HomeMy WebLinkAbout2017-17 Repealing 2017-16 to adopt the 2017-19 Biennial Budget and making appropriations
RESOLUTION 2017-
RESOLUTION REPEALING 2017-16 TO ADOPT THE 2017-19 BIENNIAL
BUDGET AND MAKING APPROPRIATIONS
The City of Ashland City Council hereby repeals Resolution 2017-16.
The City of Ashland City Council hereby adopts the 2017/19 Biennial Budget.
The amounts for the biennial budget period beginning July 1, 2017 through June 30, 2019 are
therefore appropriated as follows:
Section I.
GENERAL FUND
Administration Department 3,006,150
Administration Department - Parking -
Administration Department- Municipal Court 944,095
Administrative Services - Band 131,540
Administrative Services - Miscellaneous 38,000
Administrative Services - Parks 10,601,400
Police Department 15,248,125
Fire and Rescue Department 17,446,005
Public Works - Cemetery Division 851,778
Community Development - Planning Division 3,458,080
Community Development - Building Division 1,479,935
Community Development - Social Services Grants 267,940
Interfund Loan _
Transfers 211,000
Contingency 800,000
Ending Fund Balance 1,902,976
TOTAL GENERAL FUND 56,387,024
COMMUNITY DEVELOPMENT BLOCK GRANT FUND
Personnel Services 62,880
Materials and Services 390,905
Ending Fund Balance 1
TOTAL CDBG FUND 453,786
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RESERVE FUND
Interfund Loan 1,050,000
Transfers
Ending Fund Balance 25,435
TOTAL RESERVE FUND 1,075,435
STREET FUND
Public Works - Street Operations 18,947,642
Public Works - Grounds Maintenance 501,900
Public Works - Street Operations Debt -
Public Works - Transportation SDC's 2,198,720
Public Works - Storm Water SDC's -
Public Works - Local Improvement Districts -
New Debt
Transfers
Contingency 100,000
Ending Fund Balance 4,099,570
TOTAL STREET FUND 25,847,832
AIRPORT FUND
Materials and Services 425,380
Capital Outlay 312,000
Debt Service 77,075
Interfund Loan
Contingency 10,000
Ending Fund Balance 102,022
TOTAL AIRPORT FUND 926,477
CAPITAL IMPROVEMENTS FUND
Public Works - Facilities 2,458,100
Administrative Services - Parks Open Space 1894 640
Transfers 1,667,000
Interfund Loan
Contingency 60,000
Ending Fund Balance 164,922
TOTAL CAPITAL IMPROVEMENTS 6,244,662
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DEBT SERVICE FUND
Debt Service 3,740,387
Interfund Loan -
Ending Fund Balance 1,223,804
TOTAL DEBT SERVICE FUND 4,964,191
WATER FUND
Public Works - Conservation Division 738,888
Public Works - Water Supply 2,751,150
Public Works - Water Supply Debt 636,758
Public Works - Water Treatment 24,383,636
Public Works - Water Treatment Debt 282,177
Public Works - Water Distribution 10,807,452
Public Works - Water Distribution Debt 592,101
Public Works - Improvement SDC's 4,056,350
Public Works - Debt SDC's 430,369
Debt Services -
Transfers Out 500,000
Contingency 810,000
Ending Fund Balance 8,646,467
TOTAL WATER FUND 54,635,348
WASTEWATER FUND
Public Works - Wastewater Collection 6,088,930
Public Works - Wastewater Collection Debt Service 144,656
Public Works - Wastewater Treatment 10,279,543
Public Works - Wastewater Treatment Debt Service 3,732,624
Public Works - Reimbursement SDC's -
Public Works - Improvement SDC's 4,060,025
Contingency 325,000
Ending Fund Balance 7,334,338
TOTAL WASTEWATER FUND 31,965,116
STORMWATER FUND
Public Works - Storm Water Operations 1,459,713
Public Works - Storm Water Operations Debt 24,500
Public Works - SDC's 250,000
Contingency 30,000
Ending Fund Balance 10,421,882
TOTAL STORMWATER FUND 3,186,095
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ELECTRIC FUND
Administration - Conservation Division 1,486,890
Electric - Supply 14,981,925
Electric - Distribution 13,390,730
Electric - Transmission 2,531,435
Debt Services 1,128,202
Contingency 225,000
Ending Fund Balance 928,874
TOTAL ELECTRIC FUND 34,673,056
TELECOMMUNICATIONS FUND
Personnel Services 1,448,575
Materials and Services 2,717,520
Capital Outlay 150,000
Contingency 105,000
Ending Fund Balance 227,510
TOTAL TELECOMMUNICATIONS FUND 4,648,605
CENTRAL SERVICES FUND
Administration Department 3,775,160
IT - Computer Services Division 2,811,275
Administrative Services Department 5,212,449
City Recorder Division 384,450
Public Works - Administration and Engineering 3,644,262
Interfund Loan 0
Contingency 235,000
Ending Fund Balance 260,360
TOTAL CENTRAL SERVICES FUND 16,322,956
INSURANCE SERVICES FUND
Personnel Services 233,160
Materials and Services 1,854,790
Capital Outlay 480,000
Transfer -
Contingency 38,500
Ending Fund Balance 164,995
TOTAL INSURANCE SERVICES FUND 2,771,445
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HEALTH BENEFITS FUND
Personnel Services -
Materials and Services 11,557,301
Interfund Loan 1,050,000
Contingency 500,000
Ending Fund Balance 329,693
TOTAL INSURANCE SERVICES FUND 13,436,994
EQUIPMENT FUND
Public Works - Maintenance 3,176,472
Public Works - Purchasing and Acquisition 2,849,000
Interfund Loan -
Contingency 100,000
Ending Fund Balance 1,691,123
TOTAL EQUIPMENT FUND 7,816,595
CEMETERY TRUST FUND
Transfers 13,000
Ending Fund Balance 1,009,771
TOTAL CEMETERY TRUST FUND 1,022,771
PARKS AND RECREATION FUND
Parks Division 8,639,215
Recreation Division 3,193,871
Golf Division 1,163,100
Transfer -
Contingency 195,000
Ending Fund Balance 5,579
TOTAL PARKS AND RECREATION FUND 13,196,765
PARKS CAPITAL IMPROVEMENTS FUND
Personnel Services -
Materials and Services -
Capital Outlay 5,095,000
Transfers 440,440
Ending Fund Balance 460,485
TOTAL PARKS CAPITAL IMPROVEMENTS FUND 5,995,925
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PARKS EQUIPMENT RESERVE FUND
Capital Outlay 450,000
Interfund Loan -
Ending Fund Balance 152,589
TOTAL PARKS EQUIPMENT RESERVE FUND 602,589
TOTAL BUDGET 256,021,269
TOTAL UNAPPROPRIATED AND RESERVE AMOUNTS,
ALL FUNDS 30,152,395
TOTAL APPROPRIATIONS 286,173,664
Section 2. This resolution takes effect upon signing by the Mayor.
This resolution was duly PASSED and ADOPTED this 3, day of June, 2017.
j
Melissa Huhtala, City Recorder
SIGNED AND APPROVED this 3 day of June, 2017.
J hn Stromberg, Mayor
Reviewed as to form:
David Lo ' , City Attorney
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