HomeMy WebLinkAboutORD 3587 ,,
CITY OF RENTON, WASHINGTON
ORDINANCE NO. 3587
AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON,
ADOPTING AN ANNUAL BUDGET FOR THE YEAR 1982
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 1982 heretofore prepared and filed with the City Clerk',
as modified and approved by vote of the City Council of the City of
Renton on December 7, 1981 , 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 1982, 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" . Ordinance No. 3580 adopted under date of October 19,
1981 , fixed the amount of tax levies necessary for the year 1982.
SECTION II : The following total sums for expenditures are
hereby allowed and established in each of the following funds in said
1982 Budget , to wit :
(A) 000 -- CURRENT FUND -------------------- $109985, 461
101 -- PARK FUND ------------------------- 2, 704, 373
102 -- ARTERIAL STREET FUND -------------- 6799080
103 -- STREET FUND ----------------------- 2,098,360
106 -- LIBRARY FUND ---------------------- 490,580
107 -- CONTINGENCY FUND ------------------ 625, 236
108 -- CUMULATIVE RESERVE FUND #1894 ----- 15,400
(Municipal Buildings)
109 -- CUMULATIVE RESERVE FUND #1698 ----- 519024
(Fire Equipment)
110 -- CUMULATIVE RESERVE FUND #1689 ----- 89,040
(Park Property)
111 -- CUMULATIVE RESERVE FUND #3278 ----- -0-
(Unemployment Compensation)
112 -- CUMULATIVE RESERVE FUND #2104 ----- 158 ,700
(Park Equipment)
113 -- CUMULATIVE RESERVE FUND #2283 ----- 2, 200
(Beautification of Public Property)
114 -- CUMULATIVE RESERVE FUND #2373 ----- 13,800
(Underground Wiring)
115 -- CUMULATIVE RESERVE FUND #3362 ----- 11 ,000
(Storm Sewers)
116 -- CUMULATIVE RESERVE FUND #3421 ----- 70,900
(Sewer Line/Honeycreek-Kennydale)
117 -- CUMULATIVE RESERVE FUND #3467 ----- 28,617
( Insurance Reserve)
118 -- CUMULATIVE RESERVE FUND #2755 ----- 2,234
(Special Purpose Paths)
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q' .
CITY OF RENTON, WASHINGTON
ORDINANCE NO. 3587 - Cont.
(A) - Cont.
119 -- CUMULATIVE RESERVE FUND #3390 ---- $ 13, 552
(Library Improvements)
121 -- CUMULATIVE RESERVE FUND #3547 ---- 453,000
(Community Facilities Charges)
124 -- CUMULATIVE RESERVE FUND #2518 ---- 550
(Municipal Arts)
125 -- MUNICIPAL ARTS FUND ( 1% FOR ART) - 10,580
1.26 -- GREEN RIVER WILDLIFE FUND -------- 1 , 840
127 -- CABLE COMMUNICATIONS DEVELOPMENT FUND 20,300
199 -- FEDERAL REVENUE SHARING FUND ----- 1 ,063,366
202 -- 1967 LIMITED G.O. BOND FUND ------ 145,250
(Municipal Building)
205 -- 1974 ADVANCE REFUNDING
LIMITED G.O. BOND FUND ---------- 72, 188
(Park Property/Branch Library)
207 -- 1978 LIMITED G.O. BOND FUND ------ 131 , 139
(Senior Center)
208 -- 1980 UNLIMITED G.O. BOND FUND ---- 1 ,027, 286
(Coulon Beach Park) Excess Tax Levy
209 -- 1982 LIMITED G.O. BOND FUND ------ -0-
(Municipal Facilities)
301 -- STREET FORWARD THRUST FUND ------- 5,099,600
305 -- LAKE WASHINGTON BEACH
FORWARD THRV.15T.FUND ------------- -0-
315 -- COULON BEACH CONSTRUCTION FUND --- 4, 167,925
316 -- MUNICIPAL FACILITIES
CONSTRUCTION FUND --------------- 913,800
401 -- WATERWORKS UTILITY FUND ---------- 4,017,800
402 -- AIRPORT FUND --------------------- 671 ,660
415 -- 1975 WATER & SEWER CONSTRUCTION FUND 372, 200
501 -- EQUIPMENT RENTAL FUND ------------ 1 ,029,600
601 -- FIREMEN' S PENSION FUND ----------- 927,651
602 LOCAL IMPROVEMENT GUARANTY FUND -- 181 ,000
608 -- UNEMPLOYMENT COMPENSATION FUND --- 38,360
TOTAL ORDINARY EXPENDITURES (A) . . . . . . . $38,384,652
(B) Receipts from sources other than taxation $23, 557,051
Add Surpluses carried over from
previous year . . . . . . . . . . . . . 9,859,804
TOTAL TO BE RAISED BY TAXATION:
General Levy ---- $4, 355,067
Excess Levy ----- 612, 730 . . . . . 4,967,797
TOTAL BUDGET FOR EXPENDITURES (A)
AND RECEIPTS (B) . . . . . . . . . . . . . . $38,384,652
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CITY OF RENTON, WASHINGTON
ORDINANCE NO. 3587 - Cont .
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 7th day of December 1981.
Delores A. Mead, C. . , City Clerk
APPROVED BY THE MAYOR this 7th day of December 1981.
14MIJ ,Jt� S� Ck,
Barbara V- ' Shinpoch, Mayor
p
Approved as to form:
Lawrence J. Warren, City Attorney
Date of Publication : December 11, 1981
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,, - AMENDMENTS TO THE 1982 CITY OF RENTON BUDGET
EXPENDITURES REVENUES
1 ) BUILDING/ZONING DEPARTMENT TRAVEL
Transfer 200 from Policy Development Department (Planning
Travel , page 161 , a/c 33.22 (leaves balance of $1 ,225). $ 200 -
Transfer $200 to Building/Zoning Department Travel ,
page 277, a/c 83.32 (increases Travel to $600) 200 +
2) MUNICIPAL COURT PART TIME HELP
Transfer $1 ,609 from Executive Professional Services,
page 82, a/c 31 .28 Tleaves balance of $3,391 ) . 1 ,609 -
Transfer $1 ,609 to Municipal Court Part Time Help
Division, page 78:
a/c 11 .00 Salaries ------------------- $1 ,500
a/c 13.02 FICA ----------------------- 101
a/c 13.05 Industrial Insurance ------- 8
Total ----------------- $1 ,609 1 ,609 +
3) TRANSFER TYPEWRITER SERVICE CONTRACT FROM POLICY
DEVELOPMENT DEPARTMENT TO MUNICIPAL COURT
Proposed that 1 typewriter be transferred from Policy
Development Department to Municipal Court. Transfer
1 typewriter service contract ($110, a/c 38.00, page 161 ) 110 -
from Policy Development to Municipal Court, a/c 38.00,
page 74. 110 +
4) NEWLY ELECTED COUNCIL MEMBERS' BENEFIT ADJUSTMENTS
Page 65, Legislative Services Budget:
a/c 13.01 Retirement --- Cut --------- $ 429
a/c 13.03 Medical ------ Cut --------- 1 ,935
a/c 13.09 Dental ------- Cut --------- 456 �►
Total ----------------- $2,820 2,82W"-
5)
,82W"5) REINSTATE UNIFORM ALLOWANCE/PARKS FACILITIES
Parks Administration: Transfer 950 from Travel ,
a/c 33.35, page 438 (leaves balance of $150) ; and
transfer $550 from Memberships/Registrations, a/c 42.12,
page 439 (leaves balance of $200). Total - $1 ,500. 1 ,500 -
Park Facilities: Transfer $1 ,500 to a/c 14.00, page 455,
for Uniform Allowance. 1 ,500 +
6) REINSTATE BUFFER/PARKS GENERAL SERVICES
Transfer $1 ,575 from Highlands Administration Building 1 ,575 -
Repairs, a/c 38.08, page 480 (leaves balance of $23,425) ;
transfer $1 ,575 to Machinery & Equipment, a/c 64.00, 1 ,575 +
page 481 , to provide funding for 1 high speed buffer.
s�
.A-MENOMENTS TO THE 1982 .CITY OF RENTON BUDGET - Cont.
EXPENDITURES REVENUES
7) PARKS LANDSCAPING PART TIME HELP
Transfer $3,347 from Street Maintenance Seasonal Help
Division, page 347:
a/c 11 .00 Salaries ------------------- $3,000
a/c 13.02 FICA ----------------------- 201
a/c 13.05 Industrial Insurance ------- 146
Total ---------:------- 3,347 $ 3,347 -
Establish Parks Part Time Landscaping Division and
transfer $3,347 to:
a/c 11 .00 Salaries ------------------- $3,000
a/c 13.02 FICA ----------------------- 201
a/c 13.05 Industrial Insurance ------- 146 3,347 +
Total ----------------- $3,347
NOTE: Reduces Street Fund To-tae. by $3,347 and
i)tctc.ec_6u Parch. Fund Tota.2 by $3,347.
8) TRAFFIC ENGINEERING/SUNSET-UNION CHANNELIZATION PROJECT
Add $16,500 toProgram 010, page 374, Sunset-Union
Channelization, (Sunset Square) . 16,500 +
Increase Street Fund Revenue $16,500; Environmental
Review Committee Fees (ERC) . 16,500 +
9) AIRPORT CONSTRUCTION RESERVE
Add $30,000 to a/c 63.46, page 413, Airport Construction 30,000 +
Reserve, bringingtotal to $50,000.
Reduce Airport Ending Fund Balance, a/c 501 .00, page 415,
by $30,000 30,000 -
10) AIRPORT EQUIPMENT RENTAL
Airport purchased a 1981 John Deere Tractor/Mower which
is now to be under the Equipment Rental Fund. r
Increase Equipment Rental a/c 39.02, pg. 411 in the
amount of $2,280. 2,280 + ,
Reduce Airport Ending Fund Balance, a/c 501 .00, pg. 415,
by $2,280. 2,280 -
11 ) LEGISLATIVE SERVICES/CITY REPORT
r Add $2,820 to a/c 35.00, page 66, Printing & Binding,
�15. for City Report (increases Printing & Binding to $4,320) 2,820 +
R",
TOTAL AMENDMENTS #1 THROUGH #11 . . . . . . . . . . . . . . . . $ 16,500 + $ 16,500 +
TOTAL 1982 MAYOR'S RECOMMENDED BUDGET . . . . . . . . . . . . . 38,368,152 38,368,152
TOTAL 1982 CITY OF RENTON BUDGET AS AMENDED $38,384,652 1 $38,384 ,652