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HomeMy WebLinkAboutORD 4084 f � � � � • - -r > . , CITY OF RENTON, WASHINGTON ORDINANCE NO. 4084 AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON PROVIDING FOR A 1987 MID-YEAR BUDGET ORDINANCE. WHEREAS it is necessary and advisable to amend the 1987 Budget as follows: REVENUE ADJUSTMENTS: 1.) Adjust Beginning Fund Balances to actual amounts $2,432,517 2.) Add and adjust Grants 422,542 3.) Adjust Investment Interest 495,445 4.) Adjust Tax revenues 334,665 5.) Adjust other revenue sources 1.399.827 TOTAL REVENUE ADJUSTMENTS $5.084.996 EXPENDITURE ADJUSTMENTS: 1.) Provide for critical needs and unanticipated expenses $1,356,059 2.) Adjust 1987 Capital Improvement Program 1,919,494 3.) Adjust Ending Fund Balances 1.809.443 TOTAL EXPENDITURE ADJUSTMENTS $5,084,996 SECTION I: The following adjustments are hereby allowed and established in each of the below listed funds: 1987 ADJUSTED BUDGET 1987 AMENDED EXPENDITURES BUDGET ADJUSTMENT BUDGET 000 - GENERAL FUND....................... 515,266,807.24 $1,177,818.00 516,444,625.24 101 - PARK FUND.......................... 3,725,205.00 145,166.00 3,870,371.00 103 - STREET FUND........................ 2,285,326.00 215,672.00 2,500,998.00 106 - LIBRARY fUND....................... 637,811.00 9,536.00 647,347.00 107 - CONTINGENCY FUND................... 230,073.00 39,676.00 269,749.00 102 - ARTERIAL STREET FUND............... 1,096,501.00 (127,986.00) 968,515.00 105 - IMPACT MITIGATION FUND............. 522,226.00 9,656.65 531,882.65 118 - CUMULATIVE RESERVE 2755 (Paths).... 4,962.00 169.00 5,131.00 125 - 1% FOR ART FUND.................... 10,132.00 54,662.00 64,794.00 127 - CABLE COMMUNICA. DEVELOPMENT FUND.. 222,582.00 4,015.00 226,597.00 199 - FEDERAL REVENUE SHARING FUND....... 0.00 13,151.00 13,151.00 207 - 1978 LIMITED GENERAL OBLIGATION BOND FUND (Senior Center)......... 74,043.00 0.00 74,043.00 211 - 1983 L[M1TED GENERAL OBLIGATION BOND FUND (City Shop)............. 310,149.00 (3,712.00) 306,437.00 213 - 1983 UNLIMITED GENERAL OBLIGATION BOND FUND (Couton Park)........... 1,367,058.00 31,221.00 1,398,279.00 215 - GENERAL GOVERNMENT MISCELLANEOUS DEBT SERVICE FUND................. 907,010.00 10,352.00 917,362.00 301 - STREET FORWARD THRUST FUND......... 1,254,497.00 0.00 1,254,497.00 315 - COULON BEACH PARK CONSTRUCTION FUND 85,261.61 0.00 85,261.61 316 - MUNICiPAL FACILITIES CONSTR. FUND.. 571,152.00 6,919.00 578,071.00 317 - GEN. GOVT. CAPITAL IMPROVEMENT fUND 4,403,560.97 1,424,547.00 5,828,107.97 401 - WATER & SEUER UTILITY FUND......... 7,880,635.00 200,699.00 8,081,334.00 402 - AIRPORT FUND....................... 1,119,891.00 (18,534.00) 1,101,357.00 403 - SOLID WASTE UTILITY FUND........... 3,530,857.00 26,288.00 3,557,145.00 404 - GOLF COURSE FUND................... 1,992,935.31 47,702.00 2,040,637.31 421 - WATER & SEWER CONSTRUCTION FUND.... 4,546,872.00 1,006,474.00 5,553,846.00 501 - EQUIPMENT RENTAL FUND.............. 1,769,009.00 107,686.00 1,876,695.00 502 - INSURANCE FUND..................... 3,776,298.00 445,936.00 4,222,234.00 601 - fIREMEN'S PENSION FUND............. 1,611,094.00 223,591.00 1,834,685.00 602 - LOCAL IMPROVMT. DIST. GUARANTY FUND 420,899.00 33,792.00 454,691.00 TOTAL EXPENDITURES ...................... 559,622,847.13 55,084,996.65 $64,707.843.78 TOTAL RESOURCES.......................... $59,622.847.13 55,084,996.65 $64,707,843.78 -1- � CITY OF RENTON, WASHINGTON ORDINANCE NO. 4084 - Continued SECTION II: A list of all individual budget adjustments is available for public review in the Office of the City Clerk, Renton Municipal Building. SECTION III: This Ordinance shall be effective upon its passage, approval, and five days after publication. PASSED BY THE CITY COUNCIL this 21st day of September, 1987. � Maxine E. Motor, City Clerk APPROVED BY THE MAYOR this 21st day of SeptemberY 1�37. C�/� . ��Oi-'tCtJ�.�'� J Til..�'� Barbara Y. Shinpoch, Mayor ` Approv as to form: �s�ir"'� Lawrence J. Warren, Ci ttorney Date of Publication: September 25, 1987 -2-