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HomeMy WebLinkAboutORD 4926CITY OF RENTON, WASHINGTON ORDINANCE NO. 4 92 6 AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON, PROVIDING FOR THE 2001 YEAR END BUDGET ADJUSTMENTS. SECTION I. The following funds are hereby amended as follows: Fund No. Fund Description 2001 Adjusted Budget Budget Adjustment 2001 Amended Budget 000 General Fund $45,095,905 $225,000 $45,320,905 104 Community Development Block Grant Fund 322,575 50,900 373,475 125 1% for Art 13,200 29,000 42,200 127 Cable Communications Fund 30,500 20,000 50,500 215 General Governmental Debt Service 1,504,511 30,000 1,534,511 316 Municipal Facilities CIP 9,176,585 40,000 9,216,585 403 Solid Waste Utility Fund 9,428,450 98,000 9,526,450 401 Waterworks Utility Fund 19,146,024 110,000 19,256,024 404 Golf Course Fund 2,416,254 35,000 2,451,254 451 Waterworks Revenue Bond Fund 3,217,380 4,000,000 7,217,380 TOTAL ADJUSTMENTS $4,637,900 TOTAL UNANTICIPATED REVENUE, TRANSFER OF FUNDS AND FUND BALANCE $4,637,900 SECTION II. The monies for the budget adjustments shown in Section I are derived from the following sources. Fund No. Detail Budget Adjustment Source 000 Unanticipated retirement payout to employees and State Retirement System. $200,000 Fund Balance 000 Increased Municipal Court prosecutions. 25,000 Fund Balance 104 Increased operating costs CDBG Housing Assistance Program 900 Grant Revenue 1 ORDINANCE NO. 4 92 6 (Section II - continued) Fund No. Detail Budget Adjustment Source 104 Cash advance due to delayed grant reimbursements 50,000 Transfer from Fund 000 125 Legacy Art and Art Program 29,000 Revenue and Fund Balance 127 Infochannel Hardware and Software 20,000 Fund Balance 215 Parking Garage Debt Service 30,000 Fund Balance 316 Upgrade pubhc address system at the Renton Senior Activity Center 40,000 Fund Balance 401 2001 Reclassifications 50,000 Fund Balance 401 King County Decant Program 30,000 Fund Balance 401 Purchase GPS Equipment in 2001 30,000 Fund Balance 403 King County Waste Management Optional Program 45,000 Grant Revenue 403 LHWMP Grant Program 12,000 Grant Revenue 403 Coordinated Prevention Grant 41,000 Grant Revenue 404 Maplewood Golf Course Regrade Project 35,000 Fund Balance 451 Transfer to 421 Utility Construction Fund 4,000,000 Fund Balance TOTAL $4,637,900 SECTION III. This ordinance shall be effective upon its passage, approval, and five days after publication. PASSED BY THE CITY COUNCIL this 3rd day of December 2001. APPROVED BY THE MAYOR this 3rd day of December , 2001. 2 ORDINANCE NO. 4926 Approved as to form: Lawrence J. Warren/City Attorney Date of Publication: 12/7/2001 ORD.945:ll/21/01:ma 3