
WHEREAS, additional grants and other activities have been considered and approved by
the Council which require additional adjustments to the 2010 budget;
NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF RENTON, WASHINGTON, DOES
ORDAIN AS FOLLOWS:
SECTION I. Ordinances 5510, 5536, and 5548 establishing the City of Renton's 2010
Annual Budget are hereby amended in the amount of $4,852,225 for an amended total
appropriation of $262,396,683.
SECTION II. A summary budget adjustment by fund is hereby attached as Exhibit A.
A detailed list of adjustments is available for public review in the Office of the City Clerk, Renton
City Hall.
ORDINANCE NO. 5584
SECTION III. This ordinance shall be effective upon its passage, approval, and five (5)
days after publication.
PASSED BY THE CITY COUNCIL this 6th day of December 2010.
Bonnie I. Walton, City Clerk
APPROVED BY THE MAYOR this 6th day of December 2010.
Approved as to form:
X- —•' { ,j j wry T"~"£l S, *
Denis Law, Mayor
u.. •
Lawrence J. Warren, City Attorney \ <
Date of Publication: 12/10/2010 (summary)
ORD:1683:ll/9/10:scr
ORDINANCE NO. 5 584
Exhibit A: 2010 Year End Budget Adjustment Summary by Fund
2010 Final Budget Adjustment Request Analysis/Summary
| BEGINNING FUND BALANCE | I EXPENDITURES END FUND BALANCE
Fund/
000 GENERAL
001 COMMUNITY SERVICES
003 STREETS
004 COMMUNrTY DEVELOPMENT BLOCK GRANT
005 MUSEUM
006 LIBRARY
009 FARMERS MARKET
010 FIREAND EMERGENCY SVC MEMORIAL
011 FIREAND EMERGENCY SVC HEALTH & WELLNESS
031 PARK MEMORIAL
201 1997 LIM GO BONDS-CITY HALL
215 GENERAL GOVERNMENT MISC DEBT SVC
Total General Governmental Funds
102 ARTERIAL STREETS
1 08 LEASED CITY PROPERTIES
110 SPECIAL HOTEL-MOTEL TAX
118 CUM 2755 (PATHS/TRAILS)
125 ONE PERCENT FOR ART
127 CABLE COMMUNICATIONS DEVELOPMENT
135 SPRINGBROOK WETLANDS BANK
219 1989 UNLM GO BONDS-SR HOUSING
303 COMMUNITY SERVICES IMPACT MmGATION
304 FIRE IMPACT MmGATION
305 TRANSPORTATION IMPACT MITIGATION
316 MUNICIPAL FACILITIES CIP
317 CAFTTAL IMPROVEMENT
318 SOUTH LAKE WA INFRASTRUCTURE PROJECT
326 HOUSING OPPORTUNITY
402 AIRPORT OPERATIONS
403 SOLD WASTE UTILFTY
404 MUNICIPAL GOLF COURSE SYSTEM
405 WATER OPERATIONS
406 WASTEWATER OPERATIONS
407 SURFACE WATER OPERATIONS
416 KING COUNTY METRO
422 AIRPORT CAPITAL IMPROVEMENT
424 MUNICIPAL GOLF COURSE SYSTEM CIP
425 WATER CIP
426 WASTEWATER CIP
427 SURFACE WATER CIP
471 WATERWORKS RATE STABILIZATION
501 EQUIPMENT RENTAL
502 INSURANCE
503 INFORMATION SERVICES
504 FACILITIES
505 COMMUNICATIONS
512 HEALTHCARE INSURANCE
522 LEOFF1 RETIREES HEALTHCARE
611 FIREMENS PENSION
Total Other Funds
TOTAL ALL FUNDS
2010 Adjusted Fund Bal
8,535,013
958,009
1,391,648
(6,528)
64,705
706,011
60,571
936
4,303
175,066
1,448
64,103
11,955,285
200,686
837,613
247,828
3,264
143,796
89,391
459,528
79,340
1,066,593
2,363,522
2,167,133
6,933,186
2,892,341
114,039
201,653
415,929
326,034
798,278
4,294,833
1,887,815
2,448,845
46,504
633,154
287,523
2,862,275
841,219
1,533,997
15,605
4,593,399
6,039,509
1,647,931
91,175
111,818
4,792,452
2,820,473
4,332,817
58,621,498
70,576,783
2010 Budgeted
Revenue
74,693,168
9,557,924
7,456,240
532,635
192,621
1,888,252
44,280
-
25,000
2,033,177
9,160,859
105,584,156
620,000
1,669,586
245,000
35,000
85,000
-
-
60,000
100,000
200,000
1,333,553
31,352,042
-
-
1,917,163
15,027,000
2,483,545
11,316,910
6,065,737
5,788,148
11,211,935
1,578,000
150,000
3,460,000
3,153,781
4,037,009
3,631,241
3,287,584
4,194,774
4,705,475
1,049,671
12,358,471
2,235,684
300,000
133,652,309
239,236,465
Changes
85,664
17,075
22,676
-
-
252,493
377,908
-
-
"
-
-
-
-
-
30,000
-
-
-
-
109,538
1,875,000
53,156
251,548
-
-
98,440
7,500
-
2,425,182
2,803,090
2010 Adjusted
Revenue
74,778,832
9,574,999
7,456,240
555,311
192,621
1,888,252
44,280
-
25,000
2,033,177
9,413,352
105,962,064
620,000
1,669,586
245,000
35,000
85,000
-
-
60,000
100,000
200,000
1,363,553
31,352,042
-
-
1,917,163
15,136,538
4,358,545
11,370,066
6,065,737
6,039,696
11,211,935
1,578,000
150,000
3,460,000
3,153,781
4,135,449
3,638,741
3,287,584
4,194,774
4,705,475
1,049,671
12,358,471
2,235,684
300,000
136,077,491
242,039,555
2010 Budgeted
Expenditure
72,750,777
10,492,749
8,549,762
532,227
194,120
2,607,263
34,311
-
25,000
1,984,625
9,123,514
106,294,348
620,000
1,511,561
310,000
50,000
85,674
-
79,340
-
560,000
1,810,000
7,681,771
33,183,734
114,000
200,000
1,001,800
15,037,130
2,566,837
11,712,205
6,837,864
6,695,464
11,211,935
1,831,485
302,499
5,510,000
3,995,000
5,450,000
3,414,047
4,170,106
4,841,706
4,326,200
877,560
12,462,810
2,248,907
550,475
151,250,110
257,544,458
Changes
1,948,592
14,875
23,083
-
"
252,493
2,239,043
143,000
-
_
-
-
-
-
-
30,000
-
-
-
-
109,538
1,875,000
-
199,500
105,204
-
98,440
7,500
45,000
2,613,182
4,852,225
2010 Adjusted
Expenditure
74,699,369
10,507,624
8,549,762
555,310
194,120
2,607,263
34,311
-
25,000
1,984,625
9,376,007
108,533,391
620,000
1,654,561
310,000
50,000
85,674
-
79,340
-
560,000
1,810,000
7,711,771
33,183,734
114,000
200,000
1,001,800
15,146,668
4,441,837
11,712,205
6,837,864
6,894,964
11,211,935
1,936,689
302,499
5,510,000
3,995,000
5,548,440
3,421,547
4,170,106
4,841,706
4,326,200
922,560
12,462,810
2,248,907
550,475
153,863,292
262,396,683
Ending Fund
Balance
8,614,475
25,385
298,126
(6,527)
63,206
(13,000)
70,540
936
4,303
175,066
50,000
101,448
9,383,958
200,686
852,638
182,828
3,264
128,796
88,717
459,528
-
1,126,593
1,903,522
557,133
584,968
1,060,649
39
1,653
1,331,292
315,904
714,986
3,952,694
1,115,688
1,593,577
46,504
274,465
135,024
812,275
-
121,006
15,605
4,810,593
5,156,987
1,000,999
470,450
238,929
4,688,113
2,807,250
4,082,342
40,835,697
50,219,655
Reserved/
Designated
(1,544,954)
(137,832)
(175,066)
(1,857,852)
(1,955,020)
(838,706)
(497,632)
(5,275,000)
(3,738,843)
(674,672)
(4,082,342)
(17,062,215)
(18,920,067)
Available Fund
Balance
7,069,521
25,385
298,126
(6,527)
63,206
(150,832)
70,540
936
4,303
50,000
101,448
7,526,106
200,686
852,638
182,828
3,264
128,796
88,717
459,528
-
1,126,593
1,903,522
557,133
584,968
1,060,649
39
1,653
1,331,292
315,904
714,986
1,997,674
276,982
1,095,945
46,504
274,465
135,024
812,275
-
121,006
15,605
4,810,593
(118,013)
1,000,999
470,450
238,929
949,270
2,132,578
23,773/482
31,299,587