Loading...
HomeMy WebLinkAboutORD 5110Amended by ORD:5134, 5146,5174 CITY OF RENTON,WASHINGTON ORDINANCE NO.5110 AN ORDINANCE OF THE CITY OF RENTON,WASIDNGTON, ADOPTING THE ANNUAL BUDGET FOR THE YEAR 2005. THE CITY COUNCIL OF THE CITY OF RENTON,WASHINGTON,DO ORDAIN AS FOLLOWS: SECTION I.After due notice and public hearing thereon as provided by law,the annual budget for the City of Renton for the year 2005,previously prepared and filed with the City Clerk,as modified hereby,be and is hereby ratified,confirmed and adopted,in all respects, as such annual budget for the year 2005.Such annual budget is detailed in Attachment A,2005 Budget Summary by Fund,Resources and Expenditures,which is incorporated herein as if fully set forth.Another ordinance,to be adopted in December 2004,fixes the amount of tax levies necessary for the year 2005. SECTION II.Attachment A defines the total sums authorized and allowed for expenditures and establishes such sums in each of the funds in the annual 2005 budget. SECTIONID.Acts pursuant to this Ordinance,but prior to its passage or effective date,are hereby ratified and confirmed. SECTION IV.A copy of the annual 2005 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. SECTIONV. five days after publication. This Ordinance shall be effective upon its passage,approval,and 1 ORDINANCE NO.5110 PASSED BY THE CITY COUNCIL this 20th day of __D_e_c_e_mb_e_r :,2004. Bonnie I.Walton,City Clerk APPROVED BY THE MAYOR this 20th day of D_e_c_em_b_e_r ,2004. Approved as to fonn: Date of Publication:12/24/2004 (summary) ORD.1147:1l/1O/04:ma 2 ORDINANCE NO.5110 ATTACHMENT A 2005 Budget Summary By Fund,Resources and Expenditures 2005 2005 Fund GENERAL GOVERNMENT FUNDS: OOO/General 007/Parking Garage Maintenance OIO/Fire Memorial Fund 101/Park 103/Street 106/Library 201/Ltd G.O.Bonds/Gen.Govt.Misc.Debt Serv 207/1978 Limited G.O.Bonds 212/1989 Limited Ref.G.O.Bonds 215/Gen.Govt.Misc.Debt Service SPECIAL REVENUE FUNDS: 102/Arterial Street 104/Community Dev Block Grant 107/Parking Garage Operations Fund 110IHotel/Motei Fund 118/Reserve for Paths &Trails 125/1%Fot Art 127/Cable Communication 131/Park Memorial DEBT SERVICE FUNDS: 213/1983 Unlim.Ref.G.O.Bonds 219/1989 Unlimited G.O.Bonds 220/L.I.D.Debt Service Fund 221/L.I.D.Guaranty Fund CAPITAL PROJECT FUNDS (CIP): 301/Garage CIP 303/Community Dev.Mitigation Fund 304/Fire Mitigation Fund 305/Transportation Mitigation Fund 306!Leased City Properties 307/Aquatics Center 316/Municipal Facilities CIP 317/Transportation CIP 10f2 Resources $47,933,500 70,000 o 10,462,100 6,286,200 1,494,700 654,300 35,900 o 1,866,300 353,500 314,500 o 220,000 o 50,000 38,900 o o 519,100 12,800 o o 255,000 300,000 1,313,400 446,700 o 4,335,000 7,986,500 Expenditures $47,933,500 70,000 o 10,462,100 6,286,200 1,494,700 654,300 35,900 o 1,866,300 353,500 314,500 o 220,000 o 50,000 38,900 o o 519,100 12,800 o o 255,000 300,000 1,313,400 446,700 o 4,335,000 7,986,500 ORDINANCE NO.5110 ATTACHMENT A 2005 Budget Summary By Fund,Resources and Expenditures 2005 2005 Fund ENTERPRISE FUNDS: 401/Waterworks Utility 402/Airport 403/Solid Waste Utility 404/Golf Course 421/Waterworks Utility Construction 424/Golf Course Capital Fund 451/Waterworks Revenue Bond Fund 461/Waterworks Bond Reserve 471/Waterworks Rate Stablilization 481/2004 Water/Sewer Bonds INTERNAL SERVICE FUNDS: 501/Equipment Rental 502/Insurance 512/Healthcare Insurance 522ILEOFF 1 Retirees Healthcare Insurance Fund FIDUCIARY FUNDS: 601/Firemen's Pension TOTALS 20f2 Resources 23,982,300 1,960,000 9,078,700 2,321,200 9,450,000 310,000 3,049,800 o o o 3,176,900 3,549,300 6,490,400 1,359,900 672,300 150,349,200 Expenditures 23,982,300 1,960,000 9,078,700 2,321,200 9,450,000 310,000 3,049,800 o o o 3,176,900 3,549,300 6,490,400 1,359,900 672,300 $150,349,200