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HomeMy WebLinkAboutORD 4568 Amended by: ORD 4599, 4617 4645 CITY OF RENTON, WASHINGTON ORDINANCE N0. 4568 `. AN ORDINANCL OF THE CITY OF RENTON, WASHINGTON: 1. ADOPTING THE ANNIIAL BUDGET FOR THE YEAR 1996, AS AMENDED BY THE CITY CO�bTCIL; AND ' 2 . ADJUSTING PARR FEES. THE CITY COUNCIL OF THE CITY OF RENTON, WASHINGTON, DO ORDAIN AS FOLLOWS : SECTION I. The annual bud et for the Cit of Renton g Y , 9 Washington for the year 1996, heretofore prepared and filed with the City . Clerk, as modified hereby 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 1996, and same by this reference is incorporated herein as if fully set forth, labeled as (A) Expenditures, and (B) Resources . Ordinance No 4566 adopted under the date of December llth , 1995, fixes the amount of tax levies necessary for the year 1996 . SECTION II . Attachment "A" defines the total sums for expenditures hereby allowed and established in each of the following funds in said 1996 budget . Attachment "C" defines the I amendments to the budget as passed by the City Council . ORDINANCE NO. 4 5 6 8 SECTION III. Certain park fees are hereby adjusted and established. Such fees are attached as Exhibit "B" and made a part hereof as if fully set forth herein. SECTION IV. The acts taken pursuant to this ordinance but prior to its passage or effective date are hereby ratified and conf irmed. SECTION V. A copy of the budget as herein adopted shall be transmitted to the Office of the State Auditor, Division of Municipal Corporations, and such other governmental agencies as provided by law. SECTION VI . This ordinance shall be effective upon its passage, approval, and five (5) days after its publication. PASSED BY THE CITY COUNCIL thiS llth day of December , 1995 . � Marilyn J. etersen, City Clerk APPROVED BY THE MAYOR this llth day of December , 1995 . � Earl Clymer, ayor Approve ��s to form: J�. !st:�•.;--e`:. " � ��' Lawrence J. Warren, City Attorney � Date of Publication: 12/15/95 ORD.521:11/01/95 :as . � 2 ORDINANCE NO. 4 5 6 8 ATTACHMENT A Fund Revenues Expenditures General Government Funds 000/General $30,745,846 $30,740,822 101/Park $6,610,900 $6,608,660 103/Street $4,604,094 $4,596,978 106/Library $1,166,850 $1,143,376 207/1978 Limited General Obligation Bonds $75,000 $74,863 212/1989 Limited Ref Gen Obligation Bonds $295,900 $293,381 215/General Govt Misc Debt Service $784,000 $768,442 ;:::.>..:.:.... Sbttl '.;;»:: . ' ;; :::>::>::::: : ::::::::>::>: ::;: ;;.:.. .282;..:�t1:::;>': ��2.:.;522: Special Revenue Funds 102/Arterial Street $325,000 $320,000 104/Community Development Block Grant $371,989 $371,989 105/Impact Mitigation $300,000 $0 118lReserve for Paths and Trails $3,400 $0 125/1°�for the Arts $2,000 $2,000 127/Cable Communications $8,000 $12,000 _. ;:.;:.. ,;: <::.:. . : ..:::::. _.. ;:.;::.: <:;:.: ,.... ;: :.� , � Debt Senrice Funds 213/1983 Unlimited Ref. GO Bonds $712,000 $756,998 219/1989 Unlimited GO Bonds $502,000 $495,675 220/L.I.D. Debt Service Funds $783,700 $690,353 221/L.I.D. Guaranty Fund $24,000 $200,000 _.........._ _..... _... ..... _.. _ Sb'Etl <: ' $2,0�1��`31� $2,'1:�l3,l�2f' Capital Project Funds 302/Open Space Construction $0 $0 316/Municipal Facilities CIP $1,509,500 $1,424,500 317/Transportafion CIP $2,262,405 $2,261,405 319/Senior Housing Construction $0 $0 320/L.I.D. Construction Fund $0 $0 _....._ .. Sbttl ; `_:.^:! .$3�771,905:_:. >$3,68�i905: Enterprise Funds 401/Waterworks Utility $19,507,477 $21,016,178 421/Water&Sewer Construction $9,990,957 $10,227,594 402/Airport $682,500 $568,042 403/Solid Waste Utility $6,581,359 $6,475,091 404/Golf Course $1,969,491 $1,898,760 , ;>;:-_;_;. S�'ttl . :.:..;:.;:::::::::::>:::::".. . .. >.�3$731,�`8+�:;::;:::` $+L0;1:�,865 I ► _..:.. Internal Service Funds I 501/Equipment Rental $2,421,641 $2,543,028 502/Insurance $5,284,588 $4,517,671 ;:.;.;: . SbtEt . ::::.. :::.>z::::;::;:...:.. ,.. `<;:::;..._ . ;_;_....$7�70�,2�9:::::::::: �7'�fl60;698 Fiduciary Funds 601/Fire Pension $590,267 $333,902 , .::::. SbfiE1::.:::..<.:.>::::>::>:<:::::>::::>::: ` ;:::> :;:>:;.:';,,.,,.. $59a,287_::>::s:. $333;9t12 TOTALS $98,114,864 $98,341,708 3 ORDINANCE NO. 4 5 6 8 AT"TAC�IMENT B 1996 Exolanation Rate Pool Fees Children 1.00 Teens/Seniors 1.25 Adults 1.50 RCC Banquet Rentals Residents $550+$75/Kitchen Non-Residents $600+$75/Kitchen 4 ORDINANCE NO. 4 5 6 8 1996 BUDGET ORDINANCE I�, A�TACHMENT C 1996 BUDGET AMENDMENTS 1996 Bud et Council 1996 Bud et 9 9 Item Description Account Number Proposed Amendments Amended 1. Reduce Property Tax Revenues to Agree to IGng County's Determination of 1996 Regular Levy Limit and Provide for Facilities Capftal Improvement Funding by Equ'ity Transfer from Insurance Fund. GENERAL FUND: Beginning Fund Balance 000 000000 900 3080 0000 00 000000 1,878,140 0 1,878,140 Property Tax Revenue� 000 000000 000 3110 0010 00 000000 11,478,300 (785,400) 10,692,900 Operating Tsf to Fund 31 S/Sales Tax 000 000000 005 5970 0019 55 000046 175,000 (175,000) 0 Operating Tsf to Fund 316/Prop Tax 000 000000 005 5970 0019 55 000055 719,000 (610,000) 109,000 Ending Fund Balance 000 000000 0� 5080 0000 00 000000 1,883,164 (400) 1,882,764 MUNICIPAL FACILITIES CAPITAL IMPROVEMENT FUND: Beginning Fund Balance 316 000000 000 3080 0000 00 000000 282,064 0 282,064 Operating Tsf from Fund 000/Sales Tax 316 000000 000 3970 0000 00 000046 175,000 (175,000) 0 Operating Tsf from Fur�d 000/Prop Tax 316 000000 �0 3970 0000 00 000055 719,000 (670,000) 109,000 Residual Equity Tsf from Insuranca_Fund 316 000000 000 3870 0000 00 000502 0 605,000 605,000 Heather powns Park Development 316 000000 020 5940 0076 63 000032 100,000 (100,000) 0 Ending Fund Balanee 316 000000 000 5080 0000 00 000000 367,064 (80,000) 287,064 INSURANCE FUND: Beginning Fund Balanee 502 000000 000 3080 0000 00 000000 3,724,732 0 3,724,732 Residual Equity Tsf to Fund 316 502 000000 005 5870 0070 56 000316 0 605,000 605,000 Ending Fund Balance 502 000000 000 5080 0000 00 000000 4,491,649 (605,000) 3,886,649 ;.::.::;..::.,::;. ;';;;;'�9�:i4lvEE151T3EQ::6�3flGE'i>;>::>::»::>;>.:::;::`_' FUND REVENUES EXPENDITURES General Governmental Funds: 000/General $29,960,446 $29,955,822 101/Park 6,610,900 6,608,660 103/Street 4,604,094 4,596,978 106/Library 1,166,850 1,143,376 207/1978 Limited GO Bonds 75,000 74,863 212/1989 Limited Ref GO Bonds 295,900 293,381 2�5/General Govt Misc Debt Service 784,000 768,442 ;::;;.............................:::;;;:::::::::;::;::::.:::::::.:.:.::::.::::::.:;:::::.::.:: .:::::.. ;.:.:.,.::......;;:.;::.:.::;;;:.;:::::.:...:.:....::;.....:,.... u6'�.�":::>::>:>::::<>:<::::::»>::>::::>;::<::<:>:<:»::::»::<::::>:::<:::::>::>::::<::::>::::>:::::<::<:::;::>::;.::::>::::::;:>. 5 .;T.:.at.:::::::::.::::::::::::::::::::::::::::::::::::::::::::::::::.::::::::::.::::::::..::::Sd3r�g�!`190:::::>::::»'"':>:<:>:<.:>:;'543�`fFB�x':.;::: Special Revenue Funds: 102/Arterial Street $325,000 $320,000 104lCommunity Development Block Grant 371,989 371,989 105/Impact Mitigation 300,000 0 118/Reserve for Paths and Trails 3,400 0 125/196 for the Arts 2,000 2,000 127/Cable Communications Develo ment 8,000 12,000 >:::5' :T':.. ( /� hy [�>::>::>::>::>::>::;:::>::>;;:..;:;:::...:.....:.....::::. ub...o#at;::;::;;:>:;;«:;::::::::;:;:»;::>::::;::>::::::::::::>.::::;::.:>z<:::::::<::::::::<;>::<;::><;.:::;:::: : : y A ......................... ...:......::::::::::::::::::::::::::::::.:::.. :. ..:�.:.::.:::::: :--..:tl�iV�4RM�iF::::2:i:::::::::i::i:::::i:::;;::::::.:_�I:�4��y:";2 Debt Service Funds: 213N983 Unlimited Ref GO Bonds $712,000 $756,998 219/1989 Unlimited GO Bonds 502,000 495,675 220/L.I.D.Debt Service 783,700 690,353 221lL.I.D.Guaranty 24,000 200,000 ':S �= ;:::::':`.<::':<::;;:':::;'.::'::»:;»>::»>:<::<::«<::<::::<:>::»>:<::::<::>.::>:::>::::>»::>:>:>:>.;;::.._. .,..,... �+::::::v#a..::.:::.:.:..::.:..:;.::::.:::.;::.;::.::.;:.;::.;;;:.;:::;;;;;;;;;:.;::.::;:.;:;.;.;.;;.::.:...:.54 fl�1 0�:>:;:::::::::>::>::::::;:>::>#�'f4�'9��:>::::: �'........ ........ ...................,........... Capital Project Funds: 302/Open Space Construction $0 $0 316/Municipal Facilities CIP 1,329,500 1,324,500 317/Transportation CIP 2,262,405 2,261,405 319/Senior Housing Construction 0 0 i 320/L.I.D.Construction 0 0 ;:.;:::.:..:.:.....:..:.::::::::::::::::::..:.... .. . . -::::.. ..:::::.:.:.::::::::.:............................. >;5ub::TtltBt:::::>:::>':>;::::::>::::::>::::>::::>::::>:;::::<:<:"';':>;::::.>`s::::::;:>::>:::>':>.;>'.."::::>::::::;::;::> ss,5si;so�»>::>:::>::>::>::;:: ;;.:::::<ss;sss;s��_::;::: Enterprise Funds: 401/VNaterworks Utility $19,507,477 $21,016,178 421/Water&Sewer Construction 9,990,957 10,227,594 402/Airpo�t 682,500 568,042 403/Solid Waste Utility 6,581,359 6,475,091 404/Golf Course 1,969,491 _ 1,898,760 ' ,............... . __... SuEi�_�f` :::::::':::::''::>:>::>::;::>;:::.>;:::;:::>::<;<:<::>::>::»::>`>;::>;:::>;::::>':::>::;;:::::';::<:::;:: ;;::::.:<:.;:.;;;:S3$�73�i784:::>:;::::>::'`:::::::>;::::<;�Ox185���:::>: Intemal Service Funds: 501/Equipment Rental $2,421,641 $2,543,028 502/Insurance::;>;>:;:::>:::>;::.......::.:..::::;><;;-.>::;:;;:;:>:;:<::::::»::»;;;:::::>::>:::>:;;;:5,284,588:.;:;;:.::.;;.::::.;:.;:.;;;5,122,671.:::. � >:Sub-'Cotai::<:<.:>:::::<:::;:::::.... ..::,::::>:::>::>::::>::::.;.::::;.:;.::.:::;<:::>::::»»>;::;::::.::::..:: : . >::::>::>. <:>::::>::>::>::::: > _........................ �>?b6�35:::::::.::.:::::::::::�7>G65�8�:.: I Fiduciary Funds: Fire Pension $890,267 $333,902 i Su6;Torta1:::::.>:i<':::::r::;':::;::::;::>::;`::_::_>::::>::;::>::::>;:.;:.>::::>::::>:::<:::>;::::>::::::>::>::>:>:::::::::>::.: ... _....:.::::::::::.:.:....::.:..:::: 559U,267:::>::::>::::;:;:`:::::<:::>::::>::::>:::5333,902::<:::: TOTALS $97,149,464 $98,061,708 (�) (1) Ending fund balances of$912,244 used to balance the 1996 Amended Budget. 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