HomeMy WebLinkAboutORD 3866 i
CITY OF RENTON, WASHINGTON
ORDINANCE NO. 3866
AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON, ADOPTING
THE ANNUAL BUDGET FOR THE YEAR 1985
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
1985, 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 3, 1984, 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 1985,
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 as
Exhibit 'A Ordinance No. 3863, adopted under the date of November 26, 1984,
fixed the amount of tax levies necessary for the year 1985.
SECTION II: The following total sums for expenditures are hereby allowed
and established in each of the- following funds in said 1985 Budget, to-wit:
(A) 000 - CURRENT FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .$11,602,795
101 - PARK FUND. . . . . . . . . 3,404,216
102 - ARTERIAL STREET FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1,257,569
103 - STREET FUND. . . . . . . . . . . . . . . . . . . . . . . . . ... . . . . . . . . . . . . . . . . . . . . . . 2,128,393
106 - LIBRARY FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 603,028
107 - CONTINGENCY FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 409,074
108 - CUMULATIVE RESERVE FUND #1894 (Municipal Buildings) . . . . . . . . . 56,300
109 - CUMULATIVE RESERVE FUND #1698 (Fire Equipment) . .. . . . . . . . . . . . 100,500
110 - CUMULATIVE RESERVE FUND #1689 (Park Property) . . . . . . . . . . . . . . . 1,600
112 - CUMULATIVE RESERVE FUND #2104 (Park Equipment) . . . . . . . . . . . . . . 150,700
113 - CUMULATIVE RESERVE FUND #2283 (Beautification) . . . . . . . . . . . . . . 3,300
114 - CUMULATIVE RESERVE FUND #2373 (Underground Wiring) . . . . . . . . . . 17,600
116 - CUMULATIVE RESERVE FUND #3421 (Sewer Line/Honeycreek -
Kennydale) . : . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 68,400
118 - CUMULATIVE RESERVE FUND #2755 (Special Purpose Paths) . . . . . . . 5,100
119 - CUMULATIVE RESERVE FUND #3390 (Library Improvements) .. . . . . . . 16,800
120 - CUMULATIVE RESERVE FUND #3661 (4% Real Estate Transfer Fee) . 599,000
121 - CUMULATIVE RESERVE FUND #3547 (Community Facilities Charge) . 79,000
CITY OF RENTON, WASHINGTON
ORDINANCE NO. 3866 - continued
(A), 123 - CUMULATIVE RESERVE FUND #3611 (Employee Medical Benefits) . . .$ 243000
124 - CUMULATIVE RESERVE FUND #2518 (Municipal Arts) . . . . . . . . . . . . . . 715
125 - 1% FOR ART FUND (Municipal Arts) . . . . . . . . . . . . . . . . . ... . . . . . . . . . 8,400
126 - GREEN RIVER WILDLIFE FUND.. . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2,200
127 - CABLE COMMUNICATIONS DEVELOPMENT FUND. . . . . . . . . . . . . . . . . . . . . . . 121,800
128 - CUMULATIVE RESERVE FUND #3665 (Utility Connection Charges) . . 540,000
199 - FEDERAL REVENUE SHARING FUND.,. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 763,762
207 - 1978 LIMITED GENERAL OBLIGATION BOND FUND (Senior Center) . . . 73,000
211 — 1983 LIMITED REFUNDING GENERAL OBLIGATION BOND FUND
(City Shop).. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 313,800
213 - 1983 UNLIMITED REFUNDING GENERAL OBLIGATION BOND FUND
(Coulon Beach Park) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 842,400
215 - GENERAL GOVERNMENT MISCELLANEOUS DEBT SERVICE FUND. . . . : . . . . . 327,544
301 - STREET FORWARD THRUST FUND. . . . . . . . . . . . . . 3,866,500
315 - COULON BEACH PARK CONSTRUCTION FUND. . . . . . . . . . . . . . . . . . . . . . . . . 284,000
316 - MUNICIPAL FACILITIES CONSTRUCTION FUND (City Shop) . . . . . . . . . . 735,000
317 CAPITAL IMPROVEMENT FUND (CIP) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1,955,020
401 - WATER AND SEWER UTILITY FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 5,131,000
402 - AIRPORT FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1,123,000
403 - SOLID WASTE UTILITY FUND. . . . . . . 1,962,900
421 - WATER AND SEWER CONSTRUCTION FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . 3,808,000
501 - EQUIPMENT RENTAL FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1,832,000
502 - INSURANCE FUND. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2,162,000
601 - FIREMEN'S PENSION FUND. . . . . . . . . . . . . . 1,243,900
602 - LOCAL IMPROVEMENT GUARANTY FUND. . . . . . . . .. . . . . . . . . . . . . . . . . . ... 332,000
609 - TAN/OPERATING-CASH REQUIREMENTS FUND. . . . . . . . . . . . . . . . . . . . . . . . 55049,000
TOTAL ORDINARY EXPENDITURES (A) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .$53,005,316
(B) Receipts from. sources other than taxation. . . . . . . . . . . . 6 . . . . . . . . . . . 33,636,353
Add surpluses carried over from previous year. . . . . . . . . . . . . . . . . . . . . 13,075,650
Total to be raised by taxation:
General Property Tax Levy - $5,486,913
Excess Property Tax Levy -- 806,400. . . . . . . . . . . . . . . . . . . . . . 6,293,313
TOTAL BUDGET FOR EXPENDITURES (A) AND RECEIPTS (B) . . . . . . . . . . . . . . . .$53,005,316
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.
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I
CITY OF RENTON, WASHINGTON.
ORDINANCE NO. 3866 - continued
SECTION IV: This ordinance shall be effective upon its passage, approval ,
and five days after .publication.
PASSED BY THE CITY COUNCIL .this 3rd day of December, 1984.
Maxine E. Motor, City Clerk
APPROVED BY THE MAYOR this 3rd day of December, 1984.
Barbara Y. Shinpoch, Ma or
Approved as to form
Lawrence J. Wacrre -City.Attorney
Date of publication: December 7 , 1984
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i
Page 1 of 3
AMENDMENTS TO THE 1985 CITY OF RENTON BUDGET December 3, 1984
Amendment Expenditures. Revenues
1) CURRENT FUND/FINANCE DEPARTMENT - BUDGETING & ACCOUNTING $
A. Page 49, Item #2 - Cut retroactive portion of
reclassification for Accountant to Fund Accounting
Supervisor; reclassification effective 1/1/85 . . . . . . . . 414 -
$360 - 4 Months Salary Increase (9/1/84 - 12/31/84)
29 - Retirement on Increase
25 - FICA on Increase
$414 - Total Cut
B. Reduce Current Fund Property Tax allocation by $414
and transfer same to the Contingency Fund . . . . . . . . . . . . 414
C. Increase Contingency Fund Property Tax allocation
and Ending Fund Balance by $414 . . . . . . . . . . . . . . . . . . . . . . 414 + 414 +
2) CURRENT FUND/DOMESTIC ABUSE WOMEN'S NETWORK (DAWN)
A. Page 55, Item 3 - Reduce 1985 allocation for DAWN
from $10,000 to $7,500 - Total Cut of $2,500 . . . . . . . . . 2,500 -
B. Reduce Current Fund Property Tax allocation by $2,500
and transfer same to the Contingency Fund . . . . . . . . . . . . 2,500 -
C. Increase Contingency Fund Property Tax allocation
and Ending Fund Balance by $2,500 . . . . . . . . . . . . . . . . . . . . 2,500 + 2,500 +
3) CURRENT FUND/POLICY DEVELOPMENT DEPARTMENT
A. Page 81, Item #2 - Cut $10,000 for Commercial Study
and Market Analysis . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10,000
B. Reduce Current Fund Property Tax allocation by
$10,000 and transfer same to Contingency Fund . . . . . . . . 10,000 -
C. Increase Contingency Fund Property Tax allocation
and Ending Fund Balance by $10,000 . . . . . . . . . . . . . . . . . . . 10,000 + 10,000 +
4) CURRENT FUND/PERSONNEL DEPARTMENT - ADMINISTRATION
A. Page 110, Item #4 - Cut 3,000 for Employee
Recognition Program . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3,000 -
B. Reduce Current Fund Property Tax allocation by
$3,000 and transfer same to Contingency Fund . . . . . . . . . 3,000 -
C. Increase Contingency Fund Property Tax allocation
and Ending Fund Balance by $3,000 . . . . . . . . . . . . . . . . . . . . 3,000 + 3,000 +
F Page 2 of 3
AMENDMENTS TO THE 1985 CITY OF RENTON BUDGET December 341 1984
Amendment Expenditures Revenues
5) 1985 SALARY INCREASE (4.3%) FOR 21-R, POLICE GUILD,
POLICE NON-COMMISSIONED, MANAGEMENT AND EXEMPT EMPLOYEES
A. Page 65 - Transfer $332,407 from Contingency Fund
Ending Fund Balance and Property Tax allocation . . . . . . $ 332,407 - $ 332,407 -
B. Transfer $332,407 to the following tax supported funds
and increase Property Tax allocation in each fund
as follows:
000 - Current Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 216,221 + 216,221 +
101 - Park Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 54,705 + 54,705 +
103 - Street Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 44,981 + 44,981 +
106 - Library Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 16,500 + 16,500 +
C. 1985 Salary Increase in self-supporting funds-
Transfer from the Ending Fund Balance in each fund
to Salary and Benefit accounts as follows:
401 - Water & Sewer Utility Fund . . . . . . . . . . . . . . . . . . . . . 46,500 -
46,500 +
402 - Airport Fund . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7,321 -
7,321 +
501 - Equipment Rental Fund . . . . . . . . . . . . . . . . . . . . . . . . . . 4,728 -
4,728 +
6) CONTINGENCY FUND REVENUE AND EXPENDITURES (Page 65 & 67)
Property Tax General Levy calculations as
received from the King County Assessor . . . . . . . . $5,486,913
Property Tax (General Levy) as estimated in
the 1985 Preliminary Budget . . . . . . . . . . . . . . . . . . . -5,461,346
Increase Contingency Fund Property Tax
allocation and Ending Fund Balance . . . . . . . . . . . . $ +25,567 25,567 + 25,567 +
INFORMATION ONLY: Adjusted Contingency Fund as a result of
Amendments #1 - #6:
Total Contingency Fund as estimated in
1985 Preliminary Budget . . . . . . . . . . . . . . . . . . . . . . . . . . . . .$700,000
Amd. #1 - Transfer-in/Retro portion of Reclass . . . . . . +414
Amd. #2 - Transfer-in/Cut in DAWN allocation . . . . . . . . +2,500
Amd. #3 - Transfer-in/Cut Commercial Study . . . . . . . . . . +10,000
Amd. #4 - Transfer-in/Cut Employee Recognition Program +3,000
Amd. #5 - Transfer-out/1985 Salary Increase . . . . . . . . . -332,407
Amd. #6 - Transfer-in/Additional Property Taxes . . . . . +25,567
Total Contingency. Fund as Amended . . . . . . . . . . . . . . . . . . . $409,074
I
Page 3 of 3
AMENDMENTS TO THE 1985 CITY OF RENTON BUDGET December 3, 1984
Amendment Expenditures Revenues
7) AIRPORT AND WATER & SEWER CONSTRUCTION FUNDS
Correction to funding for Renton Avenue Sanitary Sewer
Project, as follows:
A. (Page 149, Item #4) - Airport Fund - Transfer $50,000
from Operating Transfers-Out to Ending Fund Balance.
No change in Airport Fund total . . . . . . . . . . . . . . . . . . . . . . $ --- $ ---
B. Water & Sewer Construction Fund Revenue - Cut $50,000
from Operating Transfers-In . . . . . . . . . . . . . . . . . . . . . . . . . . 50,000
C. (Page 145) - Water & Sewer Construction Fund - Cut
$50,000 from Ending Fund Balance . . . 50,000 -
Funding for Renton Avenue Sanitary Sewer Project
to be provided by Water & Sewer Construction funds.
TOTAL AMENDMENTS #1 THROUGH #7 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ 24,433 - $ 24,433 -
TOTAL 1985 MAYOR'S RECOMMENDED PRELIMINARY BUDGET . . . . . . . . . . . . 53,029,749 53,029,749
TOTAL 1985 CITY OF RENTON BUDGET AS AMENDED . . . . . . . . . . . . . . . . . . $53,005,316 $53,005,316
i
R NTON2 WASHINGTON
.aL
1
1985
PRELIMINARY
BUDGET
b
y
CITY OF RENTON 1985 PRELIMINARY BUDGET
CITY OF RENTON
' 1985 Preliminary Budget
' RECOMMENDED TO THE RENTON CITY COUNCIL
Robert J . Hughes, President
' Earl H . Clymer
Kathy A. Keolker
Nancy L. Mathews
' John W. Reed
Richard M. Stredicke
Thomas W. Trimm
t
BY THE STAFF OF THE CITY OF RENTON
' Barbara Y. Shinpoch, Mayor
' Michael J. Mulcahy, Finance Director
W. E . Bennett, Deputy Finance Director
Joan Pringle, Budget Supervisor
Linda Dixon, Budget Clerk
' Jane Mauch, Administrative Secretary
Deborah L. Willard, Printing Services
Dotty K I ingman, Secretary
Carolynne F. Lombard, Word Processing Secretary
Willis V. Roberts, Administrative Secretary
tPhilip A. Jewett, Data Processing Supervisor
Brenda M. Brink, Systems Analyst
Rosanne L. McPherson, Computer Operator
T
CITY OF RENTON 1985 PRELIMINARY BUDGET
TABLE OF CONTENTS PAGE
TITLE PAGE - ACKNOWLEDGEMENTS •'
MAYOR'S BUDGET MESSAGE iii-iv
CITY OF RENTON ORGANIZATIONAL CHART ............................................... v
BUDGET OVERVIEW:
1985 BUDGET HIGHLIGHTS .............................................................. 1
BACKGROUND FOR THE 1985 BUDGET:
I. THE ECONOMY AND THE CITY BUDGET ...................................... 2
II. CITY OF RENTON FINANCES - THE LAST FIVE YEARS ....................... 4
Ill. THE RECOVERY OF 1983 - 1984 .............................................. 6
IV. LOOKING TO THE FUTURE................•...•....•••...•.....••...•..•..••.. 6
V. FINANCIAL POLICIES 8
VI. ECONOMIC OUTLOOK FOR 1985 8
VII. BUDGET ASSUMPTIONS ....................................................... 11
' 1985 BUDGET SUMMARY ................................................................ 12
OPERATING PROGRAMS Summary and Source and Use of Funds ............................. 19
' CAPITAL PROGRAMS Summary and Source and Use of Funds ................................ 21
UTILITY PROGRAMS Summary and Source and Use of Funds ................................ 23
' OTHER PROGRAMS Summary and Source and Use of Funds .................................. 29
REVENUE DETAIL 34
EXPENDITURE DETAIL ..................................................................... 37
' INDEX OF FIGURES
Figure 1 Budget Process...................................... 3
Figure 2 Employment Trends .................................. 4
' Figure 3 Renton Retail Sales :::............................... 5
Figure 4 Building Permit Values. 5
Figure 5 Operating Deficits 7
Figure 6 Operating Fund Balances............................. 7
' Figure 7 Elastic Tax Revenues ................................ 9
Figure 8 Price Inflation Indicators.. 9
Figure 9 Source and Use of Funds - All Funds. 13
Figure 10 All Funds Summary by Year.......................... 15
Figure 11 Revenue and Expenditure Summary by Fund Group.... 17
' Figure 12 Full Time Equivalent Positions........................ 18
Figure 13 Source and Use of Funds - Operating Programs ....... 20
Figure 14 Source and Use of Funds - Capital Programs.......... 22
Figure 15 Source and Use of Funds - Water-Sewer Utility........ 24
' Figure 16 Source and Use of Funds - Airport ................... 26
Figure 17 Source and Use of Funds - Solid Waste Utility......... 28
Figure 18 Source and Use of Funds - Equipment Rental Fund.... 30
Figure 19 Source and Use of Funds - Insurance Fund ........... 32
Figure 20 Revenue Summary by Year ............................ 35
' Figure 21 Revenue Summary by Fund Group .................... 36
Figure 22 Departmental Expenditures. 37
II
' -i-
' it CITY OF RENTON 1985 PRELIMINARY BUDGET
I ' TABLE OF CONTENTS - Continued PAGE
EXPENDITURE DETAIL BY DEPARTMENT
iBUILDING AND ZONING DEPARTMENT...................................................... 103
CAPITAL IMPROVEMENT PROGRAM:
1 ARTERIAL STREET FUND.............................................................. 184
MISCELLANEOUS GENERAL GOVERNMENT PROGRAMS .................................. 177
PARK IMPROVEMENT PROGRAMS....................................................... 178
' STREET FORWARD THRUST FUND ............::::::::::::.......................... . 188
STREET TRAFFIC INPROVEMENT PROGRAMS.. 180
CONTINGENCY FUND (See Non-Departmental Section)
' CUMULATIVE RESERVE FUNDS (Included in related department section or Non-Departmental Section)
EXECUTIVE DEPARTMENT ................................................................. 43
FEDERAL RESERVE SHARING FUND (See Non-DepartmentalSection)
FINANCE DEPARTMENT.. ' • . 48
' FIRE DEPARTMENT........................................................................ 95
JUDICIAL DEPARTMENT . 40
LAND USE ADMINISTRATION DEPARTMENT ........ ........................................ 106
' LEGAL DEPARTMENT ...................................................................... 78
LEGISLATIVE DEPARTMENT ............................................................... 38
' LIBRARY DEPARTMENT ................................................................... 172
NON-DEPARTMENTAL, MISCELLANEOUS, DEBT SERVICE:
DEBT SERVICE........................................................................ 72
GENERAL GOVERNMENT MISCELLANEOUS DEBT SERVICE FUND
GENERAL OBLIGATION BOND FUNDS
' TAN/OPERATING CASH REQUIREMENTS FUND
MISCELLANEOUS FUNDS. 65
' CONTINGENCY FUND
CUMULATIVE RESERVE FUNDS (Not directly related to a specific department)
FEDERAL REVENUE SHARING FUND
FIREMEN'S PENSION FUND
INSURANCE FUND
LOCAL IMPROVEMENT (L.1.) GUARANTY FUND
UNEMPLOYMENT COMPENSATION FUND
MISCELLANEOUS SERVICES............................................................ 60
' SOCIAL AND HEALTH SERVICES....................................................... 55
PARKS AND RECREATION DEPARTMENT ................................................... 157
' PERSONNEL DEPARTMENT................................................................. 109
POLICY DEVELOPMENT DEPARTMENT...................................................... 80
POLICE DEPARTMENT ..................................................................... 83
PUBLIC WORKS DEPARTMENT (See Table of Contents). 113
' -ii-
41 OF R�+
THE CITY OF RENTON
Z MUNICIPAL BUILDING 200 MILL AVE. SO. RENTON, WASH. 98055
' 2 BARBARA Y. SHINPOCH, MAYOR 235-2580
0
% �.
0
9gr�D SEPIE�O�P
' November 1, 1984
' Dear Council Members:
Please accept the 1985 Administration Budget proposal.
This document provides a balanced program of expenditures and revenues
' which include a $19. 1 million operating budget and a $6. 5 million capital
improvement budget.
We have used a 5% inflation factor and anticipate a 4,3% average increase
in the total cost of employee compensation. The operating budget reflects
an 8. 1% increase over 1984. 3.5% of the increase is accounted for in new
programs/positions.
We are requesting 16 new positions:
' Fire Department 6
Police Department 4
Building/Zoning 1
Street Maintenance 1
' Water/Sewer Utility 2
General Services 1
Public Works/Engineering 1
' We believe these new positions are fully justified and are responsive to
public needs.
' We have provided for fiscally appropriate Ending Fund Balances, Contin-
gency Funds (Capital and Operating) , and Reserve Funds.
' We propose a continued program of rate increases in the Water/Sewer Utility
to accomplish the long-range rehabilitation of this vital system.
We are recommending a Utility Tax decrease of 16.6% and a 5% roll-back
in garbage collection charges. These two actions will provide a savings
to the public of more than $800,000.
-iii-
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s:
R CITY OF RENTON 1985 PRELIMINARY BUDGET
1985 BUDGET HIGHLIGHTS
' TAX ROLL-BACK PACKAGE
- Total Tax Reduction -- $805 ,000
- Reduce Garbage Rates by 5% -- Reduction of $ 186K
- Reduce Utility Taxes to 5% -- Reduction of $619K
Puget Power - $244K
- Washington Natural Gas - $113K
' _ Pacific Northwest Bell - $215K (From 7 .05% to 5% )
City Water/Sewer Utility - $47K
' OPERATING PROGRAMS
$19 . 1M Total Program
8 . 1 % Total Increase
4 .3% Inflation
3 .8% New Programs
-
16 New Positions
- Contingency -- $545K
CAPITAL PROGRAMS
- $6 .5M Total Program
- $1 .3M Arterial Street
_ $3 .5M Street Forward Thrust
$1 .7M Local Streets , Parks and Misc
- Contingency -- $ 1 .2M
! UTILITY PROGRAMS
- Water/Sewer Utility
- Increase rates 11 % to fund 0/M expenses
and a $3 .7M capital improvement program
Rate increase is consistent with 1984
recommendations -- rates must increase an
' average of 10 .75% through 1990 to finance
capital improvement program
- Solid Waste Utility
- Now separate from current fund
-
Airport Utility
- Little or no increase in leases
- Continued capital improvements
' INTERNAL SERVICE FUNDS
- Insurance Fund -- $2 . 1 million
! _ $1 .6M achieves 8% revenue shortfall contingency
$500K for insurance loss fund
- Equipment Rental Fund
- $379K in equipment replacements
OTHER FUNDS
- Firemen ' s Pension Fund -- funded per actuary
- Tax Anticipation Notes -- $2. 4M in 1985
�s } CITY OF RENTON 1985 PRELIMINARY BUDGET
BACKGROUND FOR THE 1985 BUDGET
I. THE ECONOMY AND THE CITY BUDGET
The performance of the national and local economy directly affects the level of
city services which can be provided. Economic activity produces tax revenues and,
at the same time, produces demands for service. Each year at budget time, cities
face the challenge of determining the health of the local economy, developing
revenue estimates, and preparing budgets which plan to spend these revenues
wisely and efficiently in delivering necessary city services. Cities should be
viewed as an extension of the community which they serve; that is, they are
responsible to allocate a portion of the wealth created by citizens and businesses.
A city budget must be responsive to national and local economic conditions. Figure
1 is a simplified view of how various factors interact to produce a city budget.
To properly prepare a budget, the following steps should be followed:
Federal policy. The two most significant Federal policies which
A. Assess 9
P_�
have impact on the local and national economy are:
1. Monetary Growth - Since 1980, the Federal Reserve Board has
adopted monetarist theories in its efforts to control inflation.
Careful control of monetary growth has been credited as the major
reason for bringing inflation under control in recent years. No
foreseeable change in this policy is evident.
2. The Federal Deficit - Rightly or wrongly, the large Federal
deficits expected in future years are blamed for historically high
real interest rates. The reasons for this relationship, if true, are
less clear. Some say that excessive Federal borrowing will result
in "crowding out" other borrowing needs, but there is little
evidence to support this theory. The fact that the economy is
currently experiencing one of the strongest g post recession
recoveries on record would suggest that the large Federal deficits
may not be that harmful. In any event, it is doubtful whether any
significant inroads will be made to reducing the Federal debt in
1985.
B. Make key economic assumptions. - From the basic Federal policy
assumptions which are made, two key economic variables must be
estimated. These are inflation and interest rate levels.
C. Estimate the performance of the local economy. - Among other things,
performance of the local economy depends on the level of inflation rates
and interest rate. Inflation and interest rates have a profound effect on
employment, building activity, and consumer spending which, in turn,
affect the level of City revenues. Each employer in the local economy will
have a different interpretation of how interest and inflation rates affect
its business. Economic expansion occurs when business views the
combination of inflation and interest rates and other factors as positive
and increases investment and production. Consumers consider their overall
situation in Eight of their disposable income and their "comfort" level with
the economy. Generally, increases in economic activity are accompanied
by increases in consumer spending. When consumers buy, employment is
created, building starts occur, and property tax rolls are increased, Retail
sales transactions take place and sales tax revenue is generated.
Population growth occurs, the number of households increases, and utility
taxes increase. All of these must be considered and an estimate of the
level of local economic activity must be made.
D. Develop revenue: estimates. - Finally, then, from an estimate of
performance of t'he local economy, estimates can be made as to the City
revenues available to provide services. In good economic times, revenues
increase; in poor economic times, revenues stagnate.
2
i"R CITY OF RENTON 1985 PRELIMINARY BUDGET
E. Develop the budget. - Referring again to the Figure 1, inputs into the
budget process are as follows:
1. Revenues estimates.
2. Service demands of the community.
3. Capital improvement needs to maintain City infrastructure.
4. Council policy relating to program prioritization.
From this series of inputs, the budget process allocates and prioritizes and
eventually produces the following program budgets:
1. Operating Program funding.
2. Capital Improvement Program funding.
3. Utility Program funding and required user rates.
4. Level of reserve funds to protect against contingent expenses and
future economic downturns.
' The yearly challenge, then, is to create a City spending plan which is responsive to:
1. Federal policy.
2. Performance of the local economy.
3. Community service demands.
4. Community capital improvement needs.
5. Council policy.
1 We believe the 1985 budget proposal effectively addresses all of these concerns.
THE BUDGET PROCESS
FEDERAL POLICY
• Monetary Growth
• Federal Deficit (Spending)
1 ECONOMIC ASSUMPTIONS
• Inflation Rates
• Interest Rates
LOCAL ECONOMY
• Employment Levels
• Building Starts
• Consumer Spending
• Business Activity
REVENUE ASSUMPTIONS
Service Capital Improvement
Demands Needs
BUDGET
PROCESS
Council
Policy
Operating I I Capital Improvement I I Reserve I I Utility
Programs Programs Funds Programs
Utility
Rates
Figure 1
3
�f CITY OF RENTON 1 985 PRELIMINARY BUD�OET
II. CITY OF RENTON FINANCES - THE LAST FIVE YEARS
The late 1970s, by most accounts, were prosperous economic years for the U. S.
economy and the Pacific Northwest alike. Several important economic trends 11
verify this position. Figure 2 shows the Seattle PMSA employment trends from
1968 through 1984. Total employment has increased steadily since 1971 and
sharply from 1977 to 1980. Aerospace employment, very important to Renton
because .its major employer is The Boeing Company, declined significantly since II
1968 but increased sharply in the late 70s; employment growth in Renton in the
late 70s was strong.
Retail sales in the City of Fenton increased sharply in the late 70s. Retail sales
reflect consumer confidence and lead directly to increased City revenues. Figure 3 II
indicates that retail sales reached an all-time high on an inflation adjusted basis in
the third quarter of 1979 before plummeting sharply in 1980.
Building activity also significantly affects the revenues of a city. Not only do II
contracting activity and building materials purchases produce sales tax revenue,
but the completion of new development adds to property tax rolls and produces
property tax revenues a year or two later. Figure 4 shows that the value of
building permits peaked on a real basis in the City of Renton in 1979, which was II
further evidence that the Renton area participated fully in the economic expansion
of the late 1970s.
EJfPjr OYMENT TRENDS
Scottie PMSA
150 -
140 -
130 -
120
40 130120
„Q
11
,00
9Oli
o
so
�( 70
ec 11
50
40 II
30 �-
e8 70 72 74 78 78 80 82 84
Yrmr it
O Tool + Aerospocie I
Figure 2 II
CITY OF RENTON 1985 PRELIMINARY BUDGET
RENTON RETAIL SALE'S
1978 through mid 1984
2.2
2.1
2.0
1.9
1 , 8
1.7
z 1 8
� 1.5 �i
_J
� 1.4
1.3
1.1
1.0
0.9
0.8
78 79 150 81 82 83 84
' YELR
❑ Total Soles + Inflation Adjusted
Figure 3
1 B UILDI1,NrG PER.VIT 17AL UES
1978 — 1984
X120
$110
X100
LJ
� f9G
0
$7 ���.-. X70
S � �
1 wcy 0 $BO \
a�
$50
z
$40
m
$33
`1r
$20
$10
�0
78 79 80 81 82 83 84
1 °R
❑ Total Gcliars + Real Collars
Figure 4
1
5
CITY OF RENTON 1985 PRELIMINARY BUDGE1�7
The economic expansion of the late 70s affected City revenues as expected. It
Figure 5 shows 8% and 9% operating surpluses in 1978 and 1979, respectively.
Figure 6 reflects increasing operating fund balances to a high of almost 16% in
1979. As a result of strong building activity, strong consumer spending, and '
relatively high employment, City revenues more than kept pace with service
demand in the late 1970s.
Unfortunately, high inflation rates accompanied this economic expansion as they
have most expansions since World War II. It became evident that inflation was
eroding much of the gains of the late 1970s. To cool down the overheated
economy, the Federal Reserve Board began to control the growth of the money
supply. As the money supply shrank, the continuing high loan demand created
unprecedented interest rates which peaked with a 21.5% prime rate in 1980.
Economic activity slowed significantly, and the country went into a mild recession
in 1980. The Federal Reserve Board reacted by relaxing monetary controls, and
recovery was felt in 1981. Then, a second effort was made in late 1981 to restrict
money supply, and a severe recession occurred in 1982.
City revenues behaved as expected through theses two recessions. Figure 2 shows a
leveling off and decline of total employment in 1980/1981, and Figure 3 shows
retail sales plummeting sharply in the same time period. Building activity leveled I'
off and then began to fall on a real basis as shown in Figure 4. Figure 5 shows the
effect on City revenues. In 1980, '81 and '82, the City experienced operating
deficits when it spent more than it received in revenues. Figure 5 shows the effect
of the deficits on operating fund balances as the City spent its fund balances to
fund its deficit.
By mid-1982, the City's bank account was exhausted, and emergency action was
necessary. The State legislature, having recognized the economic plight of cities
and counties, had authorized an additional 1/2% local option sales tax to bolster
the declining revenue base of municipal government. In August of 1982, the City
of Renton reduced its operating budget by $600,000 and implemented the local
option sales tax, effective October 1, 1982. Figure 5 shows an easing operating
deficit in 1982, followed by an operating surplus in 1983. Figure 6 shows operating
fund balances growing again, and the City was, once again, meeting current
expenses with current revenues.
III. THE RECOVERY OF 1983-1984 "
In late 1982, the stock market began a rally, and, by mid-1983, most signs of
another economic expansion were in place. This expansion was led by consumer
spending, which increased sharply on a real and nominal basis. Employment began
to increase again and rental vacancy rates fell. Figure 6 shows that, by the end of
1983, operating fund balances had returned to approximately 9% of net operating
revenues. The City responded with a 1983 budget which emphasized the following: I'
1. Restoration of important programs which had been cut in 1982.
2. Continuing efforts to improve the productivity and efficiency of City
employees.
3. Planning for necessary future capital improvements.
4. Creation of an atmosphere which encouraged controlled growth. I�
IV. LOOKING TO THE FUTURE
The City is, once again, in the midst of a strong economic expansion, this time with
less inflation. The lower inflation rate„ especially, is good news for City of Renton
finances. While higher inflation rates do temporarily increase City revenues,
particularly through the sales taxes, such high rates frequently lead to recessions.
Recessions erode City tax revenues while high inflation pushes up the cost of
service delivery much faster than City revenues are able to keep pace with. This
situation leads exactly to the City's situation in the early 80s, when service levels
could not be reduced as quickly as revenues fell, and the resulting operating
deficits diminished the City's bank account. Economic slowdowns with low
inflation rates are much easier to survive with a minimum reduction of City f'
services. 11
_s } CITY OF RENTON 1985 PRELIMINARY BUDGET
' OPERATING DEFICITS
(os 2 of operating revenues)
1 0.002
9.00R
6.002
7-00% -
1.00%
.00SG1.OO: j
0.002
'
—1-00%
—2.00R
—3.002
—4-00% -
-5-00% -
-6-00%
4.002-5.0030-8.002
—7.002
1978 1979 1980 1981 1982 1983
Positive=Surplus, Negotive=Deficit
Figure 5
OPERATING FUND BALANCES
(os 2 of net operoting mvenues)
20.0032
19.002
18.002
17-00% -
15-00% -
15.0 0%
7.00218.00215.002
14.005. j
13.00% /
12.002
11.002
1o.oc2 �
9.007. /
6.0052
7.002
B.002
' 5.002
4.00%
3-00% -
2-00%
1.002
0.002
1978 1979 1980 1981 1982 1983
Figure 6
7
e7
si�ITY OF RENTON 1985 PRELIMINARY 1;3UC►GE:T
As a result of the implementation of the local option sales tax, the City is more
"recession prone" now than it was in the late 1970s. Figure 7 shows that the Ci:y's
dependence on elastic tax revenues have increased from 43% in 1978 to 520A, in
1983. Elastic tax revenues include sales tax, utility tax, State-shared revenues,
and building permit fees, all of which are very sensitive to economic cycles. This
means that future economic downturns will be felt even more strongly by the City
than the downturns in 1980 and 1982.
As the City looks to the future, it will emphasize the following:
1. Provision of necessary service level as efficiently as possible .
2. Capital improvement and the maintenance of infrastructure.
3. Planning for the next recession - be sure that the City can survive the next
recession with a minimum reduction in service levels.
4. Taxing the public for only what is actually needed to accomplish the
above.
V. FINANCIAL POLICIES '
After reviewing the City's financial experience through the last five years, the
Renton City Council has adopted the following financial policies:
1. Maintain a "rainy day fund" of at least 8% of annual operating expenses. ,
Such a fund will be used to provide the continuation of City services
through a future economic slowdown.
2. Consider the total cost of employee compensation including wages, ,
benefits, and hours of work when negotiating employee labor contracts.
3. Include Federal and State grant revenues in annual City budgets only when
such revenues are assured. '
4. Fully fund the City's pension fund obligations according to actuarial
recommendations.
Careful observance of these financial policies will prepare the City for future
economic downturns and will allow for the provision of City services with minimurn
disruption.
VI. ECONOMIC OUTLOOK FOR 1985 '
Many of the same items which will affect the national economy in 1985 will also
affect the local economy. They include:
1. Inflation - Figure 8 charts the Consumer Price Index for urban wage '
earners and clerical workers (CPI-W) from 1961 through 1983 and two
projections for 1983 through 1990. It is interesting to contrast the love
inflation rates of the 60s with the high inflation rates of the 70s, and most '
would agree that we are at a "Y" in the road in the inflation picture. The
upper line on Figure 7 reflects CPI growth if we resume growth rates
evident in the 1970s; the lower line shows the growth rate if we return to
inflation levels in the 1960s. '
The Federal Reserve Board has shown considerable tenacity in controlling
inflation through controlling the growth rate of the money supply. A
consensus of economists would currently predict that inflation will be
between the 2.8% average rate of the 1960s and the 8.3% average rate in '
the 1970s, perhaps averaging 5%. Keeping inflation under control in the
long run and the perception by investors that inflation is under control will+,1
probably reduce long-term interest rates faster than any action on the
Federal deficit will.
2. Interest Rates - The Federal deficit is frequently blamed for high interest
rates. It is not clear yet whether this is, in fact, the case; and, in any
event, it appears that no significant spending reductions will be made, and ,
the deficit will once again approach $200 billion. Whether the deficit does
have an effect on interest rates is less material than the fact that it is a
widely held belief that it does. Investors, consumers, and businessmen will
equate a continuing high Federal deficit to continuing high interest rates.
8
�s CITY OF RENTON 1985 PRELIMINARY BUDGET
' ELASTIC TAX REVENUES
As R of Net Operating Revenues
BG_OGx
sa.00z
5B.002
54.00%
52-00% -
50-00% -
4-5.00%
2.00%50.00%45.00%
48.0 OSG
' 44.00%
42.00%
40.00%
38.00%
38.00%
' 34.00%
32.00%
30.00%
1978 1979 1980 1981 1982 1983
' Soles Tax, Utility To., State Shored
Figure 7
i
' PRICE INFLATION INDICATORS
CPI-W
' 500
4-50 -
.4-00
0 350
n
3GG fi
ca
rn
" 250
' x
W
Z 200
150
100
50
81 83 B5 B7 69 71 73 75 77 79 81 83 85 87 89
Actuol thru 83, Projections to 1990
❑ BO's Inflotion Rate + 70's Inflotion Rote
' Figure 8
9
CITY OF RENTON 1 985 PRELIMINARY BUDGET '
II
Interest rate levels are perhaps the single most dominant factor in '
predicting economic growth. Long-term interest rates directly affect the
affordability of housing and, therefore, the level of building activity.
Shorter term rates affect the cost of consumer loans and the ability of
business to finance inventories and other working capital needs. Interest '
rates are currently at historical highs on a real basis, currently in excess of
9% as measured by the difference between the long-term mortgage rate of
13.5% and the current inflation rate of 4.5%. As consumers, investors, and
businessmen believe that long-term inflation is under control, interest
rates may gradually come down over the next year. Most economists are ,
calling for slightly lower interest rates in 1985.
3. Employment Trends - Employment is projected to increase in 1984, and
most feel it will increase again in 1985. Boeing employment in the Renton '
area is relatively stable and the employment picture for the Renton area is
positive.
4. Consumer Spending - T-ie current economic recovery, which began in late '
1982, was led by dramatic increases in consumer spending. Figure 3
reflects these increases which have brought total retail sales in the Renton
area to its highest level since the third quarter of 1979. Consumer
spending levels are most affected by consumer attitudes and confidence.
While interest rates are higher than desirable for continued strong ,
consumer spending, most consumer attitudes seem to reflect confidence,
particularly because of the low inflation rates. Consumer spending should
level off and perhaps recline slightly in 1985 as the economy slows and
pent-up demand created by the 1982 recession is satisfied. ,
t
i1
I
I
1'
10
_s } CITY OF RENTON 1 985 PRELIMINARY BUDGET
VII. BUDGET ASSUMPTIONS
The economic outlook for Renton is translated into the following 1985 budget
assumptions:
1. Inflation - 5%
2. Interest Rates:
Prime - Average 12%
Long-term mortage rates - 13.5%
3. Tax growth rates:
' Sales tax growth - 3%
Property tax growth - 8%
' Utility Tax Growth -
Rate Tax I�iC..n"Y�Ak '��►�E>nJ,:c
Utility Increase Growth Reduction Change ^T
Puget Power + 6% + 2% - 16.6% - 8.6%
Washington + 5% + 1% - 16.6% -10.6%
' Natural Gas
Pacific NW Bell 0% + 2% - 31.0% -29.0%
City Water/Sewer 11% 2% - 16.6% - 3.6%
Utility
I'
11
fR CITY OF RENTON _ 1985 PRELIMINARY BUDGI=T
1985 BUDGET SUMMARY '
The City of Renton budget proposal includes 45 different funds with over 200 revenue and ,
expenditure accounts. To assist in presentation, the funds and account numbers have been
summarized as follows:
REVENUES ,
1. Taxes
2. Licenses and Permits
3. Intergovenmental (Grants) ,
4. Charges for Services
5. Fines and Forfeits
6. Miscellaneous '
7. Interfund Revenues
B. Other Revenues
9. Operating Transfers In.
EXPENDITURES
1. Operating Programs - basic City services
2. Capital Programs - all but the utility Capital Improvement Program ,
3. Intergovernmental Service Programs - internal City "businesses" which
provide insurance and equipment rental services to operating departments
4.. Other Programs - includes Federal Revenue Sharing, the Firemen's Pension '
System, the Tax Anticipation Note Program, and Miscellaneous Cumulative
Reserves.
Figure 9 shows the source and use of funds for all programs within the City. From this '
figure, the following observations are made:
1. 40% of total City revenues come from taxation. Charges for services are the '
City's next largest source of income.
2. Nearly half of the total City expenditures are allocated to providing basic '
governmental services (operating programs). More than a quarter of expenditures
are for utility services including water, sewer, garbage, and solid waste disposal.
The budget proposes spending almost $3 million more than the City will take in revenues. '
This represents the expenditure of capital funds on a one-time basis. In actuality, the
City's basic operating budget can be funded entirely within current recurring revenues.
The purpose of Figure 9 is to provide a general picture of the source and use of funds in '
the; City of Renton's budget.
CITY OF RENTON 1985 PRELIMINARY BUDGET
SOURCE AND USE OF FUNDS
($'s in 000's)
1
ALL FUNDS INTEREST
(.3.5% _
BOND PROPERTY
j PROCEEDS TAX
(13.6%) (15.7%)
r /
\ 1
MISCELLANEOUS �� �i/i SALES
IBEGINNING FUND BALANCE - $13,075 (11,1$) TAX
PLUS
' - GRANTS
PROPERTY TAX - $ 6,268 s o \
SALES TAX 6,180 1 (13.8b) CHARGES \ BUSINESS TAX
BUSINESS TAX - 2,346 FOR SERVICES
OTHER TAX - 979 \ (18.5%) /
CHARGES FOR SERVICES - 7,386 \ OTHER
GRANTS - 5,528
MISCELLANEOUS - 4,454 (ZASs)
BOND PROCEEDS - 5,415
INTEREST - 1,399
LESS INTERNAL f
OPERATING PROGRAMS - $19,134 SERVICE
_ FUNDS/\
CAPITAL PROGRAMS 6,536 OTHER
UTILITY PROGRAMS - 11,120 (3'3°) \ FUNDS
INTERNAL SERVICE FUNDS - 1,393 \\(10.9°s) +`
OTHER FUNDS - 4,675 �,\
/ \
ENDING FUND BALANCE - $10,172 f \`�\+� OPERATING
PROGRAMS
UTILITY \ (44.6%)
PROGRAMS
(25.9%) ,%
,% CAPITAL /
�\ / PROGRAMSt
(15.3%) f
1
Figure 9
13
v!-*R CITY OF RENTON 1985 PRELIMIN.ARY BUDGET
Figure 10 summarizes the City budget by revenue class and fund group and provides a
comparison of 1983 actual expenses, 1984 budgeted and estimated expenses, and 1985
proposed expenditures. A percentage change is shown between 1984 and 1985. 'The
following observations are made from this figure:
1. In 1984, the City will have almost $8 million more available in resources than
originally estimated. This is primarily due to the carry forward of unexpended
capital funds from 1983, increase in sales tax revenue significantly above budget,
and the sale of additional water during the relatively dry summer experienced in
the Pacific Northwest.
2. The expenditures will be almost $2 million less than the original budget, primarily ,
due to an underspending in the Capital Improvement Program. In other programs,
the 1984 budget assumec' that the Tax Anticipation Notes would be repaid in 1983.
They, in fact, were repaid in 1984, requiring a carrying forward of those funds. '
3. Total resources for 1985 .are expected to increase 4.9% above those in 1984.
Operating programs will increase 8.1% in .1985 above 1984, including 4.3% increased cost t
to provide the same service level and 3.8% in new program additions.
Capital Improvement Program expenditures will increase 52.1% above 1984 as a function '
of project schedules and grant availability.
Utility programs have increased significantly as a function of use, growth, and capital '
improvement programs in the water, sewer, and airport utilities. The solid waste utility,
for the first time, is shown as a separate fund in the budget.
Service funds have increased as a result of new equipment purchases, higher operation and ,
maintenance expenses, and an increase in insurance .rates.
In considering the City budget and the changes in program levels, the following should be '
noted:
1. Capital programs are a function of available revenues. They fluctuate significantly
as grant monies become available to do various projects.
2. Utility programs are stand-alone "companies" of the City. They are operated as ,
enterprise activities much as a private business. They do not rely on general
taxation for their support, but rather on rates charged to users of their services..
3. Intergovernmental service programs represent a double budgeting in a city budget.
The rate revenue to support these programs is generated by charging other
departments of the city. This means that the full cost impact of
intergovernmental service funds is shown in the operating budget. The service fund
budgets may rise and fall., depending on particular needs of a given year.
R
CITY OF RENTON 1985 PRELIMINARY BUDGET
ALL FUNDS SUMMARY BY YEAR Figure 10
( $ Is in 0001s)
1983 1984 1984 1985 84-85
Actual Budget Estimate Proposed Change
---------------------------------------------------------------------------
REVENUES
Beg Fund Balances $12,344 $11 ,062 $16,094 $13 ,075
Taxes 14,265 14,041 15,278 15,773
Licenses & Permits 508 492 521 515
i Intergovernmental (Grants) 3 , 168 3,609 2,952 5,528
Charges for Services 6,382 6 ,879 7 ,305 7 ,386
Fines & Forfeits 484 515 465 455
Miscellaneous 1 ,988 1 ,468 2,030 2,012
Interfund 177 201
Other 4,972 2, 194 3,493 6,379
Operating Transfers In 1 ,779 1 ,751 2,201 1 ,907
*** Total Revenue $46,067 $42,011 $50 ,540 $53,030 4 .9%
---------------------------------------------------------------------------
' EXPENSES
Operating Programs $16 ,900 $17 ,318 $17 ,701 $19, 134 8 . 1 %
Capital Programs 3,295 5,966 4,296 6,536 52. 1 %
Utility Programs
' Water Sewer Utility 4 ,801 8,323 6,586 8,448 28 .3%
Airport Utility 432 709 371 709 91 . 1 %
Solid Waste Utility 1 ,623 1 ,597 1 ,730 1 ,963 13 .5%
' Intergov Service Programs
Equipment Rental 438 618 651 918 41 .0%
Insurance 418 376 475 26 .3%
Other Programs (Note 1 ) 228 363 3,553 2,768 -22. 1 %
Operating Transfers Out 2,256 4,284 2,201 1 ,907
*** Total Expenses $29,973 $39 ,596 $37 ,465 $42,858 14 .4%
---------------------------------------------------------------------------
' ENDING FUND BALANCES $16,094 $2,415 $13 ,075 $10 , 172 -22.2%
(Note 1 - Firemen 's Pension , TANS , Misc Cumulative Reserves)
15
P:-*R ,CITY OF RENTON 1985 PRELIMINARY BUDGET
Figure 11 displays the 1985 budget proposal with revenues summarized by revenue class
and expenditures summarized by department. It provides information as to how City
revenues are allocated across various functions and also gives a sense of which
departments are responsible for various expenditures. From this figure, the following
observations are made:
1. Taxation is used primarily to support the operating funds or basic City services.
2. 60% of grant revenues are for capital purposes; Federal revenue sharing is thF: ,
primary operating grant received by the City.
3. Charges for services primarily support utility fund operations.
4. Almost half of the expenditure budget is managed by the Public Works Department.
and half of that is allocated directly to utility services.
5. Police, Fire, and Parks are the major, providers of basic City services after the
Public Works Department.
More information is provided on the operating programs in the Detail of Expenditures
section of the budget document.
Figure 12 displays a full-time equival',ent position count for the City of Renton for 1983,
1984, and 1985. Part-time and temporary positions are converted to full-time equivalents
to provide an accurate reflection of manpower levels within the City.
Since 1983, City manpower has increased 10%. 17 of the 36 additional positions are in
Police and Fire, and another ten are in the Public Works Department. Parks has increased
six positions, and the other increases are spread across various departments.
The 1985 budget proposal includes 16 full-time new positions and 5.2 part--time positions
as measured by full-time equivalents. Individual justification for these increases is
contained in the Expenditure Detail Section.
16
PIR CITY OF RENTON 1985 PRELIMINARY BUDGET
Figure 11
REVENUE AND EXPENDITURE SUMMARY BY FUND GROUP
( $ 's in 0001s)
Operating Capital Utility Service Other
Total Funds Funds Funds Funds Funds
REVENUES
Beg Fund Balances $13 ,075 $2,084 $2,967 $958 $2, 119 $4 ,947
Taxes 15,773 14,263 740 281 489
Licenses & Permits 515 515
Intergovernmental (Grants) 5,528 1 , 110 3, 132 491 795
Charges for Services 7 ,386 269 6 ,916 201
' Fines & Forfeits 455 455
Miscellaneous 2,012 478 257 699 227 351
Other 6,379 43 2,593 1 ,343 2,400
Operating Transfers In 1 ,907 505 960 418 24
' *** Total Revenue $53,030 $19 ,679 $8,099 $12,075 $3,994 $9, 183
------------------------------------------------------------------------------
' EXPENSES
Legislative $84 $84
Judicial 297 297
Executive 170 170
Finance 1 ,076 828 $44 $204
Legal 205 205
Policy Development 218 218
Police 3,906 3 ,906
' Fire 3,523 3,523
Building 439 439
Land Use 75 75
' Personnel 209 209
Public Works 19,476 2,715 5,884 9,959 $918
Parks 3 ,868 3 ,330 538
Library 652 582 70
Debt Service 2,503 1 ,546 957
Non-Departmental 4,250 1 ,007 475 $2,768
Operating Transfers Out 1 ,907 50 94 1 ,763
-*** Total Expenses --$42,858 $19, 134 $6 ,536 $11 , 170 $1 ,487 $4,531
-------------------------- ----------------------------------------
ENDING FUND BALANCES $10 , 172 $545 $1 ,563 $905 $2,507 $4 ,652
17
CITY OF RENTON 1985 PRELIMINARY BUDGET
FULL TIME EQUIVALENT POSITIONS Figure 12
1983 1984 1985
LEGISLATIVE 0 .6 0 .6 0 .6
JUDICIAL 7 .3 7 .0 7 .3
EXECUTIVE 3 .5 3 .5 3 . 5
FINANCE 24 .0 25 .8 25 . 8
POLICY DEVELOPMENT 6 .0 6 .0 5 .5
POLICE 77 .6 81 . 1 85 . 1
Administration 2 .0 2 .0 2 .0
Investigation 12 .0 13 . 0 14 . 0
Patrol 4.2 .3 42 .3 43 . 3
Gambling Tax Enforcement 2 .0 2 .0 2 . 0
Crime Prevention 1 . 0 1 . 0
Research and Training 1 .0 1 .0 2 . 0
Records 12 .0 13 . 5 13 . 5
Jail 5 .0 5 .0 6 . 0
Animal Control 1 .3 1 .3 1 . 3
FIRE 70 .0 73 .0 79 .0
Administration 4 .0 4 .0 4 .0
Suppression 59 .0 62 .0 68 .0
Prevention/ Investigation 6 .0 6 .0 6 .0
Training 1 .0 1 . 0 1 .0
BUILDING 10 .0 10 .0 11 .0
LAND USE 1 . 0 1 .0 2 .0
PERSONNEL 3 .5 4 .0 4 .0
PUBLIC WORKS 80 .8 85 .8 90 .0
Administration 2.8 2 .8 2 .7
Engineering Design 13 .0 14 .3 14 .3
Street Maintenance 21 .0 21 . 1 22 . 1
Traffic Engineering 11 .0 11 .0 12.4
W/S Utility 26 .0 29 .5 31 .5
Airport 2. 9 3 . 0 2. 9
Equipment Rental 4 . 1 4 . 1 4 . 1
PARKS, 62 .0 64 . 1 68 . 1
Administration 6 .5 6 .5 7 . )'
Recreation 13 .0 13 .3 14 . 1
Senior Center 3 . 3 3 . 4 3 .'5
Park Facilities 21 . 4 21 .6 22 .3
Park Landscaping 2 .2 2 .4 2 .4
General Services 13 . 1 14 .4 15 . 1:3
H & CD 2.5 2 . 5 2 . >
LIBRARY 1 5 . 1 14 .7 1 5 ..'.i
TOTAL FULL. TIME EQUIVALENTS 361 .4 376 .6 397 .2
18
t
s
i
ft 1985 PRELIMINARY BUDGET
CITY OF RENTON li
I
OPERATING PROGRAM SUMMARY
AND
' SOURCE AND USE OF FUNDS
i
1
1
1
1
1 �,
f� 47 CITY OF RENTON 1985 PRELIMINARY (BUDGET
OPERATING PROGRAM SUMMARY ,
Figure 13 shows the source and use of funds for the City's operating programs. Such
programs include primarily the provision of basic city services such as fire, police, parks,
and public works, and the departments which comprise the administration of the City.. '
The operating program budget has increased 8.1% above 1984, including a 4.3% inflationary
increase to continue to provide the same service levels and a 3.8% increase to fund neve
programs. The following is a summary of the significant new programs proposed in thr: '
1985 budget:
COST ,
1. Fire Department reorganization and the addition of six new
firefighters to provide an aid car in the Renton Highlands $226,000
2. Increased supervision in the Police Department and the
addition of a civilian crime prevention coordinator $163,000
3. Additional Administrative Clerk III in the Building and Zoning '
Department to provide additional service at the permit
counter and allow technical staff more time for code
enforcement $25,0130 ,
4. New laborer in the Street Department to respond to
additional street maintenance demands $24,000
5. New Maintenance Custodian to provide full-time custodial
services at the new city shop $26,000 '
6. Increase in the Park Department recreational service and
facilities part-time employment to respond to additional
recreational service and facilities maintenance '
requirements $38,000
7. Increase in the Library book purchase budges: to return to the
1982 budget level of $89,000 $9,000
B. Complete a commercial retail marketing study to analyze '
possible options for development of downtown Renton $10,000
This represents a summary of the major new operating programs. Individual department.
budgets which follow in this document include a complete description of all changes from
the 1984 to the 1985 budget.
19
CITY OF RENTON 1 985 PRELIMINARY BUDGET
SOURCE AND USE OF FUNDS
($'s in 000's)
i
OPERATING PROGRAMS
t
GRANTS
1 4
(6.30)
LICENSES
BEGINNING FUND BALANCE - $ 2,084 TAXES AND PERMITS
-��_(2.9$) 1
PLUS t (81.1%) �`�.� '`—� CHARGES FOR
SERVICES
TAXES - $14,263
GRANTS - 11110 ' FINES AND
2.7°°)�' FORFEITS
LICENSES AND PERMITS - 515 1 /
CHARGES FOR SERVICES - 269 2.9%) MISCELLANEOUS
FINES AND FORFEITS _ 455
MISCELLANEOUS 478 TRANSFERS-IN
TRANSFERS-IN - 505
LESS
SALARIES AND BENEFITS - $13,304
SERVICES AND SUPPLIES - 3,661 -
DEBT SERVICE 1,546
INTERGOVERNMENTAL SERVICES- 323
CAPITAL OUTLAY 300 ~\\
ENDING FUND BALANCE - $ 545 f
1 /
SALARIES
AND BENEFITS
i (69.5%)
{ I
\ I
CAPITAL OUTLAY (1.6%)�
INTERGOVERNMENTAL /SERVICES\
SERVICES (1.7$) ;'AND SUPPLIES\\ j
(19.1%) \ i
DEBT SERVICE (8.1$) f �\
~ / Y
1 �
Figure 13
20
' i
i
t
1
i
1
1
1
1
1
1
I ; 6
' 1
l
1
1
4RCITY 0F RENTON 1985 PRELIMINARY BUDGET
1
1
1
1
CAPITAL PROGRAM SUMMARY
1 AND
SOURCE AND USE OF FUNDS
1
CITY OF RENTON 1985 PRELIMINARY BUDGET
CAPITAL PROGRAM SUMMARY
Figure 14 shows the source and use of funds in the City's proposed capital programs for
1985. Grants, taxes, and :reserve fund transfers account for most of the revenues, and
most of the expenditures are for street-related programs. The following summarizes the
key projects planned for 1985:
1. STREET IMPROVEMENT PROGRAMS -
Union Avenue N.E. $325,000
S.W. Grady Way Bridge $610,0010
N.E. Fourth Street $270,000
S.W. Grady Way Improvements $1,600,000
Monroe Avenue Overlay $258,000
Talbot Road South $350,000
2. PARK IMPROVEMENT PROGRAMS -
Highlands Recreation Center renovation program $38,000
North Highlands Recreation Center $64,000
3. MISCELLANEOUS OTHER CAPITAL IMPROVEMENTS:
Library Improvement Design Project: $70,000
Data Processing Master Systems Plan $44,000
This is a list of major projects only; a detailed list of all projects with their funding
sources is shown in the Expenditure Detail section of the budget.
21
l
R
CITY OF RENTON 1985 PRELIMINARY BUDGET
y
SOURCE AND USE OF FUNDS
($'s in 000's)
II
CAPITAL PROGRAMS
TRANSFERS-IN TAXES
(18.7%) (14.4%)
MISCELLANEOUS
(5.8$)
' BEGINNING FUND BALANCE - $2,967
PLUS
TAXES _ $ 740 GRANTS
GRANTS 3,132 (61.0%)
MISCELLANEOUS - 300
TRANSFERS-IN - 960
LESS
' PARK PROJECTS _ $ 538
STREET PROJECTS 5,884
MISCELLANEOUS GENERAL
GOVERNMENT PROJECTS - 114
ENDING FUND BALANCE - $1,563
STREET PROJECTS
(90.0%)
PARK
PROJECTS /
(8.2$)
MISCELLANEOUS GENERAL
GOVERNMENT PROJECTS
Figure 14
22
i
1
1
1
1
1
1
1 -
1 .12
pl
1
1
1
1
1
1
1 fR
CITY OF RENTON 1985 PRELIMINARY BUDGET
1
1
i
1
i
1
1
1
UTILITY PROGRAM SUMMARY
iAND
SOURCE AND USE OF FUNDS
1
i
i
i
1
1
1
1
CITY OF RENTON 1985 PRELIMINARY BUDGET
UTILITY PROGRAM SUMMARY �I
WATER/SEWER UTILITY
Figure 15 shows the proposed source and use of funds for the operation of the City Water 'I
Utility for 1985. $4.95 million will be collected in rate revenue to operate the water and
sewer system. It is contemplated that $2.59, million of water-sewer revenue bonds will be ')
issued to finance a $3.65 million capital improvement plan. The budget includes an 11.3%
overall increase in water and sewer rates for 1985, including a 12.1% increase in the Metro
rate for wholesale sewage processing services and an 11% increase for the local Renton �I
sewer system.
In 1984, the Council was presented with a recommendation to embark on a $19.6 million
capital improvement program extending through the year 1990 to rehabilitate and expand 'I
the City water and sewer system. At that time, it was projected that average annual ;rate
increasers of 11.2% would be required to fund the capitalital improvement ovement Pro ram proposed
b RH--2 Engineering and Wilsey and Ham as
Y 9 9 Y part of their update of the City
comprehensive water-sewer plan. In 1984, rates were raised 10% as first installment of
this improvement program.
The, current protection is that rate increases averaging
10.75% will be required through .1990, and the 1985 installment represents an 11%
increase. The Capital Improvement Plan remains within the original parameters proposed
in 1984.
Major projects in 1985 of the Water-Sewer Utility include: 'I
Completion of the West Hill Project $547,000
Honey Creek Interceptor $960,000 'I
Telemetry Improvements $291:,000
Miscellaneous Repairs, Replacements,
Expansions and Improvements $464,000
'I
'I
'I
�I
23
�s CITY OF RENTON 1985 PRELIMINARY BUDGET
' SOURCE AND USE OF FUNDS
($'s in 0001s)
UTILITY PROGRAMS
' MISCELLANEOUS
(3.5%)
' CHARGES
BOND
FOR SERVICES
PROCEEDS
' BEGINNING FUND BALANCE - $ 224 (56.5%) (29.6%)
PLUS
' CHARGES FOR SERVICES - $4,953
BOND PROCEEDS 2,593
GRANTS 491
MISCELLANEOUS - 310
' TRANSFERS-IN - 418
LESS GRANTS
(5.6%)
SALARIES AND BENEFITS - $1,275 TRANSFERS-IN
' SERVICES AND SUPPLIES - 2,743 (4.8%)
INTERGOVERNMENTAL SERVICES - 111
CAPITAL OUTLAY - 3,658
DEBT SERVICE/OTHER - 661 DEBT
' ENDING FUND BALANCE - $ 541 SERVICE/
OTHER SALARIES
(7.8%) AND BENEFITS
CAPITAL OUTLAY
SERVICES
(43.3$) AND SUPPLIES
' (32.5%)
' GRANTS
(1.3%)
Figure 15
' 24
-I R CITY OF RENTON 1985 PRELIMINARY BUDCE:T
UTILITY PROGRAM SUMMARY
AIRPORT UTILITY
Figure 1.6 shows the source and use of funds for the City's Airport Utility. Lease income N
from airport tenants represents the major source of income to the airport, while
maintenance, bond payments, and capital outlay are its major expenditures.
Major capital improvements planned for the airport in 1985 include:
1. Southeast perimeter road improvements $66,000
2. Water main crossing underneath runway $150,000
3. Airport Master Plan update $10000
4. Deposits to the airport construction reserve $150,000
Lease rates to airport tenants are adjusted as individual leases expire. Such adjustments
do not necessarily coincide with the City's budget process. Estimated income from
airport leases is based on current lease agreements.
'I
1
25
�s CITY OF RENTON 1 985 PRELIMINARY BUDGET
' SOURCE AND USE OF FUNDS
' ($'s in 000's)
i
AIRPORT CHARGES FOR SERVICES
(1.Oo)
' BEGINNING FUND BALANCE - $ 734
PLUS RENTS
RENTS _ $ 385 (99.0%)
CHARGES FOR SERVICES 4
LESS
' SALARIES AND BENEFITS _ $ 89
SERVICES AND SUPPLIES 70
INTERGOVERNMENTAL SERVICES - 43
' DEBT SERVICE/OTHER _ 101
CAPITAL OUTLAY 456
ENDING FUND BALANCE - $ 364
DEBT SERVICE SALARIES/
(13.30) BENEFITS
(11.70)
SUPPLIES
AND SERVICES
(9.20)
'
SERVICES
(5.7%)
' CAPITAL OUTLAY /
(60.1%) /
' Figure 16
' 26
ft CITY OF RENTON 1985 PRELIMINARY BUDGET
F
UTILITY PROGRAM SUMMARY
SOLID WASTE UTILITY
Figure 17 displays the source and use of funds for the City's newly created Solid Waste
Utility. Revenue comes almost entirely from garbage collection fees, and expenses
include payments to the City's garbage contractor and reimbursement to the City's
Water-Sewer Utility Fund for billing services.
In the past, revenues and expenses for the garbage collection within the City were
accounted for within the Current Fund. This led to an over-statement of operating
expenses in the Current Fund and did not, recognize the fact that the garbage collection
services in the City should be accounted for as any other utility fund. The change:
included in this year's budget, proposal allows for proper inter-fund charging for billing
services and makes the operation of the Solid Waste Utility more visible and easier to
manage.
The costs to the City for its third-party contractor are adjusted each year 'based on the
local CPI inflation index and increases in King County dump fees. No increases in King
County dump fees are anticipated, and the inflation adjustment is estimated to be
approximtely 4.5%.
In past years, the City has retained approximately 20% of the garbage collection fees as a '
general revenue source to the City. In 1984, this approximated $360,000. In the future, it..
is; intended that the Solid Waste Utility will be treated as any other utility in the City and
taxed at the basic utility rate of 5%. Such a tax rate would generate $90,000 of revenue
to the City's general fund, as opposed to the $360,000 it currently receives. To begin to ,
adjust to the concept of a utility tax, it is recommended that garbage rates be rolled back:
5'% this year and adjusted next year as necessary to allow the Solid Waste Utility to meet
its expenses to the third-party contractor, pay for its billing services, and pay 5% utility '
tax on its gross income.
27
�i CITY OF RENTON 1985 PRELIMINARY BUDGET
SOURCE AND USE OF FUNDS
' ($'s in 000's)
SOLID WASTE MISCELLANEOUS
(0.20)
' BEGINNING FUND BALANCE - $ -0-
PLUS
CHARGES FOR
' CHARGES FOR SERVICES _ $1,959 SERVICES
MISCELLANEOUS 4 (99.8%)
LESS
SERVICES AND SUPPLIES - $1,921
INTERGOVERNMENTAL SERVICES - 42
' ENDING FUND BALANCE - $ -0-
INTERGOVERNMENTAL
SERVICES
(2.1%)
' SERVICES AND SUPPLIES
(97.9%)
Figure 17
28
I �
I �
CITY OF RENTON 1985 PRELIMINARY BUDGET
OTHER FUNDS SUMMARY
' AND
SOURCE AND USE OF FUNDS
a M CITY OF RENTON 1985 PRELIMINARY BUDGET
OTHER FUNDS SUMMARY
EQUIPMENT RENTAL FUND
Figure 18 displays the source and use of funds for the City's Equipment Rental f=und.
Major sources of funds come from equipment rental charges to departments within thf;
City and equipment rental bond proceeds. Expenses include salaries and benefits, services
and supplies, debt service transfers, and capital outlay for equipment purchases.
In 1984, the City changed its technique of financing equipmental rental operations.
Rather than collecting in advance for future replacements, the City will issue equipment
rental general obligation bonds to be paid by equipment rental revenues from those
departments which use the equipment. The money which had been collected to finance 'I
replacements remains in the fund balance of the Equipment Rental Fund, and the interest
thereon is used to off-set operating expenses of the fund. This new way of financing
equipment purchases makes the best use of the City's tax-exempt borrowing privileges
and more accurately matches the expense of owning and operating a piece of equipment.
with its actual time of use.
In 1985, the Equipment Rental Fund will spend $378,000 on equipment replacements a!:,
determined by its equipment replacement schedule. Vehicles are normally kept sever
years, where heavy machinery, is kept for longer periods of time. Only that equipment
that is scheduled for replacement on these schedules is included in the 1985 budget.
29
�t CITY OF RENTON 1985 PRELIMINARY BUDGET
SOURCE AND USE OF FUNDS
Internal Service Programs
($'s in 000's)
' EQUIPMENT RENTAL
OTHER
EQUIPMENT
RENTAL CHARGES
(54.9%)
' BOND
BEGINNING FUND BALANCE - $ 791 (PROCEEDS
PLUS (36.40)
' EQUIPMENT RENTAL CHARGES _ $ 571
BOND PROCEEDS 379 /
OTHER - 91
' LESS
SALARIES AND BENEFITS - $ 132
SERVICES AND SUPPLIES - 381
' CAPITAL OUTLAY _ 378
OTHER 121
ENDING FUND BALANCE - $ 820
' SUPPLIES AND
SERVICES
(37.60)
SALARIES AND
BENEFITS CAPITALOUTLAY f
OTHER (46.60)
(12.0%)
' Figure 18
30
fRCIT`S( OF RENTON 1985 PRELIMINARY BUDGET
OTHER FUNDS SUMMARY
INSURANCE FUND
Figure 19 shows the source and use of funds for the City's insurance program. lraxes and
charges to departments for insurance coverage are the primary sources of income to the I�
insurance fund; claims expense is its primary expenditure.
In 1984, the City significantly changed the way it financed its cost of risk. Liability,
property, and workmens compensation risk exposures were self-insured through a
protected self-insurance program. In this program, the City assumes full responsibility
for the first $50,000 of loss on any individual claim and for the first $250,000 of annual
losses on all claims. Insurance is purchased to provide coverage for losses above these ,
limits. To finance this program, the City must provide a loss fund to pay for expected
claims losses and also must pay insurance; premiums to provide the excess or umbrella
insurance coverage. In 1985, the expected liability, property, and workmens compensation
self-insurance program is estimated to cost $475,000.
In addition, beginning in 1985, the City will use its Insurance Fund to provide a different
kind of insurance - an insurance against economic down-turns. The City Council has ,
adopted a policy that it will maintain 8% of operating expenditures as a "rainy day fund"
to help the City ease through future recessions. Such monies will be maintained in fund
balance in the Insurance Fund and will be used as collateral to assume even greater '
degrees of self-insurance. In periods of economic distress, the City will use these fund
balances to help pay for operating expenses and, lacking the collateral for its
self-insurance program, buy higher levels of insurance. Through this trade-off, the City
is able to achieve maximum utilization of funds in both good and bad economic times.
The ending fund balance of $1.68 million is approximately 8% of operating expenditures
this year, and the "rainy day func" is in plane to provide the protection necessary to
continue services through future economic down-turns.
r
31
es CITY OF RENTON 1985 PRELIMINARY BUDGET
SOURCE AND USE OF FUNDS
Internal Service Programs
($'s in 000's)
INSURANCE
MISCELLANEOUS
' (19.70)
INSURANCE
CHARGES
' BEGINNING FUND BALANCE - $1,328 (46.60) TAXES
PLUS (33.70)
TAXES - $ 281
INSURANCE CHARGES 389
MISCELLANEOUS - 164
LESS
CLAIMSCLAIMS - $ 440
OTHER - 35
' ENDING FUND BALANCE - $1,687
OTHER
(7.40)
' CLAIMS
(92.6%)
Figure 19
32
am CJITY OF RENTON 1985 PRELIMINARY BIJD(:aET '
OTHER FUNDS SUMMARY
MISCELLANEOUS '
The Other Funds classification includes miscellaneous Reserve Funds, the Federal '
Revenue Sharing Trust Fund, the Firemen's Pension Fund, the LI Guaranty Fund and the
Tax Anticipation Note Fund.
1. Cumulative Reserve Funds - Operating transfers from the Real Estate Transfer
Tax and Utility Connection Fee Cumulative Reserve Funds are pro;Dosed to fund
the general government and utility capital improvement programs. '
2. Federal Revenue Trust Fund - 'This fund is used to account for the receipt and use
of Federal revenue sharing monies. The full entitlement of $764,000 is transferred
to operating and capital funds to support necessary expenditures. '
3. Firemen's Pension Fund - This fund contains the assets of the Firemen"s Pension
System and is used to pay benefits to retirees under the old Firemen's Pension ,
System. It is funded in accordance with actuarial recommendations to provide,
over time, for the full cost of all retirement benefits due the employees under this
program. ,
4. LI Guaranty Fund - This fund is established to make LID assessment payments in
the case of a default by a property, owner. To date, this fund has never been used
and currently contains $332,000„ '
5. Tax Anticipation Note Fund - This fund is established to account for the City's tax
anticipation note interim financing program. Programs in 1983 and 1984 have '
yielded the City significant cost savings and provided flexibility in cash flow
managment. A program of $2.4 million is planned for 1985.
'I
'I
33 a .—
� uj
p
CITY OF RENTON 1985 PRELIMINARY BUDGET
REVENUE SUMMARY BY YEAR
' REVENUE SUMMARY BY FUND GROUP
fs 47 i�ITY OF RENTON 1985 PRELIMINARY BUD('aET '
REVENUE SUMMARY BY YEAR
,i
Figure 20 shows actual City revenues for 1983„ estimated revenues for 1984, and projected '
revenues for 1985. Recurring revenues are projected to increase 2.3% from 1984 to 1985
and one-time revenues to increase 29.8% between those two years. Overall,, revenue:; are
expected to increase 11.9%. The following comments are offered regarding individual.
revenue sources: ,
1. Taxes - The regular property tax levy is estimated to increase 8%, including new
construction. The special levy for repayment of the Gene Coulon Beach hark ,
Bonds is established at, the actual level of the bond payments. Sales tax is
projected to increase 3%, while utility taxes will fall approximately 1.5.8% as a
result of the decreases in the utility tax rates. '
2. Licenses and permits - A 1.2% reduction in these revenues is estimated based on
actual collections in 1984. '
3. Intergovermental (Grants) - Expected to increase 27% above 1984 collections based
on the higher f=ederal Revenue Sharing Entitlement, somewhat higher State shared
revenues, and a carry forward of unreceived grant funds. ,
4. Charges for services - Will increase 1.1% based on an increase in Water-Sewer
Utility rates, but off--set by decreases in the garbage collection rate.
5. Fines and Forfeits - Expected to decline 2.2% based on 1984 experience.
6. Miscellaneous Revenues - Comprised primarily of interest income and expectE:d to ,
stay approximately level with the 1984 estimates.
7. Other revenues - Expected to fall 8.5% caused primarily by the change in the '
inter-fund billing procedires.
8. State and Federal grants - Will. increase as a result of 1984 project delays which
result in grant monies being carried forward to 1985. '
9. Bond proceeds - Will increase as a result of the Water-Sewer Utility issuing $3.6
million in water sewer revenue bonds. '
34
Ef '} CITY OF RENTON 1985 PRELIMINARY BUDGET
'
REVENUE SUMMARY BY YEAR Figure 20
' ($ 's in 0001s)
1983 1984 1985 84-85
Actual Estimate Proposed Change
----------------------------------------------------------------------------
CURRENT OPERATING REVENUES
TAXES $14,265 $15,278 $15,773 3.2$
Property 5 ,777 5,548 6,268
Sales 5,431 6,000 6, 180
Utility 2,279 2,764 2,346
Other 778 966 979
' LICENSES & PERMITS 508 521 515 -1 .2$
Business Licenses 279 285 296
Building Permits 229 236 219
INTERGOVERNMENTAL 2,587 2,033 2,581 27 .0$
Federal Revenue Sharing 722 743 754
State Shared Revenues 1 , 191 1 ,259 1 ,374
Other Intergov 674 31 453
' CHARGES FOR SERVICES 6 ,382 7,305 7 ,386 1 . 1 $
General Government 164 173 120
Police/Fire 110 115 48
Utility 6,002 6,899 7, 117
Parks 106 118 101
FINES & FORFEITS 484 465 455 -2.2%
Court 463 445 440
1 Library 21 20 15
MISCELLANEOUS 1 ,988 2,030 2,011 -0 .9%
Interest Earnings 1 , 532 1 ,510 1 ,399
Airport Rents 340 297 317
interfund Rentals 44 102
Other Misc Revenues 116 179 194
OTHER REVENUES 724 1 ,054 964 -8 . 5%
' Equipment Rental Charges 542 488 571
Self Insurance Revenue 360 389
Other 182 206 4
OPERATING TRANSFERS IN 1 ,779 2,201 1 ,907 -13 .4%
' **** Total Recurring Revenue $28,717 $30,887 $31 ,593 2.3%
----------------------------------------------------------------------------
ONE-TIME REVENUES
Beginning Fund Balances $12,344 $12,952 $13 ,075
Federal Grants 427 561 1 ,099
State Grants 371 358 1 ,848
Bond Proceeds 4,425 2,640 5,415
**** Total One-Time Revenue $17 ,567 $16,511 $21 ,437 29 .8%
----------------------------------------------------------------------------
GRAND TOTAL ALL REVENUES $46,284 $47,398 $53,030 11 .9%
' 35
fs 4- CITY OF RENTON 1985 PRELIMINARY BUDGET
P
REVENUE SUMSUMMARYBYFUND GROUP Figure 2'I
($ 's in 0001s)
Operating Capital Utility Service Other
Total Funds Funds Funds Funds Funds
-----------------------------------------------
CURRENT OPERATING REVENUES
TAXES $15,773 $14,263 $740 $0 $281 $489
Property 6,268 5,271 740 257
Sales 6, 180 5,899 281
Utility 2,346 2,346
Other 979 747 232
LICENSES $ PERMITS 515 515 0 0 0 0
Business Licenses 296 296
Building Permits 219 219
INTERGOVERNMENTAL (GRANTS) 2,581 1 , 103 683 0 0 795
Federal Revenue Sharing 754 754
State Shared Revenues 1 ,374 1 ,082 251 41
Other Intergov 453 21 432
CHARGES FOR SERVICES 7 ,386 269 0 6,916 0 201
General Government 120 119 1
Police/Fire 48 48
Utility 7 , 117 1 6,916 200
Parks 101 101
FINES & FORFEITS 455 455 0 01 0 0
Court 440 440
Library 15 15
MISCELLANEOUS 2,012 478 256 699 227 352
Interest Earnings 1 ,399 313 237 272 225 352
Airport Rents 317 7 310
Interfund Rentals 102 102
Other Misc Revenues 194 56 19 117 2
OTHER REVENUES 964 0 0 0 964 0
Equipment Rental Charges 571 571
Self Insurance Revenue 389 389
Other 4 4
OPERATING TRANSFERS IN 1 , 907 505 960 418 24
****Total Recurring Revenue $31 , 593 $17 ,588 $2,639 $8 ,033 $1 ,496 $1 ,837
ONE-TIME REVENUES
Beginning Fund Balances $13 ,075 $2,084 $2,967 $958 $2, 119 $4 ,947
Federal Grants 1 ,099 1 ,099
State Grants 1 ,848 7 1 ,350 491
BondProceeds 5,415 43 2,593 379 2,400
**** Total One-Time Revenue $21 ,437 $2,091 $5 ,459 $4 ,042 $2,498 $7 ,347
------
--------------------------------------------------------•---------------
GRAND TOTAL ALL REVENUES $53,030 $19,679 $8,098 $12,075 $3,994 $9, 184
36
uj
LU
� CL
W
t
R
CITY OF RENTON 1985 PRELIMINARY BUDGET
Figure 22
DEPARTMENTAL EXPENDITURES Fi 9
( $ ' s in 0001s )
1983 1984 1985 84-85
Actual Estimate Proposed Change
' -------------------------------------$71 ---------$82---------$84------ -%
LEGISLATIVE $71 $82 $84 2 4
JUDICIAL 243 281 297 5 .7%
' EXECUTIVE 152 167 170 1 .8%
FINANCE 976 1 , 145 1 ,076 -6 .0%
LEGAL 352 250 205 -18 .0%
POLICY DEPARTMENT 210 221 218 -1 . 4%
POLICE 3 ,651 3 ,615 3,906 8 .0%
Administration 209 172 180
Investigation 553 537 587
Patrol 2,044 1 ,964 2,069
Gambling Tax Enforcement 97 96 100
Crime Prevention 2 44 36
Research and Training 61 66 113
t Records 435 472 493
Jail 205 215 276
Animal Control 45 49 52
FIRE 2,894 3, 112 3,523 13 .2%
Administration 210 235 222
Suppression 2,395 2,556 2,959
Prevention/ Investigation 230 248 272
Training 56 60 57
Facilities 3 12 12
Civil Defense 1 1
BUILDING 365 408 439 7 .6%
LAND USE 50 51 75 47 . 1 %
PERSONNEL 200 183 209 14 .2%
PUBLIC WORKS 11 ,828 14,664 19,476 32.8%
Administration 138 143 146
Engineering Design 489 506 516
Street Maintenance 1 ,078 1 ,022 1 , 121
' Traffic Engineering 911 901 932
Water/Sewer Utility 4 , 145 5 ,803 7 ,338
Solid Waste Utility 1 ,623 1,730 1 ,963
Airport 379 318 658
Equipment Rental 438 651 919
Capital 2,627 3 ,590 5 ,883
PARKS 3,496 3,631 3,868 6 . 5%
' Administration 286 296 309
Recreation 455 483 525
Senior Center 163 169 179
Park Facilities 940 1 ,036 1 ,098
Park Landscaping 71 88 91
General Services 913 1 ,001 1 , 128
Capital 668 558 538
t LIBRARY 516 550 652 18 .5%
DEBT SERVICE 1 ,903 2, 135 2,503 17 .2%
NON-DEPARTMENTAL 810 4 ,769 4,250 -10 .9%
OPERATING TRANSFERS OUT 2,256 2,201 1 ,907
TOTAL EXPENSES $29,973 $37 465 $42,858 14 .4
37
RCITY OF RENTON 1985 PRELIMINARY BUDGET
Department: LEGISLATIVE DEPARTMENT Fund: CURRENT FUND
Division: CITY COUNCIL AND LEOFF BOARD Account: 000/000/01.511
LEGISLATIVE SERVICES: Legislative action, City priorities, and the general direction of the City's expenditures
and revenue are under the control of the City Council. Through contact with the community, the Council develops
and adopts ordinances, resolutions and policy statements during regular meetings held on the first four mondays
of each month, at 8:00 p.m. The Council has six working committees and all Council and committee meetings are
open to the public. The City Council has all of the powers delegated by the State Constitution which are not
specifically denied by State Law. Renton operates under the "Optional Municipal Code" as a Non-Charter Code
City, and is responsible for all basic City services plus other services as directed by Council.
EXPENDITURE SUMMARY
' Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
LEGISLATIVE SERVICES: (CITY COUNCIL & LEOFF BOARD)
SALARIES $53,652.62 $60,149.00 $60,149
' OVERTIME 132.09 --- ---
PERSONNEL BENEFITS 13,618.22 16,498.00 18,942
SUPPLIES 622.47 650.00 400
' OTHER SERVICES & CHARGES 2,537.08 4,976.00 4,820
CAPITAL OUTLAY
NOTE: The Green River Wildlife Fund is also included
' under the Legislative Department. Purpose is for
preservation and maintenance of open spaces for wild-
life habitat, wetlands, etc. Total 1985 resources
are $2,200.
' TOTAL PROGRAM - LEGISLATIVE SERVICES $70,562.48 $82,273.00 $84,311
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
-- 1984 BUDGET AS ADOPTED $ -
PART TIME/FULL TIME EQUIVALENT 82
City Council Members 7 7 7
(Part Time) Adjustments to 1984 Budget
' EQUALS 1984 ADJUSTED BUDGET $ 82
Legislative Secretary .58 .58 .58
Add Increased Cost to
Maintain Same Service Level 2
Percentage Increase Over 1984 2.4 %
Add 1985 New Programs/Changes NONE
Sub-Total All 1985 Increases $ 2
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 84
PERCENTAGE INCREASE OVER 1984 2.4 %
' 38
"R City of Renton '
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: LEGISLATIVE DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: LEOFF BOARD ACCT: 000 000 01 511 2� 00 00
ACCOUNT NUMBER -- 1983 1984 198!1
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMENO.
000 01 511 20 00 CO LEOFF BOARD
30 00 SUPPLIES
31 GO OFFICE/OPER4TING SUPPLIES 50.00 50
* SUPPLIES 50.00 5C
40 GO OTHER SERVICES & CHARGES
42 C1 POSTAGE 20.00 20.00 2C '
43 00 TRAVEL
43 26 LEOFF BOARD TRAVEL 400.00 400
* OTHER SERVICES AND CHARGES 20.00 420.00 42C
** LEOFF BOARD 20.00 470.G0 470 '
FUNCTION: DEPT: LEGISLATIVE DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: LEGISLATIVE SERVICES (COUNCIL) ACCT: 000 COG 01 511 6C 00 OC
ACCOUNT NUMBER 1983 1964 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 01 511 60 00 00 LEGISLA SERV (COUNCIL)
10 CO SALARIES AND WAGES 53,652.62 60.149.00 60.149 ,
10 C2 OVERTIME 132.09
* SALARIES AND WAGES 53.784.71 60.149.00 60.149
20 GO PERSONNEL BENEFITS '
20 01 RETIREMENT/rPERS 3.001.89 3,567.00 3.748
20 03 FICA 3r6C3.15 41337.00 4,344
20 04 PREPAID MEDICAL 4,522.75 5,70O.00 7,806
20 06 INDUSTRIAL INSURANCE 254.83 302.00 302
20 07 LIFE INSURANCE 70.68 72.00 72 ,
20 09 PREPAID DENTAL 2,1o4.92 2,520.00 2,676
* PERSCNNEL BENEFITS 13,618.22 16,498.00 18,942
30 CO SUPPLIES '
31 GO OFFICE/OPERATING SUPPLIES 622.47 600.00 :550
* SUPPLIES 622.47 600.00 :550
40 GO OTHER SERVICES 8 CHARGES
41 24 PROFESSIONAL SERV/LEGISLA
42 GO COMMUNICATION
42 Cl POSTAGE 33.35 250.00 25C
43 CO TRAVEL
43 C2 LEGISLATIVE TRAVEL 2,155.33 4,186.00 40000
46 CD REPAIRS d MAINTENANCE 328.40 120.00 '150 '
49 CO MISCELLANEOUS
49 C6 PRINTING d BINDING
* OTHER SERVICES AND CHARGES 2,517.08 4,556.00 4,400
60 CO CAPITAL OUTLAY
64 CO MACHINERY Q EQUIPMENT
+ CAPITAL OUTLAYS
** LEGISLATIVE SERVICES (COUNCIL) 70,542.48 81,803.00 83,1341
** LEGISLATIVE DEPARTMENT 70,562.48 82,273.00 84,311
FUNCTION: DEPT: LEGISLATIVE DEPARTMENT FUND: GREEN RIVER WILDLIFE
530 PHYSICAL ENVIRONMENT DIV: GREEN RIVER WILDLIFE ACCT: 126 000 01 531 10 OC CC
ACCOUNT NLMBER 1983 1984 1985 ,
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOC''S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 01 531 10 30 CO GREEN RIVER WILDLIFE ,
40 CO CTHER SERVICES B CHARGES
49 00 MISCELLANEOUS
49 60 PROP TAX/DRAINAGE/WETLOS 243.59 260.00 35C
SUB—TOTAL ENDING BALANCE 1,548.90 1,940.00
SUB—TOTAL EXPENDITURES 243.59 260.00 350
SUB—TOTAL NCN—EXPENCITURES
SUBTOTAL OTHER FINANCING USES
*« GREEN RIVER WILDLIFE 1,792.49 2,200.00 2,200 '
39
' esR CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: JUDICIAL DEPARTMENT Fund: CURRENT FUND
Division: MUNICIPAL COURT Account: 000/000/02.512
MUNICIPAL COURT: Basic objective is to maintain an effective Municipal Court that is in full compliance with
law and court rules and that maintains records in a manner prescribed by the State of Washington. Further,
to conduct daily court operations in a manner that meets the public courteously, responds to all reasonable
inquiries promptly, and holds court hearings in a manner that earns and maintains a reputation for fairness,
consistency and justice.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
MUNICIPAL COURT:
FULL TIME SALARIES $154,152.06 $166,942.00 $171,057
PART TIME SALARIES 10,837.50 8,320.00 12,301
OVERTIME (FULL TIME AND PART TIME) 78.74 1,500.00 1,500
SUB-TOTAL SALARIES & WAGES $165,068.30 $176,762.00 $184,858
PERSONNEL BENEFITS 33,585.73 41,512.00 43,072
SUPPLIES 2,938.57 9,965.00 13,700
OTHER SERVICES & CHARGES 39,508.94 52,710.00 55,615
CAPITAL OUTLAY 1,791.82 --- ---
1 TOTAL PROGRAM - MUNICIPAL COURT $242,893.36 $280,949.00 $297,245
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
1984 BUDGET AS ADOPTED $ 281
9 Court Administrator 1 1 1
Adjustments to 1984 Budget
3 Court Clerk 5 5 5 Work in Progress - $275
TOTAL FULL TIME POSITIONS 6 6 6
EQUALS 1984 ADJUSTED BUDGET $ 281
PART TIME/FULL TIME EQUIVALENTS 1.25 1.00 1.25
(Includes Part Time Municipal
Court Judge and Temporary Help) Add Increased Cost to
Maintain Same Service Level 6
Percentage Increase Over 1984 2.1 %
Add 1985 New Programs/Changes 10
(See Li-6t on 6ottow.ing page/page6)
Sub-Total All 1985 Increases $ 16
1 EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 297
PERCENTAGE INCREASE OVER 1984 5.7 %
40
7`R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: JUDICIAL DEPARTMENT Fund: CURRENT FUND
Division: MUNICIPAL COURT Account: 000/000/02.512
1985 NEW PROGRAMS/CHANGES
MUNICIPAL COURT:
1) Regular Supplies Increase • . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ 3,725
To cover cost of special required by the State.
2) New Account - Professional Services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ... . . . . .. . 1,000
For interpreters and diagnostic fees as required.
3) Postage Increase . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . •
. . . . . . . . . . . . . . . . . . . . . 1,000
To cover notices sent on time payment accounts. This function began
mid-1984, and increase will cover mailings for a full year in 1985.
4) Part Time Help Increase . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4,288
Increase due to the following:
A. Vacation coverage. Option would be to pay full time Court Clerks
overtime during periods of vacation which would be much more costly.
Court Clerks now accrue comp time when Court runs late (averages
2 days per week). Any additional comp time could not be used
within the 30 day requirement, with the present workload.
B. Parking ticket data entry. Court staff to assume this function, '
presently done by Data Processing.
C. Coverage for additional workload anticipated for implementation
of requirements for domestic violence legislation.
D. Hourly rate increase for present part time employee from $8.00/Hr.
to $8.25/Hr. Cost - $237.
Note: Total part time allocation is equal to approximate of a
full time equivalent and is presently the most cost effective
way of handling the Court's workload.
TOTAL NEW PROGRAMS/CHANGES - MUNICIPAL COURT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $10,013
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41 1
f` + Clty of Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: JUDICIAL DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: MUNICIPAL COURT ACCT: 000 DOC 02 512 50 00 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES' AS OF 10/24 RECOMMEND.
000 02 512 50 00 CO MUNICIPAL COURT
10 00 SALARIES AND WAGES 154.152.06 1660942.00 171.057
10 C2 OVERTIME 10500.00 10500
* SALARIES AND WAGES 1540152.06 1680442.00 1721557
20 00 PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 80224.52 10.195.00 100904
20 C3 FICA 10.327.95 11.672.00 12.230
20 04 PREPAID MEDICAL 9.827.99 13.404.00 130752
20 C6 INDUSTRIAL INSURANCE 393.25 509.00 504
' 20 C7 LIFE INSURANCE 625.58 683.00 70C
20 C9 PREPAID DENTAL 30394.48 41224.00 4.044
* PERSONNEL BENEFITS 320793.77 4C0887.00 420140
30 CO SUPPLIES
31 00 OFFICE/OPERATING SUPPLIES 20938.57 50275.00 9000E
35 00 SMALL TOCLS/MINOR EQUIPMENT 40690.00 4/700
* SUPPLIES 20938.57 90965.00 130700
40 00 OTHER SERVICES & CHARGES
41 00 PROFESSIONAL SERVICES
41 26 JUDGES DRO TEN 720.00 20000.00 20500
41 61 PUBLIC DEFENDERS 12.690.00 300000.00 3C0000
41 62 PUBLIC DEFENDER/CRIMINAL 110192.50
41 83 INTERPRETER/DIAGNOSTIC FEES 1.000
42 CO COMMUNICATION
42 Cl POSTAGE 3,296.27 40000.00 5000E
43 CO TRAVEL 71.24
43 17 MUNICIPAL COURT TRAVEL 300.00 500
44 17 ADVERTISING/MUN COURT
45 00 OPERATING RENTALS & LEASES
45 C7 PHOTO MACH RTL/MLN CT 10614.24 20100.00 20100
48 00 REPAIRS & MAINTENANCE 752.15 1026C.CO 1,290
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 135.00 275.00 450
49 16 PUBLICATIONS 527.25 775.00 775
49 34 WITNESS FEES 80510.25 120000.00 120000
* OTHER SERVICES AND CHARGES 390508.94 520710.00 55,615
60 00 CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT 10791.82
* CAPITAL OUTLAYS 10791.82
** MUNICIPAL COURT 2310185.1E 2720004.00 2840012
FUNCTION: DEPT: JUDICIAL DEPARTMENT FUND: CURRENT
51C GENERAL GOVERNMENTAL SERVICES DIV: MUNICIPAL COURT PART TIME HELP ACCT: 000 000 02 512 51 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMtNC.
' OCO 02 512 51 00 CO MUNICIPAL COURT PART TIME HELP
10 00 SALARIES AND WAGES 100837.50 b0320.00 12,,301
10 02 OVERTIME 78.74
* SALARIES AND WAGES 100916.24 80320.00 120301
20 00 PERSONNEL BENEFITS
20 C3 FICA 731.36 583.00 868
20 C6 INDUSTRIAL INSURANCE 60.60 42.00 64
* PERSONNEL BENEFITS 791.96 625.00 932
1 ** MUNICIPAL COURT PART TIME HELP 110708.20 80945.00 13,233
** JUDICIAL DEPARTMENT 2420893.36 2800949.00 2970245
! 42
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CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: EXECUTIVE DEPARTMENT Fund: CURRENT FUND
ADMINISTRATION, HUMAN RIGHTS,
Division: MUNICIPAL ARTS Account: 000/000/03.513
1 EXECUTIVE DEPARTMENT: Includes the Mayor's office (Executive Administration), Human Rights and
Affairs Commission, Municipal Arts Commission, Cumulative Reserve Fund #2518 (Municipal Arts), and
the 1% For Art Fund. The Mayor is the City's chief executive and administrative officer whose duties
include the administration and direction of City activities and operations; representation of the City
and its interests in all matters involving other governmental agencies; and official and ceremonial
representation of the City and its citizens.
EXPENDITURE SUMMARY
1983 Actual 1984 Adjusted 1985 Mayor's
Expenditure Description Expenditures Budget Recommendation
EXECUTIVE ADMINISTRATION, HUMAN RIGHTS,
MUNICIPAL ARTS COMMISSION (CURRENT FUND DIVISIONS):
' FULL TIME SALARIES $108,560.25 $111,834.00 $111,904
PART TIME SALARIES 10,710.00 11,424.00 11,424
SUB-TOTAL SALARIES & WAGES $119,270.25 $123,258.00 $123,328
1 PERSONNEL BENEFITS 20,512.60 22,227.00 23,034
SUPPLIES 854.65 4,300.00 2,400
OTHER SERVICES & CHARGES 11,607.70 17,165.00 21,400
CAPITAL OUTLAY --- --- ---
TOTAL PROGRAM - EXECUTIVE $152,245.20 $166,950.00 $170,162
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
' - 1984 BUDGET AS ADOPTED $ 164
Mayor 1 1 1
-- Administrative Assistant 1 1 1 Adjustments to 1984 Budget 3
-- Executive Secretary 1 1 1 Ord. #3798/King Co. Arts Comm. Grant-_ $2,000
1 Y Work in Progress/Municipal Arts - 500
TOTAL FULL TIME POSITIONS 3 3 3 $2,500
EQUALS 1984 ADJUSTED BUDGET $ 167
' PART TIME/FULL TIME EQUIVALENTS .50 .50 .50
(Part Time Intern)
Add Increased Cost to
Maintain Same Service Level 1
Percentage Increase Over 1984 •6 %
Add 1985 New Programs/Changes 2
(See L.i,e.t on Jottowing page/pageb)
Sub-Total All 1985 Increases $ 3
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 170
PERCENTAGE INCREASE OVER 1984 1.8 g
43
"R CITY OF RENTON 1985 PRELIMINARY BUDG
� ET '
Department: EXECUTIVE DEPARTMENT Fund: CURRENT, CUM. RES. #2518, 1% FOR ART
ADMINISTRATION, HUMAN RIGHTS
Division: MUNICIPAL ARTS Account: 000/000/03.513; 124/000/03.597; 125/000/03.513
1985 NEW PROGRAMS/CHANGES '
EXECUTIVE ADMINISTRATION:
No New Programs.
MUNICIPAL ARTS COMMISSION: '
1) Annual Report and Brochure . . .. .... ....... . . .. .. .. . . . ... ... .. .... . . .. .. . . . . . $ 500
Municipal Arts Commission anticipates producing an annual report and
a brochure locating City-owned-owned art works.
2) Municipal Arts Commission Activities .. ....... . . . . . . . . .. . .. . . ... . . .. 1,500
Celebrate and commemorate the 20th anniversary of the Municipal Arts
Commission and its accomplishments through the years from 1965. '
Development of a system of public beautification awards as an increased
effort of the Community Arts Development program.
HUMAN RIGHTS AND AFFAIRS COMMISSION:
No New Programs.
TOTAL ALL NEW PROGRAMS - EXECUTIVE DEPARTMENT . ... .. . . .. . . .. . . . . . .. . . . .. ... .. .. $ 2,000
EXECUTIVE DEPARTMENT - OTHER FUNDS:
1) CUMULATIVE RESERVE FUND #2518 - MUNICIPAL ARTS:
Available funds - $715.
2) 1% FOR ART FUND:
Total Resources Available for Art Projects, as of December 31, 1984 . . . .. . $ 4,059.83
1985 PROPOSED CAPITAL IMPROVEMENT PROJECTS ,
1% FOR ART CONTRIBUTIONS:
Completion Project Contribution
Municipal Constr. Project Date (Est. ) Cost (Est.) To 1% For Art '
- Library Improvements 1985 $ 70,000 $ 700.00
- Highlands Admin. Bldg.
Renovation - Phase I 1985 24,000 240.00
Phase II 1985 37,646 376.00 ,
- Renton High School East
Field Improvement 1985 10,000 100.00
- Phillip Arnold Park
Picnic Shelter 1985 15,000 150.00
- Talbot Hill Picnic Shelter 1985 15,000 150.00
- Liberty Park Picnic Shelter 1985 16,000 160.00
- Lind Ave. Bridge Widening 1985 120,000 1,200.00 3,076.00
TOTAL RESOURCES FOR ART - PROPOSED FOR 1985 . . . .. . . .. . .. . .. .. . . . . . . . . .. ... $ 7,135.83
BALANCE IN THE 1% FOR ART FUND FOR FUTURE ART PROJECTS . . .. . . . .. . .. .. . . . . . 1,264.17
TOTAL 1% FOR ART FUND - 1985 ENDING FUND BALANCE . . . .. . . . . . . . . . . .. . .. . . . . . $ 8,400.00
44 '
' Et a- .
City of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: EXECUTIVE DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: EXECUTIVE ADMINISTRATION ACCT: 000 000 03 513 10 00 OC
1 ACCOUNT NUMBER 1983 1984 1955
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 03 513 10 00 00 EXECUTIVE ACMINISTRATION
10 CO SALARIES AND MAGES 1191270.25 1231258.00 123x328
10 02 OVERTIME
* SALARIES AND WAGES 119.270.25 123.258.00 123,328
20 CC PERSONNEL BENEFITS
20 Cl RETIREMENT/~PERS 7.662.12 8.409.00 8.911
20 C3 FICA 7.208.94 8.154.00 8.473
20 04 PREPAID MEDICAL 3,90o.75 3.720.00 3,756
20 C6 INDUSTRIAL INSURANCE 265.51 312.00 310
i 20 C7 LIFE INSURANCE 527.76 540.60 540
20 C9 PREPAID CENTAL 941.52 1,092.00 1,044
* PERSONNEL BENEFITS 20,512.60 22,227.00 23,034
30 CO SUPPLIES
31 00 OFFICE/CPERATING SUPPLIES 854.65 2,800.00 1,800
35 CO SMALL TOOLS/MINOR EQUIPMENT 1,400.00 500
* SUPPLIES 954.65 4.200.00 2,30C
1 40 CC OTHER SERVICES & CHAFGES
41 28 PROFESSIONAL SERV/EXEC 4x709.17 61000.00 6,000
42 00 COMMUNICATION
42 Cl POSTAGE 265.04 400.00 40C
43 00 TRAVEL
43 C7 EXECUTIVE TRAVEL 1,127.44 1,500.00 2,000
45 00 OPERATING RENTALS & LEASES
45 01 OTHER RENTALS
45 C2 EQUIPMENT RENTAL 2,040.00 1,320.00 3,480
48 00 REPAIRS & MAINTENANCE 325.40 870.00 2,570
1 49 CO MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 355.00 500.00 500
49 16 PUBLICATIONS 1,400.00 1,500.00 2,000
* OTHER SERVICES AND CHARGES 10,225.05 12,090.00 16,950
60 CO CAPITAL OUTLAY
64 03 MACHINERY & EQUIPMENT
* CAPITAL OUTLAYS
** EXECUTIVE ADMINISTRATION 150,862.55 161,775.00 165,612
i
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45
City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: EXECUTIVE DEPARTMENT FUND: CURRENT t
510 GENERAL GOVERNMENTAL SERVICES DIV: HUMAN RIGHTS E AFFAIRS COMM ACCT: 000 000 01i 513 20 00 00
ACCOUNT NUMBER 1983 1934 1985 ,
ACCOUNT DESCRIPTION ACTUAL CURRENT ES1'IM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
OCO 03 513 2C 00 CO HUMAN RIGHTS E AFFAIRS COMM
40 CO OTHER SERVICES B CHARGES
41 CO PROFESSIONAL SERVICES
42 CO COMMUNICATION
42 C1 PCSTAGE 16.38 50.CC 50
49 00 MISCELLANEOUS
49 12 MEMBERSHIPS B REGISTRA 2DO.00 20C
++ HUMAN RIGHTS d AFFAIRS COMM 18.38 250.00 25C
FUNCTION: DEPT: EXECUTIVE DEPARTMENT FUND: CURRENT '
510 GENERAL GOVERNMENTAL SERVICES DIV: MUNICIPAL ARTS COMMISSION ACCT: DOC DOC 03 513 21 OC GC
ACCOUNT NL46ER 1963 1984 1985
ACCCUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYO!4'S
LINE ITEM SUMMARY EXPENDITURES AS CF 10/24 RECOMMEND.
CCO 03 513 21 00 00 MUNICIPAL ARTS COMMISSION
30 CO SUPPLIES
31 CO OFFICE/OPERATING SUPPLIES 100.00 100 ,
* SUPPLIES 100.00 10G
40 CO OTHER SERVICES d CHARGES
41 CG PROFESSIONAL SERVICES
41 31 MUN ARTS/PRCF SERVICES
42 CO COMMUNICATION
42 Cl POSTAGE 89.57 125.00 15C
43 00 TRAVEL
43 39 MUNICIPAL ARTS TRAVEL '
49 CO REPAIRS 8 MAINTENANCE 228.70 *00.00 4.00
49 00 MISCELLANEOUS
49 C6 PRINTING d BINDING 21.0C 250.00 750
49 12 MEMBERSHIPS & REGISTRA 25.00 50.00 400
49 25 KING CC ARTS COMM GRANT 2,000.00
49 45 PERFORMING ARTS PROGRAMS 1,000.CO 2,000.00 2,500
* OTHER SERVICES AND CHARGES 1,364.c7 4,825.00 4,200
60 CO CAPITAL OUTLAY
64 CO MACHINERY $ ECUIPMENT '
* CAPITAL OUTLAYS
+* MUNICIPAL ARTS COMMISSION 1,364.27 4,925.00 4,30C
** EXECUTIVE DEPARTMENT 152,245.20 166,950.00 170,162
46
I
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City of Renton 1935 PRELIMINARY BUDGET
1 FUNCTION: DEPT: EXECUTIVE DEPARTMENT FUNC: CUM 2518 (MUNICIPAL ARTS)
590 OTHER FINANCING USES DIV: GPERATING TRANSFERS-OUT ACCT: 124 000 03 597 00 00 00
' ACCOUNT NUMBER 1983 1984 1965
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO C3 597 00 00 CO 2518 MUN ARTS/OPR TRANSFER-OUT
50 00 INTERGOVERNMENTAL SERVICES
SUB-TOTAL ENDING BALANCE 594.83 1/100.00 715
SUB-TCTAL EXPENDITURES
SUBTOTAL NON-EXPENCITURES
SUBTOTAL OTHER FINANCING USES
•* CUM 2516 (MUNICIPAL ARTS) 594.83 1.100.00 715
FUNCTION: DEPT: EXECUTIVE DEPARTMENT FUNC: ONE PERCENT FOR ART
510 GENERAL GOVERNMENTAL SERVICES DIV: MUNICIPAL ARTS 1% FOR ART ACCT: 125 000 03 513 21 00 00
ACCOUNT NUMBER 1933 1964 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 03 513 21 00 00 MUNICIPAL ARTS 1% FOR ART
60 00 CAPITAL OUTLAY
64 14 MACH & EQUIPMT/1X FOR ART 4.225.00
SUBTOTAL ENDING BALANCE 15.681.00 141000.00 8.400
SUBTOTAL EXPENDITURES 4.225.00
SUB-TOTAL NCN-EXPENOITURES
SUBTOTAL OTHER FINANCING USES
i* ONE PERCENT FOR ART 191906.00 14.000.00 8.400
47
� �
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' �
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: FINANCE DEPARTMENT Fund: CURRENT FUND
Division: ALL FINANCE DEPARTMENT DIVISIONS Account: 000/000/04.514
FINANCE DEPARTMENT: Provides management and operation of the City's financial affairs and records;
assists the Mayor and City Council in financial planning and budgeting; manages the City's insurance
program; provides central data processing and printing services; provides L.I.D. operation, payroll,
purchasing and accounts payable, licensing, legislative support, micrographics program, and election
services. Utility Billing is a division of the Finance Department however, funding is provided by the
Water and Sewer Utility Fund #401.
EXPENDITURE SUMMARY
' Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
FINANCE DEPARTMENT (CURRENT FUND DIVISIONS);
BUDGETING & ACCOUNTING, RECORDS & ADMINISTRATIVE
SERVICES (CITY CLERK), PURCHASING, DATA PROCESSING,
AND PRINTING SERVICES. UTILITY BILLING IS NOT
INCLUDED IN THE FOLLOWING EXPENDITURE SUMMARY:
FULL TIME SALARIES $468,453.45 $504,638.00 $517,518
PART TIME SALARIES --- 7,061.00 7,500
1 OVERTIME 344.48 --- ---
SUB-TOTAL SALARIES & WAGES $468,797.93 511,699.00 $525,018
PERSONNEL BENEFITS 108,102.89 125,825.00 141,614
SUPPLIES 35,886.26 46,845.00 52,317
' OTHER SERVICES & CHARGES 102,217.53 111,429.94 106,412
CAPITAL OUTLAY 69,832.45 3,600.00 2,623
TOTAL PROGRAM- FINANCE DEPARTMENT $784,837.06 $799,398.94 $827,984
POSITION SUMMARY 1 985 BUDGET SUMMARY
iFull Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
20 Finance Director 1 1 1 1984 BUDGET AS ADOPTED $ 792
16 Deputy Finance Director 1 1 1
11 Budget Supervisor 1 1 1 Adjustments to 1984 Budget 8
11 City Clerk 1 1 1
11 Data Processing Supervisor 1 1 1 Work in Progress ---- $7,673
9 Programmer Analyst 0 1 1
8 Fund Accounting Supervisor 0 1 1
(Reclass from 7 Accountant) EQUALS 1984 ADJUSTED BUDGET $ 800
8 Purchasing Supervisor 1 1 1
' 7 Deputy City Clerk 1 1 1
6 Computer Operator 1 1 1
5 Administrative Secretary 1 1 1 Add Increased Cost to
5 Printing Technician 1 1 1 Maintain Same Service Level 10
(Reclass from Grade 4 Printing Clerk)
3 Administrative Clerk III 2 2 2 Percentage Increase Over 1984 1.3 %
3 Keypunch Operator 1 0 0 18
3 Payroll Clerk 1 1 1 Add 1985 New Programs/Changes
2 Administrative Clerk II 3 3 3 (See Litt on Joitowing page/pagea)
2 Microfilm Clerk 1 1 1
SUB-TOTAL FULL TIME POSITIONS 18 19 19 28
Sub-Total All 1985 Increases $
Utility Billing - Described in
Water & Sewer Utility Fund. 6 6.50 6.50 EQUALS TOTAL 1985 MAYOR'S
TOTAL FULL TIME POSITIONS 24 25.50 25.50 RECOMMENDED BUDGET $ 828
PART TIME/FULL TIME EQUIVALENTS 0 .33 .33 PERCENTAGE INCREASE OVER 1984 3.5 $
(Temporary Help/Microfilm Program)
48
iR
CITY OF RENTON 1985 PRELIMINARY BUDGET ,
Department: FINANCE DEPARTMENT Fund: CURRENT FUND
Division: ALL FINANCE DEPARTMENT DIVISIONS Account: 000/000/04.514
1985 NEW PROGRAMS/CHANGES
BUDGETING & ACCOUNTING SERVICES:
1) Retirement Payoff and Refilling Position .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $14,999 '
Administrative Clerk III retires March 31, 1985. Increase is the
difference between the present employee budgeted for 12 months of 1985
versus 3 months salary and benefits, retirement payoff, and refilling
the position January 1, 1985. Note: Ballooning payment is an additional
budgeted cost, absorbed through other account decreases.
2) Reclassification for Accountant to Fund Accounting Supervisor .. . . . .. ... . . 1,054
Justification for reclassification is added supervisory responsibility ,
for payroll and treasurer's functions and additional accounting duties.
Reclassify from Grade 7A to 8A, effective September 1, 1984.
Information Only: Administrative Clerk III has been transferred from ,
Purchasing Services Division to Budgeting & Accounting Division to assist
with budget and research functions. The position was not replaced
in Purchasing Division.
3) Typewriter Replacement - Capital Outlay . . .... . . .. ......... .. ..... . .. ... . . 2,623 ,
Replace a 1967 model with equipment having memory capabilities.
Typewriters will be reassigned in the division, so that all positions
will have adequate equipment to meet their needs. The replacement
equipment will allow 3 staff members to have compatible equipment
to accomplish large projects.
RECORDS & ADMINISTRATIVE SERVICES (CITY CLERK):
4) Supplies Increased for Microfilm Program . . . . . ... . . .. . . ... .. .. .. .. . .. .. .. . 5,140 ,
For film processing and other supplies required for expanded
microfilm schedule.
5) Codification Allocation Decreased .. . . . . . . . .. . . 7,473-
,
Decreased .. ... .. . . . . . . . .. . . .. .. . . . .. .... . . .. . ... .
The 1984 appropriation includes work in progress carried forward
from 1983 to 1984, for completion of recodification of City Code
of Ordinances program. Allocation reduced in 1985 to reflect
regular codification costs.
PRINTING SERVICES:
6) Reclassification for Printing Services Clerk to Printing Technician . . . . . . 1,298 '
Justification for reclassification is added printing responsibilities
and increased technical skills. Reclassify from Grade 4E to 5E.
TOTAL ALL NEW PROGRAMS/CHANGES - FINANCE DEPARTMENT .. . . . . . . . . . . .. .. . . . . . . . . . . $17,641
Information Only:
Utility Billing - A division of the Finance Department, is budgeted in the Water &
Sewer Utility Fund and will be addressed in that fund description. It is requested
that the utility bill envelope inserter be replaced in 1985. The equipment requires
constant repair and was second-hand when purchased in 1978. The cost of replacement
is $20,000, included in the Water & Sewer Utility Fund.
Refer also to the Capital Improvement Section for proposed 1985 Data Processing Master
Systems equipment acquisitions. ,
49
tf -� City of Renton
dl 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: BUDGETINGi ACCTING. AUDITING ACCT: 000 000 04 514 23 00 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SLMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 04 514 23 00 00 BUDGETING. ACCTING d AUDITING
' 10 00 SALARIES ANO WAGES 186.183.17 212.711.00 245.998
10 02 OVERTIME
* SALARIES AND WAGES 186.183.17 212.711.00 245i998
20 00 PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 121906.00 151998.00 2BP573
20 C3 FICA 11.235.27 13x922.00 16.788
20 C4 PREPAID MEDICAL 111707.51 12f8E8.00 18.804
20 C6 INDUSTRIAL INSURANCE 420.69 588.00 672
20 C7 LIFE INSURANCE 907.79 1.044.00 1.160
' 20 C9 PREPAID DENTAL 3225.83 3.696.00 4872
* PERSONNEL BENEFITS 40.403.09 4B.136.CO 70.569
30 CO SUPPLIES
31 CO OFFICE/OPERATING SUPPLIES 2.234.63 3.000.00 4.182
31 C2 OTHER OPERATING SUPPLIES 1480.91
35 CO SMALL TOCLS/MINOR EUIPMENT 3.355.00 250
* SUPPLIES 3715.54 6.355.00 4.432
1 40 CO OTHER SERVICES & CHARGES
41 13 PROFESS SERV/CITY AUDIT 9,253.81 12.000.00 13.000
42 00 COMMUNICATION
42 Cl POSTAGE 705.09 600.00 630
43 CO TRAVEL
43 19 BUDGETING 8 ACCT TRAVEL 712.51 2.170.00 2.650
44 03 ADVERTISING/FIDUCIARY 318.72 660.00 695
48 00 REPAIRS & MAINTENANCE 153.62 980.00 1.295
49 00 MISCELLANEOUS
1 49 12 MEMBERSHIPS & REGISTRA 755.51 1186.00 1.750
49 16 PUBLICATIONS 176.34 220.00 25C
49 43 UTILITY BILL COLI FEES 1iO49.60 1.000.00 1.100
* OTHER SERVICES AND CHARGES 13.125.20 18.816.00 21i37C
' 60 CO CAPITAL CUTLAY
64 00 MACHINERY & EQUIPMENT 3.122.46 2623
* CAPITAL OUTLAYS 3.122.46 2.623
** BUDGETING. ACCTING. AUDITING 246.549.46 286.018.00 345.292
50
.:RCity of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT ,
510 GENERAL GOVERNMENTAL SERVICES DIV: RECORDS/ADMIN SERV/CITY CLERK ACCT: 000 DOC 04 514 21 CO OC
ACCOUNT NUMBER 1983 1984 1985 '
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 04 514 21 00 GO RECORDS/ADMIN SERV/CITY CLERK
10 00 SALARIES AND MAGES 81x523.02 1071247.00 1061404 ,
10 02 OVERTIME 155.38
* SALARIES ANC MAGES 81.678.40 1C7,247.00 106.434
20 CO PERSONNEL BENEFITS '
20 Cl RETIREMENT/MPERS 5.360.21 7.539.00 7.876
ZO C3 FICA 5,472.60 7.547.00 7.553
20 04 PREPAID MEDICAL 5.299.40 8.964.00 7.332
20 C6 INDUSTRIAL INSURANCE 252.81 371.00 373
20 C7 LIFE INSURANCE 384.42 504.00 492
20 C9 PREPAID DENTAL 1.542.18 2.808.60 2.376
* PERSONNEL BENEFITS 18.311.62 27.733.00 26.002
30 CO SUPPLIES
31 CO OFFICE/OPERATING SUPPLIES 3.677.39 3.800.00 2,040
31 19 MICROFILM SUPPLIES 6.000
* SUPPLIES 3.677.39 3.800.00 8.94G
40 00 OTHER SERVICES 8 CHARGES ,
41 Z3 PROF SERV/CITY CLERK
42 00 COMMLNICATION
42 Cl POSTAGE 770.14 700.00 700
43 00 TRAVEL 20.GC
43 18 RECORDS SERV TRAVEL 257.88 440.00 460
44 02 ADVERTISING/CITY CLERK 6.558.88 7.500.00 7.875
45 CO OPERATING RENTALS ANL LEASES
45 01 CTHER RENTALS 1.787.93 2.000.00 2.100
48 CO REPAIRS & MAINTENANCE 963.73 1.960.00 2.875
49 00 MISCELLANEOUS
49 12 MEMBERSHIPS B REGISTRA 810.97 815.00 885
49 14 LEGAL & RECORDING FEES 385.48 700.00 735
49 16 PUBLICATIONS 55.00 125.00 131
49 39 CODIFICATIONS 3.631.00 11,672.94 4.200
49 40 RCM SUPPLEMENTS 278.83 700.00 735 ,
49 42 LID COSTS 2.153.44 2.000.00 2.100
* OTHER SERVICES AND CHARGES 17.673.28 28.612.94 22,796
60 CO CAPITAL OUTLAY ,
64 CO MACHINERY & EQUIPMENT 3.921.62
* CAPITAL OUTLAYS 3.921.62
** RECORDS/ADMIN SERV/CITY CLERK 125.262.31 167.392.94 164,142
51
4'R
City of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEFT: FINANCE CEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: PURCHASING SERVICES ACCT: 000 000 04 514 25 00 DO
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 1C/24 RECOMMEND.
000 04 514 25 00 CO PURCHASING SERVICES
' 10 CO SALARIES AND WAGES 86.011.64 88,217.00 06,611
10 C2 OVERTIME
* SALARIES AND WAGES 86,011.64 88,217.00 66,011
' 20 00 PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 5,908.49 6,640.00 5,303
20 C3 FICA 5,762.62 6,225.00 4,727
20 C4 PREPAID MEDICAL 5,653.35 6,684.00 5.724
20 C6 INDUSTRIAL INSURANCE 278.91 336.00 252
20 C7 LIFE INSURANCE 419.04 468.00 348
20 C9 PREPAID CENTAL 1,666.15 1,956.00 1,608
* PERSONNEL BENEFITS 19,748.56 22,309.00 17,962
30 CO SUPPLIES
31 OG OFFICE/OPERATING SUPPLIES 1,326.66 1,375.00 2,700
31 01 ANIMAL LICENSE TAGS 340.97 450.00 70C
31 C2 CENTRAL OFFICE SUPPLY 4,364.11 5,9CO.00 6,195
35 00 SMALL TCCLS/MINOR ECUIPMENT 1,265.00
* SUPPLIES 6,031.74 8,990.00 9,595
40 CO OTHER SERVICES & CHARGEES
42 CO COMMUNICATION
42 01 POSTAGE 2,314.31 2,650.00 3,20C
43 00 TRAVEL
43 21 PURCHASING TRAVEL 265.72 556.00 684
48 CO REPAIRS & MAINTENANCE 432.93 621.00 052
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 255.00 415.00 480
' 49 16 PUBLICATIONS 9.00 90.00 95
* OTHER SERVICES AND CHARGES 3,276.96 4,332.00 5,111
60 CO CAPITAL OUTLAY
64 CO MACHINERY & EQUIPMENT 517.44
* CAPITAL OUTLAYS 517.44
** PURCHASING SERVICES 115,586.34 123,848.00 99,279
52
.-R City of Renton
r► 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT'
510 GENERAL GOVERNMENTAL SERVICES DIV: DATA PROCESSING. ACCT: 000 000 04 514 26 OC 00
ACCOUNT NUMBER 1983 1984 198`.1 '
ACCOUNT DESCRIPTION ACTUAL CURkENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 04 514 26 00 CO DATA PRCCESSING SERVICES
10 CO SALARIES ANC WAGES 73,981.22 81,042.00 61,787
10 Cc OVERTIME '
* SALARIES ANC WAGES 73,981.22 81,042.00 81,iE7
20 CO PERSONNEL BENEFITS '
20 Cl RETIREMENT/WPERS 5,133.14 6,096.00 6,:511
20 C3 FICA 4,956.80 5,705.00 5,807
20 C4 PREPAID MEDICAL 6,934.45 8,316.00 6,Q12
20 C6 INDUSTRIAL INSURANCE 208.31 252.00 252
20 C7 LIFE INSURANCE 367.96 4C6.CO 416 '
20 C9 PREPAID DENTAL 1,918.18 2,268.00 1,E6C
* PERSONNEL BENEFITS 19,518.84 23,043.00 21,758
30 00 SUPPLIES
31 00 OFFICE/OPERATING SUPPLIES 4.588.22 4,7CC.00 S,COO
35 CO SMALL TOOLS/MINOR EQUIPMENT
* SUPPLIES 4,588.22 4,700.00 51CDO
40 CO OTHER SERVICES 3 CHARGES
41 80 PROF SERV/DATA PROCESSING 313.2C 200.00
42 CO COMMUNIC1,TION
42 C1 POSTAGE 37.19 50.00 :50
43 CO TRAVEL
43 C3 FREIGHT CHARGES 338.33 400.00
43 C9 DATA PRCCESSING TRAVEL 180.31 5C.00 250
44 21 ADVERTISING/DATA PROCESSING
45 CO OPERATING RENTALS 8 LEASES
45 Cl OTHER RENTALS 1,579.88
48 00 REPAIRS 8 MAINTENANCE 29,985.62 23,000.00 18,300
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS B REGISTRA 125.00 143.00 220
49 16 PUBLICATIONS 100.00 100
* OTHER SERVICES AND CHARGES 32,559.53 23,943.00 19,420 '
60 CO CAPITAL OUTLAY
64 CO MACHINERY B EQUIPMENT
66 C2 MUN LEASE/CCMPUTER 57,872.68
• CAPITAL OUTLAYS 57,872.68 ,
** DATA PROCESSING 188,520.49 132,728.00 127,965
53
i
`R City of Renton
:t 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: PRINTING & DUPLICATING SERVICE ACCT: 000 000 04 514 28 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 04 514 28 00 GO PRINTING & DUPLICATING SERVICE
10 00 SALARIES AND WAGES 40.754.40 22.462.00 24.218
10 02 OVERTIME 189.10
* SALARIES AND WAGES 40.-943.50 22.-482.00 24.-218
20 CO PERSCNNEL BENEFITS
20 Cl RETIREMENT/wPERS 2.-844.08 1.655.00 1.923
20 03 FICA 2.-743.18 1.545.00 1.70E
20 04 PREPAID MEDICAL 3.-212.75 924.GG 924
20 C6 INDUSTRIAL INSURANCE 136.76 64.00 84
20 07 LIFE INSURANCE 202.89 120.00 12C
20 C9 PREPAID DENTAL 981.12 276.00 264
* PERSONNEL BENEFITS 1G.-120.78 4.-604.00 5.-023
30 CO SUPPLIES
31 00 OFFICE/OPERATING SUPPLIES 17x873.37 23.-OGO.00 24.-35C
* SUPPLIES 17.673.37 23.000.00 24.-350
40 CO OTHER SERVICES & CHARGES
45 00 OPERATING RENTALS & LEASES
45 Cl OTHER RENTALS 29.902.20 29.161.00 31.-000
48 00 REPAIRS & MAINTENANCE 1.727.77 1.-800.00 1.-890
49 C6 PRINTING & BINDING
49 12 MEMBERSHIPS & REGISTRA 10C GO 175
49 19 TAX COMMISSION 4.-952.59 4.-665.00 4.-650
* OTHER SERVICES AND CHARGES 35.-582.56 35.-726.00 37.-715
' 60 CO CAPITAL OUTLAY
64 CO MACHINERY & EQUIPMENT 3.-574.46 3.600.00
66 Cl MUN LEASE/GBC BINDER 823.85
* CAPITAL OUTLAYS 4.398.25 3.-600.00
** PRINTING & DUPLICATING SERVICE 108.-918.46 89.-412.00 91.306
* * * TOTAL FINANCE DEPARTMENT 784,837.06 799,398.94 827,984
54
c a�
' y U_
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O
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i
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1
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1
i
fRCITY OF RENTON 1985 PRELIMINARY BUDGET
Department: NON-DEPARTMENTAL Fund: CURRENT FUND
c
Division: SOCIAL E HEALTH SERVICES Account: 000/000/04
' CHANGES IN SOCIAL E HEALTH SERVICES 1984 TO 1985
1985 INCREASE +
DESCRIPTION 1984 MAYOR'S DECREASE -
BUDGET RECOMMENDA. OVER 1984
1) Renton Area Youth Services (RAYS) . . .. . .. .. . . . . . . $22,500 $30,000 $ 7,500 +
(See letter of request on page 6)
2) King County Rape Relief (KCRR) .. . .... . . . . . . . . . . . 5,000 6,000 1,000 +
(See letter of request on page 57)
3) Domestic Abuse Women's Network (DAWN) . . . . . . . . .. . 5,000 10,000 5,000 +
(See letter of request on page 58)
4) Nutrition Program - Senior Center 1,000 1,000 ---
City support for Federal program will provide
1,666 meals @ .600 each.
41 Seattle-King County Public Health Services . . . . . . 40,676 68,667 27,991 +
Based on 1/3 of actual net cost of public
health services provided to Renton residents;
1/3 of $206,000 = $68,667. Proposed that 1986
cost will increase to 2/3 of net cost, and
1987 will be 100% of net cost.
5) Alcohol Program . . . . . . . . . . . . . . . . . . . . ... . . . . . . . . . . 8,100 8,080 20 -
Liquor Excise Tax ------ $122,000
Liquor Board Profits ---- 282,000
$404,000
2% of $404,000 = $8,080.
TOTALS . . . . . $82,276 $123,747 $41,471 +
' 50.4%
Increase
over 1984
r
r
i
55
tt R City of Renton
r► 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE CEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS 8 PROPERTY DIV: JUVENILE SERVICES/RAYS ACCT: DOC 000 04 527 2C 00 OC
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEiM SUMMARY EXPENDITURES AS OF 10/24 RECOMMENO.
000 04 527 20 00 CO JUVENILE SERVICES/RAYS
40 CO OTHER SERVICES 8 CHARGES
49 CO MISCELLANEOUS
49 C3 REATCN AREA YOUTH SV/RAYS 6,562.5C 30.000
49 20 RAYS/FRS 13.750.00 22.500.00
•* JUVEKILE SERVICES *20,312.50 22.500.00 3C.000:
*$22,500
appropriated;
balance of
$2,187.50
paid 1/84/84
.
RENTON AREA YOUTH SERVICES
1025 S.THIRD • RENTON,WA 98055 • (206)271-5600
September 11, 1984
Renton Finance Department
Attention: Budget Supervisor
200 Mill Ave. So.
Renton, WA. 98 05 5
The enclosed informational data is in response to our memorandum of August 21 '
P Y 9
1984 regarding budget requests to the City Of Renton.
Because Our services are quite comprehensive and involve many activities, we
have attempted to detail the information as closely as possible to your re-
quest format, and hope that you will be able to comprehend the information,
We have also included a copy of our 1983 independent audit.
Ou[ reguest is for 130-000.00 for the calendar year January 1. 1985 through ,
December 31, 1985. We feel that is a fair share amount to support the variety
and number of services provided to Renton Residents. This request tallies
with our projected service level of 176 Renton Residents with 520 hours of
counseling using an average subsidy of $35.00 per hour, (the client is asked
to pay what he/she can afford - our average is $14.00 per hour - our cost is ,
$50.00 per hour including overhead), for a total of $18,200.; groups
at 12 residents attending 80 sessions at about $12.00 per hour, for a total
of $11,520; employment counseling with 125 youth at $15.00 per hour total
$1,875 and 100 workshop attendants at $5.00 per session - $500.00, a grand
total of $32,416.00. ,
We will be pleased to meet with you, the Community Service Committee and
the Council as needed to present our program and respond to any questions
you may have about our request.
Sincerely,
e Jorgenson
u e Leonard '
Y1
A United Way AQWCY
56
tta-
City of Renton 1995 PRELIMINARY BUDGET
:t
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT
550 ECONOMIC ENVIRONMENT DIV: KING CD RAPE RELIEF ACCT: 000 300 Ow 557 2J 30 00
' ACCCUNT NLMBER 1983 1964 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCK'S
LINE ITEM SUMMARY EXPENDITURES AS CF 10/24 RECCMMEND.
CCO 04 557 2G DO CO KING CO RAPE RELIEF
40 CO OTHER SERVICES 8 CHARGES
41 CO PRCFESSICNAL SERVICES
41 E4 KING CC RAPE RELIEF 6.000
41 50 KING CO RAPE RELIEF/FRS 5.000.00 5.000.00
' •• KING CO RAPE RELIEF S.GGO.00 ,eDC0.00 6.006
t
KCRR
' KING COUNTY RAPE RELIEF
305 SOUTH 43RD RENTON,WA 98055 (206)226-5062
August 15, 1984
City of Renton
200 Mill Avenue South
Renton, Washington 98055
Kinq CouTty Rape Relief is requesting inclusion in the 1985 budget
for $6,000.
For the first six months of 1984, KCRR provided approximately $2,500
in services to residents of Renton. Projections indicate that
between $5-6,000 in services will be provided by the end of 1984.
KCRR has experienced a 258 increase in the total number of victim
calls for the first six months of 1984. Additionally, costs to
provide victim services have increased 20% over 1983. The City of
Renton's support is greatly appreciated. I hope you will consider
this request favorably.
Please contact me at 226-5062 should you have any questions.
Sincerely,
Director
MES/wt
24 HOUR CRISIS LINE 226-RAPE
57
tt .� City of Renton
Wi► 1985 PRELIMINARY 3UDGET ,
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT
550 ECONOMIC ENVIRONMENT DIV: DOMESTIC ABUSE WOMEN'S NETWORK ACCT: 000 000 04 557 21 00 OC
ACCOUNT NLMEER 1953 1984 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
COO 04 557 21 00 CO COMESTIC ABUSE WCMEN'S NETWORK
40 00 OTHER SERVICES 8 CHARGES '
41 CO PROFESSIONAL SERVICES
41 11 DAWN SERVICES 5�OCO.00 10.000
** DOMESTIC ABUSE WCMEN'S NETWORK 5.000.00 1oeCCo
I
w» domestic abuse women's network
►O.ba 1331.Kest.WA 99033.Otncu 0633639 '
July 31, 1984 '
TO: City of Renton
FROM: Sharon Atkin, Direct
RE: Request for funding, 1985
We have offered services to battered women and their families '
for almost three years. We have gained credibility and
support throughout King County for the services we provide
in South King County.
Our 24-hour support line calls have increased by 29% the '
first six months of 1984 over the first six months of 1983.
We have had an increase in the number of requests for legal
advocacy and are involved for a longer peiod of time with
women when we do legal advocacy. We may have to attend court '
with her throught the trial, sentencing and restitution hearing.
As of September 1984 new legislation will go into effect
that will substantially affect our program. Three areas of.
this new law will increase need for our services. (1) '
Mandatory arrest for assault in domestic violence; women will
need advocacy help through trial. (2) Police must give women
printed information of their rights and the cervices available
to them in their community; DAWN's hame will be distributed
more often and directly. (3) A new Protection Order will allow '
people to seek restraining orders without having to file civil
or criminal charges; women will need assistance in seeking
this order. Information calls on the new law will also add
calls to our office.
In order to meet the increase for services that we expect '
in 1985, we will need to increase our staff by at least two
people. We will also need to increase our office space to
accommodate additional staff and clients.
We appreciate the support that Renton is currently giving
us and ask for your continued support. We are reauestin¢
fundine for 1985 in the amount of $10.000.
58 ,
tf City of Renton
r► R 1485 GREIIMINART BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT
' 550 ECONOMIC ENVIRONMENT DIV: SR CENTER/NUTRITION PROGRAM ACCT: 000 000 04 555 07 GC GO
ACCOUNT NUMBER 1983 1964 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 1D/24 RECCMMEND.
' 000 C4 555 07 00 CO SR CENTER/NUTRITION PROGRAM
40 00 GTHER SERVICES 8 CHARGES
49 CO MISCELLANEOUS
49 48 NUTRITICN PROGRAM 462.00 1.000.CO 1.000
+► AGING 462.CO 1.000.00 1.000
' FUNCTION: DEPT: FINANCE CEPARTMENT FUND: CURRENT
560 MENTAL AND PHYSICAL HEALTH DIV: PUBLIC HEALTH ACCT: 000 000 04 502 01 00 00
ACCOUNT NUMBER 1983 1984 1965
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
' GCO 04 562 01 00 CO PUBLIC HEALTH
50 CO INTERGOVERNMENTAL SERVICES
50 C4 SEA/KING CO PUB HEALTH 37x455.00 40106.00 68.667
** PUBLIC HEALTH 37.455.00 40,676.CC 69.667
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT
560 MENTAL AND PHYSICAL HEALTH DIV: ALCOHOL PROGRAM ACCT: 000 DOC 04 567 C2 00 OC
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEN:.
' 000 04 567 02 00 CO ALCOHOL PROGRAM
50 CO INTERGOVERNMENTAL SERVICES
50 CS ALCOHOL PROGRAM 8.154.81 8.100.00 8108C
** ALCOHCLISM 8.154.81 8.100.00 8108C
59
'R
CITY OF RENTON 1985 PRELIMINARY BUDGET '
Department: NON-DEPARTMENTAL Fund: CURRENT FUND
Division: MISCELLANEOUS SERVICES Account: 000 ,
CHANGES IN MISCELLANEOUS SERVICES 1984 TO 1985
1985 INCREASE + ,
DESCRIPTION 1984 MAYOR'S DECREASE -
BUDGET RECOMMENDA. OVER 1984
1) Election Services - Estimated amount the City will '
be charged for voter registration and elections;
withheld from property taxes . . . . . . . . . . . . . . . .. .. . $ 28,000 $ 30,000 $ 2,000 +
2) WPERS Prior Service Liability . . . . . . . . . .. . . . . . .. . . . 13,981 13,981 --- ,
3) Puget Sound Air Pollution Control Agency . . . . . . . . . . 7,679 7,979 300 +
1985 Assessment: '
.2440 per capita 32,700 (1983) = $7,979.
4) Unemployment Compensation - Formerly budgeted in
the Unemployment Compensation Fund #608. '
Coverage for tax supported fund liability;
will be transferred to the Insurance Fund . . . . . .. 1) 18,000 18,000 ---
5) King County Medical Retroactive Payment . . . . .. . . . . . 73,738 --- 73,738 -
6) LID Title Reports . . . . . . .. . .. . . . . . . . . . . . . . . . . . . . . . . --- . 173 173 + ,
7) Meal Allowance - Information Desk Volunteers . . . . . . --- 2,490 2,490 +
2 Volunteers @ 5.00/day x 249 working days. '
8) Equipment Rental/Motor Pool . . . . . . . . . . . . . . . . . . .. . . . 1,200 3,420 2,220 +
Increase - capital recovery factor due to
replacement of motor pool car in 1985. '
9) Insurance . . . . . . . . . . . . . . . . . . . . 169,843 169,843 ---
To be transferred to the Insurance Fund.
10) Association of Washington Cities . . . .. . .. . . . . . . . . . . 10,285 10,799 514 + ,
1985 Assessment:
.32390 per capita 33,340 = $10,799.
11) FICA Administrative Costs . . . .. . . . . . . . . . . .. . . . . . . . . 430 450 20 + '
12) Puget Sound Council of Governments . . . . .. . . . . . . .. . . 3,499 3,674 175 +
1985 Assessment:
.11020 per capita 33,340 = $3,674. '
13) CATV - Proposed for 1985 . . . . . . . . . . . . . . . .. . .. . . . 3,997 7,000 3,003 +
25% of 3% Franchise Fees ($40,000), with a
maximum of $7,000.
14) Tax Commission - Small tax items/all departments . . 40 60 20 + '
15) LID Assessments:
LID 314 Assessment - Wetlands . . . . . . . . . . . . . . . . . . . --- 66,742 66,742 + '
LID 314 Assessment - Earlington . . . . . . . . . . . . . . . . . --- 23,233 23,233 +
*LID 302 Assessment - Earlington Flats . . . . . . ... . . 1) 25,577 24,344 1,233 -
*(Formerly budgeted in Fire Administration;
transferred to Miscellaneous Services in 1985. ) '
16) Seattle-King County Economic Council - New Item . . . --- 3,334 3,334 +
Purpose is to encourage and develop new industry
and business in King County. 1985 Assessment:
.105: per capita 33,340 = $3,334. '
1)Items not budgeted in Miscellaneous Services in
1984 however, included for comparison purposes.
60 ,
)-1
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: NON-DEPARTMENTAL Fund: CURRENT FUND
' Division: MISCELLANEOUS SERVICES Account: 000
CHANGES IN MISCELLANEOUS SERVICES 1984 TO 1985 - Continued
17) Expenditure Credits - Reimbursements from other
funds for services provided by the Current Fund:
' Reimbursement from Equipment Rental Fund
for accounting services . . . . . . . . . . . . . . . . . . . . . . . . $ 4,320 - $ 4,536 - $ 216 -
Reimbursement from Airport Fund for services . . . . 43,270 - 44,000 - 730 -
Reimbursement from Firemen's Pension Fund
for clerical, accounting and investment services 2,045 - 2,088 - 43 -
LID Reimbursement . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10,000 - 12,000 - 2,000 -
' Engineering Fees Reimbursement . . . . . . . . . . . . . . . . . . 17,000 - 17,000 - ---
Reimbursement from Garbage Utility . . . . . . . . . . . . . . --- 7,972 - 7,972 -
(Data Processing $6,900; Public Works Admin. $952;
Printing $120. )
18) Valley Communications Center Assessment . . . . . . . . . . . 248,767 232,018 16,749 -
See page 64 for summary of Valley-Com revenues
and dispatchable call statistics for 1985.
Police Dispatch --- $199,535
Fire Dispatch ----- 32,483
Total Assessment -- $232,018
' TOTALS . . . . . $528,401 $529,944 $ 1,543 +
' Increase
over 1984
r
' 61
Rl, City of Renton 1985 PRELIMYNARY BUDGET '
FUNCTION: DEPT; FINANCE DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: ELECTION SERVICES ACCT: 000 000 04 514 32 00 00
ACCOUNT NLM3ER 1983 1984 1085
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 04 514 32 00 00 CITY CLERX/ELECTION SERV '
40 00 OTHER SERVICES d CHARGES
49 00 MISCELLANECUS
49 44 ELECTION EXPENSE 13,563.29 2E,OOC.00 30,000
•* ELECTION SERVICES 13,563.29 28,000.00 30,000 ,
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: WPERS PRIOR SERVICE LIAR ACCT: 000 000 04 514 35 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 04 514 35 00 CO WPERS PRIOR SERVICE LIAB
40 CO OTHER SERVICES 8 CHARGES
49 CO MISCELLANEOUS
49 05 WPERS PRIOR SERVICE COSTS 13,980.96 13,961.CC 13,981
+* WPERS PRIOR SERVICE LIAB 13,980.96 13,981.00 13,9811
FUNCTION: DEPT: FINANCE DEPARTMENT FLNO: CURRENT
530 PHYSICAL ENVIRONMENT DIV: POLLUTION CONTRCL ACCT: 000 000 04 531 70 CO 00 '
ACCOUNT NUMBER 1933 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 04 531 70 00 CO POLLLTION CONTROL
50 CO INTERGOVERNMENTAL SERVICES
50 C3 PUGET SOUND AIR PCLLUTION o,826.00 7,o79.CC 7,979
*+ NATURAL RESCURCES 6,826.00 7,679.00 7,971;
62
ttR City of Renton
y 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: FINANCE CEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: MISCELLANEOUS SERVICES ACCT: COD CCC 04 519 q0 00 OC
' ACCOUNT NUMBER 1983 1904 1965
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 04 519 90 00 00 MISCELLANEOUS SERVICES
20 CO PERSONNEL BENEFITS
20 10 UNEMPLOYMENT COMPENSATION 18,COC
20 15 KING CO MED RETRO PAYMT 38.463.21 73,738.00
20 17 rORKMENS COMP DEFICIT AS54T 9,088.00
PERSCNNEL BENEFITS 47,551.21 73,738.00 181030
40 DO OTHER SERVICES & CHARGES
41 65 ACTUARIAL/FIREMEN'S PENSION 791.50
41 70 LID TITLE REPORTS 173
41 99 INSURANCE RISK MGMT STUDY 16,500.00
43 47 MEAL ALLOW/INFO CESK VOLUNTEER 2,490
44 20 ADVERTISING/RISK MGMT 88.32
45 00 OPERATING RENTALS & LEASES
45 C2 EG RTL/MCTOR POCL 1,380.00 1,200.CO 3,42C
46 00 INSURANCE 92,325.71 169,843.00 169,843
49 CO MISCELLANEOUS
49 Cl ASSOC OF WASH CITIES 100285.00 10,799
49 02 FICA ADM COSTS 443.29 430.00 450
49 04 PUGET SCUND COUNCIL CF GOVTS 3,221.00 3,499.00 3,674
49 C8 LID ASSESSMT/LK WN BEACH 214.49
49 C9 BANK CHARGES
49 10 CATV 3,696.76 3.997.00 7,ODC
49 19 TAX COMMISSION 42.65 40.00 6C
49 26 LI0314 ASSESSMENT/WETLANCS 66,742
49 27 LID314 ASSESSMENT/EARLINGTON 23,233
49 30 SEA-KING CC ECCNCMIC COUNCIL 3,334
49 38 LI0302 ASSESSMENT/EARLINGTON 24,344
49 10 ASSOC OF WASH CITIES/FRS 10,409.95
* OTHER SERVICES AND CHARGES 129,113.67 189,294.00 315,562
' 9C CC EAPENOITURE CREDITS
90 Cl REIMB FCR EC RTL FUND 4132C.CC- 4,536-
90 C2 REIMB FR AIRPORT FUND 43,270.00- 44,000-
90 C3 REIMB FR FIREMEN'S PENS FD 2,045.00- 2,C88-
90 C4 LID REIMBURSEMENT 1C,OCD.Do- 12,COC-
90 C5 ENGINEERING FEES REIMB 17,000.CO- 17,000-
90 15 REIMB FR GARBAGE UTILITY 7,972-
EXPENDITURE CRECITS 76,635.00- X7,596
** OTHER GCVERNMENTAL SERVICES 176,664.88 186,397.00 245,966
63
City of Renton
- 19..s
5 PRELIMINARY BUDGET
FUNCTICN: DEPT: FINANCE DEPARTMENT FUND: CCRRENT
520 SECLRITY OF PERSONS d PROPERTY DIV: VALLEY COMMUNICATIONS CENTER ACCT: 000 DOC 04 529 Ci CO OC
ACCOUNT NLM8ER 1983 1984 1905
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 1C/24 RECCMMEND.
CCO 04 529 01 00 CO VALLEY-COH CENTER. DISPATCH
50 00 INTERGOVERNMENTAL SERVICES
50 C7 POLICE CISPATCH/VALLEY-CCM 173,743.03 213,940.00 199.5'-:
50 C8 FIRE OISPATCn/VALL.EY-COM 25,961.59 34,827.00 32.453
•* COMMUNICATIONS, ALARMS 3 DISP 199,704.62 248,767.00 232,018
1985 VALLEY COMIdUNICATIONS CENTER BUDGET --
ESTIMATED REVENUE AND DISPATCHABLE CALL STATISTICS
DISPATCHABLE CALL STATISTICS - 4 MEMBER CITIES 1985 ESTIMATED REVENUE
PERIOD OF JULY 1, 1983 THROUGH JUNE 30, 1984 Total 1985 Proposed Valley Communications Center Budget ..... $1,058,051
3rd Qtr. 4th Qtr. 1st Qtr. 2nd Qtr, g of (Excluding Building Construction)
Revenue Sources Other Than q Member Cities:
Member City 1983 1983 1984 1984 Total Total
Renton Police 5,410 4,686 4,639 5,568 20,303-861 Estimated Beginning Fund Balances:
' Equipment Replacement Fund ................... 1100,235
Renton Fire 816 962 768 852 3,398-141 Valley-Com Operating Fund..................... 20,000
23,701 --- 30.081 Building Construction .......................... Actual balance from 1984
will be Work in Progress
Kent Police 4,789 4,540 4,438 5,235 19,002-79t Dispatch Services for Other Agencies: carried forward to 1985.
Kant Fire 1,085 1,562 1,127 1.167 4 941-211 City of Algona Police(550 Calls/Yr. @ $5.03/Call). 2,767
--- 30.391
�3�3
City of Pacific Police(1008 Calls/Yr. @ 55.03/Call) 5,070
Auburn Rolice 4,797 4,582 4,274 5,112 18,765-881 City of Pacific Fire (230 Calls/Yr. @ 515/Call) .. 3,450
Auburn Fire 586 765 570 628 2 549-121 Fire District !20 (644 Calls/Yr. @ 515/Call) ...... 9,660
--- 27.051 Fire District 140 (868 Calls/Yr. @ 515/'Call) ...... 13,020
Tokwila Polka 2,026 2,204 1.9DO 2,069 8,199-831 Fire District 843 (1040 Calls/Yr. @ $15/Call) ..... 15,600
Tukwila Fire 360 527 368 382 -1 6�3��7-111 Fire District 046 (192 Calls/Yr. @ 115/Call) ...... 280
,8
9,836 --- 12.481 Fire District 847 (72 Calls/Yr. @ 515/Call) ....... 1,080
Total o :e17,022 111,984 66;
2 26871;- Fire District 81 (352 Calls/Yr. @ 515/Call) ...... !i,280
Total Fire 2,847 3,816 ,833 3,029 12 525-161 Medic Unit Dispatch (4306 Calls/Yr. @ 512/Call) .. 51,672
Grand Total 19,869 19,828 18,084 21,01378-- 100.001
Investment interest:
DISTRIBUTION OF BALANCE TO BE PROVIDED BY 4 MEMBER CITIES Equipment Replacement Fund ................... 10,000
Based on Actual Usage for Period of July 1983- June 1984 Valley-Com Operating Fund .................... 7,000
BuildingConstruction .......................... 39 000 cashflow.
on
i_ 9
en
Member City 1985 1 4 CITIES PROVIDE 1985 ASSESSMENT
City of Ran ton ...... 30.081 of $771,337 ` $232,018 Total Revenue Sources Other Than 4 Member Cities 286,714
City of Kent .....,.... 30.391 of 771,337 234,409 Deduct from Total 1985 Budget to arrive at Balance
City of Auburn ...... 27.051 of 771,337 208,647 to be provided by 4 Member Cities ............................ (28f_,714)
City of Tukwila •••••• 12.481 of 771,337 = 96,263 Balance to be provided by 4 Member Cities .................... 1 771„337
100.001 $771,337
11 iota( IP"patchatite CaR.La bon.the pgev.ioua pePt od o6
7/1/82 - 6/30/83 wue 70,179.
64
fR
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: NON-DEPARTMENTAL Fund: SEE BELOW
' Division: MISCELLANEOUS FUNDS Account:
' SUMMARY OF MISCELLANEOUS FUNDS
Fund No.
107 --- CONTINGENCY FUND - $700,000 (Ending Fund Balance)
Includes provision for 1985 salary and benefit increase for Management, Exempt,
21-R, and Police commissioned and non-commissioned. 1985 increase for the Fire
Department is included in their 1985 budget. Also includes a reserve for
unforeseen expenses.
117 --- CUMULATIVE RESERVE FUND #3467 (INSURANCE RESERVE)
All funds were transferred to the Insurance Fund in 1984.
' 120 --- CUMULATIVE RESERVE FUND #3661 (REAL ESTATE EXCISE TAX) - $599,000
$392,746 - To be transferred to the Capital Improvement Fund in 1985, for
Library and Street/Traffic improvement programs.
' 206,254 - Ending Fund Balance - reserve for future improvements.
$599,000 - Total Fund
121 --- CUMULATIVE RESERVE FUND #3547 (COMMUNITY FACILITIES CHARGES) - $79,000
' $ 79,000 - To be transferred to the Capital Improvement Fund in 1985, to provide
part of funding for the Lind Avenue Bridge street widening program.
123 --- CUMULATIVE RESERVE FUND #3611 (EMPLOYEE MEDICAL BENEFITS) - $24,000
$ 24,000 - To be transferred to the Insurance Fund in 1985.
' 199 --- FEDERAL REVENUE SHARING FUND - $763,762
PROPOSED USE OF 1985 FEDERAL REVENUE SHARING FUNDS:
' Operating Expenses:
1) Police Patrol Salaries ----------------------------- $174,500
2) Fire Suppression Salaries -------------------------- 174,500 $349,000
1 Capital Outlay:
3) Liberty Park Picnic Shelter ------------------------ $ 16,000
4) Highland Recreation Center Renovation --------- 37,646
5) Energy Conservation Program - City Facilities ------ 7,662
(Part of funding)
' 6) Cedar River Trail Bank Stabilization________________ 25,000
7) North Highlands Neighborhood Recreation
Center Renovation (part of funding) 7,500
8) Police Counter Area Remodel ------------------------ 10,000
' 9) Tiffany Park Irrigation ---------------------------- 10,000
10) Renton High School East Field Improvements --------- 10,000
11) Kiwanis Park Field Drainage ------------------------ 25,000
' 12) Phillip Arnold Park Picnic Shelter ----------------- 15,000
13) Talbot Hill Park Picnic Shelter -------------------- 15,000
' 14) Traffic Controller Replacements (part of funding) -- 47,000
15) Monroe Avenue N.E. (N.E. 5th to N.E. 10th) Overlay - 140,000
(part of funding)
16) Benson/Grady/Main Avenue S. Signalized Intersection
tRebuild (part of funding) -------------------------- 48,954 414,762
TOTAL PROPOSED USE OF 1985 FEDERAL REVENUE SHARING FUNDS -------------- $763,762
t Note: The above Capital Outlay programs are budgeted in the Capital
Improvement Fund #317.
' 65
CITY OF RENTON _ 1985 PRELIMINARY BUIDGET
Department: NON-DEPARTMENTAL Fund: SEE BELOW
Division: MISCELLANEOUS FUNDS Account:
SUMMARY OF MISCELLANEOUS FUNDS - Continued
Fund No.
502 --- INSURANCE FUND - $2,162,000
$ 474,600 - Self-insurance for workmen's compensation, liability, property,
and administrative costs.
1,687,400 - "Rainy day fund," approximately 8% of operating expenditures,
to provide insurance against economic down-turns.
$2,162,000 - Total Fund
601 --- FIREMEN'S PENSION FUND -• $1.,243,900
$ 214,213 - Pension Payments
427 - Operating Costs
2,088 - Reimbursement to Current Fund for services
$ 216,728 - Total 1985 Expenditures
1,027,172 - Ending Fund Balance
$1,243,900 Total Fund �I
1985 Property Tax allocation $240,000, in accordance with
actuarial recommendations.
602 --- LOCAL IMPROVEMENT (L.I. ) GUARANTY FUND - $332,000 (Ending Fund Balance)
Established to make LID assessment payments in the case of a default by
a property owner.
608 --- UNEMPLOYMENT COMPENSATION FUND
Balance in the fund was transferred to the Insurance Fund in 1984;
payments for Unemployment Compensation were made from the Insurance Fund.
In 1985, allocations for Unemployment Compensation have been made in the
following funds, to be transferred to the Insurance Fund:
$18,000 - Current Fund/Miscellaneous Services; for tax supported funds.
10,000 - Water & Sewer Utility Fund
1,000 - Airport Fund
500 - Equipment Rental Fund
$29,500 - Total
e 66 '
:RCity of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: CONTINGENCY FUND: CONTINGENCY
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS—OUT ACCT: 107 000 22 597 00 00 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
' 000 22 597 00 00 CO CONTINGENCY/OPR TRANSFERS—OUT
50 CO INTERGOVERNMENTAL SERVICES 464.310.00 69.225.00
i
SUB-TOTAL ENDING BALANCE 295.5C6.79 647380.00 700.000
SUBTOTAL EXPENDITURES
SUB-TOTAL NON—EXPENCITURES
' SUB—TOTAL OTHER FINANCING USES 464#310.CO 691225.00
** CONTINGENCY 759.816.79 716.605.00 700.000
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CUM 3467 (INS RES)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS—OUT ACCT: 117 000 04 597 00 00 00
ACCOUNT NLMBER 1983 1984 1965
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEN7.
' 000 C4 597 00 00 CO 3467 INS RES/OPR TRANSFERS—OUT
50 00 INTERGOVERNMENTAL SERVICES 43.033.00
SUBTOTAL ENDING BALANCE 108e546.78
SUBTOTAL EXPENDITURES
SUB-TOTAL NON—EXPENCITURES
SUBTOTAL OTHER FINANCING USES 43033.00
•* CUM 3467 (INS RES) 151.579.78
' FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CUM RES 3661 (REAL EST EX)590 OTHER FINANCING USES DIV: OPERATING TRANSFERS—OUT ACCT: 120 000 04 597 CO 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
CCO C4 597 00 00 00 3661 R/E TAX/OPR TRANSFERS—OUT
50 00 INTERGOVERNMENTAL SERVICES 55.000.00 374.000.00 392.746
SUB—TOTAL ENDING BALANCE 177.337.04 206.254
' SUB—TOTAL EXPENDITURES
SUE—TOTAL NON—EXPENDITURES
SUBTOTAL OTHER FINANCING USES 550000.O0 374.000.00 39:1746
•* CUM RES 3661 (REAL EST EX TAX) 232.337.04 374000.00 599000
' FUNCTION: DEPT: BUILDING DEPARTMENT FUND: CUM 3547 (COMM FAC CMG)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS—OUT ACCT: 121 000 10 597 00 00 OD
ACCOUNT NLMBER 1983 1964 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
t LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
CCO 10 597 00 00 CO 3547 COMM FAC/OPR TRANSFER—OUT
50 00 INTERGOVERNMENTAL SERVICES 55.000.00 85.000.00 79.000
SUB-TOTAL ENDING BALANCE 99.180.80
SUBTOTAL EXPENDITURES
SUB-TOTAL NON—EXPENCITURES
SUBTOTAL OTHER FINANCING USES 55.000.00 85e000.00 79.000
' •* CUM 3547 (COMM FAC CMG) 154.180.80 850000.00 79,000
' 67
!
1,RCity of Renton
1995 PRELIMINARY BUDGET 1
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: CUM 3611 (EMPL MED BEN:FITS;
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-CUT ACCT: 123 OJC 04 597 00 00 00
ACCOUNT hLMBER 1983 1984 1985 !
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S.
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 04 597 00 00 LO 3611 EMPL MED/OPR TRANSFER-OUT
50 CO INTERGOVERNMENTAL SERVICES 38.463.21 74iOCC.00 24.000
SUB-TCTAL ENDING BALANCE 10.442.85 104.000.00
SUBTOTAL EXPENOITLRES
SUB-TOTAL NON-EXPENOITURES 1
SUB-TOTAL OTHER FINANCING USES 38.463.21 741000.00 24000
•+ CUM 3611 (EMPL MED BENEFITS) 48.906.06 178.000.00 24,000
!
FUNCTION: DEPT: FEDERAL REVENUE SHARING FUND: FEDERAL SHARED REVENUE
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 199 000 30 597 00 00 CC',
ACCOUNT NUMBER 1983 1984 1985 1
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 30 597 00 00 0O FED REV SHR/OPR TRANSFERS-CUT !
50 OO INTERGOVERNMENTAL SERVICES 1.048.678.56 721.000.00 763.762
SUBTOTAL ENDING BALANCE
SUB-TOTAL EXPENDITURES
SUBTOTAL NON-EXPENCITURES 1
SU8-ICTAL OTHER FINANCING USES 1.048.678.56 721.000.00 763.762
+* FEDERAL SHARED REVENUE 11048.678.56 721.000.00 763.762
1
1
i
1
1
1
68 1
t� City of Renton
1 y 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: INSLRANCE FUND
500 CLASSIFIED PROPRIETARY SERVILE DIV: INSURANCE PROGRAM ACCT: 502 OGC C4 501 98 00 00
1 ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 04 501 98 00 00 INSURANCE PROGRAM 250.000.00
20 LO PERSONNEL BENEFITS 100,000
20 17 GENL GOVT/IND INS CLAIMS
20 18 w/S LTILITY/INO INS CLAIMS
20 19 AIRPCRT/IND INS CLAIMS
20 20 E�LIP RENTAL/IND INS CLAIMS
20 21 GENL GCVT/UNEMPL COMPENSATION
20 22 w/S UTILITY/UNEMPL COMPENSA
20 23 AIRPCRT/UNEMPL CCMPENSATICN
20 24 EG RENTAL/UNEMPL COMPENSATION
20 25 GENL "GOVT/CHIROPRACTIC COST
20 26 w/S UTIL/CHIROPRACTIC COST
20 27 AIRPGRT/CHIROPRACTIC COST
20 28 EQ.RTL/CHIRCPRACTIC COST
+ PERSCNNEL EENEFITS 250,000.00 100,0000
40 CO OTHER SERVICES AND CHARGES
41 CO PROFESSIONAL SERVICES
41 02 ARMTECH SERVICES 6,0CC.00 5,000
41 15 GALLAGHER BASSETT SERVICES 16,730.00 20,000
' 41 29 LEGAL SERVICES/INS FLNO
41 47 OTHER INS PROFESSIONAL SERV
41 00 GEN GOV/ADM COST/INC INS 10,000
41 Cl w/S UTIL/ADM COST/IND INS
41 C2 AIRPCRT/ADN COST/INC INS
1 41 C3 EQ RTL/ADM COST/IND INS
46 CO INSURANCE CLAIMS COSTS 150,000
46 L2 GENL GOVT/LIAB-PROP CLAIMS
46 03 w/S LTILITY/LIAB-PRCP CLAIMS
46 L4 AIRPCRT/LIAB-PRCP CLAIMS
46 05 EQ RENTAL/LIAB-PROP CLAIMS
1 46 L6 ARTHLR GALLAGHER INS PROGRAM 136,870.00 160,ODC
49 00 MISCELLANEOUS
49 12 MEMBERSHIP 8 REGISTRATION
49 65 BROKER FEES/INS 2,940.00 3,500
49 66 WASH STATE Tax/INS 2,460.00 3,100
49 67 SELF-INSURANCE BONO 3,000.00 3,000
49 68 OTHER MISC INS PREM COSTS
* CTHER SERVICES AND CHARGES 168,000.00 374,6CC
1 SUB-TOTAL ENDING BALANCE 138,586.52 1,687,40C
SUB-TOTAL EXPENDITURES 418,000.00 474,606
SUB-TOTAL NON-EXPENCITURES
SUB-TCTAL OTHER FINANCING USES
+* INSURANCE FUND 556,586.52 2,162,000
1
69
Rfl City of Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: FIREMEN'S PENSICN
510 GENERAL GOVERNMENTAL SERVICES DIV: FIREMEN'S PENSION SERVICES ACCT: 601 300 04 514 33 00 07
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
CCO 04 514 33 00 CO FIREMEN'S PENSION SERVICES
20 00 PERSONNEL BENEFITS
20 C4 PREPAID MEDICAL
20 C5 UNIFORM MEDICAL
20 11 FIREE PENSIONS 199,398.7C 209.754.00 214,213
20 13 LECFF RET FIRE/PREPAID MEDICAL
20 15 KING CO MED 1962 RETRO PAYMT 987.84
* PERSONNEL BENEFITS 200,386.54 209,754.00 214.213
30 CC SUPPLIES
31 00 OFFICE/CPERATING SUPPLIES 219.65 312.00 327
* SUPPLIES 219.65 312.00 327
40 CO CTHER SERVICES 3 CHARGES
41 CO PROFESSICNAL SERVICES
41 65 ACTUARIAL/FIREMEN'S PENS 791.50
48 CO REPAIRS d MAINTENANCE 68.05 110.00 100
* OTHER SERVICES AND CHARGES 959.55 110.00 100
50 CO INTERGOVERNMENTAL SERVICES
52 CO INTERFUND SERVICES
52 09 REIMS CLRRENT/CLER $ ACCT 1,978.27 2,045.00 2,088
* INTERGOVERNMENTAL SERVICES 1,978.27 2,D45.00 2,088
60 CO CAPITAL OUTLAY
64 00 MACHINERY 8 EQUIPMENT
* CAPITAL OUTLAYS
SUB—TOTAL ENDING BALANCE 841,842.95 920,779.00 1,027,172
SUB—TOTAL EXPENDITURES 203e444.01 212,221.00 216,728
SU8—TOTAL NON—EXPENDITURES
SUB—TCTAL OTHER FINANCING USES
** FIREMEN'S PENSION 1,045,286.96 1,133,000.00 1,243,900
70
i
2R City of Renton
d► 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: LI GUARANTY
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 602 000 04 597 00 00 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
' 000 04 597 00 00 00 LI GLARANTY OPR TRANSFERS-OUT
50 00 INTERGOVERNMENTAL SERVICES 9.029.03
SUBTOTAL ENDING BALANCE 234,096.2G 285,000.00 332.000
SUBTOTAL EXPENCITURES
SUBTOTAL NON-EXPENDITURES
SUB-TCTAL OTHER FINANCING USES 9.029.03
*+ LI GUARANTY 243.125.23 285,000.00 332,000
i
t
FUNCTION: DEPT: PERSONNEL DEPARTMENT FUND: UNEMPLOYMENT COMP
510 GENERAL GOVERNMENTAL SERVICES DIV: UNEMPLOYMENT COMP SERVICES ACCT: 608 000 14 514 38 00 00
i ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCP'S
LINE ITEM SUMMARY EXPENDITURES AS OF 1C/24 RECOMMEND.
i 000 14 514 38 00 00 UNEMPLOYMENT COMPENSA SERV
20 GO PERSONNEL BENEFITS
20 10 UNEMPLOYMENT COMP SERVICES 25,314.34
SUBTOTAL ENDING BALANCE 16.812.90
i SUB-TCTAL EXPENDITURES 25.314.34
SUBTOTAL NCN-EXPENDITURES
SU8-TOTAL OTHER FINANCING USES
•� UNEMPLOYMENT COMP 42,127.24
71
CITY OF RENTON 1985 PRELIMINARY BUDGE=T
Department: DEBT SERVICE Fund: 207, 211, 213, 215, 609
GENERAL OBLIGATION BONDS
Division: TAX ANTICIPATION NOTES o Account: —
SUMMARY OF GENERAL GOVERNMENT DEBT SERVICE FUNDS
GENERAL OBLIGATION BOND FUNDS 1984 1985 INCREASE +
GENERAL GOVERNMENT MISCELLANEOUS DEBT SERVICE FUND DEBT DEBT DECREASE -
SERVICE SERVICE OVER 1984
1) 1978 :LIMITED G.O. BOND FUND (SENIOR CENTER) . . . . . . $ 75,027 $ 73,000 $ 2,027 -
2) 1983 :LIMITED G.O. REFUNDING BOND FUND (CITY SHOP) 322,377 307,839 14,538 -
3) 1983 UNLIMITED G.O. REFUNDING BOND FUND
(COULON BEACH PARK) - Excess Levy . . . . . . . . . . . . . . . . 889,965 840,478 49;,487 -
4) GENERAL GOVERNMENT MISCELLANEOUS :DEBT . . . . . . . . . . . . 253,690 324,544 70„854 +
Includes debt services on financing for
equipment acquisitions and City Shop property.
Totals . . . . . . . . $1,541,059 $1,545,861 $ 4,802 +
1
5) TAN/OPERATING CASH REQUIREMENTS FUND #609
Accounts for receipt and expenditure of proceeds from Tax Anticipation Notes (TANS),
issued to provide for short-term cash flow needs of the City's tax supported funds.
Anticipate issuance of $2,400,000 TANS in 1985. TAN proceeds are received in January
and are placed in Fund 609. Loans are made from the fund to the operating funds and
interest is paid monthly through November. As of December 31st, the City must have
on deposit, sufficient monies to pay the principal, and interest (for December and
January) in full on January 31st. of ensuing year.
1985 TAN/Operating Cash Requirements Fund:
$ 20,000 - Debt issuance costs.
2,400,000 - Principal ) 1984 TANS
131,000 - Interest )
$2,551,000 - Total Expenditures
49,000 - Operating Transfers-Out to Current Fund - excess earnings over expenses.
2,4491000 - Ending Fund Balance - provision for 1985 TANS.
$5,049,000 - Total Fund
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72 ('
City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: DEBT SERVICES FUND: 1978 LIM GO BONDS (SR CTR)
510 GENERAL GOVERNMENTAL SERVICES DIV: DEBT SV/78 LIM GO/SR CTR ACCT: 207 194 33 519 00 00 00
1 ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
194 33 519 00 00 00 DEBT SV/78 LIM GC/SR GTR
60 00 CO LONG TERM DEBT SERVICE
61 00 00 PRINCIPAL 35.000.00 35.000.00 35,000
62 00 00 INTEREST 42,236.25 4C,027.00 38.000
1 SUBTOTAL ENDING BALANCE 973.00
SUB-TOTAL EXPENDITURES 77.236.25 75,027.00 73,OOC
SUBTOTAL NON-EXPENDITURES
SUB-TOTAL OTHER FINANCING USES
•+ 1978 LIM GC BONDS (SR LTR) 77.236.25 76.000.00 73.000
FUNCTION: DEPT: DEBT SERVICES FUND: 1980 UNLIM GO BONDS (PARK)
510 GENERAL GOVERNMENTAL SERVICES DIV: 087 SV/8C UNLIM GO/BCH PK ACCT: 208 195 33 519 00 00 OC
ACCOUNT NUMBER 1983 1984 1985
' ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
195 33 519 00 00 00 DoT SV/80 UNLIM GO/BCM PK
60 00 00 LONG TERM DEBT SERVICE
' 61 00 00 PRINCIPAL 150.000.00
62 00 CO INTEREST 241.738.75
1 ** OTHER GCVERNMENTAL SERVICES 391.738.75
SUBTOTAL ENDING BALANCE
SUB-TOTAL EXPENDITURES 391,738.75
SUB-TCTAL NON-EXPENCITURES
' SUB-TGTAL OTHER FINANCING USES
** 19bO UNLIM GC BONDS (PARK) 391,738.75
' FUNCTION: DEPT: DEBT SERVICES FUND: 1982 LIM GC BONDS (SHOPS)
510 GENERAL GOVERNMENTAL SERVICES DIV: DBT SV/82 LIM GO/MUN FAG ACCT: 209 196 33 519 00 OC 00
ACCOUNT NUMBER 1983 19E4 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
196 33 519 00 00 00 DBT SV/82 LIM GO/NUN FAC
60 00 CO LONG TERM DEBT SERVICE
61 00 CO PRINCIPAL
62 00 CO INTEREST 270,794.26
' *+ OTHER GCVERNMENTAL SERVICES 270,794.26
SUB-TCTAL ENDING BALANCE
SUBTOTAL EXPENDITURES 270,794.26
'
SUB-TCTAL NON-EXPENDITURES
SLB-TOTAL OTHER FINANCING USES
** 1982 LIM GO BONDS (SHOPS) 270,794.26
73
75
'CAR City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: DEBT SERVICES FUND: 1983 TAX ANTICIPATION NOTES
510 GENERAL GOVERNMENTAL SERVICES DIV: 1983 TAX ANTICIPATION NOTES ACCT: 216 214 33 519 60 CC 00
ACCOUNT NUMBER 1983 1084 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S ,
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
214 33 519 60 00 00 LONG TERM DEBT SERVICE
SUB—TOTAL ENDING BALANCE 3.091.283.40
SUBTOTAL EXPENDITURES
SUB—TCTAL NON—EXPENDITURES
SUb—TOTAL OTHER FINANCING USES ,
+* 1983 TAX ANTICIPATION NOTES 3.091.283.46
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: TAN/OPR CASH REGUIPEMENTS ,
510 GENERAL GOVERNMENTAL SERVICES DIV: DEBT ISSUANCE COSTS ACCT: 609 DOC 04 519 34 00 00
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SLMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
CCC C4 519 34 00 00 DEBT ISSUANCE COSTS/TANS
40 CO OTHER SERVICES 8 CHARGES
41 CO PROFESSIONAL SERVICES
41 96 CONSULT/TAN ANTIC NOTES 20113.25 ,
* OTHER SERVICES AND CHARGES 20.113.25
80 CO DEBT SERVICE
81 CO INTEREST
* DEBT SERVICE: INTEREST ,
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: TAN/OPR CASH RECUIRcM°NTS
510 GENERAL GOVERNMENTAL SERVICES DIV: 1984 TAX ANTICIPATION NOTES ACCT: 609 216 04 519 00 00 00
ACCOUNT NUMBER 1983 1984 1555
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 FECCMMEND. ,
216 04 519 00 00 00 1984 TAX ANTICIPATION NOTES
34 00 CO DEBT ISSUANCE CCSTS/TANS
40 00 OTHER SERVICES Z CHARGES
41 GO PRCFESSICNAL SERVICES
41 96 CONSULT/TAN ANTIC NOTES ,
* OTHER SERVICES AND CHARGES
80 CO DEBT SERVICE
81 CO INTER=ST 151i000.00
* DEBT SERVICE: INTEREST 151000.00
** OTHER GCVERNMENTAL SERVICES 151.000.00
216 C4 597 00 DO 00 1984 TAX ANTICIPATION NOTES
34 00 00 DEBT ISSUANCE COSTS/TANS
50 CO 1984 TANS/OPR TRANSFERS—OUT 2.400.000.00
** OPERATING TRANSFERS—OUT 2i400iGOC.CO
** 1984 TAX ANTICIPATION NOTES 2j,551oO00.00
76
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1
City of Renton
' ail 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FINANCE DEPARTMENT FUND: TANIOPR CASH REiUIREMENTS
510 GENERAL GOVERNMENTAL SERVICES ZIV: 1985 TAX ANTICIPATION NOTES ACCT: 609 218 04 519 CD 00 OC
' ACCOUNT NUMBER 1983 1984 19b5
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENCITURES AS OF 10/24 RECCMMEND.
218 04 519 OC 00 CC 1985 TAX ANTICIPATICN NCTES
34 00 CO DEBT ISSUANCE COSTS/TANS
40 CC OTHER SERVICES 3 CHARGES
41 96 CONSULT/TAX ANTIC NOTES 20.000
* CTHEP SERVICES AND CHARGES 20,000
70 00 DEBT SERVICE: PRINCIPAL 2,40C,000
* DEBT SERVICE: PRINCIPAL 21400100C
80 CC CEBT SERVICE: INTEREST 131,COC
* CEBT SERVICE: INTEREST 131.000
** OTHER GCVERNMENTAL SERVICES 2.551.000
1 218 04 597 00 00 00 1985 TAX ANTICIPATION NOTES
34 00 OU CEBT ISSUANCE CCSTS/TANS
50 CO 1985 TANS/CPR TRANSFERS-OUT 49,COG
** CPERATING TRANSFERS-CUT 49,000
*' 1985 TAX ANTICIPATION NOTES 2,600,000
1 SUB-TOTAL ENDING BALANCE 180000D.GO 2,449,000
SUS-TCTAL EXPENCITURES 20.113.25 151.000.00 20551,00C
SUB-TCTAL NDN-EXPENCITURES
1 SUBTOTAL OTHER FINANCING USES 2,400,000.00 49,CG0
** TAN/OPERATING CASH REQUIREMENTS 20,113.25 2,731,000.00 5,049,000
1
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1
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1 77
t
1
�i '} CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: LEGAL DEPARTMENT Fund: CURRENT FUND
Division: CITY ATTORNEY Account: 000/000/06.515
' LEGAL SERVICES: The City Attorney's office provides legal advice to the City Council, Mayor, and
all of the offices, commissions, and boards of the City. It further represents the City in litigations
in all cases in which the City is a party or directly interested, prosecutes violations of the City Code
in the Renton Municipal Court, and acts generally as attorney for the City of Renton.
EXPENDITURE SUMMARY
' Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
LEGAL SERVICES/CITY ATTORNEY:
SUPPLIES $ 214.20 $ 350.00 $ 215
' OTHER SERVICES & CHARGES 351,860.16 150,300.00 204,526
' TOTAL PROGRAM - LEGAL SERVICES $352,074.36 $150,650.00 $204,741
POSITION SUMMARY 1 985 BUDGET SUMMARY
' Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
1984 BUDGET AS ADOPTED $ 151
Adjustments to 1984 Budget *99
*Transfer to be made from Contingency
Payment for legal services is on a retainer Fund to Other Legal Services account.
1 basis. The City Attorney and staff are not
on the City payroll. EQUALS 1984 ADJUSTED BUDGET $ 250
1 NOTE: Regular Legal Staff Services increased
4.8% over 1984. See page 79, a/c 41.90. Add Increased Cost to
Maintain Same Service Level 45-
Percentage Increase Over 1984 -18.0 %
Add 1985 New Programs/Changes NONE
Sub-Total All 1985 Increases $ 45-
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 205
PERCENTAGE INCREASE OVER 1984 -18.0 %
1 78 �i
6: -� City of Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEFT: LEGAL DEPARTMENT FUND: CURRENT qll
510 GENERAL GOVERNMENTAL SERVICES DIV: LEGAL SERVICES/CITY ATTORNEY ACCT: 000 000 Do 515 20 OG 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ES1'IM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 06 515 20 00 CO LEGAL SERVICES/CITY ATTORNEY
30 00 SUPPLIES II�'
31 00 OFFICE/OPERATING SUPPLIES 214.20 350.00 215 11
* SUPPLIES 214.20 350.00 215
40 00 OTHER SERVICES 4 CHARGES
41 37 OTHER LEGAL PROF SERV 248,487.16 50,55G.00 1001000
41 90 REG LEGAL STAFF SERV 96,827.00 99,5CO.00 104,276
49 l6 PUBLICATIONS 250.00 250
49 63 SETTLEMENTS 6,546.00
* OTnER SERVICES AND CHARGES 351,860.16 150,300.00 204,526
•* LEGAL DEPARTMENT 352.074.36 1501650.00 204,741
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QIP
79
1
RCITY OF RENTON 1985 PRELIMINARY BUDGET
Department: POLICY DEVELOPMENT DEPARTMENT Fund: CURRENT FUND
Division: POLICY DEVELOPMENT Account: 000/000/07.537
POLICY DEVELOPMENT DEPARTMENT: Provides the Mayor and City Council, Planning Commission,
the community and its citizens, with effective planning and information services designed to enhance
the community's environment from a physical, social, and economic standpoint. Seeks to improve the
effectiveness of the City Administration's decision-making through development of policies to address
the physical and financial consequences of physical development. Also provides support services to
' a variety of departments in their long-range financial and physical planning.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
' POLICY DEVELOPMENT DEPARTMENT:
FULL TIME SALARIES $158,667.00 $166,081.00 $142,152
' PART TIME SALARIES ___ __ _ 10,592
OVERTIME
SUB-TOTAL SALARIES & WAGES $158,667.00 $166,081.00 $152,744
PERSONNEL BENEFITS 33,539.40 38,534.00 37,021
SUPPLIES 4,969.44 6,242.32 6,750
OTHER SERVICES & CHARGES 7,692.53 9,170.00 21,175
CAPITAL OUTLAY 5,383.63 1,200.00 ---
TOTAL PROGRAM - POLICY DEVELOPMENT DEPARTMENT $210,252.00 $221,227.32 $217,690
POSITION SUMMARY 1985 BUDGET SUMMARY
' Full Time Positions: Number of Positions ($ in 000'5)
_Grade Position Title 1983 1984 1985
' 17 Policy Development Director 1 1 1 1984 BUDGET AS ADOPTED $ 218
11 Associate Planner 1 1 1 Adjustments to 1984 Budget 3
8 Assistant Planner 1 1 1 Res. 2538/Planning Comm. Travel -- $ 960
5 Administrative Secretary 1 1 1 Res. 2541/Aerial Photos ---------- 1,200
3 Word Processing Secretary 2 2 1 Work in Progress ----------------- 742
TOTAL FULL TIME POSITIONS 6 6 5 EQUALS 1984 ADJUSTED BUDGET$2,902$ 221
' PART TIME/FULL TIME EQUIVALENTS 0 0 .45
Add Increased Cost to 1-
Maintain Same Service Level
' Percentage Increase Over 1984 -.5 %
Add 1985 New Programs/Changes 2-
(See L.i.d-t on bottowing page/pagea 1
' Sub-Total All 1985 Increases 3-
' EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 218
PERCENTAGE INCREASE OVER 1984 -1.4 %
E
80
4 CITY OF RENTON 1985 PRELIMINARY BUDGET '
Department: POLICY DEVELOPMENT DEPARTMENT Fund: CURRENT FUND
Division: POLICY DEVELOPMENT Account: 000/000/07.537
1985 NEW PROGRAMS/CHANGES
POLICY DEVELOPMENT DEPARTMENT: ,
1) Word Processing Secretary Transferred �
...... . . . . .. .. ... . . .. .. .. . . .. .. . . $22,279-
Position transferred from Policy Development to Land Use.
2) Commercial Study and Market Analysis - Professional Assistance . . ... ... .. . . . 1.0,000 ,
To perform a comprehensive analysis to determine the following:
- Factors causing slow commercial growth in neighborhood commercial areas,
community shopping centers and the central business district. '
- Determine what uses are appropriate in these areas and what are the
potential markets for these uses.
- Feasibility of a specialty commercial district. ,
- Relationship of the various commercial areas to each other and to
regional facilities.
- The location and supply of commercial land in the City.
- Desirability of more than one commercial zone in the City. '
3) Part Time Help - Work Study Student ... . . . .. . . . . .. . . . . . .. . . . . . . . City Funds . . 4,512
Collect and analyze data for Land Use Data Work Study Program .. 6,885 '
Base System. The Work Study Program pays 657
of the base salary ($6,885). The City's cost
is 35% of base salary and benefits (FICA and
Industrial Insurance) or ($4,512). Total $11,397.
4) Capital Outlay Decrease from 1984 - No 1985 Request . . . . . .. . . .. .. . . . . .. . .. . . 1,200- ,
TOTAL ALL NEW PROGRAMS/CHANGES - POLICY DEVELOPMENT DEPARTMENT .. . . . . . . . . .. . .. . . $ 2,082- ,
81 ,
f City of Renton
.LL 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: POLICY DEVELOPMENT DEPARTMENT FUND: CURRENT
530 PHYSICAL ENVIRONMENT DIV: POLICY DEV ADMINISTRATION ACCT: DOC 000 07 537 10 CO 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SLMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 07 537 10 00 00 POLICY DEV ADMINISTRATION
' 10 CO SALARIES AND WAGES 158,667.00 166.081.00 142.152
10 02 OVERTIME
* SALARIES ANC WAGES 158,667.00 166.081.00 142.152
20 00 PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 11.016.90 12,493.00 11.311
20 03 FICA 10,299.74 11,365.GC 10,073
20 C4 PREPAID MEDICAL 8,445.49 10,296.00 1C,692
20 06 INDUSTRIAL INSURANCE 416.02 504.00 420
' 20 07 LIFE INSURANCE 778.37 840.00 708
20 09 PREPAID DENTAL 2,582.88 3,036.00 3,012
* PERSONNEL BENEFITS 33,539.40 38,534.00 36,21E
30 CO SUPPLIES
' 31 00 OFFICE/OPERATING SUPPLIES 4,969.44 6,242.32 6,000
35 CO SMALL TCCLS/MINOR EQUIPMENT 75C
* SUPPLIES 41969.44 6,242.32 6,750
' 40 CO OTHER SERVICES B CHARGES
41 08 PROFESSIONAL SERV/POL DEV
41 76 POLICY DEV DIR RECRUITMT
41 E5 COMMERCIAL RETAIL MKT CONSULT 10,GOC
42 CO COMMUNICATION
' 42 Cl POSTAGE 250.42 300.00 40C
43 GO TRAVEL
43 15 PLANNING COMM TRAVEL 204.00 1,210.00 1,200
43 22 PLANNING STAFF TRAVEL 29.62 275.00 600
44 04 ADVERTISING/PLANNING 19.80 100.00 125
' 45 CO OPERATING RENTALS & LEASES
45 Cl OTHER RENTALS
45 02 EQUIPMENT RENTAL 900.00 780.00 720
48 00 REPAIRS & MAINTENANCE 3,749.56 5,635.00 7,1a0
49 CO MISCELLANEOUS
49 C6 PRINTING & BINDING 150.00 150
49 12 MEMBERSHIPS & REGISTRA 2,446.23 470.00 550
49 16 PUBLICATIONS 92.9G 250.00 25C
* OTHER SERVICES AND CHARGES 7,692.53 90170.00 21,175
60 00 CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT 543.10
64 07 CITY AERIAL PHOTC/PCL OEV 837.50 1,400.00
66 C7 NUN LEASE/WORD PROC EQ 4,003.03
' + CAPITAL OUTLAYS 5,383.63 1,200.00
+* POLICY DEV ADMINISTRATION 210,252.00 221.227.32 206,293
' FUNCTION: DEPT: POLICY DEVELOPMENT DEPARTMENT FUND: CURRENT
530 PHYSICAL ENVIRONMENT DIV: SPECIAL PROJECT PERSONNEL ACCT: 000 DOC 07 537 71 00 OC
ACCOUNT NUMBER 1963 1984 1935
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 07 537 71 00 00 SPECIAL PROJECT PERSONNEL
10 00 SALARIES AND WAGES 10,592
10 C2 OVERTIME
* SALARIES AND WAGES 10,592
20 CO PERSONNEL BENEFITS
20 C3 FICA 750
20 C6 INDUSTRIAL INSURANCE 59
* PERSONNEL BENEFITS 805
*+ SPECIAL PROJECT PERSONNEL 11,397
•* POLICY DEVELOPMENT DEPARTMENT 210,252.00 221,227.32 217,690
82
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J
"*RCITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: POLICE DEPARTMENT Fund: CURRENT FUND
Division: ALL DIVISIONS OF POLICE DEPARTMENT Account: 000/000/08.521, 523, 539
r POLICE DEPARTMENT: Includes nine divisions; Administration, Investigation, Patrol/Traffic, Gambling Tax
Enforcement, Crime Prevention, Research/Training (Re-title in 1985 - Administrative Services), Records, Jail,
and Animal Control. Basic objective is to maintain social order within carefully prescribed ethical and
constitutional restrictions including; prevention and repression of crime, apprehension of offenders, recovery
of property, regulation of non-criminal conduct, and miscellaneous services.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
rPOLICE DEPARTMENT/ALL DIVISIONS:
SALARIES $2,498,348.39 $2,445,072.00 $2,606,335
OVERTIME 111,124.88 109,004.00 127,476
SUB-TOTAL SALARIES & WAGES $2,609,473.27 $2,554,076.00 $2,733,811
' PERSONNEL BENEFITS 600,739.73 662,067.00 720,643
SUPPLIES 59,403.06 88,381.91 90,116
OTHER SERVICES & CHARGES 306,342.79 253,797.00 272,610
INTERGOVERNMENTAL SERVICES 4,628.00 4,000.00 6,000
CAPITAL OUTLAY 70,416.91 53,071.00 82,839
' TOTAL PROGRAM - POLICE DEPARTMENT $3,651,003.76 1 $3,615,392.91 $3,906,019
POSITION SUMMARY 1985 BUDGET SUMMARY
rFull Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985 (1)
COMMISSIONED PERSONNEL: 1984 BUDGET AS ADOPTED $ 3,594 3 594
67 Police Chief 1 1 1
64 Captains 2 2 2 Adjustments to 1984 Budget *21 43
63 Lieutenants 3 3 5 Res. 2551/Promote Police Off. to Sgt.
62 Sergeants 6 7 8 & replace Off. 6 mos. 1984 ------ $19,300
r 60 Police Officer/Detectives 10 10 10 Work in Progress ----------------- 1,531
60 Police Officer 35 36 36 $20,831*
SUB-TOTAL COMMISSIONED PERSONNEL 57 59 62 EQUALS 1984 ADJUSTED BUDGET $ 3,615 3,637
NON-COMMISSIONED PERSONNEL:
37 Crime Prevention Coor inator 0 0 1
(New Position - 1985) Add Increased Cost to
37 Animal Control Officer 1 1 1 Maintain Same Service Level 70 48
' 36 Lab Technician 1 1 1
35 Jailer 5 5 5 Percentage Increase Over 1984 1.9 % 1.3 %
9 Chief Clerk (Reclass to 1 1 1
Exempt Staff Services Supervisor) Add 1985 New Programs/Changes 221 221
5 Administrative Secretary 1 1 1 (See L.i.a.t on Jotiowi,ng page/pageb)
Exempt
32 Clerks 10 11 11
SUB-TOTAL NON-COMMISSIONED PERSONNEL 19 20 21 Sub-Total All 1985 Increases $ 291 269
r TOTAL FULL TIME POSITIONS 76 79 83 EQUALS TOTAL 1985 MAYOR'S
PART TIME/FULL TIME EQUIVALENTS 1.50 2.00 2.00 RECOMMENDED BUDGET $ 3,906 3,906
(Includes Part Time Clerk 1984/1985, PERCENTAGE INCREASE OVER 1984 8.0 % 7.4 %
2 - Traffic Controllers and Animal
' Control Officer.) ')For comparison purposes (1984 to 1985), Add to 1984:
Bal. of 6 mos. Sgt. prom. & replacemt. Officer - $20,144
Jailer shift differential not budgeted in 1984 - 1,344
LEOFF II Disab. Ins. not budgeted in 1984 ------ 960
Added Adjustment to 1984/Comparison Purposes Only $22,488
r 83
`R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: POLICE DEPARTMENT Fund: CURRENT FUND '
Division: ALL DIVISIONS OF POLICE DEPARTMENT Account: 000/000/08.521, 523, 539
1985 NEW PROGRAMS/CHANGES
1) POLICE DEPARTMENT REORGANIZATION: In 1984 we have evaluated our department workloads
and staffing levels, concluding that the department is understaffed in supervisory and ,
command positions. The following personnel additions and changes are proposed:
A. New Lieutenant Position - Patrol Division . . . . . .. . . . .. .. . . .. . .. . .. . ... . .. $ 46,115
$ 5,354 - Promote Sergeant to Lieutenant
5,368 - Promote Police Officer to Sergeant
34,793 - Replace Police Officer (Salaries and Benefits)
600 - Equipment
$46,115 - Total Cost
To provide needed supervision and control of the patrol function in
late afternoon and evening hours. Will allow time for administrative
duties not now being adequately addressed.
B. New Lieutenant Position - Research/Training Division .. . . . .. .. .. . ... .. . . . 45,515
Division to be reorganized as Administrative Services Division.
$ 5,354 - Promote Sergeant to Lieutenant
5,368 - Promote Police Officer to Sergeant
34,793 - Replace Police Officer (Salaries and Benefits) '
$45,515 - Total Cost
Restoration of the Administrative Services Lieutenant. Would handle
many administrative duties we are not now able to accomplish adequately.
Some of the duties would include complaint processing, investigation
and tracking, internal inspections, monitoring personnel practices,
development of policy and research, etc. A commissioned officer is
necessary in this position due to the nature of the functions to be
performed. ,
C. New Sergeant Position - Investigation Division . .. . .. . .. . . . . . . . . . . . .. .. .. 40,551
5,368 - Promote Police Officer to Sergeant
34,793 - Replace Police Officer (Salaries and Benefits) '
390 - Equipment
$40,551 - Total Cost
To improve the overall control and coordination of the investigation
effort, by providing needed supervision in the evenings and on weekends.
This is presently not possible with the one Sergeant assigned to the
division.
D. New Position - Crime Prevention Coordinator (Non-Commissioned) .. . .. . . . . . 32,894
31,943 - Salaries and Benefits (Grad-e--3-7-A------' 1,987/month) ,
951 - Overtime ($826 + $125/Retirement and FICA)
$ 32,894 - Total Cost
The Crime Prevention program was restored in 1984, with the replacement
of a police officer position eliminated in 1983. The Crime Prevention
Coordinator position will allow the present officer assigned to be
transferred to Research/Training division to replace the Sergeant
transferred to Patrol in 1984. The officer would coordinate the
department's training program.
E. Reclassifv Chief Clerk to Staff Services Supervisor (Grade_9E) .. . . . . . . .. 3,501
Assumed additional responsibilities including selection of non-commissioned
personnel, training, procedures development for staff services, evaluations ,
and discipline, and special projects including research and development of
the entire department's computer system.
TOTAL COST OF PROPOSED POLICE DEPARTMENT REORGANIZATION .. . .. .... . . .. . . .. $168,576 '
Other Personnel Change: New Sergeant position and replacement officer were
added in 1984, effective 7/1/84; funds allocated per Resolution #2551.
Allowed Sergeant to be assigned to the Jail to provide needed supervision.
84
!R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: POLICE DEPARTMENT Fund: CURRENT FUND
Division: ALL DIVISIONS OF POLICE DEPARTMENT Account: 000/000/08.521, 523, 539
1985 NEW PROGRAMS/CHANGES
POLICE INVESTIGATIONS DIVISION:
2) Equipment Rental Rate Increase . . . ...... ..... .. .. . .. .. . . . . . .. .. . . .. . . . . . . .. . . $ 9,180
Capital recovery factor on (3) investigation vehicles to be replaced,
and other rate revisions.
Note: Additional computer terminal and related equipment requested for 1985
is included in the Capital Improvement Fund (#317) with the Data
Processing Master Systems equipment.
' POLICE PATROL DIVISION:
3) Capital Outlay Increase over 1984 (Machinery & Equipment) .. . . . .. ..... ... .. . . 23,765
1985 Capital Outlay Request:
Replace 5 Patrol vehicles currently in use and
scheduled for replacement in 1985 (5 @ $13,500 each) .. ..... $67,500
Replace 3 Portable Radios; regular scheduled replacement
program (3 @ $1,505 each) . .. .. .. . .. .. . .. . . . . . . . . . .. .. . . . ... 4,515
Total 1985 Capital Outlay Request $72,015
Less 1984 Allocation ... .. .. . .. . . . . . .. .. .. . . (48,250)
Equals Increase in 1985 .. . .. .. . . .. .. . . .. ... $23,765
POLICE GAMBLING TAX ENFORCEMENT DIVISION:
4) Additional WASIC Terminal .. . . . . . . . ... .. ... . . . . .. .. . . .. . .. . . . ... . .. . . . . . .. . .. 3,480
Necessary for receiving detailed criminal history information
from the State files and placing information into the State files.
' Cost is a rental/user fee.
POLICE RECORDS DIVISION:
5) Capital Outlay (Machinery & Equipment) . . . . . . . . . .. . . . . . . . .. . .. . . . . . . .. .. . .. .. 8,648
4 Work Station Modules and Computer Terminal Station. It has become
increasingly necessary to provide our clerks with adequate and defined
work space for efficiency and privacy.
rPOLICE JAIL DIVISION:
6) King County Jail Costs- Increase . . . ....... . . . . . ... .. . . . . . ... .. . .. . . . .. 5,000
' Cost underestimated in 1984. Total request $10,000.
7) Capital Outlay (Machinery & Equipment) . . . . . . . . . . . . . . . . . . . . .. . ... .. . . . . . ... . . 2,176
Typewriter replacement for existing typewriter that is no
' longer serviceable. Cost - $1,076.
Polaroid Identification/Mug Photo System - To replace our current 35mm
system. Will provide an instant photo that can be copied as needed.
Experiencing problems with current system because of each operator's
' unfamiliarity with its use; photos lost cannot be replaced. Cost per
photo is approximately the same when processing and additional prints
are considered. Cost - $1,100.
TOTAL ALL NEW PROGRAMS/CHANGES - POLICE DEPARTMENT . .. . . .... .. . ... . .... . . . . . . . . . . $220,825
Other Information:
Overtime in all divisions increased a total of $18,472 over 1984, based on
anticipated need and 1984 experience to date. Decreases in other operating
accounts are sufficient to offset the increase in overtime.
85
City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: POLICE DEPARTMENT FUND: CURRENT
520 SECLRITY OF PERSONS d PROPERTY DIV: POLICE ADMINISTRATION ACCT: 000 000 08 521 10 00 0C
ACCOUNT NUMBER 1983 1984 1985
ACCOLNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCK'S
LINE ]ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 08 521 10 00 00 POLICE ACMINISTRATION
10 CO SALARIES AND WAGES 69,976.48 681921.00 69,569
10 02 OVERTIME 1,131.27 455.00 228
* SALARIES AND WAGES 71,107.75 69.376.00 o9,797
20 CD PERSONNEL BENEFITS It
20 Cl RETIREMENT/WPERS 1,760.43 1,858.00 1,99E
20 02 RETIREMENT/LEOFF 2,317.59 2,328.00 2,466
20 C3 FICA 4,147.04 4,412.00 4,684
20 C4 PREPAID MEDICAL 3,323.53 3,876.00 3,852
ZO C5 UNIFORM MEDICAL 221449.97 13,000.00 18,900
20 C6 INDUSTRIAL INSURANCE 563.74 624.00 624
20 C7 LIFE INSURANCE 342.12 348.00 348
20 09 PREPAID DENTAL 961.12 1,140.00 1,092
20 12 LEOFF RET PCL/PREPAIC MEDICAL 23,959.12 30,232.00 31,477
20 14 UNIFORM ALLCWaNCE 200.00 200.00 200
20 16 LEOFF II DISABILITY INSURANCE 22.50 60
* PERSONNEL EENEFITS 00,067.16 58,018.00 65,695
30 CG SUPPLIES
31 CO OFFICE/CPERATING SUPPLIES 5,083.40 5,060.00 4,2GC
31 12 BOOKS/POLICE LIBRARY 188.83 250.00 250
* SUPPLIES 5,272.23 5,250.00 4,45C
40 CO CTHER SERVICES & CHARGES
41 00 PROFESSIONAL SERVICES
41 14 HARBOR PATRCL 13,757.00 14,110.00 18,0CC
41 25 PSYCHOLOGICAL EXAMS 2,QOC.00 2,CCC
42 GO COMMUNICATION
42 Cl POSTAGE 1,568.97 1,200.00 11800
43 00 TRAVEL
43 C4 POLICE ADM TRAVEL 498.50 750.00 1,000
43 10 POLICE BOOKS & TLITION 2,419.30 10,000.GO 7,00C
44 16 ADVERTISING/POLICE 196.80 50C.00 500
45 CO OPERATING RENTALS & LEASES '
45 C2 EQUIPMENT RENTAL 2,340.CC 20100.00 1,920
46 CO INSURANCE 42,486.92
48 CO REPAIRS & MAINTENANCE 6,OC7.33 71631.00 5,802
49 12 MEMBERSHIPS 8 REGISTRA 130.00 100.00 150
49 29 DUES 360.CO 500.00 50C
49 51 MISCELLANEOUS/PCL ADM 365.93 1,000.00 1,CGG '
* OTHER SERVICES AND CHARGES 70,130.75 39,897.00 39,672
60 CO CAPITAL OUTLAY
64 GO MACHINERY & EQUIPMENT
64 20 MACHINERY & EQUIPMENT/FRS '1,870.17
* CAPITAL OUTLAYS 1,870.17
** POLICE ADMINISTRATION 208,448.06 172,541.00 179,614
86
1 t= .�-
=ZE City of Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PCLICE DEPARTMENT FUND: CURRENT
520 SECLRITY OF PERSONS & PROPERTY DIV: PCLICE INVESTIGATION ACCT: 000 000 05 521 21 OC CC
ACCOUNT NUMBER 1983 1964 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 08 521 21 OC CC POLICE INVESTIGATION
10 CO SALARIES AND WAGES 412,314.21 383,656 Go 421,191
' 10 C2 CVERTIME 13,229.08 19,932.00 19,933
* SALARIES AND WAGES 425,543.29 403,588.00 441,124
20 00 PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 1,645.44 1,776.00 1,905
20 C2 RETIREMENT/LEOFF 22,948.23 22,478.00 25,227
20 C3 FICA 27,070.22 28,7o6.00 31,757
20 C4 PREPAID MEDICAL 25,630.10 29,004.00 29,10C
20 C6 INDUSTRIAL INSURANCE 916.56 1,164.00 1,704
20 C7 LIFE INSURANCE 1,867.31 1,896.00 2,124
20 09 PREPAID DENTAL 7,113.89 8,016.00 8,076
20 14 UNIFORM ALLOWANCE 200.00 200.00 2CC
20 16 LEOFF II DISABILITY INSURANCE 22.50 18C
r * PERSONNEL BENEFITS 87,414.33 93,3CO.00 1CO,273
30 00 SUPPLIES
31 CO OFFICE/OPERATING SUPPLIES 1,491.65 115:6.00 1,329
35 CO SMALL TOCLS/MINCR ECUIPMENT 3,377.00 4,217
* SUPPLIES 1,491.65 4,963.00 5,546
40 00 OTHER SERVICES 8 CHARGES
41 00 PRCFESSIONAL SERVICES
41 16 INVESTIGATIVE FUND 7,303.46 7,5C0.00 7,500
41 17 INVESTIGATION VEHICLE 714.79 2,175.00 2,175
41 94 TECH ASST/PCL INVESTIGA 4,000.GC 4,500
45 00 OPERATING RENTALS 8 LEASES
45 C2 EQUIPMENT RENTAL 16,920.00 15,120.00 24,300
45 CS COPY MACHINE RTL/POL 1,3oE.00 1,500
49 64 DAMAGED INVESTIGATION VEHICLE 6,355.00
* OTHER SERVICES AND CHARGES 31,293.25 30,163.00 39,975
60 00 CAPITAL OUTLAY
' 04 CO MACHINERY 8 EQUIPMENT 4,821.00
64 20 MACHINERY 8 EQUIPMENT/FRS 7,463.46
* CAPITAL CLTLAYS 7,463.46 4,621.00
** POLICE INVESTIGATION 553,205.96 536,835.00 556,91E
r
r
r
1
i
i
1
87
Cityof Renton 1985 PRELIMINARY BUDGET
FUNCTIGN: DEFT: PCLICE DEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS & PROPERTY DIV: PCLICE PATRCL ALCT: DOG DOC OE 521 22 00 CO
ACCOUNT NUMBER 1983 1984 19E5
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24. RECOMMEND.
DCO 08 521 22 00 CO PCLICE PATRCL
10 00 SALARIES AND WAGES 1.364,249.36 113O5tE68.00 1,216,531
FUNDED BY FEDERAL 10 C2 OVERTIME 79,764.38 7C,983.00 53.204
REVENUE SHARING .............10 20 SALARIES AND WAGES/FRS 52,180.GC 37,625.00 174,50C
* SALARIES AND WAGES 1,496,193.74 1,414,476.00 1,474,235
20 CO PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 11191.81 1,307.DC 1,397
20 G2 RETIREMENT/LEOFF 80,226.15 79,890.00 85.930
20 03 FICA 95,057.37 98,859.00 104,302
20 04 PREPAID MEDICAL 69,239.09 106,291.60 114,266
20 C6 INDUSTRIAL INSURANCE 5,OC2.1C 6,610.00 8,85E
20 07 LIFE INSURANCE 6,422.29 6.654.00 6,989
20 09 PREPAID DENTAL 25,523.59 30.420.00 3C,12C
20 14 UNIFCRM ALLCWANCE 15,1CO.00 14,400.00 14,40C
20 16 LEOFF II DISABILITY INSURANCE 180.00 900
* PERSONNEL BENEFITS 317,942.40 344,431.00 367,060
30 00 SUPPLIES
31 00 OFFICE/OPERATING SUPPLIES 9,526.Oo 9,EC3.00 6,659
31 07 K-9 SUPPLIES 664.23 1,216.00 1,49E
35 CO SMALL TOCLS/MINOR EQUIPMENT 7,392.00 9,839 ,
* SUPPLIES 10,190.29 18,461.00 17,996
40 CO OTHER SERIVCES & CHAFGES
41 CO PROFESSIONAL SERVICES
41 27 K-9 VET SERVICES 415.12 SCO.00 840
41 95 EMERG TOW SEPVICES 250.00 250
45 00 OPERATING RENTALS & LEASES
45 C2 EQUIPMENT RENTAL 159,885 CC 135,OCC.00 134,280
48 CO REPAIRS & MAINTENANCE 630.52 2,393.00 2,455
* OTHER SERVICES AND CHARGES 160,930.64 138,143.00 137,825
60 CO CAPITAL CUTLAY
64 CD MACHINERY & EQUIPMENT 72,015
64 20 MACHINERY & EQUIFMENT/FRS 581575.55 48,256.00
* CAPITAL OUTLAYS 58,575.55 48,250.00 72,015
** POLICE PATROL 2,043,832.62 1,963,761.00 2,069,131
88 '
f
-� City of Renton
1985 PRELIMINARY BUDGET
FUNCTICN: DEPT: PCLICE DEPARTMENT FUND: CURRENT
52C SECLRITY OF PERSONS 8 PROPERTY DIV: GAMBLING TAX ENFORCEMENT ACCT: 000 000 08 521 25 00 00
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 1C/24 RECOMMEND.
000 08 521 25 00 CO POLICE GAMBLING TX ENFORC
10 CO SALARIES AND WAGES 74,256.90 72,212.00 72,586
10 02 OVERTIME 4,199.03 4,347.CC 4,326
* SALARIES ANC WAGES 78,455.93 76.559.00 76,912
20 CO PERSCNNEL BENEFITS
20 Cl RETIREMENT/WPERS 1,610.84 1,758.00 1,884
20 C2 RETIREMENT/LEOFF 2,084.20 2,040.00 2,150
20 C3 FICA 3,948.38 4,130.00 4,236
ZO 04 PREPAID MEDICAL 4,711.63 5,496.00 5,124
20 C6 INDUSTRIAL INSURANCE 71.30 84.00 84
' 20 07 LIFE INSURANCE 272.40 276.OG 288
20 C9 PREPAID CENTAL 1,212.36 1,404.00 1,344
20 14 UNIFORM ALLOWANCE 200.00 200.00 20C
20 16 LEOFF II DISABILITY INSURANCE
* PERSONNEL BENEFITS 14,111.11 151388.00 15,310
30 CO SUPPLIES
31 00 OFFICE/CPERATING SUPPLIES
* SUPPLIES
' 40 CO CTHER SERVICES 3 CHARGES
41 CO PROFESSICNAL SERVICES
41 16 INVESTIGATIVE FUND 2,547.87 2,800.00 2,800
42 C4 WASIC 3,480
45 CO OPERATING RENTALS 8 LEASES
45 02 EQUIPMENT RENTAL 1,41O.GC 1,26C.00 1,170
* OTHER SERVICES AND CHARGES 3,957.87 4,C60.G0 7,450
60 CO CAPITAL OUTLAY
64 00 MACHINERY 8 EQUIPMENT
* CAPITAL OUTLAYS
** GAMBLING TAX ENFCRCEMENT 96,524.91 96,007.00 99,672
Ili
89
City of Renton
'1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PCLICE DEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS t PROPERTY DIV: CRIME PREVENTION ACCT: 000 000 08 521 30 OC 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCF'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 08 521 30 00 CO POLICE CRIME PREVENTION
10 CO SALARIES AND MAGES 31,658.00 24,044
10 C2 OVERTIME 826 '
* SALARIES ANC WAGES 31,658.00 24,870
20 00 PERSONNEL BENEFITS
ZO 01 RETIREMENT/WPERS 1,962
20 C2 RETIREMENT/LEOFF 1,997.00
20 C3 FICA 2,217.00 1,766
20 C4 PREPAID MEDICAL 3,391.00 3,2t4
23 06 INCUSTRIAL INSURANCE 84
20 07 LIFE INSURANCE 156.00 120
20 09 PREPAID DENTAL 564.00 828
20 14 UNIFORM ALLCWANCE
20 16 LECFF II DISABILITY INSURANCE
* PERSONNEL BENEFITS 8,625.00 8,024
30 CO SUPPLIES
31 CO OFFICE/CPERA7ING SUPPLIES 821.70 1,890.00 1,890
35 00 SMALL TOOLS/MINOR EQUIPMENT 115.00
* SUPPLIES 821.70 2,005.00 1189C
40 00 OTHER SERVICES & CHARGES
45 00 OPERATING RENTALS & LEASES
45 02 EQUIPMENT RENTAL 1,410.CO 1126C.00 1,17C
48 00 REPAIRS & MAINTENANCE 113.23 57C.GC 635
* OTHER SERVICES AND CHARGES 1,523.23 1,830.00 1,805
60 CO CAPITAL OUTLAY
* CAPITAL CUTLAYS
** CRIME PREVENTION- 2,344.93 44,118.00 360589
90
City of Renton
1985 PRELIMINARY BUDGET
FUNCTICN: DEPT: POLICE DEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS 8 PROPERTY DIV: PCLICE RESEARCH/TRAINING ACCT: 000 DOC 08 521 4C OC 00
ACCOUNT NUMBER 1983 1984 1965
' ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
COO 08 521 40 00 CO PCL RESEARCH/TRAINING
10 CO SALARIES AND MAGES 38.162.51 36,493.00 74.070
' 10 02 OVERTIME 1.965.24 445.00 904
* SALARIES AND WAGES 40.127.75 36.938.00 74.974
20 OC PERSONNEL BENEFITS
20 Cl RETIREMENT/wPERS
20 C2 RETIREMENT/LEOFF 2.431.99 2.340.00 4.848
20 C3 FICA 2.391.78 2.635.00 5.149
20 C4 PREPAID MEDICAL 1,431.8b 1,668.CO 4,440
20 06 INDUSTRIAL INSURANCE
20 07 LIFE INSURANCE 178.32 18C.00 372
20 09 PREPAID DENTAL 468.CC 54C.00 1,092
20 14 UNIFORM ALLCWANCE
20 16 LEOFF II DISABILITY INSURANCE
* PERSONNEL BENEFITS 6,901.97 7,363.00 15,901
30 CO SUPPLIES
31 00 OFFICE/CPERATING SUPPLIES 3,856.19 4.452.00 4,83C
35 00 SMALL TOOLS/MINOR EQUIPMENT 530.00 840
' * SUPPLIES 3,856.19 4,982.00 5.676
40 CO OTHER SERVICES 8 CHARGES
41 45 PROFESS SERV/PCLICE TRAINING 2,880.00 3,000
43 C5 POL TRAVEL/TRAINING 5,515.32 10,5CO.00 10,500
45 00 OPERATING RENTALS 8 LEASES
45 C9 OTHER RENTALS/POL TR 80.CO 800.00 500
48 CO REPAIRS 8 MAINTENANCE 205.50 725.00 725
49 00 MISCELLANEOUS
49 12 REGISTRATIONS 1,841.00 600.00 600
' 49 16 PUBLICATIONS 538.22 708.00 708
49 29 MEMBERSHIPS/DUES 1,924.50 460.00 375
* OTHER SERVICES AND CHARGES 10,104.54 16,673.00 1o,408
60 CO CAPITAL OUTLAY
64 00 MACHINERY B EQUIPMENT
* CAPITAL OUTLAYS
** POLICE RESEARCH/TRAINING 60,99C.45 65,956.00 112,959
r
91
tt City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: POLICE DEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS & PROPERTY DIV: POLICE RECORDS ACCT: 000 000 08 521 90 CO CG
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 08 521 90 00 CO POLICE RECORDS
10 CO SALARIES ANC WAGES 340,816.28 352,645.00 359,138
10 C2 OVERTIME 6,608.50 4,768.00 8.400
* SALARIES AND WAGES 347,424.78 357.413.00 367,539
20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 16,928.97 200325.00 22.465
20 02 RETIREMENT/LEOFF 5,811.87 51535.00 5,736
20 03 FICA 22,209.90 24,383.00 25,821
20 C4 PREPAID MEDICAL 20,267.2C 26,800.00 25,080
20 C6 INDUSTRIAL INSURANCE 1,138.93 1.422.00 1,422
20 G7 LIFE INSURANCE 1,469.31 1,792.00 1,826
20 C9 PREPAID DENTAL 6,560.70 8,232.00 7,824
20 14 UNIFORM ALLOWANCE 2,200.00 2,400.00 2,400
* PERSCNNEL BENEFITS 76,586.88 90,839.0C 92,574
30 00 SUPPLIES
31 00 OFFICE/CPERATING SUPPLIES 3,120.34 110905.91 3,933
31 18 OPERATING SUPPLIES/PCLICE LAB b,8J6
35 CO SMALL TOCLS/MINCR EQUIPMENT 20162.00 270
* SUPPLIES 3,120.34 14,067.91 13,009
40 CO OTHER SERVICES i CHARGES
42 CO COMMLNICATION
42 03 ACCESS 2,400.CC
42 C4 WASIC 1,500.00 3,9CO.00 3,900
45 CO OPERATING RENTALS & LEASES
45 05 COPY MACMINE RTL/PCL 3,665.6C 5,791.00 5,357
48 14 DATA STATION MAINT CCNTR/PCL 1,7CC
* OTHER SERVICES AND CHARGES 7,565.60 9,691.00 10,957 'I
60 00 CAPITAL OUTLAY
64 CO MACHINERY & EQUIPMENT 496.31 8,84E
* CAPITAL CUTLAYS 496.31 3,648
+* PCLICE RECORDS 435,193.91 472,060.91 492,726
** LAW ENFORCEMENT 3,400,540.86 3,351,278.91 SP577,609
III
92
'f*RCity of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: POLICE DEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS & PROPERTY DIV: POLICE JAIL ACCT: 000 000 06 523 60 00 OJ
t ACCOUNT NUMBER 1983 1984 19E5
ACCOUNT 'DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMENO.
OCO 08 523 60 00 CO PCLICE JAIL
' 10 GO SALARIES ANC WAGES 117,222.22 124,766.00 162,716
10 C2 OVERTIME 3,519.25 61026.00 7,836
* SALARIES AND WAGES 120,741.47 130,792.00 170,552
2C 00 PERSONNEL BENEFITS
' 20 Cl RETIREMENT/WPERS 8,392.98 9.844.00 10,675
20 CZ RETIREMENT/LEOFF 2,364
20 C3 FICA 8,093.13 9.208.00 12,08C
20 C4 PREPAID MEDICAL E,477.72 10,5CO.00 14,846
20 C6 INDUSTRIAL INSURANCE 2,423.66 2,7E3.00 2,702
' 20 C7 LIFE INSURANCE 583.72 636 GO 818
20 09 PREPAID DENTAL 2,557.15 3,084.00 3,781
20 14 UNIFORM ALLOWANCE 10200.00 1,000.00 1,350
* PERSCNNEL BENEFITS 31,728.38 37,055.00 48,616
' 30 00 SUPPLIES
31 CO OFFICE/CPERATING SUPPLIES 34,145.78 36r653.00 39,544
35 CO SMALL TOCLS/MINOR EQUIPMENT 1,500.00 1,505
' * SUPPLIES 34,145.78 38,153.60 41,049
40 GO OTHER SERVICES 9 CHARGES
41 CO PROFESSIONAL SERVICES
41 C5 MEDICAL SERVICES/PRISONERS 136.94 700.00 700
41 C6 HEALTH OFFICER SERVICES 1,8GO.CO 1,800.00 1,800
41 12 KING CO JAIL SERVICES 14,409.77 5,000.00 10,000
48 00 REPAIRS & MAINTENANCE 115.20 1,220.00 1,584
* OTHER SERVICES AND CHARGES 16,461.91 8,720.00 14,084
' 60 60 CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT 2,176
64 20 MACHINERY & EQUIPMENT/FRS 2,011.42
* CAPITAL OUTLAYS 2,011.42 2,176
** POLICE JAIL 205,088.96 214,720.00 276,477
93
City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEFT: POLICE DEPARTMENT FUND: CURRENT
530 PHYSICAL ENVIRONMENT DIV: PCLICE/ANIMAL CONTROL ACCT: 000 000 08 539 30 00 00
ACCOUNT hUM6ER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS CF 10/24 RECOMMEND.
000 09 539 30 00 00 PCLICE/ANIMAL CONTROL
10 CO SALARIES AND WAGES 29.170.43 31.228.00 31.99[
10 C2 OVERTIME 708.13 2,048.00 1"819
* SALARIES AND WAGES 29.878.56 33.276.00 33"809
20 GO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 1"750.44 2.052.00 2.141
20 C3 FICA 2.002.10 2.347.00 2.403
20 C4 PREPAID MEDICAL 797.44 948.00 973
20 C6 INDUSTRIAL INSURANCE 583.76 743.00 676
20 07 LIFE INSURANCE 117.00 132.00 133
20 09 PREPAID DENTAL 236.76 276.00 2t4 '
20 14 UNIFORM ALLOWANCE 500.00 5CO.00 600
. PERSONNEL BENEFITS 5"987.50 6"998.00 7,19C
30 CO SUPPLIES
31 CC OFFICE/OPERATING SUPPLIES 504.88 500.00 500
* SUPPLIES 504.88 5CC.00 50C
40 00 OTHER SERVICES 3 CHARGES
41 CO PROFESSIONAL SERVICES
41 07 EMERGENCY VET SERVICES 300.00 1"038
41 36 LARGE ANIMAL IMPCUNCS 35.00 400.00 216
45 CO OPERATING RENTALS 8 LEASES
45 C2 EQUIPMENT RENTAL 3,84C.00 3,42C.CO 3,180
48 00 REPAIRS 8 MAINT 500.00 500.00
* OTHER SERVICES AND CHARGES 4.375.00 4"620.00 4.434
SO CO INTERGOVERNMENTAL SERVICES
50 Cl HUMANE SCC FEES 4,628.00 4"000.00 6"DOC
* INTERGOVERNMENTAL SERVICES 4.628.00 4,000.00 6,000
60 CO CAPITAL OUTLAY
64 00 MACHINERY B EQUIPMENT
* CAPITAL OUTLAYS
** POLICE/ANIMAL CONTROL 45,373.94 49,394.00 51.933
** POLICE DEPARTMENT 3,651,OC3.76 3,615,392.91 3,901.019
t
94
� �
I �
M
AR CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: FIRE DEPARTMENT Fund: CURRENT FUND
Division: ALL FIRE DEPARTMENT DIVISIONS Account: 000/000/09.522, 525
t FIRE DEPARTMENT: Includes six divisions; Administration, Suppression, Prevention and Investigation,
Training, Facilities, and Civil Defense. The objective of the Department is to provide a fire safe
environment for the citizens of Renton through an efficient, well-trained fire suppression staff; fast
and efficient emergency medical services; public education programs; enforcement of up-to-date codes
tand ordinances; and by thorough plan review of new and remodeled buildings.
EXPENDITURE SUMMARY
1983 Actual 1984 Adjusted 1985 Mayor's
Expenditure Description Expenditures Budget Recommendation
' FIRE DEPARTMENT/ALL DIVISIONS:
' SALARIES $2,227,533.63 $2,319,743.00 $2,653,017
OVERTIME 64,848.06 72,300.00 104,380
SUB-TOTAL SALARIES & WAGES $2,292,381.69 $2,392,043.00 $2,757,397
PERSONNEL BENEFITS 421,244.74 496,222.00 555,895
SUPPLIES 46,176.76 65,316.00 67,905
OTHER SERVICES & CHARGES 153,634.63 140,793.00 122,005
' INTERGOVERNMENTAL SERVICES 3,997.50 --- ---
CAPITAL OUTLAY 16,963.06 13,558.00 19,596
TOTAL PROGRAM - FIRE DEPARTMENT $2,934,398.38 $3,107,932.00 $3,522,798
POSITION SUMMARY 1985 BUDGET SUMMARY
' Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
' COMMISSIONED POSITIONS: 1984 BUDGET AS ADOPTED $ 3,108
77 Fire Chief 1 1 1 Adjustments to 1984 Budget
75 Deputy Fire Chief 1 1 1 ---
(Salary Adjustment 1985)
' 74 Battalion Chief (Fire Marshal) 1 1 1
74 Battalion Chief (Training Off.) 1 1 0
74 Shift Commander 0 0 3 EQUALS 1984 ADJUSTED BUDGET $ 3,108
73 Captain (Training Off./1985) 0 0 1
' 73 Captain 3 3 3
72 Inspector (Lieut. Repl./1985) 1 1 0
71 Lieutenant 9 9 7 Add Increased Cost to
70 Fire Fighter 47 50 56 (1
Maintain Same Service Level 176
SUB-TOTAL COMMISSIONED POSITIONS 64 67 73
NON-UNIFORM POSITIONS Percentage Increase Over 1984 5.7 g
10 ire Co e Inspector III 0 1 1 Add 1985 New Programs/Changes 239
9 Fire Code Inspector II 1 0 0'
7 Fire Code Inspector I 1 1 1 (See L.ia.t on bo2.Yow ng page/page)
6 Mechanic 1 1 1
5 Administrative Secretary 1 1 1
3 Administrative Clerk III 1 1 1 Sub-Total All 1985 Increases $ 415
1 Administrative Clerk I 1 1 1
SUB-TOTAL NON-UNIFORM POSITIONS 6 6 6 EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 3,523
TOTAL ALL FULL TIME POSITIONS 70 73 79
' PERCENTAGE INCREASE OVER 1984 13.4 %
1) INCLUDES 1985 SALARY INCREASE FOR
UNIFORM POSITIONS.
' 95
'R CITY OF RENTON 1985 PRELIMINARY BUDGET '
Department: FIRE DEPARTMENT Fund: CURRENT FUND ,
Division: ALL FIRE DEPARTMENT DIVISIONS Account: 000/000/09.522, 525
1985 NEW PROGRAMS/CHANGES '
1) FIRE DEPARTMENT REORGANIZATION:
A. Promote 3 Captains to Shift Commanders ................................. $ 149383 '
X13,500 - 3 promotions @ $4,500 each
883 - Retirement on the increase
$14,383 - Total Cost
To provide 24-hour on-duty supervision. The Shift Commanders will '
work 56 hours per week and will not be covered by the bargaining unit.
B. Promote 3 Lieutenants to Captain ................ .. ....... .............. 15,035
14,112 - 3 promotions @ $4,704 each '
923 - Retirement on the increase
$15,035 - Total Cost
To replace the 3 Captains promoted to Shift Commander.
C. Do Not Replace 3 Lieutenant Positions. '
D. Replace Battalion Chief (Training Officer) with Captain - Savings . .. 4,794-
4,500 - 12 months @ $375 - difference between Battalion Chief and Captain
294 - Savings on retirement '
9; 4,794 - Total savings
Battalion Chief retired early in 1984. Acting personnel assumed training
functions during 1984.
E. Replace Fire Inspector with Lieutenant - Savings ..... ...... . ........... 972- '
912 - 12 months @ 76 - difference between Inspector and Lieutenant
60 - Savings on retirement
$ 972 - Total Savings
Inspector to retire early 1984. '
F. Deputy Chief Salary Adjustment .. . •
... .... .... .. .... •........ .. 1,930
1,812 - 4; over Battalion Chief (12 months @ $151per month)
118 - Retirement on increase ,
$1,930 - Total Cost
Position is required to perform duties in addition to those of a
Battalion Chief and has the responsibility of the Fire Department
:in the absence of the Chief. '
TOTAL COST OF PROPOSED FIRE DEPARTMENT REORGANIZATION ..................... $ 25,582
RENTON FIRE DEPARTMENT '
CHIEF PROPOSED 1985 REORGANIZATION
DEPUTY CHIEF
MECHANI
SEC ET C E
I
I
BATT.CHIEF CAPTAIN
FIRE MARSHAL TRAINING
------ SECRETARY
ARSON INVEST. FIRE INSPECTIO '
I Lieut. 2 Fire Code
I Firei hter ctors
•A•PLATOON •B•PLATOON 'C•PLATOON '
Shift Commander Shift Commander Shift Commander
STA.II I STA.121 STA.12 1STA.13 STA.11 STA.12 STA.13 '
1 Capt I I Lieut. I Lieut. I Lieut 1 Capt. ]Lieut 1 Lieut 1 Lieut I Capt.
70 FF S FF 3 FF 10 FF S FF 3 FF 11 FF S FF 3 FF
96 ,
' t~' CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: FIRE DEPARTMENT Fund: CURRENT FUND
Division: ALL FIRE DEPARTMENT DIVISIONS Account: 000/000/09.522, 525
' 1985 NEW PROGRAMS/CHANGES
' FIRE ADMINISTRATION:
2) LID 302 Assessment/Earlington Flats - Transferred to Miscellaneous Services $ 24,344-
Item is more appropriately budgeted in Miscellaneous section, with
' other similar assessments.
3) Typewriter Replacement -• • .••••• •. . . •. •. . • . . • •• • •. • •. -••••.Capital Outlay 1,860
Replace typewriter with equipment having memory capabilities,
providing document storage for numerous repetitious procedures.
' FIRE SUPPRESSION:
' 4) 6 New Fire Fighter Positions - Salaries and Benefits . . .. .. . . . . . . .. . . . . . . . . . 200,334
To man the Highlands Aid Unit.
$26,640 - Salary for 1 entry level Fire Fighter (includes 1985 increase)
6,399 - Benefits
' 350 - Uniform Allowance
$33,389 - Cost of 1 New Fire Fighter x 6 = $200,334
5) Overtime Increase - Fire Suppression . . . .. . . . .. . . . . . ........ . . . . . . . . . . .. .. .. 32,080
Overtime Description 1985 Request 1984 Budget Increase/Decrease
Disability Overtime $ 35,040 $ 15,000 $20,040 +
Acting Pay Overtime 21,000 20,000 1,000 +
1 Holdover Overtime 10,560 10,000 560 +
Training Overtime 14,720 193120 4,400 -
Military Leave Overtime 14,880 --- 14,880 +
Totals $ 96,200 $ 64,120 $32,080 +
Disability Overtime - Increase is necessary in part, because only 6 Fire Fighters
are being hired to fill two 24-hour on duty positions. In order to cover these
two positions 24 hours a day, 7 days a week, it requires 9 Fire Fighters.
1985 estimate is based on statistics for the first 6 months of 1984, to maintain
an acceptable level of manning.
Acting Pay Overtime - 5% increase over 1984.
Holdover Overtime - For working an extension of a scheduled shift.
Training Overtime - Provides for training on an off duty basis at straight time.
Military Leave - For replacement when personnel are on military leave.
6) Capital Outlay Increase over 1984 Allocation . . .. . . . . . . .. .. . . . . . . .. . . . . . ... . 3,860
11,060 1985 Capital Outlay Allocation
(7,200) 1984
$ 3,860 - Increase
All 1985 Capital Outlay Items - Fire Suppression: (Total - $11,060)
Cellular Telephone System for duty chief's command car. Will provide
badly needed communication during hazmat incidents and major fires and
' also add an important link to the command post concept -- $33200.
2 - Mobile Radios with Hear system, necessary to update 2 pumpers for
apparatus dispatch -- $6,460.
1 - Portable Radio to replace existing 4 channel portable -- $1,400.
TOTAL ALL NEW PROGRAMS/CHANGES - FIRE DEPARTMENT . . . . . . . . . . . . . . . . . . .. .. . . . . . . . . $239,372
97
"R CITY OF RENTON 1985 PRELIMINARY' BUDI,3ET"
Department: FIRE DEPARTMENT Fund: CURRENT FUND
Division: .ALL FIRE DEPARTMENT DIVISIONS Account: 000/000/09.522, 525
1985 NEW PROGRAMS/CHANGES '
INFORMATION ONLY: '
Replacement of a Fire Prevention vehicle (1974) is included in the Equipment Rental
Fund in 1985, with all other equipment replacements,
Facilities Capital Outlay: '
Repair and revise heating system at Station 12 -- $5,000
Provide personnel lockers and beds at Station
12, for 6 new Fire Fighters --------------------- 1,676
Total Request --- $6,676
i
CUMULATIVE RESERVE FUND #11698 (FIRE EQUIPMENT):
Total resources - $100,500 (Ending Fund Balance).
97A
:-*RCity of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: FIRE DEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS 8 PROPERTY DIV: FIRE ADMINISTRATION ACCT: 000 OCO 09 522 10 CC CO
ACCOUNT NUMBER 1983 1984 1965
' ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RSCCMMENC.
003 09 522 1C 00 CO FIRE ADMINISTRATION
10 CO SALARIES AND WAGES 146,402.16 134,424.00 142,458
10 C2 OVERTIME
* SALARIES AND WAGES 146.402.16 134,424.00 142,458
20 CO PERSONNEL BENEFITS
' 20 Cl RETIREMENT/WPERS 2,862.71 3,2C4.00 3,474
20 C2 RETIREMENT/LEOFF 5,735.54 5,180.00 6,480
20 03 FICA 2,764.02 3,000.00 3,102
20 C4 PREPAID MEDICAL 6,176.13 7,572.00 7,752
20 05 UNIFORM MEDICAL 13,331.10 14,500.00 15,225
' 20 C6 INDUSTRIAL INSURANCE 140.35 168.00 168
20 07 LIFE INSURANCE 670.72 660.00 69t
20 C9 PREPAID DENTAL 1,E40.97 2,220.00 2,124
20 13 LECFF RET FIRE/PREPAID MEDICAL 18,210.99 21,082.CO 24,995
20 14 UNIFORM ALLOWANCE 1,050.00 700.00 700
' * PERSONNEL BENEFITS 52,782.53 58,986.00 64,716
30 CO SUPPLIES
31 CO OFFICE/CPERATING SUPPLIES 2,445.47 2,400.00 2,520
' * SUPPLIES 2,445.47 2,400.00 2,520
40 CO OTHER SERVICES & CHARGES
42 CO COMMUNICATION
42 01 POSTAGE 825.50 800.00 840
42 02 TELEPHONE 2,115.35 2,124.00 2,330
43 CO TRAVEL
43 13 FIRE ADMIN TRAVEL 1.004.32 1,650.00 1,650
44 05 ADVERTISING/FIRE
45 C4 COPY MACHINE RTL/FIRE 2,784.30 2,BCC.03 2,800
' 46 CO INSURANCE 13,069.50
48 CO REPAIRS 3 MAINTENANCE 548.82 550.00 500
49 00 MISCELLANEOUS
49 06 PRINTING 4 BINDING 29.72 300.00 900
49 12 MEMbE:SHIP$ 8 REGISTRA 795.00 840.00 882
' 49 16 PUBLICATIONS 255.2C 300.00 315
49 38 LID 302/EARLINGTON FLATS 26,808.17 25,577.00
49 55 PROP TAX/EARL FLAT PROP 29.57 30.00 35
* OTHER SERVICES AND CHARGES 48,266.15 34,971.00 10,252
' 60 CO CAPITAL OUTLAY
64 00 MACHINERY 8 ECUIFMENT 1,860
* CAPITAL OUTLAYS 1,860
' ** FIRE ADMINISTRATION 249,896.31 230,781.00 221,806
98
"R City of Renton
.6 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: FIRE CEPARTMENT FUND: CURRENT
520 SECLRITY OF PERSONS b PROPERTY DIV: FIRE SUPPRESSION ACCT: 000 000 09 522 20 00 CC
ACCOUNT NUMBER 1983 1984 19E5 '
ACCOUNT DESCRIPTION ACTUAL CCRRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
COO 09 522 20 00 CO FIRE SUPPRESSION
10 CO SALARIES AND WAGES 1.800,828.55 1,914.260.00 2,083,154
10 02 OVERTIME
10 C3 CISA8ILITY OVERTIME/FIRE 16,844.8C 15.000.00 35,040
10 C4 ACTING PAY CVERTIME/FIRE 20,075.70 20,000.00 211CG0
10 C; HOLDOVER OVERTIME/FIRE 6,185.91 100000.00 10,560
10 C6 TRAINING OVERTIME/FIRE 21,111.18 19,120.00 14,720 '
FUNDED BY FEDERAL 10 C9 MILITARY LEAVE OVERTIME/FIRE 14,680
REVENUE SHARING ..............10 20 SALARIES AND WAGES/FRS 52,180.00 37,625.00 174,500
* SALARIES AND WAGES 1,917,226.18 2,016,005.00 2,353,854
20 CO PERSONNEL BENEFITS '
20 01 RETIREMENT/WPERS 1,559.12 1,872.00 2,002
20 C2 RETIREMENT/LEOFF 102,335.29 114,358.CC 136,593
20 C3 FICA 1.497.42 10752.00 1,786
20 04 PREPAID MEDICAL 141,631.88 176,700.00 156,151 '
20 C6 INDUSTRIAL INSURANCE 9,432.19 13,878.00 18,984
20 07 LIFE INSURANCE 8,967.90 9,814.00 11,400
20 C9 PREPAID DENTAL 371966.04 47,064.00 49,606
20 14 UNIFORM ALLOWANCE 20,300.00 21,350.00 23,450
* PERSONNEL BENEFITS 323,7G9.84 386.788.00 439,972 '
30 00 SUPPLIES
31 CO OFFICE/OPERATING SUPPLIES
31 C3 AID SUPPLIES 7,632.25 11,491.00 12,065
31 C4 OTHER CPR/REPR/MAINT SUPPLIES 31,270.25 27,410.00 28,78C '
31 C6 CITY FIRE EXTIN.uI SHERS 1,113.28 1,500.00 1,575
35 CO SMALL TCOLS/MINOR EQUIPMENT 13,000.00 13,00C
* SUPPLIES 40,015.78 53,4C1.00 550420
40 CO OTHER SERVICES & CHARGES '
41 CO PROFESSIONAL SERVICES
43 GO TRAVEL
43 25 FIRE SUPPR TRAVEL 1,899.89 3,15G.00 3,150
45 GO OPERATING RENTALS & LEASES '
45 03 HYDRANTS 20,031.00 20,683.00 22,529
48 CO REPAIRS & MAINTENANCE 2,855.95 3,050.00 3,050
48 G5 FIRE EQUIPMT/REPAIR & MTC 05,076.33 61,479.00 65,512
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 1,040.00 1,26C.00 1,323
49 17 LAUNCRY 4,679.50 2,600.00 2,730
49 62 APPRENTICESHIP TRAINING/FIRE 500.00
* OTHER SERVICES AND CHARGES 96,282.67 92,222.00 98,294
50 CO INTERGOVERNMENTAL SERVICES '
52 GO INTERFUND SERVICES
52 12 REIMB EQ RTL/FIRE MECH 3,997.50
* INTERGOVERNMENTAL SERVICES 3,997.50 '
60 OC CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT 7,260.00 11,060
64 C6 EGUIPMT/CUM RES 1698 4,283.63
64 20 MACHINERY & EQUIPMENT/FRS 9,197.59 ,
65 25 S ENC FIRE STATION CONSTR
* CAPITAL OUTLAYS 13,481.22 7,200.00 11,06C
** FIRE SUPPRESSION 2,394,713.19 2,555,t1t.00 2,958,600
99 '
City of Renton 1985 PRELIMINARY BUDGET
rFUNCTION: DEPT: FIRE CEPARTME"NT FUND: CURRENT
520 SECURITY OF PERSONS 3 PROPERTY DIV: FIRE PREVENTICN/INVESTIGATION ACCT: 000 CDC 09 522 30 OC OC
r ACCOUNT NUMBER 19E3 1984 19k5
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM mAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS CF 1C/24 RECOMMENC.
OCO 09 522 30 00 00 FIRE PREVENTN 8 INVESTIGA
r 10 CO SALARIES AND WAGES 182.714.88 188.026.00 210,101
10 C2 OVERTIME 630.47 1.5CC.00 1.200
10 C7 STANDBY FAY/FIRE PREV 61680.00 6.980
* SALARIES AND WAGES 183x345.35 196,2C6.00 218,281
' 20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 4,772.86 5.515.00 6.109
20 C2 RETIREMENT/LEOFF 6,973.52 7,272.00 8,042
20 C3 FICA 4,608.49 5,149.00 5.492
20 C4 PREPAID MEDICAL 14,894.95 17,436.00 17,822
20 06 INDUSTRIAL INSURANCE 1,023.18 1,164.00 1,165
20 C7 LIFE INSURANCE 898.71 936.00 997
20 C9 PREPAID DENTAL 4,189.80 4,860.00 5,C12
20 14 UNIFCRM ALLOWANCE 350.CC 350.00 350
r * PERSONNEL BENEFITS 37,711.51 42,682.00 44,989
30 CO SUPPLIES
31 00 OFFICE/CPERATING SUPPLIES 1,662.32 2,200.00 2,400
31 09 LOCK BOXES 63.97-
35
3.9735 OC SMALL TCCLS/MINCR EQUIPMENT 2,400.00 2,200
* SUPPLIES 1,598.35 4,600.00 4,60C
40 CO OTHER SERVICES i CHARGES
41 CO PROFESSIONAL SERVICES
41 46 FIRE INVESTIGATION 3CO.00 300
43 CO TRAVEL
43 11 FIRE PREV TRAVEL 1,354.15 1,650.00 1,740
45 CC OPERATING RENTALS & LEASES
r 45 Cl OTHER RENTALS
45 C2 EQUIPMENT RENTAL 1,260.00 1,020.00
48 00 REPAIRS & MAINTENANCE 66.80 250.00 400
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS B REGISTRA 572.50 850.00 85C
49 16 PUBLICATIONS 560.37 68C.00 714
r + OTHER SERVICES AND CHARGES 3,813.82 4,750.00 4,004
60 CO CAPITAL OUTLAY
64 CO MACHINERY d EQUIPMENT
r 64 20 MACHINERY 8 EQUIFMENT/FRS 3,481.84
CAPITAL OUTLAYS 3,481.84
** FIRE PREVENTION/INVESTIGATION 229,950.87 248,238.00 271,874
r
r
r
r
r
r
r 100
t"s .>.
City of Renton 1945 PRELIMINARY BUDGET
FUNCTION: DEPT: FIRE CEPAFTMENT FUND: CURRENT '
520 SECURITY OF PERSONS 3 PROPERTY DIV: FIRE TRAINING ACCT: 000 000 09 522 40 00 GO
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S '
LINE ITEM SLMMARY EXPENDITURES AS OF 10/24 RECCMMENO.
GOO 09 522 40 00 CO FIRE TRAINING
10 CO SALARIES AND GAGES 45.-408.00 45.408.00 42.804
10 C2 OVERTIME ,
* SALARIES AND WAGES 45.-408.0C 45.-4C8.00 42.804
20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS '
20 C2 RETIREMENT/LEOFF 2.796.68 2.904.00 2.80E
20 03 FICA
20 C4 PREPAID MEDICAL 2.929.38 3.420.00 2.326
20 C6 INDUSTRIAL INSURANCE
20 C7 LIFE INSURANCE 220.44 228.00 216 '
20 C9. PREPAID DENTAL 744.36 664.00 516
20 14 UNIFCRM ALLCWANCE 350.00 350.00 350
* PERSONNEL BENEFITS 7.040.86 7.-766.00 6,,218
30 00 SUPPLIES '
31 GO OFFICE/CPERATING SUPPLIES 698.26 900.G0 9GO
35 GO SMALL TCCLS/MINOR EQUIPMENT 600.00 600
* SUPPLIES 698.26 1.-7CO.00 1.-7CC
40 00 OTHER SERVICES 3 CHARGES
41 82 EMT INSTRUCTOR 2.-296.00 3.-120.00 3,,6OC
43 CO TRAVEL 248.76
43 12 FIRE TRAINING TRAVEL 1.-650.00 1,,65C '
48 DO REPAIRS d MAINTENANCE 300.00 300
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS 8 REGISTRA 180.00 265.00 265
49 16 PUBLICATIONS 307.57 305.00 305
* OTHER SERVICES AND CHARGES 3,,C32.33 5.-640.00 6.-120
60 CO CAPITAL OUTLAY
64 CO MACHINERY 8 EQUIPMENT
* CAPITAL OUTLAYS '
** FIRE TRAINING 56.-179.45 6C.-514.00 56,,842
101
City of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: FIRE CEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS % PROPERTY DIV: FIRE FACILITIES ACCT: 000 000 09 522 50 CC GC
ACCOUNT NUMBER 1983 1984 19E5
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMENC.
CCO 09 522 50 00 CO FIRE FACILITIES
' 30 CO SUPPLIES
31 00 OFFICE/CPcRATING SUPPLIES 1.337.39 30015.00 3.165
* SUPPLIES 1.337.39 3.015.00 3.165
40 00 OTHER SERVICES & CHARGES
' 48 00 REPAIRS & MAINTENANCE 2,151.90 2.500.00 2x625
* OTHER SERVICES AND CHARGES 2,151.90 2.500.00 2x625
60 00 CAPITAL OUTLAY
61 CO LAND
62 CO BUILDINGS 5.000
63 CO IMPRVMTS OTHER THAN BLDGS
64 00 MACHINERY & EQUIPMENT Or358.00 1x676
64 20 MACHINERY & EQUIPMENT/FRS
t 65 00 CONSTRUCTION PRCJECTS
* CAPITAL OUTLAYS 6.358.00 6,676
** FIRE FACILITIES 3.-489.29 11x873.00 12.466
** FIRE CONTROL 2x934.229.11 3,1070022.00 3x521,588
' FUNCTION: DEPT: FIRE CEPARTMENT FUND: CURRENT
520 SECURITY OF PERSONS & PROPERTY DIV: CIVIL DEFENSE ACCT: 000 000 09 525 60 00 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 09 525 60 00 00 FIRE/CIVIL DEFENSE
30 CO SUPPLIES
31 CO CFFICE/CPERATING SUPPLIES 81.51 200.00 500
31 16 EMERG OPR CENTER SUPPLIES
31 17 FIELD DISASTER SUPPLIES
35 00 SMALL TOOLS/MINOR EQUIPMENT
' COSUPPLIES 81.51 200.00 500
40 O OTHER SERVICES & CHARGES
42 O2 TELEPHONE
43 00 TRAVEL
43 14 CIVIL DEFENSE TRAVEL 7.76 200.00 300
48 CO REPAIRS 3 MAINTENANCE 400.00 260
49 12 MEMBERSHIPS & REGISTRA 80.00 110.00 150
*' OTHER SERVICES AND CHARGES 87.76 710.00 710 60 CO CAPITAL OUTLAY
64 00 MACHINERY & EQUIFMENT
* CAPITAL OUTLAYS
' ** EMERGENCY SERVICES 169.27 910.00 1,21C
r• FIRE DEPARTMENT 2.-934x398.38 3x107.-932.00 3.-522x798
FUNCTION: DEPT: FIRE DEPARTMENT FUND: CUM 1698 (FIRE)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS—OUT ACCT: 109 000 09 597 00 00 00
' ACCOUNT NUMBER 1983 19841985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 09 597 00 00 CO 1698 FIRE EC/OPR TRANSFER OUT
' 50 00 INTERGOVERNMENTAL SERVICES 4.-280.00
B
SUTOTAL ENDING SAL NCE 83.552.70 890000.00 100,500
SUB—TOTAL EXPENDITURES
SUB—TCTAL NON—EXPENCITURES
' SUB—TOTAL OTHER FINANCING USES 4,Z80.00
** CUM 1698 (FIRE) 87.832.70 890000.00 1001500
102
��
t
I t �
.�
0
� �,
r
ro
.�
� �
"R CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: BUILDING & ZONING DEPARTMENT Fund: CURRENT FUND
Division: BUILDING & ZONING Account: 000/000/10.538
BUILDING: Provides enforcement of the building regulations as adopted by the City of Renton, State, and
Federal agencies including; Uniform Building Code, Mechanical and Plumbing Codes, National Electrical Code,
Swimming Pool Code, Sign Codes, FEMA Standards, Washington State Energy Codes, Zoning Regulations, etc.
ZONING: Provides services on land use matters to the Land Use Hearing Examiner and the City Council, and
services to the general public, regarding land use inquiries and complaints.
i
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
BUILDING & ZONING DEPARTMENT:
' SALARIES $274,523.71 $292,591.00 $318,106
OVERTIME 254.14 500.00 500
SUB-TOTAL SALARIES & WAGES $274,777.85 $293,091.00 $318,606
PERSONNEL BENEFITS 65,748.85 77,372.00 86,369
SUPPLIES 2,305.51 4,309.00 4,924
OTHER SERVICES & CHARGES 22,367.67 27,629.00 29,424
CAPITAL OUTLAY --- 6,000.00 ---
' TOTAL PROGRAM - BUILDING & ZONING DEPARTMENT $365,199.88 $408,401.00 $439,323
POSITION SUMMARY 1 985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
' 1984 BUDGET AS ADOPTED $ 408
18 Building Official 1 1 1
14 Assistant Building Official 1 1 1 Adjustments to 1984 Budget
13 Zoning Administrator 1 1 1
11 Lead Building Inspector 1 1 1
' 9 Building Inspector Combo 1 1 1
9 Land Use Inspector 1 1 1
9 Building Inspector 1 1 1 EQUALS 1984 ADJUSTED BUDGET $ 408
6 Zoning Research Technician 1 1 1
5 Administrative Secretary 0 1 1
3 Secretary 1 0 0
3 Administrative Clerk III 0 0 1 Add Increased Cost to
(New Position 1985) Maintain Same Service Level 6
1 Administrative Clerk I 1 1 1
Percentage Increase Over 1984 1.5 $
TOTAL FULL TIME POSITIONS 10 10 11 Add 1985 New Programs/Changes 25
(See Li,a.t on 6oUowing page/pagea)
' -
Sub Total All 1985 Increases $ 31
' EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 439
PERCENTAGE INCREASE OVER 1984 -7.6 $
' 103
lf*R
CITY OF RENTON 1 985 PRELIMINARY BUDGET
Department: BUILDING & ZONING DEPARTMENT Fund: CURRENT FUND '
Division: BUILDING & ZONING Account: 000/000/10.538
1985 NEW PROGRAMS/CHANGES
BUILDING & ZONING DEPARTMENT:
1) New Position - Administrative Clerk III (Salaries & Benefits) . . . . . . . . . . . . . . . . $24,576
Posi'.tion will be responsible for general public information at the '
counter, along with processing building plans and land use files.
Land use applications and inquiries in 1984 have increased approximately
75Z over 1983 volumes. This work is presently being performed by more
experienced and more highly trained personnel. The additional position
will. allow needed time for enforcement of building codes, dangerous
building codes, complaint investigations, zoning code enforcement,
implementation of property data system and other functions, presently
not being adequately addressed.
TOTAL NEW PROGRAMS/CHANGES - BUILDING AND ZONING DEPARTMENT $84,576 ,
104 _� .�
1 .
es ->-
City of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: BUILDING & ZONING FUND: CURRENT ^
530 PHYSICAL ENVIRONMENT DIV: ACCT: 000 000 10 538 60 00 OC
r ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
COO 10 538 6C 00 CO BUILDING & ZONING
r 10 CO SALARIES AND GAGES 274.523.71 292.591.00 318,106
10 02 OVERTIME 254.14 500.00 503
* SALARIES AND WAGES 274x777.85 293,091.G0 318,oO6
20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 18,635.22 22,049.00 25,353
20 C3 FICA 17,695.01 20,104.00 22,246
20 04 PREPAID MEDICAL 20,685.93 24,732.00 27,984
20 C6 INDUSTRIAL INSURANCE 1,660.99 2,208.00 1,837
20 C7 LIFE INSURANCE 1,334.13 1,463.00 10590
' 20 09 PREPAID DENTAL 5,737.57 61816.00 7.357
* PERSONNEL BENEFITS 65,748.85 77,372.00 86,369
30 00 SUPPLIES
31 00 OFFICE/OPERATING SUPPLIES 2,305.51 40309.00 4,924
* SUPPLIES 2,305.51 4,309.00 4,924
40 CO OTHER SERVICES & CHARGES
' 41 39 PROFESS SERV/BLCG/ZONING 11,857.00 14,500.00 15,225
42 CO COMMUNICATION
42 Cl POSTAGE 635.63 720.00 720
43 CO TRAVEL
43 32 BUILCING/ZONING CEPT TRAVEL 1,5OO.00 2,000
' 44 CS ADVERTISING/BUILCING 1,705.32 2,535.00 2,661
44 09 ADVERTISNG/BD OF ADJUSTMT 190.80 457.00 48C
45 CO OPERATING RENTALS & LEASES
45 02 ECUIPMENT RENTAL o,240.CC 5,o40.00 5,34C
48 OO REPAIRS & MAINTENANCE 365.79 450.00 450
1 49 OO MISCELLANEOUS
49 12 MEM3ERSHIPS & REGISTRA 842.00 1,240.00 1,300
49 14 LEGAL & RECORDING FEES 458.28 35O.00 1,OGO
49 16 PUBLICATIONS 36.32 162.00 17C
49 28 BOARD OF ADJUSTMENT 36.53 75.00 78
' * OTHER SERVICES AND CHARGES 22,367.67 27,629.00 29,424
60 CO CAPITAL OUTLAY
64 00 MACHINERY & ECUIPMENT 6,000.00
r * CAPITAL OUTLAYS 6,000.00
** BUILDING & ZONING DEPARTMENT 365,199.88 408,401.00 439,323
r
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!-*
R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: LAND USE ADMINISTRATION DEPARTMENT Fund: CURRENT FUND
1 Division: LAND USE Account: 000/000/11.537
LAND USE ADMINISTRATION DEPARTMENT: Basic objective is to provide a single, efficient, lawful,
' integrated land use regulatory hearing system which implements the adopted Comprehensive Plan and
City ordinances. The Hearing Examiner is responsible for the administration of the City's land use
regulatory hearing process and acts on behalf of the City Council in considering and applying land
use regulatory codes. The Examiner receives and examines all available information, conducts public
hearings, and prepares a record thereof, entering findings and conclusions.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
LAND USE ADMINISTRATION DEPARTMENT:
SALARIES & WAGES $42,348.00 $42,628.00 $60,938
PERSONNEL BENEFITS 6,636.52 7,404.00 11,945
SUPPLIES 165.82 90.00 200
OTHER SERVICES & CHARGES 1,066.54 1,458.00 1,890
CAPITAL OUTLAY --- --- ---
TOTAL PROGRAM - LAND USE ADMINISTRATION $50,216.88 $51,580.00 $74,973
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000'5)
Grade Position Title 1983 1984 1985
1984 BUDGET AS ADOPTED $ 51
' 17 Hearing Examiner 1 1 1
3 Word Processing Secretary 0 0 1 Adjustments to 1984 Budget -
(Transferred from Policy Dev.)
TOTAL FULL TIME POSITIONS 1 1 2
EQUALS 1984 ADJUSTED BUDGET $ 51
Add Increased Cost to
Maintain Same Service Level 1
1 Percentage Increase Over 1984 1.96 g
Add 1985 New Programs/Changes 23
(See L.i.a,t on 4o iow.ing page/pagee)
f
Sub-Total All 1985 Increases $ 24
1 EQUALS TOTAL 1985 MAYOR'S 75
RECOMMENDED BUDGET $
PERCENTAGE INCREASE OVER 1984 47.1 %
1
106
R CITY' OF RENTON 1985 PRELIMINARY BUDGET
Department: LAND USE ADMINISTRATION DEPARTMENT Fund: CURRENT FUND
Division: LAND USE Account: 000/000/11.537
1985 NEW PROGRAM►/CHANGES
LAND USE ADMINISTRATION DEPARTMENT:
1) Word Processing Secretary Transferred from Policy Development to Land Use . . . . $22,279
Position was transferred to Land Use in. 1984, since the primary function
of the job is land use related. The Personnel Department also recommended
that the position would be more appropriately placed in the Land Use Budget.
2) Travel/Memberships & Registrations Increase . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 355
Conferences are particularly important in this department, since
information generated in the fields of both land use planning and
land use law is growing fast and continually. Travel increased $255
and Memberships & registration increased $100.
TOTAL NEW PROGRAMS/CHANGES - LAND USE ADMINISTRATION DEPARTMENT $22,634
!1
i
1
107
"M City of Renton 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: LAND USE DEPARTMENT FLND: CURRENT
530 PHYSICAL ENVIRONMENT DIV: LAND USE ADMINISTRATION ACCT: 000 000 11 537 60 00 CO
' ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 11 537 6C OC CO LAND USE ADMINISTRATION
10 00 SALARIES AND MAGES 42.348.00 42.628.00 60,938
10 C2 OVERTIME
* SALARIES AND WAGES 42,348.00 42,628.00 60.938
20 00 PERSONNEL BENEFITS
20 01 RcTIREMENT/WPERS 2,936.82 3,204.00 4,842
20 03 FICA 2,391.97 2,676.00 4,199
20 C4 PREPAID MEDICAL 797.44 948.00 1,896
20 C6 INDUSTRIAL INSURANCE 72.29 84.00 168
20 07 LIFE INSURANCE 201.24 216.00 312
' 20 C9 PREPAID DENTAL 236.76 276.00 528
* PERSONNEL BENEFITS 6,636.52 7,404.00 11,945
30 00 SUPPLIES
' 31 00 OFFICE/OPERATING SUPPLIES 165.82 9C.00 20C
* SUPPLIES 165.82 90.00 200
40 CO OTHER SERVICES & CHARGES
' 41 48 PROFESS SERV/LANC USE 120.00 150
42 CO COMMUNICATION
42 01 POSTAGE 71.19 120.00 140
43 00 TRAVEL
43 27 LAND USE TRAVEL 445.00 70C
49 CO REPAIRS 3 MAINTENANCE 190.00 295.00 30C
49 00 MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 584.00 200.00 300
49 16 PUBLICATIONS 221.35 278.00 30C
* OTHER SERVICES AND CHARGES 1,066.54 1,458.00 11890
60 00 CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT
* CAPITAL OUTLAYS
** LAND USE DEPARTMENT 50,216.88 51,580.00 74,973
108
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R
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PERSONNEL DEPARTMENT Fund: CURRENT FUND
Division: ADMINISTRATION AND Account: 000/000/14.516
CIVIL SERVICE COMMISSION
' PERSONNEL ADMINISTRATION: Objective is to provide timely and comprehensive programs and guidance in
the areas of personnel administration, policy development and legal compliance in the management of the
City's human resources.
CIVIL SERVICE COMMISSION: Objective is to provide and administer fair, impartial, and practical selection
procedures for all classified civil service personnel; and to act as a quasi-judicial board to hear and resolve
disputes over application of Civil Service rules.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
PERSONNEL DEPARTMENT:
SALARIES & WAGES $107,806.45 $108,027.00 $113,912
OVERTIME 509.47
SUB-TOTAL SALARIES & WAGES $108,315.92 $108,027.00 $113,912
' PERSONNEL BENEFITS 24,272.62 32,805.00 28,731
SUPPLIES 640.53 1,650.00 1,650
OTHER SERVICES & CHARGES 65,674.64 35,820.00 64,960
CAPITAL OUTLAY 1,237.09 --- ---
TOTAL PROGRAM - PERSONNEL DEPARTMENT $200,140.80 $178,302.00 [-$209,253
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
1984 BUDGET AS ADOPTED $ 178
19 Personnel Director 1 1 1
7 Personnel Analyst 1 1 1 Adjustments to 1984 Budget
' 5 Civil Service Examiner
Personnel Assistant
3 Secretary (Reclass from 0 1 1 EQUALS 1984 ADJUSTED BUDGET $ 178 (1
Grade 1 Administrative
Clerk I)
TOTAL FULL TIME EMPLOYEES 3 4 4
Add Increased Cost to
PART TIME/FULL TIME EQUIVALENTS .50 0 0 Maintain Same Service Level 2
' Percentage Increase Over 1984 1.1s
Add 1985 New Programs/Changes 29
(See Litt on boitow.ing page/pageb)
Sub-Total All 1985 Increases $ 31
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 209
PERCENTAGE INCREASE OVER 1984 17.4 %
1) Based on estimated actual 1984 expenses X183,
increase over 1984 would be $26, and % increase 14.2%.
109
s'f '} CITY OF RENTON 1985 PRELIMINARY BUDGET '
Department: PERSONNEL DEPARTMENT Fund: CURRENT FUND '
ADMINISTRATION AND
Division: CIVIL SERVICE COMMISSION Account: 000/000/14.516
1985 NEW PROGRAMS/CHANGES '
PERSONNEL ADMINISTRATION:
1) Health Care Benefit Trust Program .. . . . . .. . . . .... . .......... .. ... . .. .. ... . . . $ 7,600
Funding would permit the ongoing coordination by the joint Labor/Management
Health Care Cost Containment Committee, established in 1984. With completion
of the research, analysis and recommendations phase, ongoing program
administration, to include employee training, is necessary. Anticipate
that acceptance of the concept of health care cost containment, and the
proposed establishment of a benefit-trust committee staffed jointly by
labor and management representatives, will result in a long term program
funding commitment by the City. It is fully expected that savings to the
City in medical expenses will far offset program expenditures.
2) Employee Assistance Program . . . . .. . . . .. . . ... . . . .. . . . . . . . . .. . . . . .. .... . . . .. .. 5,000
The City does not currently participate in a formal employee assistance
program. Supervisors and/or the Personnel Department act in a limited
capacity in providing counseling and guidance to employees with personal
problems that have manifested in actual or potential diminished work
performance. The identification of a professionally staffed and equipped
agency to which to refer employees who have requested or demonstrated a ,
need for assistance is strongly recommended. The program requested would
provide for supervisory training, employee orientation and diagnostic/
referral services for the employee and family.
3) Interlocal Affirmative Action Coalition .. . . . . .. .. . .. . . . 3,000
The Personnel Department, in conjunction with the Personnel departments
of the cities of Kent, Tukwila, Auburn and Puyallup, is proposing the
establishment of an interlocal consortium designed to enhance the '
recruitment, selection and retention of qualified protected class
persons, in recognition of established affirmative action, equal
employment opportunity objectives. The consortium would engage in
joint advertising, apprenticeship program development, increased '
community-based agency contact, and education programs. The anticipated
result would be the realization of greater numbers of qualified protected
class applicants and placements within the participating jurisdictions.
Funding would be dedicated to additional advertising costs, educational
costs and general program development. ,
4) Employee Recognition Program .. . . . . . . . . . . . . . . . . . . . . .. . . .. ... . •. ... . . . .. 3,000
Provision of employee pins which would recognize attainment of service
with the City in 5-year increments. Pins would also be provided to ,
elected officials recognizing the number of elected terms of office.
Initial program costs include die cast fees and sufficient pins for all
employees with at least 5 years' longevity. Ongoing annual costs are
estimated at $850.
5) Reclassification for Administrative Clerk I to Secretary . . . . . .. . . .. .. . . .. . 1,020 i
Employee is performing the duties of a secretarial level position,
necessary to meet the needs of the department. Reclassify from
Administrative Clerk I to Secretary (Grade 1C to 3B - 1 step).
Position is budgeted 50% in Personnel Administration and 50% in
Civil Service Commission budget.
6) Advertising Increase .. . . . . . . ... .. .. •. . . .. . .. .. . •. .. . . .. .. . . .. . . . .. .. .. ... . 1,000
Increase based on anticipated need in 1985 for filling positions.
CIVIL SERVICE COMMISSION:
7) Increase Medical Background Expense/New Uniform Hires . . . . ... .. .. .. . . . . . .. . 8,750 '
Anticipated increased expense to fill police and fire positions in 1985.
TOTAL ALL NEW PROGRAMS/CHANGES - PERSONNEL DEPARTMENT . . . . . ... .. . .. . . . . . . . . . . . . $29,370
110 '
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City of Renton
:t
1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: PERSONNEL DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: PERSONNEL ADMINISTRATION ACCT: 000 000 14 510 10 CO GO
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 14 516 10 00 CO PERSCNNEL ADMINISTRATION
10 CO SALARIES AND MAGES 97,6C4.33 100.023.00 1C4,642
10 02 OVERTIME
* SALARIES AND WAGES 97,604.33 100.023.00 104,642
20 CO PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 6x689.48 7,544.00 8,331
20 03 FICA o,205.51 t,604.00 7,024
20 04 PREPAID MEDICAL 61958.42 11,5C8.00 8,064
20 06 INDUSTRIAL INSURANCE 23o.89 294.00 294
20 C7 LIFE INSURANCE' 446.11 504.00 534 20 09 PREPAID DENTAL 1.808.32 3,024.00 2,58E
* PERSONNEL BENEFITS 22,404.73 29,478.00 26,829
30 GO SUPPLIES
31 CO OFFICE/CPERATING SUPPLIES 360.23 1,500.00 1,500
35 00 SMALL TOOLS/MINOR ECUIPMT
* SUPPLIES 360.23 1,500.00 1,500
' 40 CO OTHER SERVICES 2 CHARGES
41 GO PROFESSIONAL SERVICES 300.CC
41 3E MEDICAL BENEFITS CONSULTANT 7,500.00 5,000
41 49 ARBITRATOR 9,583.17 1,000.GO 11000
41 50 PROFESSIONAL SERV/TESTING 325.00
' 41 64 UNEMPLOYMENT COMP ADM 1,189.49
41 66 LABOR CCNSULTANT 24,269.77 51000.00 5,600
41 69 PERSONNEL CONSULTANT 5,931.84
41 71 NEGOTIATOR 5,OOC
42 GO COMMUNICATICN
' 42 01 POSTAGE 355.01 300.00 350
43 GO TRAVEL
43 28 PERSONNEL ADM TRAVEL 342.31 500.00 504
43 40 TUITION REIMBURSEMENT 868.55 1,500.00 2,00C
43 41 IN-HOUSE TRAINING 1,383.96 10000.00 1,000
44 06 ADVERTISING/PERSCNNEL 1,355.37 1,500.00 2,50C
45 01 OTHER RENTALS
48 CO REPAIRS 8 MAINTENANCE 781.56 11C.00 15C
49 CO MISCELLANECL'S
49 12 MEMBERSHIPS 8 REGISTRA 611.CO 1,GGO.00 10000
49 10 PUBLICATIONS' 730.21 500.00 50C 49 5o CENTRAL SAFETY CCMM. 1,430.33 1,500.00 1.500
49 69 HEALTH CARE BENEFIT TRUST PRGR 71600
49 70 EMPLOYEE ASSISTANCE PROGRAM 51000
49 71 INTERLOCAL AFRM ACTN COALITION 3,000
49 72 EMPLCYEE RECOGNITON PROGRAM 3,000
' * OTHER SERVICES AND CHARGES 49,457.57 21,410.00 44,100
60 CO CAPITAL OUTLAY
64 CC MACHINERY 3 ECUIPMENT
1 66 03 LEASE/PLRCH ROYAL SE6000 1,017.28
* CAPITAL OUTLAYS 1,017.28
** PERSONNEL ADMINISTRATION 170,844.14 152,411.00 177,071
1 111
"I R City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: P;:RSONNEL DEPARTMENT FUND: CURRENT
510 GENERAL GOVERNMENTAL SERVICES DIV: C7:VIL SERVICE COMM ACCT: 000 DOC 14 516 20 CO CC
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 14 516 20 00 CO CIVIL SERVICE COMM
1C CO SALARIES ANO WAGES 10.202.12 8.004.00 9.270
10 C2 OVERTIME 509.47
* SALARIES AND WAGES 10,711.59 8,004.00 9,270
20 GO PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 269.63 600.00 738
20 03 FICA 609.36 561.00 654
20 C4 PREPAID MEDICAL 683.28 1.644.00
20 06 INDUSTRIAL INSURANCE 33.95 42.00 42
20 C7 LIFE INSURANCE 23.52 48.00 54
20 C9 PREPAID DENTAL 248.15 432.00 414
* PERSONNEL BENEFITS 1,867.89 3,327.00 1x902
30 DO SUPPLIES
31 00 CFFICE/CPERA7ING SUPPLIES 280.30 150.00 150
35 00 SMALL TOCLS/MINOR EQUIPMT
* SUPPLIES 280.30 150.00 150
40 GO OTHER SERVICES 8 CHARGES
41 00 PROFESSIONAL SERVICES
41 19 PSYCH EXAMS/NEM HIRES 1,312.5C 1,000.00 2,75C
41 20 ENTR/PRCMOT EXAMS/UNIFORM 3,016.29 4,6CC.00 3,500
41 21 PHYS EXAMS/NEW UNIFORM 6,108.25 4,300.00 11,000
42 CO COMMUNICATION
42 Cl POSTAGE 555.97 450.00 450
43 CO TRAVEL 9.54
43 29 CIVIL SERV COMM TRAVEL 3,655.52 2,500.00 1,500
44 19 ADVERTISING/CIVIL SERVICE 1,140.07 1,200.00 11000
48 CO REPAIRS 8 MAINTENANCE 105.93 110.00 110
49 GO MISCELLANEOUS
49 12 MEMBERSHIPS 8, REGISTRA 273.00 500.00 50C
49 16 PUBLICATIONS 40.00 50.00 5C
* OTHER SERVICES AND CHARGES 16,217.07 14,410.00 20.860
60 CO CAPITAL OUTLAY
64 00 MACHINERY 8 EQUIPMENT 219.81
* CAPITAL OUTLAYS 219.81
** CIVIL SERVICE COMM 29,296.66 25,891.00 32,182 'I
** PERSONNEL DEPARTMENT 200,140.8C 178,3C2.00 2C9,253
If
112
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s
CITY OF RENTON 1985 PRELIMINARY BUDGET
' PUBLIC WORKS DEPARTMENT
Table of Contents PAGE
iPUBLIC WORKS ADMINISTRATION AND ENGINEERING DESIGN. . . . . 114
STREET MAINTENANCE. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 118
TRAFFIC ENGINEERING MAINTENANCE . . . . . . . . . . . . . . . . . . . . . . . . . . . 125
PUBLIC WORKS MISCELLANEOUS FUNDS . . . . . . . . . . . . . . . . . . . . . . . . . . 131
WATER-SEWER UTILITY. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 135
' SOLID WASTE UTILITY . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 146
AIRPORT. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 148
1 EQUIPMENT RENTAL . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 153
Refer also to the Capital Improvement Section:
ARTERIAL STREET FUND . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 184
STREET AND TRAFFIC CAPITAL IMPROVEMENT PROGRAMS . . . . . 180
(Capital Improvement Fund #317)
STREET FORWARD THRUST FUND . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 188
li 113
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: CURRENT FUND
PUBLIC WORKS ADMINISTRATION
Division. ENGINEERING DESIGN Account: 000/000/15.532
PUBLIC WORKS ADMINISTRATION: Controls the operation of the Public Works Department's divisions and related
project construction funds, by establishing and implementing policies and procedures, supervising activities,
working with other City departments and outside agencies, preparing and regulating budget expenditures,
and working with City administrative and legislative offices.
ENGINEERING DESIGN: Major functions are design, survey and inspection. Provides project management and
reviews/oversees the design and construction of improvements or installations in the public rights-of-way to
insure compliance with City and other regulations.
EXPENDITURE SUMMARY
o
1983 Actual 1984 Adjusted 1985 Mayor s Y
Expenditure Description Expenditures Budget Recommendation
_ P 9
PUBLIC WORKS ADMINISTRATION
�f
AND ENGINEERING DESIGN:
FULL TIME SALARIES $469,666.23 $478,413.00 $484,243
TEMPORARY AND/OR PART TIME SALARIES
--- 28 640.00 45,072
OVERTIME 2,799.80 1,600.00 1,600
SUB-TOTAL SALARIES & WAGES $472,466.03 $508,653.00 $530,915
PERSONNEL BENEFITS 107,798.20 131,040.00 144,300
SUPPLIES 6,272.49 16,600.00 15,600
OTHER SERVICES & CHARGES 25,434.50 24,706.00 2'6,675
CAPITAL OUTLAY 15,347.38 1,000.00 ---
EXPENDITURE CREDITS (Project Reimbursement) --- 33,614.00- 55,192-
TOTAL PROGRAM - PUBLIC WORKS ADMIN. & ENGR. DESIGN $627,318.60 $648,385.00 $662,298
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
PUBLIC WORKS ADMINISTRATION: 1984 BUDGET AS ADOPTED > 648 -
21 Public Works Director 1.00 1.00 1.00
17 Engineering Supervisor .50 .50 .50 Adjustments to 1984 Budget _---
(50% Water/Sewer Utility)
15 Public Works Coordinator .75 .75 .67
(33% Airport 1985)
(25% Airport 1983/1984) EQUALS 1984 ADJUSTED BUDGET $ 648
5 Administrative Secretary .50 .50 .50 - -
(50% Airport
SUB-TOTAL PUBLIC WORKS ADMINISTRA. 2.75 2.75 2.67
ENGINEERING DESIGN: Add Increased Cost to
14 Design Engineer 1.00 1.00 1.00 Maintain Same Service Level 8
12 Chief Surveyor 1.00 1.00 1.00
10 Senior Engineering Specialist 3.00 3.00 3.00 Percentage Increase Over 1984 1.2 %
9 Construction Inspector 2.00 2.00 2.00
7 Engineering Specialist 4.00 4.00 4.00 Add 1985 New Programs/Changes 6 _
(Overall Reclass from (See L,izt on �o?Pow.ing page/pagea)
Grade 6 to 7 in 1985)
5 Administrative Secretary 1.00 1.00 1.00
2 Administrative Clerk II 1.00 1.00 1.00 Sub-Total All 1985 Increases $ 14
Temporary and/or Part Time
Project Reimburseable Positions: EQUALS TOTAL 1985 MAYOR'S
9 Construction Inspector 0.00 1.00 1.00 RECOMMENDED BUDGET $_ 662
7 Engineering Specialist 0.00 .25 1.00
SUB-TOTAL ENI3INEERING DESIGN 13.00 14.25 15.00 PERCENTAGE INCREASE OVER 1984 2.2_g
TOTAL POSITIONS 15.75 17.00 17.67
114 .s. �'
f>i + CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: CURRENT FUND
PUBLIC WORKS ADMINISTRATION
Division: ENGINEERING DESIGN Account: 000/000/15.532
1985 NEW PROGRAMS/CHANGES
' PUBLIC WORKS ADMINISTRATION:
1) Increase Public Works Coordinator's Time Spent on Airport Activities . . . . . . . $ 3,842-
Increase time spent on Airport functions from 25% to 337 in 1985,
resulting in $3,842 decrease to the Public Works Administration Budget.
The position's salary and benefits are split between Public Works
administrative functions and Airport activities:
1983/1984 - 75% Public Works Administration and 25% Airport.
1985 Proposed - 67% Public Works Administration and 33% Airport.
' 2) Increase in Equipment Rental . . . .. . . . .. .. .. . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . 1,740+
Increase due to capital recovery factor for vehicle to be replaced
in 1985.
ENGINEERING DESIGN:
1 3) Overall Reclassification for Engineering Specialists . .. . . . . . . . . . . . . . . . . . . . . 5,560+
Recommendation of the Personnel Department, after analysis of the
job classification. Reclass from Grade 6 to 7 for 4 permanent
Engineering Specialist positions and 1 temporary project reimburseable
Engineering Specialist position.
4) Project Reimburseable Positions:
1985 Temporary Project Reimburseable Positions
Construction Inspector - Salaries and Benefits ----- $31,936
Engineering Specialist - Salaries and Benefits - 29,389 $61,325
1984 Temporary Project Reimburseable Positions
' Construction Inspector - Salaries and-Benefits------ $31,870 -
Engineering Specialist - Part Time - 5,479 37,349- 23,976+
Expenditure Credits (Project Reimbursement):
1985 - 90% of Salaries and Benefits - $61,325 ------ $55,192
' 1984 - 90% of Salaries and Benefits - $37,349 ----- 33;614- . . . . . . . . . = 21,578-
TOTAL NEW PROGRAMS/CHANGES PUBLIC WORKS ADMINISTRATION AND ENGINEERING DESIGN $ 5,856+
115
fi ->
C11ty of Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: CURRENT
530 PHYSICAL. ENVIRONMENT DIV: PUB WORKS ADMINISTRATION ACCT: 000 DOC 15 532 10 CO OC
ACCOUNT NL;MBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 532 10 00 CO PUB WORKS ADMINISTRATION
10 CO SALARIES AND WAGES 1091002.54 112.146.00 112,823
10 02 OVERTIME 600.00 600
* SALARIES ANC WAGES 109,002.54 112.746.00 113,423
20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 7,521.05 8,520.00 9,023
20 03 FICA 6,172.72 6,927.00 7,139
20 04 PREPAID MEDICAL 5,376.42 6,276.00 6,163
20 06 INDUSTRIAL INSURANCE 190.94 231.00 236
20 C7 LIFE INSURANCE 523.92 549.00 550
20 C9 PRE:PAID DENTAL 1,425.12 1,647.00 1,:47
* PERSONNEL BENEFITS 21,210.17 24,150.00 24,658
30 CO SUPPLIES
31 CC OFFICE/OPERATING SUPPLIES 621.86 10000.00 11600
* SUPPLIES 621.86 1.000.00 1,600
40 CC OThER SERVICES i CHARGES
41 CO PROFESSIONAL SERVICES
41 98 WTR DRAINAGE/GR RIVER VALLEY 4,000.00
42 00 COMMUNICATION
42 C1 POSTAGE 166.39 250.00 25C
43 CO TRAVEL
43 30 PUB WORKS ACM TRAVEL 201.95 10000.00 1,OOC I'
45 CO OPERATING RENTALS 8 LEASES
45 Cl OTHER RENTALS 710.79 11000.00 1,500
45 C2 EQUIPMENT RENTAL 1,507.CC 1,320.00 3,060
48 CO REPAIRS 8 MAINTENANCE 105.93 200.00 400
49 CO MISCELLANEOUS
49 12 MEMCERSHIPS t REGISTRA 447.00 300.00 30C
49 16 PUBLICATIONS 292.15 75.00 75
* OTHER SERVICES AND CHARGES 7,431.21 4,145.00 61585
60 CO CAPITAL OUTLAY 'I
64 CO MACHINERY B ECUIPMENT 1,000.00 II
* CAPITAL OUTLAYS 10000.00
** PUB WORKS ACMINISTRATION 138,265.78 143,041.00 146,26t 'I
�I
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116
p-
ti �-
City of Renton 1985 PRELIMINART BUDGET
FUNCTION: DEPT: PUBLIC WCRKS DEPARTMENT FUND: CURRENT
530 PHYSICAL ENVIRCNMENT DIV: ENGINEERING DESIGN ACCT: 000 000 15 53i 20 00 00
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 532 20 00 CO ENGINEERING DESIGN
' 10 CO SALARIES AND WAGES 360.663.69 394.907.00 416.492
10 C2 OVERTIME 2.799.60 1.000.00 1.000
* SALARIES AND WAGES 363.463.49 395.907.00 417.492
20 CO PERSONNEL BENEFITS
1 20 Cl RETIREMENT/WPERS 24.674.31 29.414.00 33.216
20 C3 FICA 24.317.11 27.883.00 29.556
20 C4 PREPAID MEDICAL 25.500.55 33.496.00 39.372
20 06 INDUSTRIAL INSURANCE 3.108.75 4.517.00 5.364
20 07 LIFE INSURANCE 1.746.63 1.956.00 2.390
20 09 PREPAID DENTAL 7.240.68 9.624.00 10.044
* PERSONNEL BENEFITS 86.588.03 106.890.00 119.642
30 CO SUPPLIES
31 CO OFFICE/CPERATING SUPPLIES 5.650.63 8.500.00 10.000
35 00 SMALL TCCLS/MINOR EQUIPMENT 7.100.00 4.000
* SUPPLIES 5.650.63 15.600.00 14.000
1 40 CO OTHER SERVICES a CHARGES
41 51 PRCFESS SERV/ENGR DESIGN 150.00 1.000.00 1.000
41 57 TITLE CO/MISC SEARCH 316.15 1.D0O.00 1.000
42 00 COMMUNICATION
42 01 POSTAGE 652.43 500.00 500
43 00 TRAVEL
43 31 ENGR DESIGN TRAVEL 186.64 500.00 500
45 00 OPERATING RENTALS 8 LEASES
45 01 OTHER RENTALS 728.85 1.811.00 1.500
45 02 EQUIPMENT RENTAL 13.681.00 12.240.00 11.040
48 CO REPAIRS 8 MAINTENANCE 1.186.81 1.000.00 2.000
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS 8 REGISTRA 384.00 1.000.00 1.000
49 14 RECORDING FEES 72.5C 100.00 150
49 16 PUBLICATIONS 344.00 410.00 400
49 42 PRELIM LID EXPENSE 300.71 1.000.00 1.000
* OTHER SERVICES AND CHARGES 18.00.29 20.561.00 20.090
60 00 CAPITAL OUTLAY
61 00 LAND
64 CO MACHINERY6 EQUIPMENT 15.347.38
* CAPITAL OUTLAYS 15.347.38
90 00 EXPENDITURE CREDITS
90 C6 PROJECT REIMB.ENGR DESIGN 33.614.00- 55.192-
EXPENDITURE CREDITS 33.614.00- 55,192-
ENGINEERING DESIGN 489.C52.82 505.344.00 516.032
*+ ENGINEERING 627.318.60 648.385.00 662.298
117
I�
R CITY' OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: STREET FUND
Division: STREET MAINTENANCE Account: 103/000/15.542
STREET MAINTENANCE: Maintains 151 miles of streets and alleys, plus 11 bridges, by grading, patching,.
mowing, cleaning of rights-of-ways, and painting bridge structures. Maintains storm sewers, sidewalks,
street signs and markings. Provides supervision for sanitary sewers and water maintenance. Perforins
Cedar River maintenance projects as required and provides departments with miscellaneous maintenance serviices.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
PUBLIC WORKS/STREET MAINTENANCE:
FULL TIME SALARIES $ 539,957.38 $ 550,914.00 $ 587,774
PART TIME SALARIES 24,773.75 26,740.00 26,740
OVERTIME 692.02 --- ---
SUB-TOTAL SALARIES & WAGES $ 565,423.15 $ 577,654.00 $ (514,514
PERSONNEL BENEFITS 133,683.56 151,706.00 179,946
SUPPLIES 124,375.43 131,945.00 141,942
OTHER SERVICES & CHARGES 172,037.97 165,414.00 193,687
CAPITAL OUTLAY 32,112.00 30,000.00 27,000
STREET IMPROVEMENTS 50,373.64 --- ---
EXPENDITURE CREDITS --- 34,609.00- 36,039-
TOTAL EXPENDITURES $1,078,005.75 $1,022,110.00 $1,121,050
OPERATING TRANSFERS-OUT --- 55,000.00 ---
TOTAL PROGRAM - STREET MAINTENANCE $1,078,005.75 $1,077,110.00 $1,121,05)
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 198LI 1985
17 Public Works Field 1984 BUDGET AS ADOPTED $ 1,022_
Superintendent 1 1 1 (EXPENDITURES)
12 Street Maintenance Supervisor 1 1 1 Adjustments to 1984 Budget ---
9 Foreman 1 1 1
7 Heavy Equipment Operator 4 4 3 ')
7 Sign Painter 1 1 1
6 Equipment Operator 5 5 5 EQUALS 1984 ADJUSTED BUDGET $ 1,022
6 Street Maintenance Worker 4 4 5 —
6 Traffic Maintenance Worker 2 2 2 �I
3 Administrative Clerk III 1 1 1
2 Laborer (New Position 1985) 0 0 1 Add Increased Cost to
Maintain Same Service Level 14
TOTAL FULL TIME POSITIONS 20 20 21
Percentage Increase Over 1984 1.4 $
(Part TimeeCustodian and
PART TIME/FULL TIME EQUIVALENTS 1 1.13 1.13 Acid 1985 New Programs/Changes 85
--
temporary help) (See Litt on 6oPtowing page/pages) �I
Note: 1 Heavy Equipment Operator and 1 Equipment
Operator are Lead positions (included above). Sub-Total All 1985 Increases $ 99—
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 1,121.
PERCENTAGE INCREASE OVER 1984 9.7 %
118 �, ��
' t + CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: STREET FUND
Division: STREET MAINTENANCE Account: 103/000/15.542
' 1985 NEW PROGRAMS/CHANGES
PUBLIC WORKS/STREET MAINTENANCE: . • • . . •• • • • • • •• . • •• •• • • . • .-• . . • . • • . • . . •• • . • • •
1) New Position -Laborer $24,096
Additional position necessary to adequately accomplish work program.
2) Retirement Payoff, Ballooning Payment and Refilling Position . . . . .. . . . . . . . . . . 35,246
Public Works Field Superintendent to retire in 1985. Cost for estimated
2 months salary and benefits (present employee), retirement payoff,
ballooning payment, and refilling position 1/1/85 versus present
employee, if budgeted for 12 months of 1985.
3) Heavy Equipment Operator Lead Pay . . . . . . . . . . . . . . .. . . . .. . . .. . . . . . . . . . . . . . .. . . . 1,518
5% Lead pay. Will provide needed supervision in the field.
4) Channelization Repair and Maintenance Program . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . 23,850
Replace channelization in areas where buttons have been removed by
construction activities, snow removal and general wear. There are
presently areas where pavement markings are missing, creating confusion
and safety hazards. (Budgeted in Traffic Control Devices Division a/c 48.00.)
TOTAL NEW PROGRAMS/CHANGES - PUBLIC WORKS/STREET MAINTENANCE . . . . . . . . . . . . . .. . . . . . $ 84,710
OTHER INFORMATION:
Crosswalk Improvement Program - continued in 1985. $15,000 requested.
Parking Lot Overlays - continued in 1985, with $12,000 for City Hall parking lot
' overlay and other overlays, as funding will allow. In 1984 the Police parking lot
overlay was accomplished.
I
1
1
119
-IR Cityof Renton e ton
1985 PRELIMINaRr BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: STREET MAINT/ROADWAY ACCT: 103 OOC 15 542 30 00 00
ACCOUNT NUMBER 1983 1984 1965
ACCCUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 15 542 30 00 CO STREET MAINT/ROAOWAY
30 GO SUPPLIES
31 00 OPERgTING SUPPLIES 73i535.12 75x020.00 82,842
* SUPPLIES 73.535.12 75.020.00 82.842
40 CO OTHER SERVICES 8 CHARGES
45 00 OPERATING RENTALS 8 LEASES
45 01 OTHER RENTALS 156.74 1.8CC.00 1800
45 02 EQUIPMENT RENTAL 58.461.25 5CoZO2.OG 52.712
* OTHER SERVICES AND CHARGES 58.617.99 52002.00 54.512
60 CO CAPITAL OUTLAY
63 32 PCLICE PARKING LCT/OVERLAY 1G.000.00 12000
64 CO MACHINERY $ EQUIPMENT
66 C4 MUN LEASE/BACKHOE E-41 61921.00
* CAPITAL OUTLAYS 6921.00 10000.00 12.000
+* STREET MAINT/ROADWAY 139074.11 137.022.00 149.354
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS II'
540 TRANSPORTATION DIV: STREET MAINT/STORM DRAINIAGE ACCT: 103 000 15 542 40 CC OC
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 (RECOMMEND.
000 15 542 40 00 CO STREET MAINT/STORM DRAINAGE
30 GO SUPPLIES
31 CO OPERATING SUPPLIES 17669.74 16.000.OG 10.000
31 14 EMR RPR/STRM LINE/3RD—RAINIER 665.50
* SUPPLIES 18.335.24 16.000.00 10.000
40 CO OTHER SERVICES 3 CHARGES
45 CC OPERATING RENTALS 8 LEASES
45 C1 OTnER RENTALS 3.000
45 C2 EQUIPMENT RENTAL 23.463.94 20f000.OG 21.000
47 00 PUBLIC UTILITY SERVICES
47 01 ELECTRICITY 771.34 963.CO 1,.108
* OTHER SERVICES AND CHARGES 241235.28 20.963.00 25.108 {��■
50 GO INTERGOVERNMENTAL SERVICES
* INTERGOVERNMENTAL SERVICES
60 CO CAPITAL OUTLAY
64 CO MACHINERY & EQUIPMENT
04 02 RAINIER AV LIFT STA/REBLD EC 10.000.00
66 CS MUN LEASE/SEWER IND 0-20 251191.00
• CAPITAL OUTLAYS 251191.00 IOrOCO.00
+* STREET MAINT/STORM DRAINIAGE 671761.52 461963.00 35..1GE
120
1 EsR
City of Renton
1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: PUBLIC WCRKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: STREET MTC/SEA WALLS/CED R ACCT: 103 000 15 542 50 00 OC
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINEE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMENO.
000 15 542 50 00 00 STREET MTC/SEA WALLS/CED R
30 00 SUPPLIES
31 00 OPERATING SUPPLIES 55.43
* SUPPLIES 55.43
' 40 00 OTHER SERVICES & CHARGES
45 CO OPERATING RENTALS 8 LEASES
45 01 OTHER RENTALS 9,280.47 10,660.00
45 C2 EQUIPMENT RENTAL 9,534.43 6,280.00 6,437
49 00 MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 60.00 160.00 100
* OTHER SERVICES AND CHARGES 18,874.90 17,100.00 6,597
60 00 CAPITAL OUTLAY
63 CO IMPRVMTS OTHER THAN BLOGS
* CAPITAL OUTLAYS
** STREET MTC/SEA WALLS/CED R 18,930.33 17,1CO.00 6,597
FUNCTION: CEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: STREET MAINT/SIDEWALKS ACCT: 103 000 15 542 61 00 00
ACCOUNT NUM8ER 1983 1984 1985
' ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 15 542 61 00 00 STREET MAINT/SIDEWALKS
30 CO SUPPLIES
31 CO OPERATING SUPPLIES 616.71 4,686.00 6,000
* SUPPLIES 616.71 4,686.00 6,000
40 CO OTHER SERVICES & CHARGES
45 00 CPERATING RENTALS & LEASES
45 Cl OTHER RENTALS 112.42 500.00 600
45 C2 EQUIPMENT RENTAL 5,235.56 4,720.00 4,956
* OTHER SERVICES AND CHARGES 5,347.98 5,220.00 5,556
' xx STREET MAINT/SIDEWALKS 5,964.69 9,900.00 11,556
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: TRAFFIC CCNTRCL DEVICES ACCT: 103 000 15 542 64 00 OC
ACCOUNT NUMBER 1983 1964 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 15 542 o4 00 CO STREET MTC/TRAFF CONTROL DEV
30 CO SUPPLIES
31 00 OPERATING SUPPLIES 30,671.36 34,240.00 38,000
' SUPPLIES 30,671.36 34.240.00 38,000
40 CO OTHER SERVICES & CHARGES
45 CO OPERATING RENTALS & LEASES
45 C2 EQUIPMENT RENTAL 7,809.91 7,034.00 7,386
48 CO REPAIRS & MAINTENANCE 21.90 318.00 24,250
* OTHER SERVICES AND CHARGES 7,831.81 7,352.00 31,636
6C CO CAPITAL OUTLAY
63 33 CROSSWALK PROJECT 10,000.00 15,000
64 00 MACHINERY & EQUIPMENT
* CAPITAL OUTLAYS 100CC0.00 15,000
** TRAFFIC CONTROL DEVICES 38,503.17 51,592.00 84,636
121
t' R City of Renton
'Y 1985 PRELIMINARY BUDGET
FUNCTION DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: STREET MTC/SNCW & ICE CONTL ACCT: 103 000 15 542 E6 OC OC
ACCOUNT NLMBER 1983 1984 1985 '
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMENC.
000 15 542 66 DO CO STREET MTC/SNOW & ICE CONTROL
30 00 SUPPLIES
31 00 OPERATING SUPPLIES 704.77 1.060.00 1.100
* SUPPLIES 704.77 1,060.00 1.100
40 00 OTHER SERVICES 6 CHARGES
45 CO CPERATING RENTALS 8 LEASES
45 C2 EQUIPMENT RENTAL 3.353.57 5.325.00 5,592
* OTHER SERVICES AND CHARGES 3.353.57 5.325.00 5.592
•+ STREET MTC/SNOW & ICE CONTL 41058.34 61385.00 6,692
I�
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: STREET MAINT/STREET CLEANING ACCT: 103 000 15 542 67 00 Cc
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 542 67 00 00 STREET MAINT/STREET CLEANING
I�
30 CO SUPPLIES
31 CO OPERATING SUPPLIES 306.46 689.00 3.000
+ SUPPLIES 306.46 689.00 3,00C I�I
40 CO OTHER SERVICES & CHARGES
45 CO CPERATING RENTALS & LEASES
45 C2 EQUIPMENT RENTAL 45.837.12 48.600.00 51,03C
47 CO PUBLIC UTILITY SERVICE
47 02 WATER & GARBAGE 360.00 360.00 378
* GTHER SERVICES AND CHARGES 46.197.12 48960.00 51,.408
60 00 CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT
* CAPITAL OUTLAYS
** STREET MAINT/STREET CLEANING 46.503.58 49649.00 54,408 !�
�1
nil
122 �II
fRCity of Renton
1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: PUBLIC WORKS CEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: MAINTENANCE ACMINISTRATION ACCT: 103 DOC 15 542 9G 00 OO
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 542 90 00 GO STREET MAINT ADMINISTRATION
10 CO SALARIES AND MAGES 380.307.38 554.864.00 591.724
10 C2 OVERTIME 512.77
10 40 SALARIES AND WAGES/FRS 163#600.00
* SALARIES AND WAGES 544#420.15 554.864.00 591.724
' 20 00 PERSONNEL BENEFITS
20 01 RETIREMENT/rPERS 37#306.81 41.411.00 61#766
2G C3 FICA 35.988.06 38.619.00 41.932
20 C4 PREPAID MEDICAL 35.388.28 42#553.00 46.336
20 C6 INDUSTRIAL INSURANCE 8.722.40 10.548.00 11.089
20 07 LIFE INSURANCE 2.672.25 2.734.00 2.868
20 C9 PREPAID DENTAL 11.033.22 12.924.00 13.027
* PERSONNEL BENEFITS 131.111.02 148.729.00 177.418
30 CO SUPPLIES
31 00 OFFICE/CPERATING SUPPLIES 150.34 250.00 1.000
* SUPPLIES 150.34 250.00 1000G
40 CO OTHER SERVICES 8 CHARGES
42 00 COMMUNICATION
42 Cl POSTAGE 60.00 80.00 80
43 CO TRAVEL
43 33 STREET MAINT TRAVEL 266.67 318.00 500
1 44 13 ADVERTISING/ST MAINT
45 00 OPERATING RENTALS & LEASES
45 Cl COPY MACHINE-ONE CALL SYSTEM 2#680
45 C2 EQUIPMENT RENTAL 5.918.11 7#064.00 7#418
48 GO REPAIRS & MAINTENANCE 360.19 500.00 2.000
49 CO MISCELLANEOUS
49 C7 STREET MAINT/MISC
49 11 INSURANCE REIMS/DAMAGES 726.35
49 12 MEMBERSHIPS & REGISTRA 228.00 530.00 600
49 19 TAX COMMISSION
' * OTHER SERVICES AND CHARGES 71579.32 8#492.00 13#278
60 CO CAPITAL OUTLAY
64 GO MACHINERY & EQUIPMENT
' * CAPITAL OUTLAYS
9Q�Q EXPEhDITURE. BCITS.
90 08 REIMS FR W/S UTIL FO TO STR 11#730.00- 12,316-
90
2.31690 09 REIMS FR EQRTL FC TO STR 16#879.00- 17#723-
90 10 REIMS FR AIRPORT FO TO STR 6#000.00- 6#GDO-
* EXPENDITURE CREDITS 34#609.00- 36,039-
MAINTENANCE ADMINISTRATION 683.260.83 077#786.00 746#981
' FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: STREET MAINT/SEASONAL HELP ACCT: 103 DOC 15 542 91 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIN MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 542 91 00 CO STREET MAINT/SEASONAL HELP
' 10 00 SALARIES AND MAGES ZO#823.75 22.790.00 22#790
10 C2 OVERTIME 179.25
* SALARIES AND wAGES 21#003.00 22.790.00 22#790
20 CO PERSONNEL BENEFITS
ZO C3 FICA 1#455.49 1.596.00 1.607
20 06 INDUSTRIAL INSURANCE 11117.05 1#321.00 1#321
* PERSONNEL BENEFITS 2#572.54 2#917.00 2#928
** STREET MAINT/SEASONAL HELP 23#57554 25P707 CC) 25#718
** ROAD ANO STREET MAINTENANCE 1#027.632..11 1.022.110..00 1.121.050
' 123
City of Renton
1995 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
590 CTHER FINANCING USES DIV: OPERATING TRANSFERS-OLT ACCT: 103 000 15 597 00 CO CO
ACCOUNT NLMSER 1983 1984 1995
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
O00 15 597 00 50 CO STREET FUND/OPR TRANSFERS-OUT 55,000.00
�* OPERATING TRANSFERS-CUT 55,000.00 '
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: STREETS
540 TRANSPORTATION DIV: UNION AVE NE/STORM DRAIN ACCT: 103 010 15 541 CO OO OC
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
016 15 541 00 00 00 UNION AVE NE/STORM DRAIN
10 00 CO ENGINEERING
30 00 OO ROADWAY
40 00 00 STORM DRAINAGE 50,216.40
90 00 CO CONSTRUCTION ADMIN 157.24
** UNION AVE NE/STORM DRAIN 50.373.64
SU8-TOTAL EXPENDITURES 1,078,005.75 1,022x110.00 1,121,050
SUBTOTAL NON-EXPENCITURES
SUBTOTAL OTHER FINANCING USES 55,000.00
_* STREETS 1,078,005.75 1,077,110.00 1,121,050
124 �I
"R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: STREET FUND
Division: TRAFFIC ENGINEERING MAINTENANCE Account: 104/000/15.542, 529
' TRAFFIC ENGINEERING MAINTENANCE: Promotes the development and maintenance of a transportation
system within the City of Renton that provides safe and efficient movement of people and goods, enhances
the environmental quality and is compatible with local and regional mobility goals and development objectives.
The office staff provides operation of traffic control devices, maintenance of records, studies, design and
inspection of traffic related projects, and planning. The Signal/Communications Shop provides maintenance
of all electronic traffic control devices, City-owned street lighting systems, and radio communication systems.
EXPENDITURE SUMMARY
' 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditure Description Expenditures Budget Recommendation
PUBLIC WORKS/TRAFFIC ENGINEERING MAINTENANCE:
FULL TIME SALARIES $309,419.74 $322,843.00 $351,387
PART TIME SALARIES 10,500
OVERTIME 2,329.29 3,000.00 3,000
SUB-TOTAL SALARIES & WAGES $311,749.03 $325,843.00 $364,887
PERSONNEL BENEFITS 71,756.46 87,167.00 98,829
SUPPLIES 14,554.90 36,050.00 42,600
OTHER SERVICES & CHARGES 366,525.63 412,437.00 480,390
CAPITAL OUTLAY 45,206.95 6,978.20 2,000
TRAFFIC ENGR. CONSTRUCTION PROGRAMS 100,813.51
EXPENDITURE CREDITS --- 27,000.00- 56,344-
TOTAL PROGRAM - TRAFFIC ENGINEERING MAINTENANCE $910,606.48 $841,475.20 $932,362
POSITION SUMMARY 1985 BUDGET SUMMARY
' Full Time Positions: Number of Positions ($ in 000'5)
Grade Position Title 1983 1984 1985
' 14 Traffic Engineer 1 1 1 1984 BUDGET AS ADOPTED $ 835
13 Electronic Supervisor 1 1 1 Adjustments to 1984 Budget 6
12 Traffic Operations Engineer 1 1 1' Work in progress - $5,705.10 Traffic Specialist 2 2 2
9 Senior Electronics
System Technician 2 2 2
7 Electronics System Technician 1 1 1 EQUALS 1984 ADJUSTED BUDGET $ 841
(Reclass from 6 to 7 in 1985)
' 7 Signal Technician 1 1 1
(Reclass from 6 to 7 in 1985)
7 Signal Lighting Technician 0 0 1 Add Increased Cost to
(New Position in 1985) Maintain Same Service Level 7
' 5 Administrative Secretary 1 1 1
3 Electronic Aide 1 1 1 Percentage Increase Over 1984 .8 %
9 Traffic Inspector (Temporary) 0 1 1 Add 1985 New Programs/Chanes 84
(Project reimbursement) (See Li-6ton6o�w ng page/pagez
TOTAL FULL TIME POSITIONS 11 12 13
PART TIME/FULL TIME EQUIVALENTS 0 0 .44 Sub-Total All 1985 Increases $ 91
t EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 932
' PERCENTAGE INCREASE OVER 1984 10.8 %
125
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: STREET FUND '
Division: TRAFFIC ENGINEERING MAINTENANCE Account: 104/000/15.542, 529
1985 NEW PROGRAMS/CHANGES ,
PUBLIC WORKS/TRAFFIC ENGINEERING MAINTENANCE: '
1) Electricity Increase . . . .. . . . . . . . . . . . . . .. . . . .. . .. .. . . . . . . . . . . . . . . . . . . . . .. . . . $ 73,700+
Due to the addition of new street lighting systems, traffic signal systems,
and anticipated rate increase, the electricity budget will increase $73,700 '
over 1984 costs. This amount is $40,000 less than it would have been, if
the City does not assume maintenance responsibility for City-owned street
lighting system. It should be noted that during the last three to four
years, the cost of electricity has doubled. It is imperative that we review
existing street lighting systems and design criteria to insure efficiency. '
2) Professional Engineering Assistance . . . . . . . . . . • . . . . 35,000+
For development of traffic signal coordination programs for S/SW 43rd St. ,
Rainier Avenue S, S 2nd/S 3rd and Airport Way. Based upon the extensive
amount of construction activity, the regular staff's time has been and is
projected to be consumed by project management activities, and therefore
outside assistance is requested.
3) Transportation Study Completed in 1984 . .. . . . . . . . .. . . . . . . . . . . . . . .. . . . .. . . . . . 43,327- '
Offsets 1985 request for professional services.
4) Railroad Crossing Study .. . . . . . . . . .. . .. . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . .. . 2,000+
The firm of Gardner Engineers has submitted a proposal to Washington State
Department of Transportation for Railroad Safety funds. The purpose of the
project is to establish railroad operating procedures and resolve specific
crossing concerns within the Green River Valley. The $2,000 is a match to
the Federal Grant. Renton has joined with Kent, Tukwila and Auburn in '
providing matching funds.
5) Street Lighting Maintenance Program . . . .. . . . . . •
. . . . . . . . 33,389+
New Position - Signal Lighting Technician - Salary and Benefits - $29,389
Materials cost for the Program ---------------------------------- 4,000 '
Total Cost --- $33,389
Propose to provide complete maintenance of the City-owned street lighting
system. Currently, the City pays Puget Power to maintain all City-owned
luminaires. Estimate the cost to the City for this service is approximately
$40,000 per year. '
6) Overall Reclassification for Electronic Systems Technician & Signal Technician 1,141+
Recommended by the Personnel Department, after analysis of the job '
classification. Reclass from Grade 6 to 7.
7) Establish Part Time Help Division . . . . . . . . .. . . . . . . . . . 119786+
Based upon a need for assistance in data gathering and maintenance of '
field equipment, two part time assistants are requested for 20 hours
per week in 1985. Includes salaries - $10,500; part time benefits -
FICA and Industrial Insurance $1,286.
8) Increase in Expenditure Credits. . . . . . . . . . . . . . . . . . .. . . . . . .. . . . . . . . . . . . . . . . . . 29,344- '
Temporary Traffic Inspector, approved in 1984.
Salaries and benefits reimbursed from projects - 100% . . . . . . . . $21,344-
Increase in LID reimbursement to the Street Fund . . . . . . . .. . . . . 8,000-
$29,344-
TOTAL NEW PROGRAMS/CHANGES - TRAFFIC ENGINEERING MAINTENANCE . . . . . . . . . . . . . . . . . . $ 84,345
Information Only: '
1985 Capital Outlay Request - Replace 1 Automatic Traffic Counter - $2,000.
Grant requested from Washington State Energy Office (approval not yet received) to perform a
Street Lighting Study for the entire City, prompted by a concern for rapidly increasing '
power costs. Allowance for City portion of funding is in the Contingency Fund; matter
to be addressed when grant approval is received.
126 '
' e: -�
0 City of Renton
1985 PRELIMINARY BUDGET
' FUNCTICN: DEPT: PUBLIC WCRKS DEPARTMENT FUND: TRAFFIC ENGINEERING
520 SECURITY OF PERSONS S PROPERTY DIV: TRAFFIC ENGR/COMM EQ ACCT: 104 000 15 529 01 30 00
' ACCOUNT NUMBER 1983 1984 19E5
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 15 529 01 00 00 TRAFFIC ENGR/COMM EQUIP
30 CO SUPPLIES
31 CO REPAIR & MAINT SUPDLIES 4.852.34 9.-000.00 10.-00C
35 OG SMALL TOOLS/MINOR EQUIPMENT 5.500.00 5.500
* SUPPLIES 4.852.34 14.500.00 15.500
' 40 CO OTHER SERVICES & CHARGES
42 CO COMMUNICATION
42 C2 TELEPHONE 560.73 650.00 750
45 00 OPERATING RENTALS AND LEASES
45 C2 EQUIPMENT RENTAL
' * OTHER SERVICES AND CHARGES 560.73 650.00 750
60 00 CAPITAL OUTLAY
64 CO MACHINERY & EQUIPMENT
' 64 20 MACHINERY B ECUIPMENT/FRS 5.375.82
* CAPITAL CUTLAYS 5.-375.82
*x COMMUNICATICNS.- ALARMS B DISP 10.-788.89 15.150.00 16.-250
FUNCTION: DEPT: PUBLIC NCRKS DEPARTMENT FUND: TRAFFIC ENGINEERING
' 540 TRANSPORTATION DIV: TRAFFIC ENGR/STREET LGMT MAINT ACCT: 104 000 15 542 63 OC OC
ACCOUNT NUMBER 1993 1984 1965
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMENO.
' 000 15 542 63 00 00 TRAFFIC ENGR/STREET LGT MAINT
30 CO SUPPLIES
31 CO OPERATING SUPPLIES 3.-853.83 1.-000.00 5.000
35 00 SMALL TOOLS/MINOR EQUIPMENT
' * SUPPLIES 3.-853.83 1.000.00 5.000
40 CO OTHER SERVICES 3 CHARGES
47 GO PUBLIC UTILITY SERVICE
' 47 Cl ELECTRICITY 315.-242.49 326.-300.00 400.-OOC
48 00 REPAIRS B MAINTENANCE
48 C3 POLE DAMAGE/NON-RECCVERED 1.-329.52 4.-5CC.00 6.-000
4E C4 REVOLV ACCT/POLE DAMAGE 3.-446.09 12.-000.00 12.000
' * OTHEk SERVICES AND CHARGES 320.-018.10 342.800.00 418.-000
60 CO CAPITAL OUTLAY
64 CO MACHINERY & EQUIPMENT
' * CAPITAL OUTLAYS
** TRAFFIC ENGR/STREET LGHT MAINT 323.871.93 343.800.00 423.000
' 127
City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: TRAFFIC ENGINEERING
540 TRANSPORTATION DIV: TRAFFIC CCNTRCL DEVICES ACCT: 104 GOC 15 542 64 00 00
ACCOUNT NUMBER 1983 1984 1965 �I
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 542 64 00 CO TRAFFIC ENGR/TRAFFIC CONTR DEV
30 CO SUPPLIES
31 CO OPERATING SUPPLIES 4.798.51 8.000.00 91000
35 CO SMALL TOOLS/MINOR EQUIPMENT 11,600.00 121000
* SUPPLIES 4,798.51 19,6CO.00 21,000
40 CO CTHER SERVICES & CHARGES �I
45 CO OPERATING RENTALS & LEASES
45 Cl OTHER RENTALS 43.24 300.00 300
48 CO REPAIRS & MAINTENANCE 904.06 4,OOC.00 60C
48 13 CAMAGED CONTRCLLER/15Ti/TALBCT
* OTHER SERVICES AND CHARGES 947.30 4,300.00 1,100
60 CO CAPITAL OUTLAY
o4 00 MACHINERY & ECUIFMENT 3,000.00
64 40 MACHINERY & EQUIPMENT/FRS 24,852.24 �I
66 06 MUN LEASE/AER LO TRK C-46 10,658.00
* CAPITAL OUTLAYS 35,510.24 3,000.00
++ TRAFFIC CONTRCL DEVICES 41,256.05 26,900.00 22,1OC
�I
II�
128 !�
City of Renton
'A 1995 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: TRAFFIC ENGINEERING
540 TRANSPORTATION CIV: MAINTENANCE ADMINISTRATION, ACCT: 104 000 15 542 90 00 OC
1 ACCOUNT NUMBER 1983 1964 185
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS CF 10/24 RECOMMEND.
COO 15 542 90 00 CO TRAFFIC ENGR/MAINT ADMIN
1 10 CO SALARIES AND WAGES 209,419.74 322.843.00 351.367
10 02 CVERTIME 2,329.29 3.000.00 3,000
10 40 SALARIES 8 WAGES/FRS 100,000.00
* SALARIES AND WAGES 311,749.03 325,843.00 354.387
' 20 CO PERSONNEL BENEFITS
20 Cl RETIREMEhT/WPERS 20,265.8C 24,476.00 28,167
20 C3 FICA 20,687.33 22,893.00 25,109
20 C4 PREPAID MEDICAL 20,380.11 26,784.00 29,745
20 06 INDUSTRIAL INSURANCE 3,088.60 3.700.00 4,584
20 C7 LIFE INSURANCE 1,420.4C 1,632.00 1,767
20 C9 PREPAID DENTAL 51914.22 7,680.00 8,131
* PERSONNEL BENEFITS 71,756.46 87,167.00 97,543
30 00 SUPPLIES
31 OO OFFICE/OPERATING SUPPLIES 1,C50.22 950.00 1,100
* SUPPLIES 1,050.22 950.00 111CO
1 40 OO CTHER SERVICES 8 CHARGES
41 32 TRANSPORTATION STUDY 261673.00 43,327.00
41 60 MISC CONSULTANTS/TRAFFIC ENGR 37,0OC
42 CO COMMUNICATION
42 Cl POSTAGE 485.33 400.00 400
43 00 TRAVEL
43 34 TRAFFIC ENGR TRAVEL 829.04 11000.00 10050
44 18 ADVERTISING/TRAFFIC ENGR 50.40
45 CO OPERATING RENTALS & LEASES
45 01 OTHER RENTALS 549.15 1,000.00 1,700
' 45 C2 EQUIPMENT RENTAL 13,440.00 15,360.00 16,5aO
48 CO REPAIRS & MAINTENANCE 191.87 450.00 45C
49 00 MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 986.00 11200.00 1,330
49 16 PUBLICATIONS 93.72 200.00 250
1 49 17 LAUNDRY 1,700.99 1,750.00 1,800
* OTHER SERVICES AND CHARGES 44,999.50 64,687.00 60,54u
60 CO CAPITAL OUTLAY
' 64 JO MACHINERY & EQUIPMENT 2,840.19 3,978.20 2,000
64 40 MACHINERY & EQUIPMENT/FRS 1,480.70
* CAPITAL OUTLAYS 4.320.89. 3-1978.20 21000
000 15 542 90 90 00 EXPENDITURE CREDITS
' 90 11 PROJECT REIMB/TRF ENGR 21,344—
90 12 LID REIMB/STR FUhD 12,000.00- 20,COC-
90 13 ENGINEERING FEE REIMB/STR FD 15,000.00- 15,000—
* EXPENDITURE CREDITS 27,000.00 56,344—
•* MAINTENANCE ADMINISTRATION 433,876.10 455,625.20 459,226
FUNCTION: DEPT: PUBLIC WOPKS DEPARTMENT FUND: TRAFFIC ENGINEERING
540 TRANSPORTATION DIV: TRAFFIC ENGINEERING PART TIME HELP ACCT: 104 000 15 542 91 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 15 542 91 00 00 TRAFFIC ENGR PART TIME HELP
10 00 SALARIES & WAGES t0,50C
10 C2 OVERTIME
' * SALARIES AND WAGES 10.500
20 CO PERSONNEL BENEFITS
20 C3 FICA 741
20 C6 INDUSTRIAL INSURANCE 545
' * PERSONNEL BENEFITS 1,286
** TRAFFIC ENGINEERING PART TIME HELP 11,786
** ROAD AND STREET MAINTENANCE 799,004.08 826,325.20 916,112
' 129
:.*RCity
of Renton
1955 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: TRAFFIC ENGINEERING
540 TRANSPORTATION DIV: SW 7Th/HARDIE SIGNALIZATION ACCT: 104 014 15 541 CD 00 .0
ACCCUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
0'14 15 541 00 00 CO SW 7TH/HARDIE SIGNALIZATICN
10 00 GO EENGINEERING
30 00 OG ROADWAY
60 00 CO TRAFFIC & PEDEiSTRIAN SERV 56,889.12
90 00 CO CONSTRUCTION ADMINISTRA 131.04
** S. 7Th/HARDIE SIGNALIZATION 57,020.10
FUNCTION: DEPT: PUBLIC WORKS CEPARTMENT FUND: TRAFFIC ENGINEERING �I
540 TRANSPCRTATION DIV: SW SUNSET/LIND-RAINIER/ERC ACCT: 104 017 15 541 CO 00 GO
ACCOUNT NCM3ER 1983 1984 1985
ACCOUNT DESCR;;PTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SLMMARY EXPENDITURES AS CF 10/24 RECCMMEND.
0117 15 541 00 OD 00 SW SUNSET/LIND-RAINIER/ERG
6C 00 CO TRAFFIC & PEDESTRIAN SERV 1,860.20
90 00 CO CONSTRUCTION ADMIN
** 56 SUNSET/LINO-RAINIER/ERC 1,800.20
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: TRAFFIC ENGINEERING
540 TRANSPORTATION DIV: N 8TH ST/PARK AV N/SIGNAL ACCT: 104 099 15 541 00 00 00
ACCOUNT NUMBER 1983 1984 1965
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
Crib 15 541 OC 00 CO N ETH ST/PARK AV N/SIGNAL
30 00 00 ROADWAY
60 00 CO TRAFFIC & PEDE:STRIAN SERV 41,895.65
90 00 00 CONSTRUCTION AOMINSTRATION 37.50
*+ N BTM ST/PARK AV N/SIGNAL 41,933.15
SUBTOTAL EXPENDITURES 910,606.48 841x475.20 932,302
SUBTOTAL NCN-EXPENDITURES
SUBTOTAL OTHER FINANCING USES
.* TRAFFIC ENGINEERING 910.606.48 841,475.20 932,362
SUB-TOTAL ENDING BALANCE 295,075.79 50,020.00 30,OOC
SUBTOTAL EXPENCITLRES 1,988,612.23 1,863,505.20 2..053,412
SUBTOTAL NON-EXPENCITURES
SUBTOTAL OTHER FINANCING USES 551000.00
+• TOTAL 103 & 104 2,283.688.62 1,968,605.20 2.083,412 '
STREET MAINTENANCE & TRAFFIC ENGR.
130
CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: PUBLIC WORKS DEPARTMENT Fund:
SEE BELOW
Division: MISCELLANEOUS FUNDS Account:
' PUBLIC WORKS DEPARTMENT - MISCELLANEOUS FUNDS
' Fund No.
114 --- CUMULATIVE RESERVE FUND #2373 (UNDERGROUND WIRING) - $17,600
$17,600 (Ending Fund Balance). Funds are available for an allowable
' undergrounding project.
115 --- CUMULATIVE RESERVE FUND #3362 (STORM SEWERS)
All funds transferred to the Water and Sewer Construction Fund in 1984,
for improvement projects.
116 --- CUMULATIVE RESERVE FUND #3421 (SANITARY SEWERS - HONEYCREEK/KENNYDALE) - $68,400
$68,400 to be transferred to the Water and Sewer Construction Fund in 1985.
' 118 --- CUMULATIVE RESERVE FUND #2755 (SPECIAL PURPOSE PATHS) - $5,100
$5,100 (Ending Fund Balance). Available for allowable project. Purpose is for
planning, accommodating, establishing and maintaining certain paths and trails.
Receives allocation of J of 1% Street Fuel Tax each year per State Law.
' 127 --- CABLE COMMUNICATION DEVELOPMENT FUND - $121,800
Fund receives an allocation from Franchise Fees. Any excess over the cost for
administration and regulation of cable communication is deposited in this fund.
128 --- CUMULATIVE RESERVE FUND #3665 (UTILITY CONNECTION CHARGES) - $540,000
$300,000 - To be transferred to the Water and Sewer Construction Fund in 1985
for improvement projects.
240,000 - Ending Fund Balance, for future utility improvements.
$540,000 - Total Resources.
Funds are to be used solely for the support and/or betterment of the
Water and Sewer Utilities.
' 316 --- CITY SHOP CONSTRUCTION FUND - $7350000
$735,000 (Ending Fund Balance).
1
131
"IRCity of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WCRKS DEPARTMENT FUND: CUM 2373 (UNG WIRING) ,
59G OThER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 114 000 15 597 00 OG OG
ACCOUNT NLMBER 1983 1984 1985 '
ACCOUNT DESCRIPTICN ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
GOD 15 597 00 00 GO 2373 UG WIRE/OPR TRANSFERS-OUT
50 00 INTERGOVERNMENTAL SERVICES ,
SUBTOTAL ENDING BALANCE 15.182.44 17.400.00 17.600
SUB-TOTAL EXPENDITURES
SUBTOTAL NON-EXPENDITURES
SUBTOTAL OTHER FINANCING USES ,
+* CUM 2373 (UNG WIRING) 15.182.44 17.400.00 17.600
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: CUM 3362 (STORM SEWERS)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 115 000 15 597 DO 00 00
ACCOUNT NUMBER 1983 1984 1985 '
ACCOUNT DESCRIPTICN ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 13/24 RECOMMEND.
000 15 597 OC 00 00 3362 STRM SEW/CPR TRANSFER-OUT
50 DO INTERGOVERNMENTAL SERVICES 13.000.00 ,
SU8-TOTAL ENDING BALANCE 12.429.31
SUB-TOTAL EXPENDITURES
SUB-TOTAL NON-EXPENDITURES
SUB-TOTAL OTHER FINANCING USES 13.000.00
** CUM 3362 (STORM SEWERS) 12.429.31 13.000.00
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: CUM RES 3421/ H CRK KOALE
590 OTHER FINANCING USES DIV: CPERATING TRANSFERS-OUT ACCT: 116 000 15 597 00 00 00 ,
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
CCC 15 597 00 00 CO 3421 SEWR LINE/OPR TRANSER-OUT '
50 00 INTERGOVERNMENTAL SERVICES 2.200.00 68.400
SUB-TOTAL ENDING BALANCE 59.185.09
SUB-TOTAL EXPENDITURES
SUB-TCTAL NON-EXPENDITURES '
SUBTOTAL OTHER FINANCING USES 2.200.00 68.400
•* CUM RES 3421/ H CRK KDALE 59.185.G9 2.2GO.00 68.400
FUNCTION: DEPT: PUBLIC WCRKS DEPARTMENT FUND: CUM 2755 (PATHS. TRAILS)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 118 000 15 597 00 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMENO.
CCO 15 597 00 00 CO 2755 SP PATHS/OPR TRANSFER-OUT ,
50 00 INTERGOVERNMENTAL SERVICES 4.000.00
SUB-TOTAL ENDING BALANCE 5.115.60 2.000.00 5.100
SUB-TOTAL EXPENDITURES
SUBTOTAL NCN-EXPENDITURES
SUB-TOTAL OTHER FINANCING USES 4.000.00
+* CUM 2755 (PATHS. TRAILS) 5.115.60 6.000.00 5.100
132 t
i
Wy
Citof Renton
' 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PLBLIC WCRKS DEPARTMENT FUND: CABLE COMM DEV FUND
570 CULTURE ANO RECREATION DIV: EDUCATION SERVICES ACCT: 127 OCC 15 571 2C CO OC
ACCOUNT NUMBER 19E3 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMENO.
000 15 571 20 00 00 CABLE CCMM/ACCESS CHANNELS
' 40 CO OTHER SERVICES d CHARGES
41 00 PROFESSIONAL SERVICES
41 30 PROM/DEV/CABLE CCMM
SUB-TOTAL ENDING BALANCE 53,072.90 74,1C0.00 121,800
' SUB-TOTAL EXPENCITURES
SUBTOTAL NON-EXPENDITURES
SUBTOTAL OTHER FINANCING USES
** CABLE CCMM DEV FUND 53,072.90 74,1CO.00 121,800
1
' FUNCTION: DEPT: PUBLIC WCRKS DEPARTMENT FUND: CUM 3665 (UTIL CONN CHCS)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 128 000 15 597 00 00 CC
' ACCOUNT NUMBER 1983 1984 1985
ACCOLNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
COO 15 597 00 CO CO 3065 UTIL CHG/OPR TRANSFER-OUT
' 50 CO INTERGOVERNMENTAL SERVICES 35C,00C.00 300,000
SUB-TOTAL ENDING BALANCE 364,235.78 890000.00 240,000
SUB-TOTAL EXPENDITURES
SUBTOTAL NON-EXPENCITURES
' SU6-TOTAL OTHER FINANCING USES 35C,OCO.00 300,000
•• CUM 36o5 (UTIL CONN CHCS) 364,235.78 439,000.00 540,000
1
1
133
I�
7"R City of Renton
1935 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEP4RTHENT FUND: MUNICIPAL FACIL (SHOPS) '
540 TRANSPORTATION DIV: C014STUCTICN OF FACILITIES ACCT: 316 000 15 544 10 00 00
ACCOUNT NUMBER 1983 1934 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 544 10 00 00 CITY SHCP CONSTRLCTION
10 00 SALARIES ANC WAGES 6,600.07
10 C2 OVERTIME
* SALARIES ANC WAGES 6.600.07
20 CO PERSONNEL BENEFITS
20 03 FICA 442.19
20 06 INDUSTRIAL INSURANCE 154.86
* PERSONNEL BENEFITS 597.05
60 00 CAPITAL OUTLAY I�
62 06 CITY SHOP BUILDING 14,961.64
63 16 CITY SHOP IMPRV CTH THAN ELDGS
65 CG CONSTRUCTION PRCJECTS 973.10
65 29 CITY SHOP FACILITY 1,4CB,274.29 808,000.00 I�I
* CAPITAL OUTLAYS 1,424,209.03 808,000.00
** ROAD AND STREET FACILITIES 1,431,406.15 808,000.00
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: MUNICIPAL FACIL (SHOPS)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 316 000 15 597 CO 00 JO
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 597 00 00 CO SHOP CONSTR/CPR TRANSFER-OUT
50 CO INTERGOVERNMENTAL SERVICES 5,000.00
+* CPERATING TRANSFERS-OUT 5,000.00 I'I
SUB-TOTAL ENCING BALANCE 2,328,250.44 928,000.00 735,000 I■■���
SUB-TOTAL EXPENDITURES 1.431,406.15 808,000.00
SUBTOTAL NON-EXPENDITURES
SUB-TGTAL OThER FINANCING USES 5,000.00
++ MUNICIPAL FACIL (SHOPS) 3,764,656.59 1,736,000.00 735,000
11
i�
l�
134 ��
aCITY OF RENTON 1985 PRELIMINARY BUDGET
:tRDepartment: PUBLIC WORKS DEPARTMENT Fund: WATER AND SEWER UTILITY FUND
WATER AND SEWER CONSTRUCTION FUND
Division: ALL DIVISIONS OF WATER/SEWER UTILITY Account: 401/000/15 and 421/000/15
WATER AND SEWER UTILITY MAINTENANCE & CONSTRUCTION: Provides operation, maintenance and
improvements to the Water and Sanitary Sewer Utilities, self-supported through user fees. The 1985 Budget
includes an 11.30 overall increase for water and sewer rates, with proposed issue of $2.59 million water and
sewer revenue bonds to finance the capital improvement program. The Water and Sewer Utility Fund (#401)
' has separated into the following divisions in 1985: Water Utility Maintenance, Sanitary Sewer Utility Mainte-
nance, Water & Sewer Utility Engineering: and Utility Billing (a division of the Finance Department),
The Water and Sewer Construction Fund is also included in the followina summarv.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
1 WATER & SEWER UTILITY FUND/WATER & SEWER CONSTR. FUND
FULL TIME SALARIES $ 765,573.54 $ 902,229.00 $ 938,977
PART TIME SALARIES 12,951.00 13,500.00 14,000
' OVERTIME 24,807.73 35,000.00 37,000
SUB-TOTAL SALARIES & WAGES 803,332.27 950,729.00 989,977
PERSONNEL BENEFITS 197,822.08 262,064.00 285,296
SUPPLIES 90,591.91 139,600.00 115,560
OTHER SERVICES & CHARGES 2,218,716.65 2,303,893.00 2,627,516
INTERGOVERNMENTAL SERVICES 11,267.41 57,230.00 110,716
CAPITAL OUTLAY 1,014,006.35 3,900,113.00 3,658,000
DEBT SERVICE 465,133.73 770,000.00 906,040
EXPENDITURE CREDITS --- 60,528.00- 245,216-
TOTAL EXPENDITURES $4,800,870.40 $8,323,101.00 $8,447,889
OPERATING TRANSFERS-OUT 14,864.20 --- ---
ENDING FUND BALANCE 1,505,921.04 231,012.00 541,111
TOTAL PROGRAM - WATER AND SEWER UTILITY $6,321,655.64 $8,554,113.00 $8,989,000
POSITION SUMMARY 1985 BUDGET SUMMARY
' Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
17 Engineering Supervisor .50 .50 .50 1984 BUDGET AS ADOPTED $ 7,980
(50% Public Works Admin.) (EXPENDITURES)
14 Utility Engineer 1.00 1.00 1.00 Adjustments to 1984 Budget 343
12 Sewer Maint. Supervisor 1.00 1.00 1.00 Fund 421 - Capital Outlay Adj.*
' 12 Water Maint. Supervisor 1.00 1.00 1.00
10 Senior Engineering Specialist 1.00 1.00 1.00
9 Foreman 2.00 2.00 2.00 EQUALS 1984 ADJUSTED BUDGET $ 8,323
9 Construction Inspector 1.00 1.00 1.00
7 Sewer Maintenance Worker 4.00 4.00 4.00
7 Heavy Equipment Operator 1.00 1.00 1.00
7 Utility Technician 1.00 1.00 1.00 Add Increased Cost to
6 Water Maintenance Worker 10.00 9.00 9.00 Maintain Same Service Level 15-
6 Inventory Control Specialist 1.00 1.00 1.00
' 5 Utility Underground Technician 1.00 1.00 1.00 Percentage Increase Over 1984 -.2 %
3 Water Meter Technician 0.00 .50 .50
2 Administrative Clerk II 0.00 1.00 1.00 Add 1985 New Programs/Changes 140
2 Laborers (2 New - 1985) 0.00 1.00 3.00 (See Liet on boEPoukng page/pagee)
UTILITY BILLING (Division of Finance)
9 Utility Accounting Supervisor 1.00 1.00 1.00
5 Customer Service Rep. 1.00 1.00 1.00
(Grade 6 1983/1984) Sub-Total All 1985 Increases $ 125
3 Control Clerk (Gr. 5 1983/84) 1.00 1.00 1.00
3 Water Meter Readers 2.00 2.50 2.50 EQUALS TOTAL 1985 MAYOR'S
2 Administrative Clerk II 1.00 1.00 1.00 RECOMMENDED BUDGET $ 8,448
PROJECT REIMBURSEABLE POSITIONS
10 Senior Engineering Specialist 0.00 1.00 1.00 PERCENTAGE INCREASE OVER 1984 - .5 %
7 Engineering Specialist 0.00 1.00 1.00
TOTAL FULL TIME POSITIONS 31.50 35.50 37.50
PART TIME/FULL TIME EQUIVALENTS .50 .50 .50
135
PIR CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: WATER AND SEWER UTILITY FUND
WATER AND SEWER CONSTRUCTION FUND
Division: ALL DIVISIONS OF WATER/SEWER UTILITY Account: 401/000/15 and 421/000/15
1985 NEW PROGRAMS/CHANGES ■
WATER AND SEWER UTILITY:
1) 2 New Laborer Positions . . . . . . . . . . . . . . . . .. .. . . . . $ 48,192 '
1 New Laborer for Water Utility Maintenance ----- $24,096
1 New Laborer for Sanitary Sewer Maintenance ---- $24,096
Additional positions necessary to accomplish the anticipated work program. '
2) Administrative Clerk II Position Budgeted 6 months in 1984 - Full Year 1985 . . . 10,599
Hired in 1984 to provide additional clerical support at new City Shop. '
3) Cedar River Aquifer Study . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . .. . . 50,000
4) Emergency Plan Preparation Study . . . . . . . . . . . . . .. . . . .. . . . .. . . . . . . . . . . . . . . . . . .. . . 20,000
5) Reimbursement to Current Fund - Operation, Maintenance, Rent - New City Shop . . 52,900 '
$98,400 1985 Full Year
(45,500) 1984 6 months
$52,900 Increase in 1985
6) Electricity Increase . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . 39,940
7) Decrease in Gross Receipt Tax . . . . . . . . . . . . . . . . .. . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . 47,300-
Tax decreased from 6% in 1984 to 5% in 1985, resulting in a savings to '
the Water and Sewer Utility.
$2849000 -- 6% Gross Receipt Tax
(236,700) - 5% Gross Receipt Tax
$ 47,300 -- Savings
8) Metro Increase over 1984 Allocation . . . .. . . .. . .. . . . . . .. . . . .. . .. . . . . . . . . . . . . . . . . 1659050
9) Water and Sewer Revenue Bond Debt Service Increase over 1984 Allocation . . . . . . . 136,040 '
10) Capital Outlay - Machinery and Equipment ............................................. 92,000
Pipes and Fittings - Increased based on anticipated need ------- $72,000
Replace Utility Bill Envelope Inserter - Equipment requires '
constant repair and was second-hand when purchased in 1978 ----- 20,000
$92,000
TOTAL NEW PROGRAMS/CHANGES - WATER AND SEWER UTILITY FUND . . . . . . . . . . . .. .. . . . . . . . . . . . $567,421 (1
Note: Request that Senior Engineering Specialist position, temporary status in
1984 be changed to permanent status. Salary and benefits remain reimburseable '
from construction programs.
Refer to pages 137 - 139 for proposed 1985 Water and Sewer Utility Construction Program.
1) Adjustment to New Programs/Changes: ,
$567,421 New Programs/Changes
(242,113) Less decrease in Capital Outlay (1984 Adjusted to 1985 Proposed)
(184,688) Increase in Expenditure Credits over 1984
$140,620 Adjusted New Programs/Changes
136
~�R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: WATER AND SEWER UTILITY FUND
WATER AND SEWER CONSTRUCTION FUND
Division: ALL DIVISIONS OF WATER/SEWER UTILITY Account: 401/000/15 and 421/000/15
' 1985 WATER AND SEWER CONSTRUCTION PROGRAM
' WATER SYSTEM REHABILITATION PROJECTS
' Capital
Project #
CP-16 Replacement of 12" steel watermain in Union Avenue NE
from NE 17th Street to SE 99th Street. Proposed Street
project. $ 173,000
8" D.I. watermain in NE Sixth Street from Monroe Avenue
NE to Union Avenue NE (in conjunction with Street project). 81,000
Sub-total $ 254,000
SANITARY SEWER SYSTEM REHABILITATION PROJECTS
Sunset Pump Station sewer repair, Phase II
Sewer TV, joint and manhole grouting
Glencoe Division II $ 60,000
Cedar River Park sewer repair
' Sewer TV, joint and manhole grouting
To protect City water supply wells from possible
sewage leaks. 30,000
' Lake Washington sewer investigation and design
Investigate the submerged City sewer off of Kennydale,
in Lake Washington for stability and design improvements
to flush system. 30,000
Sewer replacement (1985) - Miscellaneous:
a. Wells Avenue South - from South Fifth Street
' to South Fourth Street
b. Alley between Meadow Avenue North and Factory
Avenue North from North Second Street to North
Third Street
' c. Powell Avenue SW - from Langston Road to SW Third
Place 90,000
Sub-total $ 210,000
137
4*6 '} CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: WATER AND SEWER UTILITY FUND
WATER AND SEWER CONSTRUCTION FUND ,
Division: ALL DIVISIONS OF WATER/SEWER UTILITY Account: 401/000/15 and 4217000/15
1985 WATER AND SEWER CONSTRUCTION PROGRAM - Continued ,
WATER SYSTEM PROJECTS/MAJOR '
CP-35 Well #9 Pump House $ 138,000
CP-70 West Hill Booster Pump Station 109,000 ,
CP-91 Installation of 12" D.I. watermain in Grady Way at
Springbrook Creek (in conjunction with Street project). 18,000
CP-51 Installation of 12" D.I. watermain in Grant Avenue South ,
from South Tenth Street to South Seventh Street, and in
South Seventh Street from Grant Avenue South to Renton
Avenue South. 52,000 '
CP-61 Installation of 8" D.I. watermain and transfer of
watermain from WD #58 at the Plat of Ponderosa Estates
near Rolling Hills Reservoir. 38,000
CP-62 Construction of pressure reducing station at South 26th
Street and Benson Road South. 21,000
CP-65 Design of South Talbot Hill Reservoir 70,000
CP-1015 Reconstruction of telemetry system 291,000
CP-122 Installation of 3" conduit and wire from new City Shops
to City Hall 56,000 '
Installation of 12" watermain in Lind Avenue South from
South 16th Street to Grady Way South (in conjunction
with WSDOT bridge widening). 50,000 '
Installation of two PRV stations at South 20th Street
and Shattuck Avenue South. 40,000
Purchase of 2,100 L.F. of installed 8" watermain and
miscellaneous services from W.D. #14 in conjunction with
West Hills Project. 30,000
Miscellaneous pump adjustments and additions 29,000 ,
12" watermain installation of Wells Avenue North from
North Riverside Drive to north side of North First Street.
(Replacement of services and hydrants on North First Street
in conjunction with street overlay project.) 70,000
P-1 Channel - SW Seventh Street 12" watermain relocation
for P-1 Channel excavation. 40,000
CP-120 Purchase of Squire property at Springbrook Springs.
160,000
CP-65 Purchase of Covenant Church property for South Talbot Hill ,
Reservoir. 40,000
CP-85 Purchase of future site of Black River Quarry Reservoir 10,000
CP-75 Installation of 24" transmission main in South Second Street. 30,000
CP-76 West Hill Reservoir 300,000
Sub-total $1,592,000 ,
138
CITY OF RENTON 1985 PRELIMINARY BUDGET
1 Department: PUBLIC WORKS DEPARTMENT Fund: WATER AND SEWER UTILITY FUND
WATER AND SEWER CONSTRUCTION FUND
Division: ALL DIVISIONS OF WATER/SEWER UTILITY I Account: 401/000/15 and 421/000/15
' 1985 WATER AND SEWER CONSTRUCTION PROGRAM - Continued
' SANITARY SEWER SYSTEM PROJECTS/MAJOR
Honey Creek Interceptor Sewer:
New 12" sewer, pump station in Honey Creek from Devil's
Elbow to Sunset Boulevard NE and Union Avenue NE, together
with downstream sewer system revisions. $ 960,000
' CBD SW 24" Trunk Sewer Replacement - Phase II:
Replace 24" South CBD sewer in Shattuck Avenue South
alignment from Tobin Avenue South to South Second
Street through High School. Coordinate with upcoming
' WSDOT overlay of South Second Street (SR-900). 142,000
East Kennydale Interceptor:
New 12" sanitary sewer from NE 27th STreet to Azalea
1 Lane pump station (in conjunction with Aberdeen Avenue
NE Forward Thrust project). 100,000
Duvall Avenue NE Sewer Extension (or North First Street
' Sewer Replacement CBD-N):
Extend 8" sewers to eliminate Eastwood Park pump station
(eliminate inadequate pump station by gravity flow to
the south). 110,000
Renton Avenue Sewer Extension:
Rebuild existing Tobin Avenue and Victoria Place sewer
and Rainier Avenue South crossing (in conjunction with
WSDOT Rainier Avenue South overlay). 50,000
' Sewer Replacement - Shattuck Avenue South Interceptor -
Phase I CBD-SE:
Replace existing 811, 10", and 12" sewers in Shattuck
Avenue South from South Fourth Street to South Seventh
Street. 40,000
Sub-total $1,402,000
TOTAL CONSTRUCTION PROGRAMS . . . . . . $3,458,000
139
8 City of Renton
1985 PRELIIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: WATERWCRKS UTILITY
530 PHYSICAL ENVIRONMENT DIV: WATER UTILITY MAINTENANCE ACCT: 401 000 15 534 50 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION -- ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 534 50 00 CC WATER UTILITY MAINTENANCE
10 00 SALARIES 6 WAGES 381,379.16 384,887.00 405.388
In 1985, the Water & 10 C2 CVERTIME 30,000.00 30,000
Sewer Utility Fund has
been separated into * SALARIES AND WAGES 381,379.16 414,887.00 435,388
divisions by function;
formerly combined. 20 CO PERSONNEL BENEFITS
1983 and 1984 columns 20 01 RETIREMENT/WPERS 34x657
are estimates of 20 C3 FICA 30.896
expenses, separated 20 C4 PREPAID MEDICAL 36,205
to the extent possible. 20 C6 INDUSTRIAL INSURANCE 10,648
20 07 LIFE INSURANCE 2,076
2C 09 PREPAID CENTAL 9,374
20 10 UNEMPLOYMENT COMPENSATION 10,OOC
* PERSONNEL BENiEFITS 96,495.41 113,244.00 133,856
30 CO SUPPLIES
31 CO OFFICE/CPERAT;:NG SUPPLIES 62,656.94 95,000.00 65,000
35 00 SMALL TOOLS/MINOR ECLIPMENT 3,857.86 5,000.00 4,CCC
+ SUPPLIES 66,514.80 100,000.00 69,000
40 CO OTHER SERVICES 8 CHARGES
41 CO PROFESSIONAL SERVICES
43 00 TRAVEL
43 43 WATER MAINTENANCE TRAVEL 645.49 1,125.00 11000
44 22 ADVERTISING/WATER MAINT 300
45 CC OPERATING LEASES & RENTALS
45 C1 CTHER RENTALS 499.51 10,000.00 11,500
45 C2 EQUIMENT RENTAL 58,839.11 59,964.00 61,676
48 00 REPAIRS 8 MAINTENANCE 60,223.90 50,000.00 85,000
49 CC MISCELLANEOUS
49 12 MEMBERSHIPS 8 REGISTRATIONS 3,590.00 3,000.00 4,000
49 13 JUDGEMENTS 8 DAMAGES 240.00 500
49 16 PUBLICATIONS 263.85 250.00 11500
49 17 LAUNCRY 206.15 200.00 200
49 31 CTHER MISC/MATER MAINT 500
* OTHER SERVICES AND CHARGES 124,508.01 124,539.00 166,176
60 CO CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT 226,166.04 108,000.00 180,000
+ CAPITAL OUTLAYS 226,166.04 108,000.00 180,000
** WATER UTILITY MAINTENANCE 895,063.42 860,670.00 984,420
"UNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: WATERWCPKS UTILITY
53C PHYSICAL ENVIRCNMENT DIV: WATER MAINTENANCE PART TIME ACCT: 401 000 15 534 51 00 CC
ACCOUNT NUMBER 1983 1964 19E5
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENOITURES AS OF 10/24 RECCMMENO.
CCO 15 534 51 00 CO WATER MAINT PART TIME
10 00 SALARIES 8 WAGES 8,370.00 9,000.00 9,000
10 C2 OVERTIME 47.26
* SALARIES AND WAGES 8,417.26 9,000.00 91000
20 CO PERSONNEL BENEFITS
20 C3 FICA 563.95 630.00 635
20 C6 INDUSTRIAL INSURANCE 479.81 520.00 520
* PERSONNEL BENEFITS 1,043.76 1,150.00 1,155
** WATER MAINTENANCE PART TIME 9,461.02 10,150.00 10,155
** WATER UTILITY MAINTENANCE 904,524.44 870,820.00 094,575
140
:RCity of Renton
1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: PUBLIC WCRKS DEPARTMENT FUND: WATERWCRKS UTILITY
530 PHYSICAL ENVIRONMENT DIV: SANITARY SEWER UTILITY MAINT. ACCT: 401 000 15 535 50 00 00
' ACCOUNT NUMBER 1983 1904 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR-S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 535 50 00 CO SANITARY SERVER UTILITY MAINT
10 00 SALARIES 9 MAGES 160,950.17 199,393.00 224.942
10 C2 OVERTIME 5,000.00 51000
* SALARIES AND MAGES 160,950.17 204,393.00 229.942
' 20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 18.322
20 C3 FICA 16.318
20 C4 PREPAID MEDICAL 18xO13
20 G6 INDUSTRIAL INSURANCE 4.693
20 C7 LIFE INSURANCE 1/135
' 20 C9 PREPAID DENTAL 5.137
* PERSONNEL BENEFITS 38,598.16 54,399.00 63.618
30 GO SUPPLIES
' 31 00 OFFICE/OPERATING SUPPLIES 13,915.64 25,000.00 30.000
35 CO SMALL TOCLS/MINOR ECUIPMENT 2,783.13 5,000.00 6.000
* SUPPLIES 16,698.77 30,000.00 36.000
' 40 CG OTHER SERVICES Y CHARGES
41 CO PROFESSIONAL SERVICES
43 CO TRAVEL
43 49 SANITARY SEWER TRAVEL 500
44 23 ADVERTISING/SANITARY SEWER 100
' 45 00 OPERATING LEASES Z RENTALS
45 Cl OTHER RENTALS 2.000
45 G2 EQUIPMENT RENTAL 27,416.00 20,244.00 47.328
48 GC REPAIRS 8 MAINTENANCE 7,084.93 10,000.00 10.000
49 00 MISCELLAKEOUS
49 12 MEMBERSOIPS REGISTRATIONS 1,102.00 900.00 1.500
1 49 13 JUDGEMENTS 8 Oa MAGES
49 16 PUBLICATIONS 300
49 17 LAUNDRY 2,000.00 1,800.00 2.000
* OTHER SERVICES AND CHARGES 37,602.93 32,944.00 63.728
I 50 CO INTERGOVERNMENTAL SERVICES
52 G4 REIMS STREET/SEWER COSTS 11,267.41 11,730.00 12,316
* INTERGOVERNMENTAL SERVICES 11,267.41 11,730.00 12.316
60 CO CAPITAL CUTLAY
64 GO MACHINERY 8 EQUIPMENT
* CAPITAL OUTLAYS
** SANITARY SEWER UTILITY MAINT. 265,117.44 333,466.00 405.604
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: WATERWORKS UTILITY
530 PHYSICAL ENVIRONMENT DIV: SEWER MAINTENANCE PART TIME ACCT: 401 000 15 535 51 CG CC
ACCOUNT NUMBER 1983 1984 1905
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
1 000 15 535 51 00 00 SEWER MAINT PART TIME
10 CQ SALARIES S WAGES 4,581.00 4,500.00 5.000
10 C2 OVERTIME
' * SALARIES AND WAGES 4,581.00 4,500.00 5,000
20 CO PERSONNEL BENEFITS
20 C3 FICA 306.92 315.00 353
20 C6 INDUSTRIAL INSURANCE 262.76 260.00 260
* PERSONNEL BENEFITS 569.68 575.00 613
*• SEWER MAINTENANCE PART TIME 5,150.68 5,075.00 5,613
** SANITARY SEWER UTILITY MAINT. 270,268.12 338,541.00 411,217
' 141
a + City of Renton I
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WCRKS DEPARTMENT FUND: WATERWORKS UTILITY '
530 PHYSICAL ENVIRONMENT DIV: WATER/SEWER UTILITY ENGINEERING ACCT: 401 000 15 538 10 00 00
ACCOUNT NLMBER 1983 1984 1985 ,
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 538 10 00 00 WATER/SEWER UTILITY ENGINEERING
10 00 SALARIES i ~AGES 113,634.18 162,753.00 162.453 '
10 C2 CVERTIME 2.000
* SALARIES AND WAGES 113,634.18 162,753.00 164.453
20 CO PERSONNEL BENEFITS ,
20 Cl RETIREMENT/WPERS 13.113
20 03 FICA 11.612
20 C4 PREPAID MEDICAL 14.617
20 06 INDUSTRIAL INSURANCE 925
2C C7 LIFE INSURANCE 819
20 09 PREPAID DENTAL 31938 ,
20 15 KING CO MED RETRO PAYMENT
* PERSONNEL BENEFITS 22,415.94 48,662.00 45.C24
30 00 SUPPLIES
31 CO OFFICE/OPERATING SUPPLIES 2,936.37 4,000.00 4.000
35 CO SMALL TOOL /MINOR EQUIPMENT 1,456.42 2.000
* SUPPLIES 4,392.79 4,000.00 6.000
40 CO OTHER SERVICES 8 CHARGES ,
41 00 PROFESSIONAL SERVICES 10,954.95 10,000.00 15.000
41 18 WATER & SEWER STUDIES 73,869.99 70000
41 56 ANNUAL UTILITY ALDIT 2,943.65 3,000.00 3.400
42 CO COMMUNICATION '
42 C2 TELEPHONE 13,176.35 15,200.00 17.000
43 CO TRAVEL
43 48 w/S UTILITY ENGR TRAVEL 212.10 375.00 1.000
44 14 ADVERTISING/UTILITY ENGINEERING 100.00
45 CO OPERATING RENTALS 8 LEASES
45 01 OTHER RENTALS 20C ,
45 02 EQUIPMENT RENTAL 4,200.00 4,020.00 3.780
46 CO INSURANCE 21,923.49 19,682.00 19.682
47 CO PUBLIC UTILITY SERVICE
47 01 ELECTRICTY 161,770.55 160,060.00 200.000
47 03 GAS 502.94
47 C4 PURCHASED WATER 27,693.22 54,000.00 50.000
48 CO REPAIRS & MAINTENANCE
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS B REGISTRATIONS 2,690.93 2,100.00 3.000
49 14 LEGAL. RECORDING FEES 3 PERMIT 1,826.17 1,500.00 1500 '
49 15 IN LIEU OF TAX/CURRENT 367,036.00 259,680.00 236p70C
49 16 PUBLICATIONS 52.00 50.00 300
49 18 METRO 1,222,630.26 1,473,600.00 1.638650
49 19 TAX COMMISSION 78,171.11 75,500.00 85.000
* OTHER SERVICES AND CHARGES 1,989,653.71 2,078,867.00 2i345r212
50 CO INTERGOVERNMENTAL SERVICES
52 CC INTERFUNG SERVICES (} year)
52 13 UTIL SHOP/OPR/MTC/RENT 45,500.00 98.40C
* INTERGOVERNMENTAL SERVICES 45,500.00 98.40C
60 CO CAPITAL OUTLAY
61 00 LAND 7,958.02
61 13 LAND/STCRM OR/P-1 CHANNEL 13,000.00 ,
63 00 IMPROVEMENTS OTHER THAN BLDGS
63 37 EAA LOAN PAYMENT 10,500.00 See Fund 421
64 CO MACHINERY i EQUIPMENT
65 CO CONSTRUCTION PROJECTS Water/Sewer
65 15 WATER SYSTEM IMPRVMTS/MAJOR 159,355.85 247,000.00 Construction ,
65 19 SANITARY SEWER IMPRVMTS/MAJOR 229,049.56 43,000.00
65 27 WATER SYSTEM REHAB/REI PROJ 327,000.00
65 30 STORM SEWER STUDY 100,000.00
65 34 LID321 SANITARY SEWER PAYMENT 11,574.60
65 28 SANITARY SEWER REHAB/REI PROJ 69,800.62 113,000.00 ,
* CAPITAL OUTLAYS 488,238.65 843,000.00
90 CO EXPENDITURE CREDITS
90 14 WATER/SEWER UTIL PROJECT REIMB 60,528.00- 211,321-
EXPENDITURE CREDITS 60,528.00- 211.321- ,
*+ WATER/SEWER UTILITY ENGR 2,618,335.27 3,122,254.00 2.4470768
142 ,
City of Renton
1985 PkELININART BUDGET
FUNCTION: DEPT: FINANCE CEPARTMENT FUND: WATERWORKS UTILITY
530 PHYSICAL ENVIRONMENT DIV: UTILITY BILLING ACCT: 401 DOC Or 538 11 00 CO
i ACCOUNT NUMBER 1983 1984 1985
' ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
UTILITY BILLING
OCO C4 538 11 10 CO SALARIES 8 WAGES 134,370.50 155,196.00 146.194
10 C2 OVERTIME
1 * SALARIES AND WAGES 134,370.50 155,196.00 146,194
20 00 PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 11,680.00 11,647
20 C3 FICA 10,916.00 10,369
' 20 C4 PREPAID MEDICAL 14,938.00 13,045
20 C6 INDUSTRIAL INSURANCE 1,686.00 1,694
20 C7 LIFE INSURANCE 752.00 746
20 C9 PREPAID DENTAL 4,062.00 3,529
' * PERSONNEL BENEFITS 38,699.13 44,034.00 41,030
3C CO SUPPLIES
31 DO OFFICE/OPERATING SUPPLIES 2,780.65 5,000.00 3,50C
35 CO SMALL TOCLS 8 MINOR EQUIPMENT 204.90 600.00 1,060
* SUPPLIES 2,985.55 5,600.00 4,560
40 OC OTHER SERVICES 8 CHARGES
42 CO COMMUNICATION
' 42 Cl POSTAGE 10,243.70 18,000.00 1E,OOC
43 00 TRAVEL
43 16 UTILITY BILLING TRAVEL 62.80 50.00 100
45 00 OPERATING RENTALS 8 LEASES
45 C2 EQUIPMENT RENTAL 39120.00 3,000.00 6,000
48 CO REPAIRS B MAINTENANCE 1,925.27 2,250.00 2,100
' 49 CO MISCELLANEOUS
49 12 MEMBERSHIPS B REGISTRATIONS 243.00 200
* OTHER SERVICES AND CHARGES 15,351.77 23,543.00 26,400
60 00 CAPITAL OUTLAY
64 CO MACHINERY 8 EQUIPMENT 20,000
* CAPITAL OUTLAYS 2C,OOC
90 CO EXDGNDITLRE CREDITS
90 17 REIMB FR GARBAGE UTIL/UTL BILL 33,695-
EXPENDITURE CRECITS 3!,895-
UTILITY BILLING 191,406.95 228,373.00 204,289
' 143
City of Renton
1965 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: WATERWORKS UTILITY '
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-CUT ACCT: 401 000 15 597 CO 00 20
ACCOUNT NLMBER 1983 1984 1965
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S ,
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 15 597 00 00 CO LID 322/SEW; IMPRV/CPR TRF-OUT
50 00 INTERGOVERNMENTAL SERVICES 14,864.20
•• OPERATING TRANSFERS-CUT 14,864.20 '
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: WATERWORKS UTILITY ,
510 GENERAL GOVERNMENTAL SERVICES CIV: DEBT SV/W 8 S REV BONDS ACCT: 401 190 15 519 CO 00 00
ACCOUNT NUMBER 1983 1984 1965 '
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMAkY EXPENDITURES AS OF 10/24 RECOMMEND.
190 15 519 00 00 CO DEBT SV/W B S REV BONDS
00 00 CO LONG TERM DEBT SERVICE
61 00 00 PRINCIPAL 169,318.22 248.000.00 240.000 ,
62 00 CO INTEkEST 275,375.51 451,000.00 540.000
o3 00 CO RESERVE 20,440.00 71,000.00 126,040
** DEBT SV/W 6 S REV BONDS 465,133.73 770.000.00 906.040
SUB-TOTAL ENDING BALANCE 248,807.31 164,012.00 167,111
SUB-TOTAL EXPENDITURES 4,449,668.51 5.329,968.00 4,963,889
SUBTOTAL NON-EXPENDITURES
SUBTOTAL OTHER FINANCING USES 14,864.20
+* WATERWORKS UTILITY 4,713,340.02 5,494,000.00 5,131,000
i
144 ,
11RCity of Renton
1935 PRELIMINARY BUDGET
iFUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: WATER 3 SEWER CONSTRUCTION
500 CLASSIFIED PROPRIETARY SERVICE DIV: WATER/SEWER COMBINED ACCT: 421 000 15 501 37 00 00
ACCOUNT NUMBER 1933 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM YAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCC 15 501 37 00 CO 1983 WATER/SEWER CONSTR
40 00 OTHER SERVICES Z CHARGES
41 42 DEBT ISSUANCE COST/84 REV BO 44,OOC.00
41 87 DEBT ISSUANCE COST/85 REV BO 26.000
41 97 DEBT ISSUE COST/83 kEVBD 51.600.23
* OTHER SERVICES AND CHARGES 511600.23 44,COO.CO 26.000
60 CO CAPITAL OUTLAY
61 CO LAND 71.761.00
65 CO CONSTRUCTION PROJECTS
65 15 WATER SYSTEM IMPRVMTS/MAJOR 82,025.42 716.063.00 1,592.000
' 65 19 SANITARY SEWER IMPRVMTS/MAJOR 9,711.00 1.125.289.00 1.402.DOC
65 27 WATER SYSTEM REHAB/REI PROD 254.000
65 28 SANITARY SEWER REHAB/REI PROD 210.000
65 36 WEST MILL PROJECT 172.283.08 1.036.000.00
' * CAPITAL OUTLAYS 264.019.50 2.949.113.00 3.45b.000
SUB—TOTAL ENDING BALANCE 1.257.113.73 67.000.00 374,000
SUB—TOTAL EXPENDITURES 315,619.73 2,993,113.00 3,484,000
SUBTOTAL NON—EXPENDITURES
' SUB—TOTAL OTHER FINANCING USES
** WATER 3 SEWER CONSTRUCTION 1.572,733.46 3.060,113.00 3.858,000
'
FUNCTION: DEPT: PU6LIC WORKS DEPARTMENT F ND. 1975 w a s CONSTRUCTION
500 CLASSIFIED PROPRIETARY SERVICE DIV: WATER/SEWER COMBINED ACCT: 415 000 15 501 37 CO OC
i ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
CCO 15 5C1 37 00 00 1975 WATER/SEWER CONSTR
60 OJ CAPITAL OUTLAY
65 CC CONSTRUCTION PROJECTS
65 Cl CHLORINATION SYS UPGRADE
65 C2 SPRING8900K REHAB/EXPANS
65 C3 TALBOT RESERVOIR
65 04 TIE WELL 8/MT CLIVET TNK
65 C5 NEW WATER SEWER SHOP FAC
65 06 TELEMETERING UPGRADE 35,582.16
65 07 SEWER INSPECT TV EO 6 VAN
65 C9 16" SW 43RD/TALBOT RES
65 10 24" RCL HILLS/TALBOT RES
65 11 24" WELLS 182/2NO—BLRNETT
65 12 16" KENNYOALE SCM/N 40TH
65 13 TALBOT HILL WTR SYS IMPR
65 14 24" 2ND 8 BURNETT/RCL HLS
65 15 24" TALBCT RES/E VALLEY
65 16 24" E VALLEY TO LINO SW
65 17 STEEL MAIN REPLACEMENT
65 18 wEST MILL RESERVR 8 STUDY
65 19 SANITARY SEWER REHAB
65 20 wTR SYS IMPRVMTS/HOSP
65 21 HEATHER DOWNS SEWER
65 22 JONES AV SAN SWRS LID 284
SUBTOTAL ENDING BALANCE
SUB—TOTAL EXPENDITURES 35,582.16
SUB—TOTAL NON—EXPENCITURES
SUBTOTAL OTHER FINANCING USES
** 1975 W B S CONSTRUCTION 35,582.16
145
R CITY OF RENTON 1985 PRELIMINARY BUDGET
III
Department: (PUBLIC WORKS DEPARTMENT Fund: SOLID WASTE UTILITY FUND III
Division: SOLID WASTE Account: 403/000/15
SOLID WASTE UTILITY: New fund to account for garbage collection services in the City, formerly included III
in the Current Fund. Resources are from garbage collection fees and expenditures include payments to the
garbage contractor, tax commission, 5% tax paid to the Current Fund, and reimbursement to other funds
for services provided.
dl{
EXPENDITURE SUMMARY I
1983 Actual 1984 Adjusted 1985 Mayor's II
Expenditure Description Expenditures Budget Recommendation
SOLID WASTE UTILITY:
OTHER SERVICES & CHARGES $1,622,569.23 $1,596,900.00 $1,921,03:3 �I
INTERFUND SERVICES --- --- 41,867 II
III
TOTAL_ PROGRAM - SOLID WASTE UTILITY $1,622,569.23 $1,596,900.00 $1,962,900 II�
POSITION SUMMARY 1 985 BUDGET SUMMARY
Full Time Positions: Number of Positions I
Grade Position Title 1983 1984 1985
1984 BUDGET AS ADOPTED '$ 1,597_ II�
Adjustments to 1984 Budget 133_
*Adjustment to be made in 1984.
NO BUDGETED POSITIONS Ilf
EQUALS 1984 ADJUSTED BUDGET $ 1,73(1
Add Increased Cost to
Maintain Same Service Level 233_
Percentage Increase Over 1984 13.—F% �I
Add 1985 New Programs/Changes ---
(See L.i,a.t on boP..Cow.i.ng page/pagee) �I
Sub-Total All 1985 Increases :$ 233__
EQUALS TOTAL 1985 MAYOR'S III
RECOMMENDED BUDGET $ 1,963
PERCENTAGE INCREASE OVER 1984 13.50
i
I
146 SIE
li
t, R City of Renton
'a 1985 PRELIMINARY BUDGET
' FUNCTION: DEPT: PU6LIC WORKS DEPARTMENT FUND: SOLID WASTE UTILITY
530 PHYSICAL ENVIRONMENT DIV: GARBAGE/SOLID WASTE ACCT: 403 000 15 537 00 00 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 15 537 00 00 00 GARBAGE/SOLID WASTE UTILITY
' 60 00 CO GARBAGE CPERATIOkS/CCNTRACTE0
Included in Current 40 CO OTHER SERVICES 8 CHARGES
Fund in 1983 and 1984. 41 52 PAYMENT TO GARBAGE CONTRACTOR 1,614,377.89 1,592,000.00 1,821.000
Proposed separate fund 49 19 TAX COMPISSION 5,251.34 4,900.00 2,100
in 1985. 49 73 5% TAX TO CLPR/GARB UTILITY 97,933
41 81 SOLID WASTE MGT PLAN REVIEW 2,940.00
* OTHER SERVICES AND CHARGES 1,622,569.23 1,596,900.00 1,921,033
50 CC INTERGCVERNMEkTAL SERVICES
52 CO INTERFUND SERVICES
52 16 GARB UTIL REIMS CURR/DATA PROC 6190C
52 17 GARB UTIL REIMB CURR/P/W ADMN 952
52 18 GARB UTIL REIMS/CURR/PRINTINT 120
52 19 GARB UTIL REIMB W/S/UTIL BILL 33,895
* INTERGOVERNMENTAL SERVICES 41,867
SUBTOTAL ENDING BALANCE
SUBTOTAL EXPENDITURES 1,622,569.23 1,596,900.00 1,962,900
SU6-70TAL NCN-EXPENOITURES
SUB-TCTAL OTHER FINANCING USES
•* GARBAGE/SOLID WASTE UTILITY 1,622,569.23 1,596,900.00 1,962,900
1 �
147
M .
R CITY OF RENTON 1985 PRELIMINARY BUD1GE1
Department: PUBLIC WORKS DEPARTMENT Fund: AIRPORT FUND
Division: RENTON MUNICIPAL AIRPORT Account: 402/000/15
AIRPORT FUND: Provides administration, improvement„ operation and maintenance for the Renton Municipal
Airport. Functions include negotiating leases, establishing and enforcing rules and regulations for operation and
management of the Airport, and planning for current and future needs. The ultimate goal is to implement those
improvements which will best serve general aviation and to maintain the facility as an attractive and valuable
asset to the community. Sources of support are leases, rentals, fuel charges, investment interest and outside
grant funding as available. Airport improvement programs continue with the Master Plan serving as a foundation.
EXPENDITURE SUMMARY
1983 Actual 1984 Adjusted 1985 Mayor's
Expenditure Description Expenditures Budget Recommendation
PUBLIC WORKS/AIRPORT FUND:
FULL TIME SALARIES $ 43,872.84 $ 45,021.00 $ 45,94:1
PART TIME SALARIES 23,725.00 25,808.00 24,759
OVERTIME
SUB-TOTAL SALARIES & WAGES $ 67,597.84 $ 70,829.00 $ 70,708
PERSONNEL BENEFITS 16,946.51 19,537.00 17,891
SUPPLIES 4,666.81 10,000.00 9,500
OTHER SERVICES & CHARGES 52,423.85 62,756.00 61,305
INTERGOVERNMENTAL SERVICES 47,675.85 54,470.00 43,510
CAPITAL OUTLAY 189,645.08 438,079.00 455,500
DEBT SERVICE 52,905.02 52,880.00 51,065 Ili
TOTAL EXPENDITURES 431,860.96 $708,551.00 709,4P5
OPERATING TRANSFERS-OUT --- --- 50,000
ENDING FUND BALANCE 574,581.08 222,449.00 363,515
TOTAL PROGRAM - AIRPORT FUND $1,006,442.04 $931,000.00 $1,123,000
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's) 1�
Grade Position Title 1983 1984 1985
1984 BUDGET AS ADOPTED $__ 638
15 Public Works Coordinator .25 .25 .33 (EXPENDITURES)
(1983/1984 - 751 Public Wks. Adm.) Adjustments to 1984 Budget _ 71
(1985 •- 67% Public Wks. Adm.) Res. 2545/transferred from Ending Fund
6 Airport Maintenance Worker 1.00 1.00 1.00
Balance to operating accounts. '
5 Administrative Secretary .50 .50 .50 EQUALS 1984 ADJUSTED BUDGET $_ 709
(50% Public Works Adm.)
TOTAL FULL TIME POSITIONS 1.75 1.75 1.83 Add Increased Cost to ,
Maintain Same Service Level --- _
PART TIME/FULL TIME EQUIVALENTS 1.13 1.21 1.07 Percentage Increase Over 1984 -- %
(Part Time Airport Director --
and temporary help)
Add 1985 New Programs/Changes --- __
(See L.i.6t on 6otCow,ing page/page6)
Sub-Total All 1985 Increases :$ ---
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET .$ 709
PERCENTAGE INCREASE OVER 1984 %
Note: Estimated actual expenditures
in 1984 - $318.
148 ��
' R CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: PUBLIC WORKS DEPARTMENT Fund: AIRPORT FUND
Division: RENTON MUNICIPAL AIRPORT Account: 402/000/15
1985 NEW PROGRAMS/CHANGES
' PUBLIC WORKS/AIRPORT FUND:
INFORMATION ONLY:
1) Increase Public Works Coordinator's Time Spent on Airport Activities - $3,842+
Increase time spent on Airport functions from 25% to 33% in 1985,
resulting in $3,842 increase to the Airport Fund. The position's
salary and benefits are split between Public Works Administrative
functions and Airport activities to reflect proper accounting of
' both functions. 1983/1984 - 75% Public Works Administration and
25% Airport. 1985 proposed - 67% Public Works Administration and
33% Airport.
2) Reimbursements to Other Funds Decreased - $10,960-
Air Park maintenance to be accomplished by Airport staff therefore
reimbursement to the Park Fund ($5,000) eliminated.
Reimbursement to Current Fund for services decreased $5,960.
' Engineering fees reimbursement will be on an actual basis from projects.
$5;000 included to reimburse for miscellaneous engineering fees.
3) 1985 Airport Capital Outlay:
Small Metal Building - to house mowers and other equipment . . . . . . . . . . . . . . . $ 2,000
Watermain Crossing - East to West, Under Runway - Rebudget 1985 . . . . . . . . . . 150,000
SE Perimeter Road Improvements - overlay, drainage, watermain - Rebudget 66,000
Cedar River West Bank Dike - Rebudget . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2,500
Airport Master Plan - Update of 1978 plan - Rebudget 1985 . . . . . . . . . . . . . . . . 10,000
Black River Box Culvert - Cleaning, structural repairs, new oil
separator structure (replace oil separator covered by restaurant),
remove silt and debris from box - New Project . . . . . . . . .. . . . . . . . . . . . . . . . . . 75,000
' Airport Construction Reserve . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . 150,000
TOTAL 1985 CAPITAL OUTLAY REQUEST . . . . $455,500
4) Operating Transfer-Out to Water and Sewer Construction Fund - $50,000
Airport participation in Renton Avenue Sanitary Sewer Extension project.
i
1
1
149
tI R City of Renton
i
'Y 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: AIRPORT i
500 CLASSIFIED PROPRIETARY SERVICE DIV: RENTON MUNICIPAL AIRPORT ACCT: 402 000 15 501 41 OC 00
ACCOUNT NUMBER 1983 1984 1985 i
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 501 41 00 00 RENTON MUNICIPAL AIRPORT
10 00 SALARIES AND WAGES 56.374.84 57,829.00 57,708 '
10 C2 OVERTIME
* SALARIES AND WAGES 56.374.84 57.829.00 57,708
20 CO PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 3,130.09 3,387.00 3.658 i
20 C3 FICA 3,715.86 4450.00 4,088
20 C4 PREPAID MEDICAL 6,328.31 71145.00 5,093
20 06 INDUSTRIAL INSURANCE 529.61 643.00 658
20 C7 LIFE INSURANCE 211.44 228.00 231 '
20 C9 PREPAID DENTAL 1.678.51 1,807.00 1,777
20 10 UNEMPLOYMT COMPENSATION 1.000
20 15 KING CO MEO 1982 RETRO PAYMT 311.10 892.00
* PERSONNEL BENEFITS 15,904.92 18,152.00 16,505
30 CO SUPPLIES '
31 CO OFFICE/CPERATING SUPPLIES 4.666.81 9,500.00 9,000
35 CO SMALL TCOLS/MINOR EQUIPMENT 500.00 500
* SUPPLIES 4.666.81 10,000.00 9,500 ,
40 00 OTHER SERVICES & CHARGES
41 CO PROFESSIONAL SERVICES
41 C3 APPRAISAL FEES 2,500.00
41 22 ANNUAL AIRPORT AUDIT 2,900.16 3,000.00 3,000
41 43 CONSULTANT/SPEC FEES 2,598.20 5,000.00 4,00C
42 CO COMMUNICATICN
42 01 POSTAGE 46.36 50.00 30
42 02 TELEPHONE 249.79 250.00 250
43 00 TRAVEL
43 44 AIRPORT TRAVEL 804.00
45 00 CPERATING RENTALS & LEASES
45 01 OTHER RENTALS 216.22 500.00 500
45 C2 EQUIPMENT RENTAL 8,266.50 6,660.00 6,180
46 CO INSURANCE 7,437.00 7,437.00 5,8OC '
47 CO PUBLIC UTILITY SERVICE
47 01 ELECTRICITY 10,437.79 181400.00 18,400
47 02 MATER, SEWER & METRO 2,211.53 3,000.00 30000
48 GO REPAIRS 3 MAINTENANCE 18,003.07 15,000.00 20,000
49 00 MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 35.00 35 '
49 14 LEGAL & RECORDING FEES 50.00 50
49 16 PUBLICATIONS 10.00
49 19 TAX COMMISSION 57.23 60.00 60
* OTHER SERVICES AND CHARGES 52,423.85 62,756.00 61,305
50 CO INTERGOVERNMENTAL SERVICES
52 00 INTERFUND SERVICES
52 C5 REIMB CURRENT/SERV/OFF SPC 43,270.00 43,270.00 28,810
52 06 REIMB PARK/MTC AIR PARK 41273.17 5,000.00 '
52 C7 REIMB STREET/AIRPT MAINT 132.68 60000.00 6,000
52 10 REIMB WATER UTIL 200.00 200
52 14 AIRPORT SHOP/OPR/MTC/RENT 3,500
52 15 REIMB CURB/MISC ENGR FEES/AIRP 5,000
* INTERGOVERNMENTAL SERVICES 47,675.85 54,47C.00 43,510
150 '
fR City of Renton
' 1985 PRELININARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: AIRPORT
500 CLASSIFIED PROPRIETARY SERVICE DIV: RENTON MUNICIPAL AIRPORT ACCT: 402 000 15 501 41 00 00
' ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 501 41 60 00 CAPITAL OUTLAY
62 07 AIRPORT STORAGE BLDG 21000
63 00 IMPRVMTS OTHER THAN BLDGS
63 C4 EXTEN/HIGH PRESR WTR MAIN
63 19 WATER MAIN-SE CORNER/AIRPORT 69.579.00
63 25 BLACK RIVER 8CX CULVERT 75P000
' 63 35 FENCING - EAST SIDE
63 42 STRIPING/LEASE LINES
63 43 ADAP PROJECT/FENCING 142.443.01
63 45 SIDEWALK REPL/RAINIER AVE
63 46 AIRPORT CONST RESERVE 100.000.00 150.000
63 47 RAINIER AVE MATER SYSTEM 161.04
63 48 FRONT GATE/AERO CYNE
63 49 THRESHOLD MARKINGS
63 50 TAXI GUIDANCE SIGNS 2.610.00
63 51 DREDGE SEAPLANE RAMP 850.00
63 52 AIRPORT WATER SYSTEM 43.214.35
63 58 WTRMAIN CROSS/E TO W/UDR RNWY 150.000.00 150.000
63 59 WEST PERIMETER RD IMPRVMTS 55.000.00
63 60 SE PERIMETER RD IMPRVMTS 50.000.00 66.000
63 61 CEDAR RIVER WEST BANK DIKE 2P500.00 21500
63 62 AIRPORT MASTER PLAN UPDATE 1CP000.00 10.000
64 00 MACHINERY 8 EQUIPMENT 366.68 1.000.00
* CAPITAL OUTLAYS 189P645.08 438.079.00 455.500
•* RENTON MUNICIPAL AIRPORT 366.691.35 641.266.00 644.028
' FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: AIRPORT
500 CLASSIFIED PROPRIETARY SERVICE DIV: PUB WKS/AIRPORT PART TIME ACCT: 402 000 15 501 49 00 00
' ACCOUNT NLMSER 1983 1984 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
' 000 15 501 49 00 00 AIRPORT PART TIME HELP
10 00 SALARIES AND WAGES 11.223.00 13.000.00 13.000
10 C2 OVERTIME
* SALARIES AND WAGES 11P223.00 13.000.00 13.000
' 20 CO PERSONNEL BENEFITS
20 C3 FICA 703.7C 910.00 917
20 C6 INDUSTRIAL INSURANCE 337.89 475.00 475
* PERSONNEL BENEFITS 1.041.59 1.385.00 11392
' +* PUB WKS/AIRPORT PART TIME 12.264.59 14.385.00 14.392
•* CLASSIFIED PROPRIETARY SERVICE 378.955.94 655.671.00 658.420
' 151
"O R City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FLNO: AIRPORT
590 OTHER FINANCING USES CIV: OPERATING TRANSFERS-CUT ACCT: 402 000 15 597 CO OC 00
ACCOUNT NUMBER 1983 1964 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS CF 10/24 RECOMMENC.
5"00 15 597 00 CO CO AIRPORT CPR TRANSFERS-OUT
50 CO INTERGOVERNMZNTAL SERVICES 50,000
•• OPERATING TRANSFERS-CUT 50,000
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: AIRPORT 'I
510 GENERAL GOVERNMENTAL SERVICES DIV: DEBT SV/AIRPORT REV BONDS ACCT: 402 191 15 519 00 OO CC
ACCOUNT NUMBER 1983 1984 1985 �I
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.,
191 15 519 00 00 CO DEBT SV/AIRPORT REV BONDS
60 00 00 LONG TERM DEBT SERVICE
61 00 GO PRINCIPAL 281750.02 301000.00 30,000
62 00 CO INTEREST 24,155.00 221830.00 21,065
63 00 CO RESERVE
•* DEBT SV/AIRPORT REV BONDS 52,9C5.02 52,880.00 51,C65
SUBTOTAL ENCING BALANCE 574,581.08 2221449.00 363,515
SUBTOTAL EXPENDITURES 4311860.96 7081551.00 709,485
SUB-TOTAL NON-EXPENDITURES
SUBTOTAL OTHER FINANCING USES 50,000
•* AIRPORT 1,0061442.04 931/OCO.00 1,123,000
152
} CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: PUBLIC WORKS DEPARTMENT Fund: EQUIPMENT RENTAL FUND
Division: EQUIPMENT RENTAL Account: 501/000/15.501, 519, 597
EQUIPMENT RENTAL FUND: Revolving fund maintained through rates assessed against the departments renting
' the equipment. Rental rates include the cost of maintenance, operation and replacement of the equipment.
Financing is done on a debt issuance or lease-purchase basis wherein, debt is issued to finance the purchase of
equipment and the cost of retiring such debt is passed on as part of the equipment rental rate, concurrent
with the useful life of the equipment. The Equipment Rental Fund fully funds replacement of equipment; no user
tdepartment contributions are required. The City's ability to borrow at tax exempt rates is utilized, and fund
balances are available to earn interest and offset operating expense in the fund.
EXPENDITURE SUMMARY
' Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
PUBLIC WORKS/EQUIPMENT RENTAL FUND:
FULL TIME SALARIES $ 95,789.00 $ 96,398.00 $ 99,004
PART TIME SALARIES 1,260.00 2,000.00 2,000
OVERTIME --- --- ---
SUB-TOTAL SALARIES & WAGES $ 97,049.00 $ 98,398.00 101,004
PERSONNEL BENEFITS 28,412.85 31,773.00 30,912
SUPPLIES 211,524.47 285,800.00 315,000
OTHER SERVICES & CHARGES 53,436.55 48,016.00 61,792
INTERGOVERNMENTAL SERVICES 21,220.00 25,464.00 26,738
CAPITAL OUTLAY 26,662.30 128,945.00 378,500
DEBT ISSUANCE COSTS --- --- 4,712
' TOTAL EXPENDITURES $ 438,305.17 $ 618,396.00 $ 918,658
OPERATING TRANSFERS .- OUT 42,213.00 93,640
ENDING FUND BALANCE 760,892.48 732,091.00 819,702
TOTAL PROGRAM - EQUIPMENT RENTAL FUND $1,199,197.65 $1,392,700.00 $1,832,000
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
1984 BUDGET AS ADOPTED $ 618
9 Foreman 1 1 1 (EXPENDITURES)
6 Automotive Mechanic 2 2 2 Adjustments to 1984 Budget
3 Garage Service Attendant 1 1 1
' TOTAL FULL TIME POSITIONS 4 4 4 618 (1
EQUALS 1984 ADJUSTED BUDGET $
PART TIME/FULL TIME EQUIVALENTS .05 .08 .08
(Temporary Help)
Add Increased Cost to
Maintain Same Service Level 12
' Percentage Increase Over 1984 1.9 %
Add 1985 New Programs/Changes 289
(See Litt on 6o.CYou4ng page/pagea)
Sub-Total All 1985 Increases $ 301
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 919
PERCENTAGE INCREASE OVER 1984 48.7 %
1)Based on estimated actual 1984 expenses - $651,
increase over 1984 would be $268 and
increase over 1984 would bp 41.2%
' 153
ff '} CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS DEPARTMENT Fund: EQUIPMENT RENTAL FUND ,
Division: EQUIPMENT RENTAL Account: 501/000/15.501, 519, 597
1985 NEW PROGRAMS/CHANGES
PUBLIC WORKS/EQUIPMENT RENTAL FUND:
1) Operating Supplies Increase . . . . . . . . . . . . . . . . . . . . .. . . . .. . . . . . . . . . . . . . . . . . . . . . $ 29,200 ,
Increase based on analysis of actual need in1985.
2) Other Rentals Increase . . . .. . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 7,000
Special equipment needed on a temporary basis. '
3) Repairs & Maintenance Increase . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 3,600
4) Equipment Replacements and Additions - Increase over 1984 . . . . . . . . . . . . . . . . . . 249,555
See List Below. '
TOTAL NEW PROGRAMS/CHANGES - PUBLIC WORKS/EQUIPMENT RENTAL FUND . . . . .. . . . . . . . . . . $289,355
Note: Operating Transfers-Out - $93,640 is to be transferred to the General '
Government Miscellaneous Debt Service Fund, for principal and interest
payment on equipment financing.
1985 EQUIPMENT REPLACEMENTS AND ADDITIONS ,
DEPARTMENT EQUIPMENT # MAKE, MODEL, AND YEAR COST TOTAL
Street Department D-34 1972 Ford F600 3-yard dump truck $37,000 ,
E-31 1964 4-ton Fergeson roller 29,000
E-59 Arm and blade attachment for mower 10,000
S-37 1961 Jaeger air compressor 14,000 $ 90,000 ,
Executive A-168 1979 Dodge Aspen 4-door $10,000 10,000
Water Department C-82 1978 Dodge Club Cab $10,000 '
One new pickup 10,000
S-77 1973 Ingersol Rand air compressor 14,000 34,000
Sanitary Sewer C-83 1978 Dodge 3/4-ton pickup $11,000
E-51 1970 International sewer jet machine 70,000 81,000
Traffic Engineering A-131 1974 Dodge Dart 4-door $10,000 10,000 ,
Finance Department A-146 1975 Dodge Coronet 4-door $10,000 10,000 '
Police Department M-28 1981 Kawasaki $ 6,500
A-164 1979 Dodge Aspen 2-door 12,000 ,
A-165 1979 Dodge Aspen 4-door 12,000
A-169 1979 Ford Granada 12,000
A-196 1981 Chevrolet Malibu 4-door 13,500 56,000
Fire Prevention -- 1975 Dodge Dart $ 9,500 9,500 '
Parks Department -- Jacobson Gangs mower $28,000
-- Four Ford Couriers @ $8,000 32,000
-- Toro triplex 18,000 78,000
TOTAL EQUIPMENT REPLACEMENTS AND ADDITIONS $378,500
NOTE: Above equipment items are replacements, unless otherwise noted. '
154 ,
City of 'Renton'
1965 DRELIMINARY BUDGET
FUNCTION: - DEPT: PUBLIC WCRKS DEPARTMENT FUND: EQUIPMENT RENTAL
500 CLASSIFIED PROPRIETARY SERVICE DIV: CENTRAL GARAGE/PART TIME ACCT: 501 CCC 15 501 05 00 OC
ACCOUNT NUMBER 1983 1984 19b5
' ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 15 501 05 00 CD CENTRAL GARAGE/PART TIME
10 CO SALARIES AND WAGES 1,260.CC 2,CCC.00 2,000
10 02 OVERTIME
* SALARIES AND WAGES 1,260.00 2,000.00 2,000
20 00 PERSONNEL BENEFITS
20 03 FICA 1,633.47 140.00 145
' 20 06 INDUSTRIAL INSURANCE 568.10 115.00 115
* PERSONNEL BENEFITS 2,201.57 255.00 26C
** CENTRAL GARAGE/PART TIME 3,461.57 21255.00 2,26C
FUNCTION: CEPT: PUBLIC WORKS DEPARTMENT FUND: EQUIPMENT RENTAL
500 CLASSIFIED PROPRIETARY SERVICE DIV: E PMNT R
QUI ENTAL/CENTRAL GARAGEACCT:C CT• 501 000 15 501 61 00 00
ACCOUNT NUMBER
1983 1984 1965
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
' LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 15 501 81 00 00 EQUIPMT RENTAL/CENTRAL GARAGE
' 10 CO SALARIES AND WAGES 95,789.00 96.398.00 99,004
10 02 OVERTIME
* SALARIES AND WAGES 95,789.00 96,398.00 99,004
' 20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 6,569.50 7,243.00 7,862
20 03 FICA 4,802.82 6,771.00 7,02E
20 C4 PREPAID MEDICAL 9,802.64 11,028.00 9,852
20 06 INDUSTRIAL INSURANCE 1,436.74 2,16C.CO 2,160
' 20 07 LIFE INSURANCE 48Q.12 512.00 504
20 09 PREPAID DENTAL 2,547.84 2,868.00 2,742
20 10 UNEMPLOYMENT COMPENSATION 500
20 15 KING CO MED 1982 RETRO PAYMT 571.62 936.00
+ PERSONNEL BENEFITS 26,211.28 31,518.00 30,652-
30 00 SUPPLIES
31 00 OFFICE/OPERATING SUPPLIES 206,310.68 285,800.00 315,OOC
31 13 EQUIPMENT CONVERSION 5,213.79
' * SUPPLIES 211.524.47 285,800.00 315,000
40 CO OTHER SERVICES 3 CHARGES
41 CO PROFESSIONAL SERVICES
42 CO COMMUNICATION
42 01 POSTAGE 60.CC 80.00 80
' 43 00 TRAVEL
43 45 EQ RENTAL TRAVEL 378.61 500.0C 500
44 15 ADVERTISING-EQUPMT RENTAL
45 00 OPERATING RENTALS & LEASES
' 45 Cl OTHER RENTALS 5,520.00 30000.00
45 10 OTHER RENTALS/EQ RTL 1,000.00 8,000
46 CO INSURANCE 44,320.6C 39,436.00 45,537
48 CO REPAIRS & MAINTENANCE 1,470.98 2,000.00 5,60C
49 00 MISCELLANEOUS
' 49 12 MEMBERSHIPS & REGISTRA 310.00 500.00 500
49 17 LAUNDRY 1,376.36 10500.00 1,575
49 19 TAX COMMISSION
* OTHER SERVICES AND CHARGES 53,436.55 48,016.00 61,792
50 CO INTERGOVERNMENTAL SERVICES
52 CO INTERFUND SERVICES
52 C2 REIMB WATERWORKS UTIL 3,554.00 4e265.00 4,479
52 C3 REIMB CURRENT FUND 3,600.00 40320.00 4,53E
52 C4 REIMB STREET FUND 14,066.00 16,879.00 17,723
* INTERGOVERNMENTAL SERVICES 21,220.00 25,464.00 26,738
60 CO CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT 17,171.90 128,945.00 378,5u0
66 C8 MUN LEASE/E65, E66, C108 9,490.40
* CAPITAL OUTLAYS 26,662.30 126,945.00 378,500
** EQUIPMNT RENTAL/CENTRAL GARAGE 434,843.60 616,141.00 911,696
** CLASSIFIED PROPRIETARY SERVICE 438,305.17 618,396.00 913,946
' 155
City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PUBLIC WORKS DEPARTMENT FUND: EQUIPMENT RENTAL
510 GENERAL GOVERNMENTAL SERVICES DIV: DEBT ISSUANCE COSTS ACCT: 501 000 15 519 63 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
COO 15 519 63 00 00 DEBT ISSUANCE COSTS
41 CO PROFESSIONAL SERVICES
41 59 DEBT ISS COST GC/EQUIPMENT 4,712
** OTHER GOVERNMENTAL SERVICES 4,712
'I
FUNCTION: DEPT: PL5LIC WORKS DEPARTMENT FUND: EQUIPMENT RENTAL
590 OTHER FINANCING USES CIV: CPERATING TRANSFERS-CUT ACCT: 501 000 15 597 00 00 OC
ACCOUNT NUMBER 1983 1954 1985 �I
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND„
OCO 15 597 00 00 CC ECUIPMT RTL-OPR TRANSFERS-OUT �I
50 CO INTERGOVERNMENTAL SERVICES 42,213.00 93,640
*• OPERATING TRANSFERS-CUT 42,213.00 9.5,640
SUB-TOTAL ENDING BALANCE 760,892.48 732,091.00 819,702
SUB-TOTAL EXPENDITURES 438,305.17 618,396.00 918,658 'II
SUBTOTAL NON-EXPENDITURES
SUBTOTAL OTHER FINANCING USES 42,213.00 93,540
** EGUIFMENT RENTAL 1,199,197.65 1,392,700.00 1,832,DOC 'I
I
�I
'I
I�
IV
Ih
156
� a
s
i
i
i
t R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PARKS DEPARTMENT Fund: PARK FUND
Division: ALL DIVISIONS OF PARK FUND Account: 101/000/20.519, 542, 555, 574, 575
PARKS DEPARTMENT: Through the Park Board, maximizes the potential of all available resources to provide
I leisure time programs, facilities, and leadership that successfully meet the recreational needs of our citizens,
while improving the overall quality of life within the community. Formulates and implements effective programs
for the care and maintenance of all municipal buildings and the City's street tree program. Provides
administration for the City's Housing and Community Development program. The Parks and Recreation system
includes 29 parks, several recreation centers, including the Senior Citizens' Center, and 1 swimming pool.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
' PARK FUND/ALL DIVISIONS:
FULL TIME SALARIES $1,191,525.10 $1,284,656.00 $1,340,155
PART TIME SALARIES 262,838.51 289,015.00 334,386
OVERTIME (FULL TIME AND PART TIME) 11,653.68 13,827.00 19,090
SUB-TOTAL SALARIES & WAGES 1,466,017.29 $1,587,498.00 $1,693,631
PERSONNEL BENEFITS 326,461.83 389,582.00 418,579
SUPPLIES 214,438.83 226,123.46 266,106
OTHER SERVICES & CHARGES 687,944.84 826,902.15 915,736
GOVERNMENTAL SERVICES 200.00 200
CAPITAL OUTLAY 166,150.00 58,597.00 66,747
EXPENDITURE CREDITS --- 5,000.00- 31,488-
TOTAL EXPENDITURES $2,861,012.79 $3,083,902.61 $3,329,-511
OPERATING TRANSFERS-OUT 46,790.00
ENDING FUND BALANCE 384,477.10 90,541.00 20,000
TOTAL PROGRAM - PARK FUND $3,245,489.89 $3,221,233.61 $3,349,511
POSITION SUMMARY 1985 BUDGET SUMMARY
Full Time Positions: Number of Positions ($ in 000 's)
Grade Position Title 1983 1984 1985
20 Parks & Recreation Director 1 1 1 1984 BUDGET AS ADOPTED $ 3,065
14 Facilities Superintendent 1 1 1 (Expenditures)
14 Parks Superintent 1 1 1 Adjustments to 1984 Budget 19
14 Recreation Superintendent 1 1 1 Res. 2536/Pave Cedar River Trail--$12,000
12 H&CD Coordinator (80% H&CD) 0 0 20% Res. 2544/Highlds. Library Bldg. Total Adj.
(Reclass from 11 to 12) Maint., Transfer from Library - 4,300 $18,634
11 Building Supervisor 1 1 1 Work in Progress -- -- 2,334
11 Special Programs Supervisor 1 1 1 EQUALS 1984 ADJUSTED BUDGET $ 3,084
11 Parks Maintenance Supervisor 1 1 1
10 Recreation Program Coordinator 5 5 5
9 Facilities Designer 0 0 1
(New Position/Project Reimb.) Add Increased Cost to
9 Foreman 2 2 2 Maintain Same Service Level 50
8 Building Systems Technician 0 1 1
7 General Craftworker 2 2 2 Percentage Increase Over 1984 1.6 %
6 Lead Maintenance Worker 3 3 3
6 Park Maintenance Worker 11 11 11 Add 1985 New Programs/Changes 196
6 Recreation Specialist 3 3 3 (See List on boUowimg page/pages)
5 Administrative Secretary 1 1 1
4 Maintenance Custodian 7 7 8
(1 New Maint. Custodian/1985) Sub-Total All 1985 Increases $ 246
3 Secretary 1 1 1
2 Admin. Clerk II (50% H&CD) 50% 50% 50% EQUALS TOTAL 1985 MAYOR'S
2 Custodian (1 Lead 1985) 3 3 3 RECOMMENDED BUDGET $ 3,330
2 Park Laborer 3 3 3
48.50 49.50 51.70 PERCENTAGE INCREASE OVER 1984 8,0 %
H&CD Funded Positions 2.50 2.50 2.30
TOTAL FULL TIME POSITIONS 51.00 52.00 54.00
PART TIME/FULL TIME EQUIVALENTS 11.00 12.00 14.00
157
'} CITY OF RENTON 1 985 PRELIMINARY BUDGET1
Department: PARKS DEPARTMENT Fund: PARK FUND
Division: ALL DIVISIONS OF PARK FUND Account: 101/000/20.519, 542, 555, 574, 575
1985 NEW PROGRAMS/CHANGES
PARKS ADMINISTRATION:
1) New Position - Facilities Designer. Salaries and Benefits . . . . . . .. . . .. . . . . . . . $ 31,488
Salaries & benefits 100 reimburseable from projects (Expenditure Credit) . . 31,488-
To provide in-house design capabilities for all divisions, reducing
reliance on high cost of utilizing outside consultants for smaller
projects while upgrading the City's level of expertise.
2) H&CD Coordinator - Partial Funding and Reclassification . . . . . . . . . . . . . . . . . . .. . . 4,009
Park: Fund to assume 20% of salary and benefits for Housing & Community
Development Coordinator to sustain current level of planning and '
administration for the Federally funded H&CD program. Position
reclassified from Grade 11E to 12E.
3) Professional Services3,000
Based on actual need•for appraisals, engineering, photography,
trails master plan, etc.
4) Tax Commission - New Item . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . 4,000
Funds to meet State tax requirements related to revenue generating
programs under the Department's direction. Increase will be passed
on to participants in programs, with no additional cost to the City.
5) Capital Outlay . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . 4,440
Copy Machine replacement with expandedcapabilities to
meet workload demand . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . ... . . $3,676
Rental eliminated for present copy machine .. . . . .. . . . . . . . . . . . . . . . . . (1,836)
$1,840
Memory Typewriter - Replacement for worn out equipment and to
expand typing capabilities . . . . . . . . . .. . . . . . . . . . . . . . . . . . .. . . . . . . . . . . 2,600
$4,440
TOTAL NEW PROGRAMS/CHANGES - PARKS ADMINISTRATION . . . . . . . . . . . . . . . . .. . . .. . . . . $ 15,449
PARKS GENERAL SERVICES:
6) New Position - Maintenance Custodian. Salaries and Benefits . . . . . . . . . . . . . . . . . $ 26,052
To provide light maintenance and full custodial services at the new
City Shops which includes approximately 8,765 sq. ft. of floor space,
needing daily .custodial services, and 35,001 sq. ft. of floor space
needing maintenance on an ongoing but irregular basis.
7) Increase General Services Part Time Help . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11,389
For part time clerical help, part-time journeyman electrician, Summer
High School special projects, and hourly rate increase. Includes increase
to salaries, FICA and Industrial Insurance.
8) Regular Overtime Increase . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . .. . .. . . . . . . . .. . . . . 2,500
To provide adequate funding for emergency and scheduled maintenance
performed outside of regular work hours, particularly weekends.
9) Custodian Lead Pay . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 1,159
In lieu of added position; to provide adequate supervision for custodial
staff - night shift.
10) Operating Supplies Increase . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . ... . . . . . . . . . . . . . 20,203
New City Shops for full year, redistribution of funds and inflation.
11) Electricity Increase for City Buildings . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 39,312
1985 ---- $215,392 Rate increase and operation of new City Shops
1984 ---- (176,080) for full year.
Increase $ 39,312
158
am CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PARKS DEPARTMENT Fund: PARK FUND
Division: ALL DIVISIONS OF PARK FUND Account: 101/000/20.519, 542, 555, 574, 575
1985 NEW PROGRAMS/CHANGES CONTINUED
PARKS GENERAL SERVICES - Continued
12) Repairs & Maintenance Decrease . . . .. . . . . . . . .. . . . . . .. . . . . . . .. . . . . .. . . . . . . .. . . . . $ 11,490-
1984 - -- $ 91,594 Regular repairs and maintenance and special projects
1985 ---- (80,104) in 1985 include Police Department padded cell ($5,000);
Decrease $ 11,490 and repair of Jail floor ($12,200). Decrease due to
I
fewer•special•repair.projects.in.1985. . . . . . . . . . . ... . . .
13) Capital Outlay Increase 10,274
1985 ---- $ 17,671 See list of Capital Outlay items below.
1984 ---- (7,397)
Increase $ 10,174
TOTAL NEW PROGRAMS/CHANGES - PARKS GENERAL SERVICES $ 99,399
1985 CAPITAL OUTLAY - GENERAL SERVICES DIVISION:
Improvement Projects:
Police Sally Port Lighting - New lighting system in prisoners
entrance to Police Carport ------------------------------------------ $ 1,700
Third Floor Wall Addition - Install approximately 15 lineal feet
of wall and relocate door to isolate Zoning office from
Policy Development -------------------------------------------------- 10500
Kiwanis & Kennydale Parks Activity Building Carpet - Install new
pro-gym carpet over tile flooring for greater safety, ease of
maintenance and improved acoustics --------------------------------- 5,071
Machinery & Equipment:
Sewer Cleaning Machine - Replace old equipment with new machine
to provide 24-hour ability to respond to problems ------------------- 3,500
Power Washer - To clean exteriors ofCity buildingsandto
prepare them for painting -------- - - - -----------
1,200
Smoke Eaters - Police Department (2); 5th Floor Lounge (1) ---------- 4,700
Total General Services Capital Outlay ------- $17,671
Other Information:
Telephone - No increase over 1984. ($134,729)
Gas - 1985 allocation/$66,280; 1984 allocation/$63,124; Increase $3,156.
PARKS LANDSCAPING:
Information Only - No New Programs
Operating Supplies & Street Tree Program - Increased $2,559 for tree
' replacement and upgrading.
Other Rentals - Increased $1,368 for rental machinery for street tree
removal and/or pruning.
Water - Increased $1,072 due to rate increase, plus cost of State
right-of-way and new street trees.
i
159
o;RifCITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PARKS DEPARTMENT Fund: PARK FUND
Division: ALL DIVISIONS OF PARK FUND Account: 101/000/20.519, 542, 555, 574, 575
1985 NEW PROGRAMS/CHANGES CONTINUED
PARKS SENIOR CITIZENS' CENTER:
14) Electricity Increase . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . $ 3,630
1985 ---- $ 28,240 Rate increase and cooling system addition.
1984 ---- (24,610)
Increase $ 3,630
15) Senior Center Part Time Help Increase . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 2,868
Increased based on need. Includes salaries, FICA and Industrial Insurance.
16) Capital Outlay - Machinery & Equipment . . . . . . * * * * * * * * * * * * * " * * * * ' * * " * * * * * * * * "
quipment • . . . . . . . . 3,000
Pottery Kiln - To meet needs of ceramic program at Center . . . . . . . . . $ 1,500
Floor Buffer - New equipment to improve appearance and extend
life of hard surface areas in Center, while reducing maintenance . . 1,500
$ 3,000
TOTAL NEW PROGRAMS/CHANGES - SENIOR CITIZENS' CENTER . . . . . . . . . . . . . . . . . . . . . . . . . $ 9,498
PARKS RECREATIONAL SERVICES:
17) Operating Supplies Increase . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ 2,697
Inflation and replacement of 15 year old amplification systems at
Coulon Beach Park, Henry Moses Pool and Giannini Stadium, necessary
for safe operation of swimming areas and beach emergencies.
18) Recreational Services Part Time Help Increase . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . .
20,888
For Coulon boat launch special event coverage, Sierra Heights program,
class registration personnel, Developmentally Disabled program, overtime
increase for Coulon special events and swim classes, and hourly rate
increase. Includes increase in salaries, overtime and FICA.
TOTAL NEW PROGRAMS/CHANGES - RECREATIONAL SERVICES . . . . . . . . . . . . . . . . . . . . . . . . . $ 23,585
Other Information:
Capital Outlay - Parking lot collection box at Coulon Beach Park ---- $ 1,100
1984 allocation for capital outlay - $2,200; decrease of $1,100.
Self-Sustaining Programs - Increased $10,000 due to transfer of funds from
Parks Administration Recreation Classes account.
PARKS FACILITIES:
19) Operating Supplies Increase . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ 12,301
For Pedestrian Corridor and Old Shop site area and special project to
bark Cedar River Trail. Also includes inflationary factor.
20) Reinstate Mosquito Abatement Program. Professional Services . . . . . . . . . . . . . . . . . 5,000
21) Repairs & Maintenance Increase . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 24,194
For badly needed repairs: pool bath house plumbing replacement; Highlands
Park baseball backstop repairs; Kennydale Lions Park basketball court
resurfacing; North Highlands Park tennis and basketball court resurfacing;
and/or other projects, as funding will allow.
22) Facilities Part Time Help Increase . . . . . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . 17,172
For Pedestrian Corridor and Old City Shops, special event coverage at
Coulon Park, Clerical help for new City Stores set-up, hourly rate increase.
Includes increase in salaries and FICA.
1
160 '
(,R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PARKS DEPARTMENT Fund: PARK FUND
IDivision: ALL DIVISIONS OF PARK FUND Account: 101/000/20.519, 542, 555, 574, 575
1985 NEW PROGRAMS/CHANGES CONTINUED
PARKS FACILITIES - Continued
23) Capital-Outlay Decrease . . . . . . . . . . . .. . . . . . . . . . . . . . . . . . . . . . . . . . . . .. . . . . . . . . . . . . $ 10,300-
1984 $49,000
1985 ---- (38,700) See list of Capital Outlay items below.
Decrease $10,300
TOTAL NEW PROGRAMS/CHANGES - PARKS FACILITIES .. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $ 48,367
1985 CAPITAL OUTLAY - FACILITIES DIVISION:
Improvement Projects:
Kennydale Lions Park Fencing - Install 300 feet of galvanized fencing
along new property line --------------------------------------------- $ 5,000
I Liberty Park Patio/Picnic Facilities - Create defined area with
permanent tables and fixtures in Liberty Park in conjunction with
new picnic shelter (CIP Fund) --------------------------------------- 109000
' Liberty Park Parking Lot - Renovate perimeter and interior curbing,
drainage and overlay, plus new striping ----------------------------- 59000
Machinery & Equipment:
Permanent Picnic Tables - To meet growing needs for picnics and
for replacement of current portable stock --------------------------- 5,000
Comboplane Ballfield Drag - More efficient, safer equipment to
replace outmoded, worn out models ----------------------------------- 5,400
Tiller - To maintain safe ballfield areas and minimize maintenance
requirements during summer months. Replaces worn out, outmoded
system involving spikes --------------------------------------------- 31800
Thatcher/Seeder - Badly needed to improve turf management program.
Will be utilized for overseeding athletic fields after verti-cut
and/or aeration process --------------------------------------------- 4,500
Total Facilities Capital Outlay ------------- $38,700
Other Information:
Water, Sewer & Metro - Increased $2,835 (rate increase).
' Gas - Increased $3,268 (rate increase).
Air Park Maintenance - To be performed by Airport staff in 1985
therefore, Expenditure Credit to Park Fund is eliminated - $5,000-.
I
TOTAL ALL NEW PROGRAMS/CHANGES - PARKS DEPARTMENT . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $196,298
1
i
j 161
PgR6CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PARKS DEPARTMENT Fund: SEE BELOW
Division: MISCELLANEOUS FUNDS Account: FUND NOS. 108, 110, 112, 113, 315
1985 NEW PROGRAMS/CHANGES
PARKS DEPARTMENT - MISCELLANEOUS FUNDS:
1) COULON BEACH CONSTRUCTION FUND:
Remaining balance in the fund - $284,000. Use funds for design consultant - improvements
to old swimming area an Coulon Beach Park and other improvements as funding allows.
2) CUMULATIVE RESERVE FUND #1894 - MUNICIPAL BUILDINGS:
Available funds - $56,300. To be transferred to the Capital Improvement Fund (CIP)
for the North Highlands Neighborhood Recreation Center Renovation project.
3) CUMULATIVE RESERVE FUND #1689
- PARK PROPERTY:
Available funds - $1,600.
4) CUMULATIVE RESERVE FUND 112104 - PARK EQUIPMENT: i
Available funds - $150,700. $13,358 to be transferred to the General Government
Miscellaneous Debt Service Fund for 1985 debt service - Parks equipment.
See Equipment Rental Fund (501) for list of 1985 equipment to be acquired
and/or replaced.
5) CUMULATIVE RESERVE FUND 112283 - BEAUTIFICATION:
Available funds - $3,300.
NOTES: Refer also to the Capital Improvement Section for 1985 Park Improvement Projects.
The Housing & Community Development Block Grant program, administered by the
Y et. Actual remaining
in the 1985 Preliminary Bud
Parks Department, is not included g
balances in the block grant divisions are carried forward at the beginning of the
ensuing year. Grants are appropriated on a July to July basis.
1
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162
1
" -� City of Renton
.LL 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
570 CULTURE AND RECREATION DIV: PARKS ADMINISTRATION ACCT: 101 DOC 20 574 10 00 OC
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIO MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMENC.
000 20 574 1D 00 CO PARKS ADMINISTRATION
1 1C 00 SALARIES AND WAGES 211,234.94 219,570.00 248,181
10 C2 OVERTIME 245.95 25C.00 25C
* SALARIES AND WAGES 211,483.89 219,820.00 248,431
' 20 CO PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 14,930.59 16,351.00 19,595
20 C3 FICA 13,268.58 14,t71.00 17,045
20 C4 PREPAID MEDICAL 12,506.49 14,626.CC 15,771
20 C6 INDUSTRIAL INSURANCE 437.25 090.00 782
20 C7 LIFE INSURANCE 1,049.88 1,048.00 1,197
20 C9 PREPAID DENTAL 3,984.76 4,734.00 5,642
* PERSONNEL BENEFITS 46,177.55 52,320.00 13,036
30 CG SUPPLIES
31 CO OFFICE/OPERATING SUPPLIES 1,025.37 1,113.00 1180C
* SUPPLIES 1,025.37 1.113.00 1,E00
40 CO OTHER SERVICES & CHARGES
41 09 ADJUDICATION FEES/CARCO 200.00 200.00 200
41 10 RECREATION CLASSES 13,904.55 10,000.00
41 Eo PROFESSIONAL SERvICES/PARKS 3.000
42 GO COMMUNICATION
42 Cl POSTAGE 1,417.56 1,070.00 1,355
43 CO TRAVEL
43 35 PARK DEPT TRAVEL 699.28 800.00 1,000
44 10 ADVERTISING/PARKS ACM 1,824.79 3CO.GC 831
45 00 OPERATING RENTALS AND LEASES
45 C2 EQUIPMENT RENTAL 3,840.00 3,420.00 3,246
45 06 COPY MACHINE RTL/PARKS 551.01 1,63o.00
46 GO INSURANCE 33,083.07
48 00 REPAIRS & MAINTENANCE 710.69 1,624.00 2,270
49 CO MISCELLANEOUS
49 CO PRINTING & BINDING 2,750.00 2,660.00 4,DOC
49 12 MEMBERSHIPS & REGISTRA 1,472.00 700.00 800
49 14 LEGAL & RECCRDING FEES 224.11 125.00 25C
49 19 TAX COMMISSION 4,000
* CTHER SERVICES AND CHARGES 60,577.06 22,935.00 20,951
60 CO CAPITAL OUTLAY
54 DOMACHINERY & ECUIPMENT 6,276
* CAPITAL OUTLAYS 6,270
000 20 574 1C 90 00 EXPENDITURE CREDITS
90 16 PK FAL DESIGNER/PROD REIMB 31,483
* EXPENDITURE CREDITS 31,488
+* PARKS ADMINISTRATION 319,263.87 296,188.00 309,OOt
r
r163
,(t R Glty of Renton 1985 PRELIMINARY BUDGET
1
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
510 GENERAL GOVERNMENTAL SERVICES DIV: PARKS/GENERAL SERV ACCT: 101 DOC 20 519 50 OC OC
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT CESCRIPTION ACTLAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 519 50 00 00 PARKS/GENERAL SERV
10 CO SALARIES ANC WAGES 162.246.91 290,OC2.00 319.306
10 02 OVERTIME 3.914.33 2.500.00 5,ODC
10 10 SALARIES AND WAGES/FRS 1001000.CO
* SALARIES AND WAGES 266.161.24 292.502.00 324.306
20 CO PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 17.338.67 22,006.00 25.831
20 03 FICA 17,676.48 20.598.00 23,031
20 04 PREPAID MEDICAL 19.041.98 28,528.00 33.171
20 DE INDUSTRIAL INSURANCE 5,410.40 7.065.00 7.653
20 C7 LIFE INSURANCE 1.242.87 1.499.00 1.644
20 D9 PREPAID DENTAL 5.767.44 8.232.00 9,279
* PERSONNEL BENEFITS 66,477.84 87,928.00 1000609
30 CO SUPPLIES ,
31 00 OFFICE/OPERATING SUPPLIES 75x901.98 79,472.46 99,675
* SUPPLIES 75,901.98 79,472.46 99,675
40 CO OTHER SERVICES a CHARGES
41 CO PROFESSIONAL SERVICES
41 34 LIBRARY/HLDS ADM BLDG MTC 121541.92 12,540.00 12,600
41 41 COMPUTERIZED BLDG MTC PRGR
41 72 FIRE STATION MAINT 5,525.00 50100.00 51400
42 CO COMMUNICATION
42 01 POSTAGE
42 C2 TELEPHONE 116,905.62 134,729.00 134,729
43 00 TRAVEL
43 42 GENERAL SERVICES TRAVEL 300.00 200
45 CO OPERATING RENTALS 8 LEASES
45 01 OTHER RENTALS 101.78 1,02C.CO 1.020
45 C2 EQUIPMENT RENTAL 1,560.00 4.840.00 7,56C
47 CO PUBLIC UTILITY SERVICE
47 Cl ELECTRICITY 124,694.78 176,080.00 215,392
47 C2 WATER, METRO, GARBAGE 8,717.02 8,731.00 10,401
47 C3 GAS 43.704.23 63,124.00 66,280
48 CO REPAIRS d MAINTENANCE 76,480.23 61,394.00 62,9D4
48 G9 IST FLOCK RENVOATION 15.000.00
48 10 POLICE RESTROOM FACILITY 12,000.00
48 11 FIRE DEPT SMOKE OETRECTORS 10600.00
48 12 HISTORICAL MUSEUM RENOVATION 11600.00
48 15 POLICE PADDED CELL 5,000
_48 16 PCLICE JAIL FLOOR 12,200
49 CO MISCELLANEOUS
49 12 MEMBERSHIPS i REGISTRA SCO.00 600
49 16 PUBLICATIONS 250.00 250
49 37 VANDALISM 2,517.49 3.000.00 3,000
* OTHER SERVICES AND CHARGES 392,748.07 501,808.00 537,536
6C CO CAPITAL OUTLAY
62 CO BUILDINGS
63 00 IMPRVMTS OTHER THAN BLOGS 397.36
63 78 CITY HALL FIRE ALARM SYSTEM
63 79 CITY HALL 3RD FLOOR WALL ADDN 1,500
63 80 FIRE STATION A11 REMGDEL
63 81 FIRE STATION All SIGN
63 82 FIRE STATION #11 GENERATOR
63 E3 POLICE DEP SALLY PORT LIGHTING 1,7CC
63 84 KIWANIS 8 KENNYCALE PRK CARPET 5,071 '
63 10 MAIN LIBRARY/RCOF REPL/FRS 37,927.70
63 10 REMODEL 5TH FLOOR/FRS 37,468.44
64 00 MACHINERY B EQUIPMENT 7,397.00 914OC
64 10 MACHINERY 8 EQUIPMENT/FRS 4.953.59
* CAPITAL OUTLAYS 80,747.09 7,397.00 17,671
** PARKS/GENERAL SERV 882,036.22 969,107.46 1,079,797
164
City of Renton 1985 PRELIMINARY BUDGET
i FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
510 GENERAL GOVERNMENTAL SERVICES DIV: PARKS/GEN SERV PART TIME ACCT: 101 CDC 2C 519 51 GO G0
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS CF 10/24 RECOMMEND.
OCD 20 519 51 00 CO PARKS/GEN SERV PART TIME
10 00 SALARIES ANC WAGES 26.776.85 33.335.00 43.206
1 1G C2 OVERTIME 512.44 5CC.00 50G
* SALARIES AND WAGES 27.289.29 33.835.00 43.706
20 CO PERSONNEL BENEFITS
20 C3 FICA 1.828.27 2.088.00 3.032
20 C6 INCUSTRIAL INSURANCE 1324.79 1.089.00 1.593
* PERSCNNEL BENEFITS 3.153.06 31157.00 4.675
+* PARKS/GEN SERV PART TIME 30442.35 36.092.00 48.361
+* TOTALGENERAL SERVICES 912.478.57 1.006.099.46 1.128.178
1
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165
i
t=Ri
C'Ity of Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
540 TRANSPORTATION DIV: PARKS LANDSCAPING ADDY: 101 000 20 542 70 OC 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 542 70 00 CO PARKS LANDSCAPING
10 CO SALARIES AND WAGES 38.935.09 46,296.00 45.923
10 C2 OVERTIME 3CO.00 300
* SALARIES AND WAGES 38,935.09 46,596.00 46,223
20 CO PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 2.697.55 3.512.00 3,650
20 C3 FICA 2,608.67 3,294.00 3.275
20 C4 PREPAID MEDICAL 3.342.05 4.212.00 2.460
20 C6 INDUSTRIAL INSURANCE 689.23 1,080.00 10098
20 07 LIFE INSURANCE 216.11 240.00 24C
20 C9 PREPAID DENTAL 919.09 1x140.00 781
* PERSCNNEL BENEFITS 10,472.70 13,478.00 11,504
30 CO SUPPLIES
31 00 CPERATING SUPPLIES 5.877.99 9,121.GO 10,68C
31 C7 STREET TREE PROGRAM 3,486.24 3,000.00 4,000
* SUPPLIES 9.364.23 12,121.00 14,680
40 00 OTHER SERVICES & CHARGES
45 00 CPERATING RENTALS AND LEASES
45 Cl OTHER RENTALS 132.00 1150C
45 02 EQUIPMENT RENTAL 6,766.92 5,G40.00 5.268
47 CO PUBLIC UTILITY SERVICE
47 G1 ELECTRICITY 53.83 107.00 107
47 C2 WATER 168.51 428.00 1.530
* OTHER SERVICES AND CHARGES 6,989.26 5x707.00 81375
60 00 CAPITAL OUTLAY
64 00 MACHINERY & EOUIFMENT
* CAPITAL OUTLAYS
** PARKS LANDSCAPING 65,761.28 77,902.00 8C,782
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
540 TRANSPORTATION DIV: PARKS/LANDSCAPING PART TIME ACCT: 101 000 20 542 71 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYCR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 20 542 71 00 CO PARKS/LANDSCAPING PART TIME
10 GO SALARIES AND WAGES 4,832.60 8,720.00 6,72C
10 02 OVERTIME 16.88
* SALARIES AND WAGES 41849.48 8,720.00 8,720
20 02 PERSONNEL BENEFITS
20 C3 FICA 347.69 611.00 615
20 C6 INDUSTRIAL INSURANCE 334.C4 451.00 451
+ PERSONNEL BENEFITS 681.73 11062.00 1,066
*• PARKS/LANDSCAPING PART TIME 5,531.21 9,782.00 9,786
** TOTAL LANDSCAPING 71,292.49 87,684.00 90,568
166
t7City of Renton
.1lR 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
550 ECONOMIC ENVIRONMENT DIV: PARKS/SR CITIZENS' CENTER ACCT: 101 000 20 555 05 00 OC
ACCOUNT NUMBER 1983 1984 1915
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 555 08 00 CO PARKS/SR CITIZENS' CTR
1J 00 SALARIES AND WAGES 75,958.00 77,970.00 76,485
10 C2 OVERTIME 231.05 500.00 500
* SALARIES ANG WAGES 76,189.05 78,470.00 76,985
20 00 PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 5,287.29 5.907.00 6,096
20 C3 FICA 5,1C4.51 5,532.00 5,467
20 04 PREPAID MEDICAL 5,647.C2 6,984.00 5,510
20 C6 INDUSTRIAL INSURANCE 1,383.57 1,62C.00 1,600
20 C7 LIFE INSURANCE 377.40 396.00 397
20 09 PREPAID DENTAL 1,864.60 2,208.00 1,609
* PERSONNEL BENEFITS 19,664.39 22,707.00 20.739
30 CO SUPPLIES
31 00 OPERATING SUPPLIES 6,339.E1 6,787.00 31323
* SUPPLIES 6,339.81 6,787.00 8,323
40 00 OTHER SERVICES 8 CHARGES
41 53 PROFESS SERV/SR CTR 572.00 600
47 G1 ELECTRICITY 16,703.92 24,610.00 23,24C
47 02 WATER, SEWER $ METRO 1,644.84 2.551.00 2,900
46 CO REPAIRS d MAINTENANCE 6,679.19 9,140.00 9,597
49 37 VANDALISM 1,070.00 11070
49 61 SR CIT SELF—SUST PROGRS 10,527.26 121000.00 141000
* OTHER SERVICES AND CHARGES 35.555.21 49,943.00 56,407
60 CO CAPITAL OUTLAY
63 CO IMPRVMTS OTHER THAN SLOGS 18,504.25
64 00 MACHINERY B EOUIFMENT 3,OOC
* CAPITAL OUTLAYS 18,504.25 3,000
a• PARKS/SR CITIZENS' CENTER 156,252.71 157,907.00 165,454
1 FUNCTION: DEFT: PARKS DEPARTMENT FUND: PARKS
550 ECCNOMIC ENVIRONMENT DIV: PARKS/SR CTR PART TIME HELP ACCT: 101 000 20 555 09 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
1 LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 555 09 00 00 PARKS/SR CTR PART TIME HELP
10 00 SALARIES AND WAGES 51658.00 9,262.00 11,762
10 02 OVERTIME
* SALARIES AND WAGES 5,658.00 9,262.00 11,762
20 CO PERSONNEL BENEFITS
20 C3 FICA 379.05 649.00 887
20 06 INDUSTRIAL INSURANCE 390.06 488.00 618
* PERSONNEL BENEFITS 769.11 1,137.00 1,505
++ PARKS/SR CTR PART TIME HELP 6,427.11 1C,399.00 13,267
** TOTAL SENIOR CITIZENS' CENTER 162,679.82 168,306.00 178,721
I
167
7�-tt City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PARKS DEPARTMENT FLNO: PARKS
570 CULTURE ANC RECREATION DIV: PARKS RECREATIONAL SERV ACCT: 101 000 20 574 2C CC OC
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 1C/24 RECOMMEND.
COO 20 574 20 00 CO PARKS RECREATIONAL SERV
10 CO SALARIES AND WAGES 199,828.00 203.991.00 207,227
10 C2 OVERTIME 1,447.56 2,300.00 2,30C
* SALARIES AND WAGES 201,275.56 206,291.00 209,527
20 CO PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 13,964.24 151507.00 16,674
20 C3 FICA 13,4E5.12 14,495.00 14,865
20 C4 PREPAID MEDICAL 10,252.98 9,420.00 13,164
20 06 INDUSTRIAL INSURANCE 2,914.58 3,352.00 3,324
20 C7 LIFE INSURANCE 971.5E 1,029.60 1,044
20 09 PREPAID DENTAL 3.489.04 41008.00 4,092
* PERSONNEL BENEFITS 45,077.54 47,811.00 53,163
30 00 SUPPLIES
31 CO OPERATING SUPPLIES 13,720.76 13,931.00 16,628
* SUPPLIES 13,720.76 13.931.00 16,628
40 CO OTHER SERVICES & CHARGES
43 35 PARK DEPT TRAVEL 400.00 500
49 60 MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 350.00 400
49 20 CITIZENS' PROGRAMS 2,186.96
49 21 BAND CONCERTS 1,719.00 2,461.00 2,500
49 22 TEENAGE PROGRAMS 958.70 2,937.15 3,033
49 23 POOL TAXES 436.02 500.00 5CC
49 24 CARCO SCRIPTS & ROYALTIES 267.00 267
49 59 SELF-SUSTAINING PRGRS 27,952.54 35,000.00 45,000
* OTHER SERVICES AND CHARGES 33,255.22 41,915.15 52,200 '
50 00 GOVERNMENTAL SERVICES
50 06 POOL INSPECTION FEE 200.00 200
* INTERGOVERNMENTAL SERVICES 200.00 20C
60 CO CAPITAL OUTLAY
64 00 MACHINERY & ECUIPMEFT 2,200.00 1,100
* CAPITAL OUTLAYS 2.200.00 11100 '
++ PARKS RECREATIONAL SERV 293,329.08 312,348.15 332,818
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
570 CULTURE AND RECREATION DIV: PARKS/REC SERV PART TIME ACCT: 101 DOC 20 574 22 00 OO
ACCOUNY NUMBER 1983 1984 1085
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 574 22 00 GO PARKS/REC SERV PART TIME
10 CO SALARIES AND WAGES 143,120.76 151,479.00 168,479 ,
10 02 OVERTIME 1,055.46 1,000.00 3,440
* SALARIES AND WAGES 144,176.22 152,479.00 1711919
20 CO PERSONNEL BENEFITS '
20 C3 FICA 9,764.11 10,673.00 12,121
20 06 INDUSTRIAL INSURANCE 7,972.46 7,750.00 7,750
* PERSONNEL BENEFITS 17,736.57 18,423.00 19,871
++ PARKS/REC SERV PART TIME 161,912.79 170,9C2.00 191,79C
+* TOTAL RECREATIONAL SERVICES 455,241.87 483,250.15 524,608
168
-� City of Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
570 CULTURE AND RECREATION DIV: PARK FACILITIES ACCT: 131 000 20 575 10 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 575 10 00 CO PARKS FACILITIES
10 00 SALARIES AND WAGES 300.072.16 328,827.00 443,033
10 02 OVERTIME 4,063.90 4.677.00 5.000
10 70 SALARIES AND MAGES/FRS 1031250.CC 118,C00.00
* SALARIES AND WAGES 407.386.06 451.504.00 448.033
20 00 PERSONNEL BENEFITS
20 01 RETIREMENT/WPERS 28.549.14 33.919.00 35.643
20 C3 FICA 27.568.09 31.747.00 31.912
20 04 PREPAID MEDICAL 28.778.34 38.868.00 37.275
20 C6 INDUSTRIAL INSURANCE 71973.84 9788.00 9.724
20 07 LIFE INSURANCE 2.006.25 2.275.00 2.242
20 09 PREPAID DENTAL 9,613.25 12,756.00 10,837
20 14 UNIFORM ALLOWANCE 2,121.94 1x500.00 31000
* PERSCNNEL BENEFITS 106,670.85 130,853.00 130,533
30 CO SUPPLIES
31 CO OPERATING SUPPLIES 108,086.68 112,699.00 125,000
* SUPPLIES 108.086.68 112,699.00 125,000
' 40 CO OTHER SERVICES B CHARGES
41 40 PROFESSIONL SERV/PARK FAC 1,704.CC 2,000.00 7,000
43 35 PARK DEPT TRAVEL 1C0.00 200
45 CO OPERATING RENTALS 8 LEASES
45 Cl OTHER RENTALS 2,061.53 2,000.00 3.000
45 02 EQUIPMENT RENTAL 22.268.63 22,080.00 22,860
47 00 PUBLIC UTILITY SERVICE
47 01 ELECTRICITY 53.226.97 81.057.00 81,057
47 C2 WATER, SEWER & METRO 24,835.92 27,165.00 30,000
47 03 GAS 23,811.28 28.732.00 32,G00
47 05 KING CO TRANSFER STATION 110.27 960.00 300
47 C6 MAINT FOR RR SIGNALS 85.00 3,21C.00 3,000
48 00 REPAIRS 8 MAINTENANCE 25,319.76 26,106.00 501300
49 00 MISCELLANEOUS
49 12 MEMBERSHIPS 3 REGISTRA 300.00 500
49 36 MISC AWARDS 50.00 50
49 37 VANDALISM 5,396.66 10,334.00 10,000
* OTHER SERVICES AND CHARGES 158,820.02 204,594.00 240,267
40 CO CAPITAL OUTLAY
63 00 IMPRVMTS OTHER THAN SLOGS
63 Cl EARLINGTON SCHOOL IMPROVEMTS
63 02 CEDAR RIV TR BANK STABLIZA 100000.00
1 63 C3 CEDAR RIV PK SPORT LIGHTS
63 C5 CARCO THEATER
63 C6 TIFFANY PARK IRRIGATION
63 07 PHILLIP ARNOLD PARK 3,500.00
63 C8 TALBOT HILL PARK 7,000.00
' 63 09 TALBOT HILL RESERVOIR 2,500.00
63 10 MOTHERS PARK 5.000.00
63 11 SWIMMING POCL EMERG FUND
63 12 NORTH HIGHLANDS PLAY EQUIPMENT
63 13 KIWANIS PARK 4,000.00
63 21 KENNYDALE LIONS PARK FENCING 50030
63 22 HIGH SCM ATHLETIC COMPLEX 15.924.21
63 23 PAVING/CEDAR RIVER TRAIL 120000.00
63 24 KENNYDALE BEACH
63 29 LIBERTY PARK PICNIC/PATIO FAC 10,000
63 30 HIGHLANDS PARK
' 63 31 MAPLEWOOD PARK
63 41 WINDSOR HILLS PARK 50000.00
63 85 LIBERTY PARK/PARKING LOT RENCV 5,000
63 70 HENRY MOSES POOL 15,873.22
64 00 MACHINERY 8 EQUIPMENT 35.101.23 18,700
* CAPITAL OUTLAYS 66,898.66 49.000.00 38,700
90 00 EXPENDITURE CREDITS
90 C7 REIMB FR AIRPORT/AIR PK MTC 50000.00-
' * EXPENDITURE CREDITS 5,000.00-
** PARK FACILITIES 847,862.27 943.650.00 982.:33
169
Affl City of Renton 1y85 PRELIMINARY BUDGET
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
570 CULTURE AND RECREATION DIV: PKS FACILITIES PART TIME ACCT: 101 000 20 575 11 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
COO 20 575 11 00 CO PKS FACILITIES PART TIME
10 00 SALARIES AND MAGES 82.450.30 86,219.00 102,219
10 C2 OVERTIME 163.11 1,800.00 1,800
• SALARIES AND MAGES 82.613.41 88,019.00 104,C19
20 OC PERSONNEL BENEFITS
20 C3 FICA 5.550.78 6.162.00 7,334
20 06 INDUSTRIAL INSURANCE 4,029.71 4,544.00 4,544
* PERSONNEL BENEFITS 9,580.49 10,706.00 11,878
•. PKS FACILITIES PART TIME 92,193.90 98,725.00 115,397
** PARKS FACILITIES 940eC56.17 1,042,375.00 1,098,430
FUNCTION: DEPT: PARKS DEPARTMENT FUND: PARKS
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 101 000 20 597 GO OO CC
ACCOUNT NUMBER 1983 1984 1995
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 597 00 50 00 PARK FD/CPR TRANSFERS-OUT 46,790.CC
*+ OPERATING TRANSFERS-OUT 46,790.00
SUB-TOTAL ENDING BALANCE 384,477.10 90,541.00 201OOC
SU8-TOTAL EXPENDITURES 2,861,012.79 3,083,902.61 3,329,511
SU6-TOTAL NON-EXPENCITURES
SUB-TOTAL OTHER FINANCING USES 46,79C.00
:• PARKS 3.245,489.89 3,221.233.61 3,349,511
FUNCTION: DEPT: PARKS DEPARTMENT FUND: G COULON BCH PRK CONSTR
570 CULTURE AND RECREATION DIV: PARK FACILITIES ACCT: 315 000 20 575 10 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 575 10 00 CO PK FAC/COULON BEACH CONST
60 00 CAPITAL OUTLAY
65 00 CONSTRUCTION PROJECTS
65 24 COULON BEACH/UNLIM GO BOS 667,793.48 284,000
65 26 IAC GRANT/CCULON BEACH
SUB-TOTAL ENDING BALANCE 372,634.67 3680000.00
SUB-TCTAL EXPENDITURES 667,793.48 284,OOC
SUBTOTAL NCN-EXPENCITURES
SUB-TCTAL OTHER FINANCING USES
*� G COULON BCH PRK CONSTR 11040,428.15 368,000.00 264,000
170
fRCity of Renton 1935 DREIIMINARY BUDGET
FUNCTION: DEPT: PARKS DEPARTMENT FUND: CUM 1894 (BLDG)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 108 000 20 597 00 00 00
ACCOUNT NUMBER 1983 19E4 1965
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 597 00 00 CO 1894 MUN BLDG/OPR TRANSERS-OUT
50 CO INTERGCVERNMENTAL SERVICES 56.-300
SUB-TOTAL ENDING BALANCE 19.864.53 48.-500.00
SUBTOTAL EXPENDITURES
SUBTOTAL NON-EXPENDITURES
' SUB-TOTAL OTHER FINANCING USES 561300
*• CUM 1894 (BLDG) 19.864.53 4E.-500.00 56.300
FUNCTION: DEPT: PARKS DEPARTMENT FUND: CUM 1689 (PARKS)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 110 000 20 597 00 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 20 597 00 00 CO 1689 PK PROP/OPR TRANSFERS-OUT
50 00 INTERGOVERNMENTAL SERVICES 26.-800.00
SUBTOTAL ENDING BALANCE 241620.73 1.-60C
SUB-TCTAL EXPENDITURES
SUBTOTAL NON-EXPENDITURES
SUBTOTAL OTHER FINANCING USES 26.-800.00
*• CUM 1689 (PARKS) 24.620.73 26.800.00 1.600
FUNCTION: DEPT: PARKS DEPARTMENT FUND: CUM 2104 (PK EQUIP)
' 590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 112 000 20 597 00 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 20 597 00 00 CO 2104 PK EC CPR TRANSFERS-OUT
50 CO INTERGOVERNMENTAL SERVICES 34.-685.79 13.356
SUB-TOTAL ENDING BALANCE 126.738.00 129.000.00 137.342
SUBTOTAL EXPENDITURES
SUBTOTAL NON-EXPENDITURES
SUB-TOTAL OTHER FINANCING USES 34.685.79 13.-358
•• CUM 2104 (PK EQUIP) 161.423.79 129.-000.00 150.700
FUNCTION: DEPT: PARKS DEPARTMENT FUND: CUM 2283 (SEAUTIFICATICN)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 113 000 20 597 00 00 CO
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 20 597 00 00 CO 2283 BEAUT/CPR TRANSFERS-OUT
50 CO INTERGOVERNMENTAL SERVICES
SUB-TOTAL ENDING BALANCE 2.590.94 2.-200.00 3.-300
SUB-TCTAL EXPENDITURES
SUB-TCTAL NCN-EXPENCITURES
SUB-TOTAL OTHER FINANCING USES
*+ CUM 2253 (BEAUTIFICATION) 2.-590.94 2.200.00 3.-300
it
171
I �
;7R
Department:
CITY OF RENTON 1985 PRELIMINARY BUDGET
' Department: LIBRARY DEPARTMENT Fund: LIBRARY FUND
Division: ALL DIVISIONS OF LIBRARY FUND Account: 106/000/21.572
LIBRARY: The Main Library and the Highlands Branch provide a broad spectrum of Library services
to adequately meet the informational, educational, civic, recreational, and archival needs of City of
Renton residents. Basic functions include administration, informational services, children's programs,
circulation control, technical services and facilities maintenance. The Library stock includes 134,865
books, 100,251 titles, 5,312 maps, 5,265 recordings, 22 newspapers and 421 magazine subscriptions.
Main Library is open 64 hours per week and the Highlands Branch is open 42 hours per week.
EXPENDITURE SUMMARY
Expenditure Description 1983 Actual 1984 Adjusted 1985 Mayor's
Expenditures Budget Recommendation
. LIBRARY FUND/ALL DIVISIONS:
FULL TIME SALARIES $228,262.63 $252,278.00 $252,734
PART TIME SALARIES 120,781.00 111,057.00 125,904
OVERTIME 738.97 500.00 1,000
SUB-TOTAL SALARIES & WAGES $349,782.60 $363,835.00 $379,638
PERSONNEL BENEFITS 70,414.48 82,640.00 85,917
SUPPLIES 10,491.64 11,061.05 13,060
OTHER SERVICES & CHARGES 13,906.00 12,160.00 13,913
CAPITAL OUTLAY 71,754.34 81,359.00 89,000
TOTAL EXPENDITURES $516,349.06 $551,055.05 $581,528
OPERATING TRANSFERS-OUT --- 4,300.00 ---
1 ENDING FUND BALANCE 98,912.68 9,165.00 5,000
TOTAL PROGRAM - LIBRARY FUND $615,261.74 —T—$564,520.05 $586,528
POSITION SUMMARY 1 985 BUDGET SUMMARY
Full Time Positions. Number of Positions ($ in 000's)
Grade Position Title 1983 1984 1985
18 Library Director 1 1 1 1984 BUDGET AS ADOPTED $ 552
(EXPENDITURES)
12 Assistant Library Director 1 1 1
5 Administrative Secretary1 1 1 A 5 1usBr. Lis to 1984 Budget 1-
Res. 2544/Br. Library maint. �ransf.
4 Senior Library Assistants 2 2 2 to Parks General Services ---- $4,300-
2 Administrative Clerk II 1 1 1 Ord. 3834/Appr. to Book acct. _ 1,244+ Total Adj.
2 Library Assistants 4 4 4 Work in Progress --------------
2,276+ $780-
TOTAL FULL TIME POSITIONS 10 10 10 EQUALS 1984 ADJUSTED BUDGET $ 551
(EXPENDITURES)
PART TIME/FULL TIME EQUIVALENTS 5.1 4.7 5.3
(Part time Librarians, Add Increased Cost to 7
Library Assistant, and Maintain Same Service Level
' temporary help)
Percentage Increase Over 1984 1.3 %
Add 1985 New Programs/Changes 24
(See L.i.e.t on ijoCPowdng page/pagee)
Sub-Total All 1985 Increases $ 31
EQUALS TOTAL 1985 MAYOR'S
RECOMMENDED BUDGET $ 582
PERCENTAGE INCREASE OVER 1984 5.6 %
172
i '�`R
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: LIBRARY DEPARTMENT Fund: LIBRARY FUND '
Division: ALL DIVISIONS OF LIBRARY FUND Account: 106/000/21.572
1985 NEW PROGRAMS/CHANGES
LIBRARY SERVICES:
1) Increase Library Books Allocation ... . . . .. .. .. ... . . ... .. . . .. ... .. .. .... .. . .. $ 9,756
$78,000 - Original 1984 allocation
1,244 - Ord. 3834 appropriated unanticipated revenue
$79,244 - Adjusted 1984 appropriation
(89,000) 1985 request
$ 9,756 - Total increase over adjusted 1984 appropriation
The requested increase in 1985 will bring the book account back
to the 1982 level of funding.
2) Library Part Time Help Increase .. .... ........ ... . . . . . . ... .. . . . . . . . . .. . .. . .. 13,934
Additional help will more adequately staff the Library. Also will
allow a small pay increase.
TOTAL ALL NEW PROGRAMS/CHANGES - LIBRARY DEPARTMENT . . .. . . .... . . .. . ... .. .. . . . . . $23,690
LIBRARY DEPARTMENT - CUMULATIVE RESERVE FUND #3390 (LIBRARY IMPROVEMENTS) FUND 119:
The remaining balance in the fund will be transferred to the Capital
Improvement Fund #317 in 1985, to provide a portion of funding for
the Main Library Improvement program. Total - $16,800.
173 ,
:*RCity of Renton
1585 PRELIMINARY BUDGET
FUNCTION: DEPT: LIBRARY DEPARTMENT FUND: LIBRARY
570 CULTURE AND RECREATION DIV: LIBRARY ADMINISTRATION ACCT: 1G6 000 21 572 10 GG GG
ACCOUNT NLMSER 1983 1984 1565
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SCMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 21 572 10 00 CO LIBRARY ADMINISTRATION
10 00 SALARIES AND WAGES 99.763.78 103.240.00 105.013
10 02 OVERTIME 481.85
* SALARIES AND WAGES 100.245.63 103.240.00 105.013
20 CO PERSONNEL BEN=FITS
20 Cl RETIREMENT/WPERS 7,004.18 7.762.00 8.339
20 C3 FICA 6.130.56 6.739.00 7�C79
20 O4 PREPAID MEDICAL 61366.84 7.656.00 71572
20 Co INDUSTRIAL INSURANCE 201.41 252.00 252
20 07 LIFE INSURANCE 502.20 504.00 513
20 09 PREPAID DENTAL 1.956.72 2268.00 2.173
* PERSONNEL BENEFITS 22161.91 25181.00 25928
30 GO SUPPLIES
31 CG OFFICE/OPERATING SUPPLIES 31705.39 2.500.00 31500
* SUPPLIES 3.705.39 2.500.00 3.500
40 OO OTHER SERVICES & CHARGES
43 CO TRAVEL
43 37 LIBRARY TRAVEL 200.00 200.00 21C
48 CO REPAIRS & MAINTENANCE 1.364.80 1.400.00 3.000
49 OO MISCELLANEOUS
49 12 MEMBERSHIPS & REGISTRA 166.40 180.00 280
49 19 TAX COMMISSION
* OTHER SERVICES AND CHARGES 1,731.20 1.780.00 31490
60 00 CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT
* CAPITAL OUTLAYS
** LIBRARY AOMINISTRATIGN 127.844.13 132.701.00 137.931
174
tI R City of Renton
1985 PRELIMINARY BUDGET
FUNCTION: DEPT: LIBRARY DEPARTMENT FUND: LIBRARY
570 CULTURE ANC RECREATION DIV: LIBRARY SERVICES ACCT: 106 000 21 572 20 00 CO
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECCMMEND.
000 21 572 20 00 CO LIBRARY SERVICES
10 00 SALARIES AND WAGES 2b,641.00 200,934.00 230,625
10 C2 OVERTIME/VACATION RELIEF 257.12 500.00 1,OCC
10 70 SALARIES & WAGES/FRS 180,753.84 29,000.00
* SALARIES AND WAGES 209,651.96 230,434.00 231,625
2O 00 PERSONNEL BENEFITS
20 Cl RETIREMENT/WPERS 12,111.89 141722.00 15.581
20 C3 FICA 13,989.83 16,223.00 16,332
20 04 PREPAID MEDICAL 13,335.17 16,848.00 17,308
20 C6 INDUSTRIAL INSURANCE 653.29 857.00 857
20 07 LIFE INSURANCE 962.42 1,12b.00 1,175
20 09 PREPAID DENTAL 4,232.75 5,3G4.G0 4.764
* PERSONNEL BENEFITS 45,285.35 55482.00 56,517
30 CO SUPPLIES
31 GO OPERATING SUPPLIES o,001.C4 5,200.00 6,200
* SUPPLIES 6,001.04 5,200.00 6,200
40 GO OTHER SERVICES & CHARGES
41 CO PROFESSIONAL SEERVICES
41 54 LIBRARY PROGRAMS 250.00 500.00 1,000
42 GO COMMUNICATION
42 Cl POSTAGE 1,202.73 1,150.00 1,400
42 C2 TELEPHONE 238.16 250.00 263
42 05 FIRE ALARM SYSTEM 532.04 525.00
45 CO OPERATIKG RENTALS & LEASES
45 01 OTHER RENTALS 4,063.70 50500.00 3,900
49 GO MISCELLANEOUS
49 C6 PRINTING & BINDING 604.70 450.00 1,OCO
49 12 MEMBERSHIPS & REGISTRA 440.00 485.00 510
* OTHER SERVICES AND CHARGES 7,391.33 8,860.00 8,073
60 GO CAPITAL OUTLAY
64 00 MACHINERY & EQUIPMENT 21114.54
64 12 LIBRARY BOOKS/OTHER MATL 7,244.46 891OOC
64 70 LIBRARY BOOKS/MATERIALS/FRS 71,754.34 72,000.00
* CAPITAL OUTLAYS 71,754.34 81,359.00 69,00C ,
** LIBRARY SERVICES 340,084.62 3800935.00 391, 15
FUNCTION: DEPT: LIBRARY DEPARTMENT FUND: LIBRARY
570 CULTURE AND RECREATION DIV: LIBRARY PART TIME STAFF ACCT: 106 000 21 572 21 00 GO
ACCOUNT NLMBER 1983 1984 1085
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITE14 SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 21 572 21 00 GO LIBRARY PART TIME STAFF
10 00 SALARIES AND WAGES 39,885.01 30,161.00 43,000
10 02 OVERTIME
* SALARIES AND WAGES 39,885.01 30x161.00 43,000
20 CO PERSONNEL BENEFITS
20 C3 FICA 2,669.13 2,112.00 3,032
20 C6 INDUSTRIAL INSURANCE 298.C9 265.60 44C
* PERSONNEL BENEFITS 2,967.22 2,377.00 3,472
** LIBRARY PART TIME STAFF 42,852.23 32,538.00 46,472
175
fRcityof Renton 1985 PRELIMINARY BUDGET
FUNCTION: DEPT: LIBRARY DEPARTMENT FUND: LIBRARY
570 CULTURE AND RECREATIOh DIV: LIBRARY FACILITIES ACCT: 106 000 21 572 50 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
000 21 572 50 00 00 LIBRARY FACILITIES
' 30 CO SUPPLIES
31 CO OPERATING SUPPLIES 785.21 1.061.05 945
35 00 SMALL TOOLS/MINOR EQUIPMENT 21300.00 21415
* SUPPLIES 785.21 31361.05 313oO
40 CO OTHER SERVICES S CHARGES
41 CO PROFESSIONAL SERVICES
41 55 BLDG MAINT/HIGHLANDS LIBRARY 3.960.00
48 CO REPAIRS d MAINTENANCE 250.00 11000.00 1.050
48 01 VANDALISM/LIBRARY
46 C2FIRE ALARM SYS NTC/LIBR 573.47 520.00 1.300
* OTHER SERVICES AND CHARGES 41783.47 1x520.00 2135C
1 60 CO CAPITAL CUTLAY
64 00 MACHINERY 6 EQUIPMENT
* CAPITAL OUTLAYS
** LIBRARY FACILITIES 51568.68 418E1.05 5.710
** LIBRARIES 516.349.06 551.055.05 581.528
FUNCTION: DEPT: LIBRARY DEPARTMENT FUND: LIBRARY
590 OTHER FINANCING USES DIV: CPERATING TRANSFERS-OUT ACCT: 106 000 21 597 00 00 00
ACCOUNT NLMBER 1983 1984 1985
ACCOUNT CESCRIPTION ACTUAL CURRENT ESTIM MAYOR'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMENC.
OCO 21 597 00 50 00 LIBRARY FUND/OPR TRANSFERS-OUT 41300.00
** OPERATING TRANSFERS-CUT 4.300.00
SUBTOTAL ENDING BALANCE 98.912.68 9.165.00 5.000
SUB-TOTAL EXPENDITURES 516.349.06 551.055.05 581.528
SUBTOTAL NON-EXPENDITURES
SUBTOTAL OTHER FINANCING USES 41300.00
** LIBRARY 6151261.74 5641520.05 5661528
FUNCTION: DEPT: LIBRARY DEPARTMENT FUND: CUM 3390 (LIBRARY IMPR)
590 OTHER FINANCING USES DIV: OPERATING TRANSFERS-OUT ACCT: 119 000 21 597 00 00 00
ACCOUNT NUMBER 1983 1984 1985
ACCOUNT DESCRIPTION ACTUAL CURRENT ESTIM MAY-0R'S
LINE ITEM SUMMARY EXPENDITURES AS OF 10/24 RECOMMEND.
OCO 21 597 OC 00 CO 3390 LIB IMPR/OPR TRANSFER-OUT
50 00 INTERGOVERNMENTAL SERVICES 161400.00 101800
SUBTOTAL ENDING BALANCE 151282.56
SUBTOTAL EXPENDITURES
SUBTOTAL NON-EXPENCITURES
SUBTOTAL OTHER FINANCING USES 161400.00 1618CC
1 ** CUM 3390 (LIBRARY IMPR) 151282.56 161400.00 161800
176
t
t
I �
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: FINANCE, FIRE, PUB. WKS., PARK, LIBRARY Fund: CAPITAL IMPROVEMENT
Division: GENERAL GOVERNMENT CAPITAL Account: 317/000/04, 09, 15, 20, 21
IMPROVEMENT PROGRAMS
CAPITAL IMPROVEMENT PROGRAM: Provides infrastructure necessary for controlled growth and to address
general City needs. The 1985 proposed program includes the following:
MISCELLANEOUS GENERAL GOVERNMENT PROGRAMS (Items 1 - 3) ........ $ 114,066
PARK IMPROVEMENT PROGRAMS (Items 4 - 20) ............................ 253,920
STREET AND TRAFFIC IMPROVEMENT PROGRAMS (Program No. 010 - 109) 1,094,100
SUB-TOTAL CAPITAL IMPROVEMENT FUND ............................ $1,462,086
ARTERIAL STREET FUND IMPROVEMENT PROGRAMS ....................... 1,257,569
STREET FORWARD THRUST FUND IMPROVEMENT PROGRAMS .......... .... 3,531,600
TOTAL 1985 PROPOSED CAPITAL IMPROVEMENT PROGRAM ............ $T,251,255
1984 1984 1985 1985 RESOURCES
Adjusted Estimated MAYOR'S Property Federal Real Transfers Other
Program Description Budget Actual RECOMM. Tax Revenue Estate from Cum. Resources
MISCELLANEOUS GENERAL Expenses BUDGET Sharing Excise Tax Reserves (see below)
SII �
GOVERNMENT PROGRAMS:
1) DATA PROCESSING MASTER
SYSTEMS PLAN EQUIPMENT: 113,700 117,526 44,066 466 43,600
Finance: Long-term
Communications Debt
Equipment $ 4,000 Proceeds
Disk Drive 10,000
PC/Terminal 4,300
Terminal
City Clerk 2,600
Building:
Terminal $ 2,600
Hearing Examiner:
PC/Terminal $ 4,100
Parks:
PC/Terminal $ 3,500
Public Works:
PC/Terminal $ 3,500
Police Investigations:
PC/Terminal $ 4,000
Inventory
Control Sftware $ 1,000
On-rite Training
Class/Computer $ 4,000
Debt Issuance
Costs $ 466
$44,066
' 2) FIRE - LONG-RANGE
PLANNING 30,000 30,000 -0-
3) LIBRARY IMPROVEMENT
PROGRAM 70,000 -0- 70,000 53,200 16,800
Rebudget - Select C/R 3390
architect January, 1985; Library
develop remodeling plans Improvmts.
for Main Library; work Fund 119
underway summer, 1986
SUB-TOTAL MISCELLANEOUS
GENERAL GOVERNMENT
PROGRAMS 213,700 147,526 114,066 466 -0- 53,200 16,800 43,600
177
`R CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: FINANCE, FIRE, PUB. WKS., PARK, LIBRARY Fund: CAPITAL IMPROVEMENT
GENERAL GOVERNMENT CAPITAL
Division: IMPROVEMENT PROGRAMS Account: 317/000/04, 09, 15, 20, 21
PARK; IMPROVEMENT PROGRAMS 0.
1984 1984 1985 1985 RESOURCES _
Adjusted Estimated MAYOR'S Property Federal Real Transfers Othei
Program Description Budget Actual RECOMM. Tax Revenue Estate from Cum. Resources
Expenses BUDGET Sharing Excise Tax Reserves (see below)
PARK IMPROVEMENT
PROGRAMS:
4) NEIGHBORHOOD PARK
PROPERTY 145,000 145,000 -0-
5) EARLINGTON PARK
IMPROVEMENTS 46,790 46,790 -0-
6) KENNYDALE BEACH DOCK
REPLACEMENT 31,000 31,000 -0-
7) LIBERTY PARK PICNIC
SHELTER - Replace wooden 16,000 -0- 16,000 16,000
roofed shelter.
Rebudget - 1985
8) CEDAR RIVER TRAIL
PICNIC SHELTER 24,000 24,000 -0-
9) HIGHLANDS ADMINISTRATION
BUILDING RENOVATION 24,000 24,000 -0-
10) PEDESTRIAN CORRIDOR/
SHOP SITE REDEVELOPMENT: 159,080 159,080 -0-
IAC Grant 124,315
City Funds 34,765
$159,080
11) HIGHLANDS RECREATION
CENTER RENOVATION - 30% -0- 0- 37,646 37,646
local match for H&CD
block grant; Phase II
renovation of Highlands
Administration Building
to neighborhood recreation
center.
Block Grant $ 87,839
CIP Fund 37,646
$125,485
12) ENERGY CONSERVATION
PROGRAM/CITY FACILITIES: -0- -O- 26,474 7,662 18,812
a City Hall - Separate Puget
cooling System for jail Power
to allow main chiller to
be shut down on weekends
and nights ($16,000).
b) City Hall parking lot
lights; replace lights
with energy-efficient
fixtures ($7,370).
c) Highlands Library -
Energy management system
for heating/cooling
s stems ($3,104). _
178
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: FINANCE, FIRE, PUB. WKS., PARK, LIBRARY Fund: CAPITAL IMPROVEMENT
Division: GENERAL GOVERNMENT CAPITAL
Account: 317/000/04, 09, 15, 20, 21
IMPROVEMENT PROGRAMS
PARK IMPROVEMENT PROGRAMS - Continued
1984 1984 1985 1985 RESOURCES
Adjusted Estimated MAYOR'S Property Federal Real Transfers Other
Program Description Budget Actual RECOMM. Tax Revenue Estate from Cum. Resources
Expenses BUDGET Sharing Excise Tax Reserves (see below)
13) CEDAR RIVER TRAIL
BANK STABILIZATION -0 -0- 25,000 25,000
Continue and expand
program with Public
Works, north of Sixth.
14) NORTH HIGHLANDS
NEIGHBORHOOD RECREATION
CENTER RENOVATION -O- -O- 63,800 7,500 56,300
Exterior siding, light- C/R 1894
ing, windows, etc., to Buildings
bring up to standards. Fund 108
Insulation for energy
efficiency. Potential
funding as H&CD project
in 1986.
15) POLICE COUNTER AREA
REMODEL - Remodel front -O- -O- 10,000 10,000
counter area for new
alarm system and more
effective use of area.
16) TIFFANY PARK IRRIGATION
' Phase I, automatic -0- -0- 10,000 10,000
irrigation system for
more efficient park
watering.
17) RENTON HIGH SCHOOL
EAST FIELD IMPROVEMENTS -0- -0- 10,000 10,000
Reconstruct east field
backstop and fencing
and renovate infield;
add bleachers with pads
1 18) KIWANIS PARK FIELD
DRAINAGE - Design and -O- -0- 25,000 25,000
installation of proper
drainage and soils at
Kiwanis sports field
area.
19) PHILLIP ARNOLD PARK
PICNIC SHELTER -0- -O- 15,000 15,000
Purchase and install
picnic shelter for all-
weather use of area and
improved picnic facility.
20) TALBOT HILL PARK
PICNIC SHELTER - -0- -0- 15,000 15,000
Install picnic shelter.
SUB-TOTAL 445,870 429,870 253,920 -0- 178,808 -0- 56,300 18,812
PARKS PROGRAMS
179
Co
4-
'R
CITY OF RENTON 1985 PRELIMINARY BUDGIi-T I
Department: FINANCE, FIRE, PUB. WKS., PARK, LIBRARY Fund: CAPITAL IMPROVEMENT
Division: GENERAL GOVERNMENT CAPITAL Account: 317/000/04, 09, 15, 20, 21 '
IMPROVEMENT PROGRAMS
STREET AND TRAFFIC IMPROVEMENT PROGRAMS ,
1984 1984 1985 1985 RESOURCES _
Adjusted Estimated MAYOR'S Property Federal Real Transfers Other
Program Description Budget Actual RECOMM. Tax Revenue Estate from Cum. Resources
Expenses BUDGET Sharing Excise Tax Reserves (see below)
STREET - TRAFFIC
IMPROVEMENTS:
010 - NE SUNSET BLVD.
UNION SIGNAL 45,000 45,000 -0-
015 - BURNETT AVENUE S.
SOUTH SECOND 40,000 -0- 40,000 4,000 36,000
SIGNAL FASP
Rebudget - 1985
031 - TRAFFIC CONTROLLER —
REPLACEMENTS 32,000* 29,079 60,000 47,000 13,000
First year of new five-
year program to replace
remaining obsolete NOTE: 1985 controller replacements are on same interconnect cable=_
equipment. When completed as Rainier Avenue system. Rainier Avenue system will be
equipment will be fully replaced in early 1985 (Program 050/Arterial Street Fund -
compatible with UMS FAUS and J¢ Gas Tax). If proposed controllers are not
computer. 1985 replace- replaced, computer control of these intersections will be
ments as follows lost, resulting in elimination of signal coordination.
Airport Way at Logan
Airport Way at Shattuck
North First/Park at
Bronson
Renton Avenue Ext. at
Taylor
Hardie at Langston 1984-completed five-year replacement program.
032 - OPTICOM
INSTALLATION 27,000 22,000 20,500 20,500
1985 locations as
follows:
South 15th &
Benson Dr. S. $ 5,500
Sunset Blvd. &
Edmonds NE 5,000
Sunset Blvd. &
Duvall NE 5,000
Sunset Blvd. &
Park Avenue
Extension 5,000
$20,500
033 - NORTH THIRD/NORTH
FOURTH TRAFFIC 10,000 10,000 -0-
SIGNAL DETECTION
034 - SOUTH THIRD/
WILLIAMS-WELLS 10,000 I.O,000 -0-
INTERSECTION
035 - LIND AVENUE BRIDGE
TO I-405 50,000 -0- 120,000 41,000 79,000
Street widening in con- C/R 3547
junction with State Dept. Comm. Fac.
of Transportation I-405 Fund 121
Highway Development
Project (Rebudget - 19851 ._
180
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: FINANCE, FIRE, PUB. WKS., PARK, LIBRARY Fund: CAPITAL IMPROVEMENT
Division: GENERAL GOVERNMENT CAPITAL Account: 317/000/04, 09, 15, 20, 21
IMPROVEMENT PROGRAMS
STREET AND TRAFFIC IMPROVEMENT PROGRAMS - Continued
1984 1984 1985 1985 RESOURCES
Adjusted Estimated MAYOR'S Property Federal Real Transfers Other
Program Description Budget Actual RECOMM. Tax Revenue Estate from Cum. Resources
Expenses BUDGET Sharing Excise Tax Reserves see below)
036 - HEATHER DOWNS
STORM DRAINAGE 55,000 55,000 -0-
Complete - 1984
037 - NORTH 30TH/PARK
AVENUE NORTH TO 10,000 10,000 -O-
I-405 OVERLAY
Complete - 1984
038 - MONROE AVENUE NE
NE FIFTH TO NE 50,000 -0- 257,600 107,600 140,000 10,000
TENTH (OVERLAY) School
In conjunction with District
Renton School District
(Rebudget - 1985)
See Fund 102/Program
038 also.
039 - SR 167/SOUTH 43RD
SIGNALIZATION 17,200 17,200 -0-
Complete - 1984
042 - UNION AVENUE NE/
1 NE FOURTH/ 91,930 91,930 60,000 60,000
SE SECOND
Project continuation.
1 043 - NE 12TH/SUNSET
TO UNION 40,000 Cancelled
1984 Project - Cancelled
044 - NORTH OF NE 16TH
EDMONDS-KIRKLAND 40,000 40,000 -O-
Complete - 1984
099 - BENSON/GRADY/MAIN
AVENUE SOUTH -0- -0- 65,000 48,954 16,046
SIGNALIZED INTER-
SECTION REBUILD
Constructed in 1969,
design now obsolete and
non-standard. Rebuild NOTE: Program 099 (Signalized Intersection Rebuild) is the first-
to include relocating year element of a five-year program. Anticipate rebuilding
poles and heads for ten i tersections during the iext five y ars.
better driver visibility
installing pedestrian
signals, crosswalk, and
new controller.
181
of -- CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: FINANCE, FIRE, PUB. WKS., PARK:, LIBRARY Fund: CAPITAL IMPROVEMENT
Division: GENERAL GOVERNMENT CAPITAL Account: 317/000/04, 09, 15, 20, 21
IMPROVEMENT PROGRAMS
STREET AND TRAFFIC IMPROVEMENT PROGRAMS - Continued
1984 1984 1985 1985 RESOURCES _
Adjusted Estimated MAYOR'S Property Federal Real Transfers Other
Program Description Budget Actual RECOMM. Tax Revenue Estate from Cum. Resources
Expenses BUDGET Sharing Excise Tax eServes (see below)
101 - SIGNAL,
-0- -0- 35,000 35,000
Install 25 pair signal
interconnect wire from
City Hall to inter-
section of Lind and
Grady. Between Lake
Avenue and Rainier on
Grady and South Fourth
and South Seventh on
Burnett; install new
underground conduit.
Intent is to provide
computer control and
coordination of traffic
signals in Valley, and
along S/SW 43rd. This
project imperative if
benefits of proposed
Valley General Hospital
- One Valley Place LID
is to be realized.
102 - STREET LIGHTING
LUMINAIRE -0- -0- 31,000 31,000
INSTALLATION AND
REPLACEMENT
a) Inst—a-17—ten new
aluminum light standards ,
luminaires and foundationE
to complete NE Fourth
project. Will replace
lighting currently pro- I�
vided by Puget Power,
inadequate for revised
roadway design. Will
result in more efficient
lighting and overall
traffic safety ($25,000)
b) Replace six CBD
street light standards.
Second year element of
a five-year program to
replace steel poles in
CBD with aluminum poles t
Program based on pro-
posed lighting study
recommendations to
eliminate estimated 50
of the luminaire in
downtown lighting
system ($6,000).
103 - MAY CREEK
INTERCHANGE/I-405 -0- -0- 70,000 70,000
DRAINAGE
In conjunction with
State Department of
Transportation Highway
Development Project.
New 1985 project.
182
etR CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: FINANCE, FIRE, PUB. WKS., PARK, LIBRARY Fund: CAPITAL IMPROVEMENT
Division: GENERAL GOVERNMENT CAPITAL Account: 317/000/04, 09, 15, 20, 21
IMPROVEMENT PROGRAMS
STREET AND TRAFFIC IMPROVEMENT PROGRAMS - Continued
1984 1984 1985 1985 RESOURCES
Adjusted Estimated MAYOR'S Property Federal Real Transfers Other
' Program Description Budget Actual RECOMM. Tax Revenue Estate from Cum. Resources
Expenses BUDGET Sharing Excise Tax Reserves (see below)
104 - HOUSER WAY
�i BRIDGE PAINTING -0- -0- 30,000 30,000
New 1985 project.
105 - WILLIAMS AVENUE
BRIDGE PAINTING -0- -0- 50,000 50,000
New 1985 project.
106 - SMALL BRIDGE
EMERGENCY REPAIRS -0- -0- 25,000 25,000
Lake Washington Blvd.-
May Creek; SW 16th St,
Springbrook Creek;
Hardie Avenue SW -
Railroad crossing.
New 1985 project.
107 - GLENCO PHASE II
STORM DRAINAGE -O- -0- 60,000 60,000
Anacortes Avenue NE
from NE 17th to NE 20th,
New 1985 project.
108 - SW 43RD STREET
IMPROVEMENTS -0- -0- 45,000 45,000
Matching funds/LID 329
109 - JEFFERSON AVENUE
NORTH -0- -0- 125,000 125,000
Relocate King County King
Transfer Station entry County
road to line up with
Jefferson Avenue.
Total funding - King
County.
SUB-TOTAL
STREET/TRAFFIC PROGRAMS 518,130 330,209 1,094,100 268,600 235,954 339,546 79,000 171,000
TOTAL EXPENDITURE
AND RESOURCES 1,177,700 907,605 1,462,086 269,066 414,762 392,746 152,100 233,412
ENDING FUND BALANCE 243,700 7,000 492,934 470,934 -0- -0- -0- 22,000
TOTAL CAPITAL
IMPROVEMENT FUND 1,421,400 914,605 19955,020 740,000 414,762 392,746 152,100 255,4121
1) Long Term Debt Proceeds ........... $ 43,600
Puget Power ...................... . 18,812
FASP ............................ 36,000
School District ................... 10,000
King County 125,000
Beginning Fund Balance ............ 7,000
Estimated Investment Interest ..... 15,000
TOTAL OTHER RESOURCES ............. $255,412
183
6 M CITY OF RENTON 1985 PRELIMINARY BUDGET
_ _ _
Department: PUBLIC WORKS (Fund: ARTERIAL STREET
Division: ARTERIAL STREET Account: 102/000/15.541.00
CONSTRUCTION PROGRAMS
ARTERIAL STREET FUND: Established pursuant to State Law allocating the 1/2C State Gasoline Tax
money to cities and towns for street purposes. In order for a project to qualify for funding, it must:
be a part of the City's Six-Year Street Construction Program and must be approved by the State Highway
Department's District State Aid Engineer. This; fund allows the City to accomplish approved projects
using either City forces or contractors, and provides the capability of matching LID participation and
outside agency grants.
TOTAL PROPOSED 1985 ARTERIAL STREET FUND CONSTRUCTION PROGRAM -- $1,257,569.
1983 1984 1984 1985 1985 RESOURCES
Program Description Actual Adjusted Estimated MAYOR'S King }4 Gas
Expenses Budget Actual RECOMM. FAUS FASP
Expenses BUDGET County Tax
012 •- TRAFFIC: COMPUTER I N
REPLACEMENT 258,070.29 300 143 300 300
Rebudget - Audit - 1985
013 - NE SECCIND STREET
SHOP ENTRANCE 40,930.63 250 -0- 250 250
Rebudget - Audit - 1985 — --
018 - DAYTON AVENUE NE
OVERLAY 2,879.03 -0- -0- -0- -0-
019 SUNSET BLVD. NE
SIGNALS 15.20 300 118 300 300
Rebudget - Audit -- 1985 —— --
021 - SW SEVENTH STREET
OVERLAY/DRAINAGE -0- -0- -0- 58,000 '-)8,000
RAINIER AVE. SOUTH
-HARDIE AVE. SOUTH I�
New program
1985 - Construction
038 - MONROE AVENUE NE
NE FIFTH TO -0- -0- -0- 50,000 501000
NE TENTH I�
Curbs/Gutters/Sidewalks
(Also see 317/038)
New program - 1985
045 - SOUTH SEVENTH/
RAINIER AVENUE -0- -O- -0•- 100,000 90,000 10,00[)
New program - 1985 -
Construction
050 - RAINIER AVENUE
SAFETY IMPROVEM -0- 137,OOC 10,000 127,000 105,500 21,500
Rebudget - 1935 -
Construction
051 - PARK AVENUE NORTH
NORTH FOURTH ST. -.0- 50,000 15,000 :33,333 30,000 3,333
Rebudget - 1985 -
Construction
184 �• I�
ctCITY OF RENTON 1985 PRELIMINARY BUDGET
:tR
Department: PUBLIC WORKS Fund: ARTERIAL STREET
Division: ARTERIAL STREET Account: 102/000/15.541.00
CONSTRUCTION PROGRAMS
ARTERIAL STREET CONSTRUCTION PROGRAMS - Continued
1983 1984 1984 1985 1985 RESDURCPS
Program Description Actual Adjusted Estimated MAYOR'S King }C Gas
Expenses Budget Actual RECOMM. FAUS FASP
Expenses BUDGET County Tax
052 - PARK AVENUE NORTH
NORTH THIRD ST. -0- 65,000 15,000 50,000 45,000 5,000
Rebudget - 1985 -
Construction
053 - TALBOT ROAD SOUTH
Joint with King County -0- 317,284 9,500 350,000 172,500 177,500
Rebudget - 1985
Construction
054 - NE THIRD/NE FOURTH
OVERLAY -0- 75,000 112,500 -0-
Complete - 1984
055 - SE FIFTH STREET
OVERLAY/DRAINAGE -0- 41,065 -0- 56,727 56,727
Rebudget - 1985 -
Construction
056 - SE FIFTH PLACE
OVERLAY -0- 5,600 -0- 5,600 5,600
Rebudget - 1985 -
Construction
058 - SE SIXTH STREET
OVERLAY/DRAINAGE -0- 22,400 -0- 31,400 31,400
Rebudget - 1985 -
Construction
059 - MONROE AVENUE SE
OVERLAY -0- 1,750 -0- 1,750 1,750
Rebudget - 1985 -
Construction
060 - NEWPORT AVE. SE
OVERLAY -0- 11,200 -0- 11,200 11,200
Rebudget - 1985 -
Construction
I'I t 061 - PIERCE AVENUE SE
OVERLAY -0- 4,975 -0- 4,975 4,975
Rebudget - 1985 -
Construction
062 - BURLINGTON NRTHRN
INDUSTRIAL PARK/ -0- -0- -O- 42,950 38,655 4,295
RAILROAD CROSSING
New program - 1985 -
Construction
!� 185
Es r-71 CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS Fund: ARTERIAL STREET
Division: ARTERIAL STREET Account: 102/000/15.541.00
CONSTRUCTION PROGRAMS
ARTERIAL STREET CONSTRUCTION PROGRAMS - Continued —
1983 1984 1984 1985 1985 RESOURCES
Actual Adjusted Estimated MAYOR'S King zC Gas
Program Description Expenses Budget Actual RECOMM. FAUS FASP —
Expenses BUDGET County 'Tax
063 - WELLS AVE. SOUTH
RAILROAD CROSSING -0- -0- -0- 80,000 72,000 8,000
New program -- 1985 -
Construction
064 - BRONSON WAY NORTH
RAILROAD CROSSING -0- -0- -0.- 126,700 114,030 12,670
New program - 1985 -
Construction
066 - SW GRADY WAY
BRIDGE (1,769.40) -0- -0-- -0-
067 - NE FOURTH STREET
UNION AVENUE NE -O- 25) -0- 250 250
Rebudget - Audit - 1985
072 - MONROE AVENUE NE
NORTH FOURTH - 84,061.87 -0- -0- -0-
NE SECOND — —
077 - W. VALLEY OVERLAY
(WSDOT Contract— --0- -0- -0- 30,000 30,000
New program - 1985 -
Construction
078 - RAINIER AVENUE
OVERLAY/DRAINAGE -0- -0- -0- 51,000 51,000
(WSDOT Contract)
New program - 1985 -
Construction
147 - ABERDEEN AVE. NE
OVERLAY 13,741.37 -0- -0- -0-
148 - NE 12TH STREET
OVERLAY 9,614.84 -0•- -0- -0-
149 - CAMAS AVENUE NE
OVERLAY 2,266.47 -0.- -0- 0-
150 - NE 16TH STREET
OVERLAY 10,124.31 -O- -0- -0-
151 - NE 20TH STREET I�
OVERLAY -0- 25,600 18,512 -0-
153 - NE 24TH STREET
OVERLAY 25,507.12 -0- -0- -0--
186
r':R
CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS Fund: ARTERIAL STREET
Division: ARTERIAL STREET Account: 102/000/15.541.00
CONSTRUCTION PROGRAMS
' ARTERIAL STREET CONSTRUCTION PROGRAMS - Continued
1983 1984 1984 1985 1985 RESOURCES
Actual Adjusted Estimated MAYOR'S King JC Gas
Program Description Expenses Budget Actual RECOMM. FAUS FASP County Tax
Expenses BUDGET
154 - JONES AVENUE NE
OVERLAY -0- 18,500 15,537 -0-
155 - RENTON AVE. SOUTH 40,619.17 23,000 17,815 -0-
156 - NORTH THIRD/
SUNSET BLVD. 16,995.79 110,000 70,375 3,012 2,500 512
Construction &
Audit - 1985
157 - NE SUNSET BLVD.
' SIGNAL INTRCONNEC 84.74 110,000 105,000 20,000 20,000
158 - PUGET DRIVE
SAFETY IMPROVMNTS 2,432.96 6,567 7,500 300 300
' Audit - 1985
159 - PARK AVENUE NORTH
,I SIGNAL INTRCONNECT 84.74 110,000 105,000 22,222 20,000 2,222
i
177 - S. PUGET DRIVE &
BENSON ROAD SOUTH 160.00 500 -0- 300 300
INTERSECTION
Rebudget - Audit - 1985
TOTAL EXPENDITURES 505,819.13 1,136,541 502,000 1,257,569 128,000 409,685 172,500 547,384
ENDING FUND BALANCE 232,319.15 -0- 282,000 -0- -0- -0- -0- -0-
TOTAL ARTERIAL
STREET FUND 738,138.28 1,136,541 784,000 1,257,569 128,000 409,685 172,500 547,3841
1) J� Gas Tax ............. $251,384
Beginning Fund Balance . 282,000
Est. Investment Interest 14,000
TOTAL .... $547,384
187
foCI CITY OF RENTON 1985 PRELIMINARY BUDGE 7T
Department: PUBLIC WORKS Fund: STREET FORWARD THRUST
STREET FORWARD THRUST
Division: CONSTRUCTION PROGRAMS Account: 301/000/15.541.00
STREET FORWARD THRUST FUND: Monies are available to improve streets that are included in ,
tie King County Forward Thrust Resolution. This fund provides the City with the capability of
matching LID participation and outside agency grants such as Federal-Aid and Disaster Relief,
and State Urban Arterial and Department of Transportation.
TOTAL PROPOSED 1985 STREET FORWARD THRUST CONSTRUCTION PROGRAM - $3,531,600.
1983 1984 1984 1985 1985 RESOURCES
Program Description Actual Adjusted Estimated MAYOR'S Federal King Co. For 7
Expenses Budget Actual RECOMM. Bridge FASP Dr Thrust.
Expenses BUDGET Replacemt. UAB
023 - N. SUNSET/BRONSON
TO I-405 1,598.52 501000 260,000 500 500
Audit - 1985
024 - GARDEN AVENUE N.
In conjunction with
LID - -0- 201,000 201,000 300 300
Audit - 1985
028 - NE 12TH STREET 472.66 1,000 -0- 500 500
Audit - 1985
030 - UNION AVENUE NE King Count
Joint with King County -0- 300,000 -0- 324,500 124,500 200,000
Construction - 1985
040 - WELLS AVE. BRIDGE
1985 - Plans, specs, 7,049.20 730,000 75,000 85,000 70,000 15,OOO
engineering, bid.
Note: $258,000 is 1986
Forward Thrust
Fund commitment
for this program.
066 - SW GRADY WAY
BRIDGE 55,996.44 500,000 304,095 610,000 320,000 ?90,000 I�
Joint with Tukwila.
Construction - 1985
Note: $9,000 is 1986
Forward Thrust
Fund commitment
for this program.
083 - NE FOURTH STREET
In conjunction with LID. -0- 135,000 -0- 270,000 135,000 :.35,000
1985 - Plans, specs,
engineering, and
construction. i
084 - SW GRADY WAY UAB
In conjunction with LID. -0- 2501,000 -0- 1,600,000 1,350,000 250,000 i
1985 - Plans, specs, i !
engineering, and
construction.
j�1B8 i
it" -} CITY OF RENTON 1985 PRELIMINARY BUDGET
Department: PUBLIC WORKS Fund: STREET FORWARD THRUST
Division: STREET FORWARD THRUST Account: 301/000/15.541.00
CONSTRUCTION PROGRAMS
STREET FORWARD THRUST CONSTRUCTION PROGRAMS - Continued
1983 1984 1984 1985 1985 RESOURCES
Program Description Actual Adjusted Estimated MAYOR'S Federal King Co. Forward
Expense Budget Actual RECOMM. Bridge FASP or Thrust
Expenses BUDGET Replacemt. UAB
085 - SUNSET BLVD. NE/
1-405 - EDM= -0- 180,000 -0- 180,000 180,000
' 1985 - Plans, specs,
engineering, and
construction.
086 - TAYLOR AVENUE NW
1985 - Plans, specs, -0- 150,000 4,000 150,000 150,000
engineering, and
construction
087 - ABERDEEN AVE. NE
NE 20th to NE -0- 310,000 -0- 310,000 310,000
27th
1985 -PTans, specs,
engineering, and
construction
111 - SW 43RD STREET 382,246.05 1,500 88,846 300 300
Audit - 1985
113 - SR-515/BENSON
DRIVE SOUTH 242,904.27 66,428 68,059 500 500
Audit - 1985
TOTAL EXPENDITURES
AND RESOURCES 690,267.14 2,874,928 1,001,000 3,531,600 390,000 135,000 1,474,500 1,532,100
ENDING FUND BALANCE 2,420,334.09 23,072 1,742,000 334,900 -0- -0- -0- 334,900
TOTAL STREET FORWARD (I
THRUST FUND 3,110,601.23 2,898,000 2,743,000 3,866,500 390,000 135,000 1,474,500 1,867,000
1) Beginning Fund Balance ...... $1,742,000
' Estimated Investment Interest 125,000
TOTAL ... $1,867,000
' 189
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