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HomeMy WebLinkAboutORD 4013CITY OF RENTON, WASHINGTON ORDINANCE NO. 4013 AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON PROVIDING FOR 1986 MID -YEAR BUDGET ADJUSTMENTS. WHEREAS it is necessary and advisable to appropriate and transfer into the below mentioned funds and such appropriation being necessary and in the public interest and for the public benefit, NOW THEREFORE THE CITY COUNCIL OF THE CITY OF RENTON, WASHINGTON, DO ORDAIN AS FOLLOWS: SECTION I: The Director of Finance is hereby authorized and directed to provide for the following appropriation: See Exhibit "A" attached hereto and made a part hereof as it fully set forth. SECTION II: This Ordinance shall be effective upon its passage, approval and five days after its publication. PASSED BY THE CITY COUNCIL this 11th day of August, 1986. ro • G�/L�Q�� Maxine E., Motor, City Clerk APPROVED BY THE MAYOR this 11th day of August, 1986. '&�&) '+ - �p"apmT.21- Barbara Y. S inpoch, Mayor Approved as to form: Lawrence J. Wa ren, City Attorney Date of Publication: August 15, 1986 -1- CITY OF RENTON, WASHINGTON EXHIBIT "A" - ORDINANCE NO. 4013 ACCOUNT/DESCRIPTION ----------------------------------------------------------------------- EXPENDITURES REVENUES ----------------------------------------------------------------------- CURRENT FUND: MUNICIPAL COURT: 000/000/02.512.50.10.00 Court Clerk 4 months 6,320.00 000/000/02.512.50.20.00 Cterk's Benefits 2,050.00 000/000/02.512.50.10.02 Overtime Increase 2,600.00 000/000/02.512.50.35.00 Office Equipment 2,600.00 000/000/02.512.50.41.26 Judge Pro Tem 5,000.00 000/000/02.512.51.10.00 Part Time Increase 3,000.00 000/000/02.594.12.64.00 Computer Terminal 1,100.00 000/000/356.90.00.00 Non -Traffic Penalties 22,670.00 SUB -TOTAL 22,670.00 22,670.00 POLICE DEPARTMENT: 000/000/08.521.21.10.02 Investigation Overtime 7,000.00 000/000/08.521.22.10.02 Patrol Overtime 35,800.00 000/000/08.521.90.10.02 Records Overtime 5,000.00 000/000/08.521.90.10.00 Police Clerk 5 mos 6,752.00 000/000/08.521.90.20.00 Clerk's Benefits 2,118.00 000/000/08.523.60.31.00 Jail Food Increase 10,000.00 - - ---a---,-- 000/000/08:523:760.41:05--Prisoner•Medical -•'41000.'00 " 000/000/353.10.00.00 Traffic Infractions 64,190.00 000/000/355.80.00.00 Crime Traffic Penalties 6,480.00 SUB -TOTAL 70,670.00 70,670.00 MISCELLANEOUS SERVICES: 000/000/05.519.90.49.74 Vietnam Memorial 1,700.00 000/000/308.00.00.00 Unappr Fund Balance 1,700.00 000/000/05.519.90.49.28 Comm Fac Settlements 150,000.00 000/000/387.00.00.00 Transfer -In from Cum 41,601.23 Reserve for Fac Chgs 000/000/397.00.00.01 Transf-In from 108,398.77 Contingency Fund SUB -TOTAL 151,700.00 151,700.00 KING CO RAPE RELIEF: 000/000/05.557.20.41.84 Emergency Allocation 3,000.00 000/000/308.00.00.00 Unappr Fund Balance 3,000.00 BUILDING/ZONING: 000/000/10.559.60.10.00 Inspector 6 mos. 12,702.00 000/000/10.559.60.20.00 Inspector's Benefits 3,984.00 000/000/10.559.60.49.14 Dangerous Buildings 2,000.00 000/000/10.559.60.49.20 Building Demolition 3,914.00 000/000/322.10.00.11 Bldg Permit Revenue 22,600.00 SUB -TOTAL 22,600.00 22,600.00 TOTAL CURRENT FUND 270,640.00 270,640.00 CUM RES 3547/COMMUNITY FACILITIES CHARGES: 121/000/05.587.91.57.40 Trsf-Out to Curr Fd 41,601.23 121/000/308.00.00.00 Unappr Fund Balance 39,260.96 121/000/361.11.00.00 Investment Interest 2,340.27 TOTAL CUM RESERVE FUND 3547 41,601.23 41,601.23 -2- EXHIBIT "A" — ORDINANCE NO. 4013 ACCOUNT/DESCRIPTION EXPENDITURES REVENUES PARK FUND: 101/000/20.518.10.48.00 Emerg City Hall Repr 8,279.00 101/000/20.574.10.41.08 Mothers Pk Appraisal 4,922.00 101/000/308.00.00.00 Unappr Fund Balance 13,201.00 101/000/20.574.20.49.26 Dev Disab Self-Sust 5,000.00 1.01/000/367.00.00.08 Dev Disab Contributions 5,000.00 101/000/20.555.08.49.61 Sr Cit Self-Sust Prg 12,000.00 101/000/347.60.00.03 Sr Cit Self-Sust Rev 12,000.00 TOTAL PARK FUND 30,201.00 30,201.00 STREET FUND: 103/000/15.542.30.48.06 Taft Rd Emerg Repr 38,505.00 103/000/333.83.50.00 FEMA Grant 38,505.00 103/000/15.542.67.45.02 Eq Rtl/New Sweeper 7,490.00 103/000/308.00.00.00 Unappr Fund Balance 7,490.00 104/000/15.542.63.48.03 Pole Damage Repairs 6,314.00 103/000/369.40.00.00 Union 670 Settlement 6,314.00 TOTAL STREET FUND 52,309.00 52,309.00 CUM RES 1698/FIRE EQUIPMENT: 109/000/09.597.22.55.07 Incr Trf to CIP Fund 1,458.70 109/000/308.00.00.00 Unappr Fund Balance 1,458.70 CUM RES 2373/UNDERGROUND WIRING: _-_.._....-.__—...,_,... 914/_000/,.15-.597..49.55:.1.1.—Incr.,..Opr Transf•-Out i=317c64 114/000/308.00.00.00 Unappr Fund Balance 317.64 114/000/00.508.00.00.00 Decr Ending Fund Bal (18,941.94) 114/000/15.597.49.55.11 Incr Opr Transf-Out 18,941.94 TOTAL CUM RESERVE FUND 2373 317.64 317.64 STREET FORWARD THRUST FUND: 301/087/15.541.00.69.00 Aberdeen NE Project (42,540.42) 301/083/15.541.00.69.00 NE 4th/LID 326 42,540.42 301/083/15.541.00.69.00 NE 4th/LID 326 19,259.58 301/000/397.00.00.01 Opr Trfs-In from 19,259.58 Cum Res 2373 TOTAL STREET FORWARD THRUST FUND 19,259.58 19,259.58 CITY SHOP CONSTRUCTION FUND: 316/000/00.508.00.00.00 Decr Ending Fund Bal (2,000.00) 316/000/15.594.44.65.29 Incr Shop Fac Expense 2,000.00 TOTAL CITY SHOP CONSTRUCTION FUND 0.00 0.00 CONTINGENCY FUND: 107/000/00.508.00.00.00 Decr Ending Fund Bal (143,573.77) 107/000/22.597.93.55.05 Incr Opr Transf-Out 143,573.77 TOTAL CONTINGENCY FUND 0.00 0.00 Isis EXHIBIT "A" — ORDINANCE NO. 4013 ACCOUNT/DESCRIPTION EXPENDITURES ----------------------------------------------------------------------- ----------------------------------------------------------------------- REVENUES CAPITAL IMPROVEMENT FUND: 317/000/20.594.76.63.15 Highlds Nbrhd Center 35,175.00 317/000/397.00.00.08 Trf-In from Contg Fd 35,175.00 317/101/15.541.00.67.18 Signal Intercon Prog (30,000.00) 317/031/15.541.00.67.03 Traffic Contr Reptmt 30,000.00 317/099/15.541.00.67.17 Benson/Grady/Main 42,572.64 Signal Rebuild 317/038/15.541.00.67.12 Monroe Ave NE 77,323.86 317/000/00.508.00.00.00 Transfer from Ending (119,896.50) Bal to above progrs TOTAL CAPITAL IMPROVEMENT FUND 35,175.00 35,175.00 AIRPORT FUND: 402/000/15.596.46.63.62 Master Plan Update 59,400.00 402/000/331.20.10.03 FAA Grant/Master Plan - 59,400.00 GOLF COURSE FUND; 404/000/20.576.61.48.00 Emergency Repairs 10,121.00 404/000/333.83.50.01 FEMA Grant 10,121.00 WATER/SEWER CONSTR FUND: 421/000/15.596.38.65.19 Emergency Repairs 18,089.00 421/000/333.83.50.02 FEMA Grant 18,089.00 _.-,.--. EQULPMENT-RENT.AL-FUND: - - - - - 501/000/15.596.48.64.37 Paint Striper Upgrade 15,000.00 501/000/00.508.00.00.00 Trf from Ending Bal (15,000.00) TOTAL EQUIPMENT RENTAL FUND 0.00 0.00 GRAND TOTAL - ALL 1986 MID -YEAR BUDGET ADJUSTMENTS 538,572.15 538,572.15 SUMMARY: CURRENT FUND 270,640.00 270,640.00 CUM RESERVE 3547/COMM FACILITIES CHARGES 41,601.23 41,601.23 PARK FUND 30,201.00 30,201.00 STREET FUND 52,309.00 52,309.00 CUM RESERVE 1698/FIRE EQUIPMENT 1,458.70 1,458.70 CUM RESERVE 2373/UNDERGROUND WIRING 317.64 317.64 STREET FORWARD THRUST FUND 19,259.58 19,259.58 CITY SHOP CONSTRUCTION FUND 0.00 0.00 CONTINGENCY FUND 0.00 0.00 CAPITAL IMPROVEMENT FUND 35,175.00 35,175.00 AIRPORT FUND 59,400.00 59,400.00 GOLF COURSE FUND 10,121.00 10,121.00 WATER/SEWER CONSTRUCTION FUND 18,089.00 18,089.00 EQUIPMENT RENTAL FUND 0.00 0.00 GRAND TOTAL - ALL FUNDS 538,572.15 538,572.15