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HomeMy WebLinkAbout2019-12 Adoption of the 2019-21 Biennial Budget Page 1 of 8 1 RESOLUTION NO. 2019-12 RESOLUTION TO ADOPT THE 2019-21 BIENNIAL BUDGET 2 AND MAKING APPROPRIATIONS 3 The City of Ashland City Council hereby adopts the 2019-21 Biennial Budget. 4 The amounts for the biennial budget period beginning July 1, 2019 through June 30,2021 are therefore appropriated as follows: 5 SECTION 1 6 GENERAL FUND 7 Administration Department 2,559,724 8 Administration Department-Municipal Court 1,406,655 9 to Administrative Services- Band 132,733 11 Administrative Services- Miscellaneous 38,000 12 Administrative Services- Parks 10,783,800 13 Police Department 16,719,886 14 is Fire and Rescue Department 19,255,049 16 Public Works-Cemetery Division 1,075,095 17 Community Development- Planning Division 3,463,963 18 Community Development-Building Division 1,677,657 19 Community Development-Social Services Grants 268,000 20 21 Transfers Out 211,000 22 Contingency 800,000 23 Ending Fund Balance 4,253,147 24 TOTAL GENERAL FUND 62,644,709 25 PARKS AND RECREATION FUND 26 27 Parks Division 8,209,415 28 Resolution No.2019-12 Page 1 of 8 Page 2 of 8 1 Recreation Division 2,957,983 2 Forestry Division 985,619 3 Senior Services Division 700,180 4 5 Golf Division 1,195,850 6 Contingency 150,000 7 Ending Fund Balance 51,257 8 TOTAL PARKS AND RECREATION FUND 14,250,304 9 to HOUSING FUND 11 Personnel Services - 12 Materials and Services 247,000 13 Ending Fund Balance 404,668 14 TOTAL HOUSING TRUST FUND 651,668 15 16 COMMUNITY DEVELOPMENT BLOCK GRANT FUND 17 Personnel Services 70,528 18 19 Materials and Services 456,199 20 Ending Fund Balance - 21 TOTAL CDBG FUND 526,727 22 RESERVE FUND 23 Ending Fund Balance 39,110 24 25 TOTAL RESERVE FUND 39,110 26 STREET FUND 27 Public Works- Street Operations 20,364,474 28 Resolution No.2019-12 Page 2 of 8 Page 3 of 8 1 Public Works- Street Operations Debt 251,460 2 Public Works-Transportation SDC's 930,213 3 Contingency 43,700 4 5 Ending Fund Balance 3,660,187 6 TOTAL STREET FUND 25,250,034 AIRPORT FUND 8 Materials and Services 266,088 9 10 Capital Outlay 340,000 Ending Fund Balance 411,018 12 TOTAL AIRPORT FUND 1,017,106 L3 CAPITAL IMPROVEMENTS FUND L4 Public Works - Facilities 2,968,879 15 6 Administrative Services- Parks Open Space 150,000 17 Transfers Out 220,000 L8 Contingency 60,000 :_9 Ending Fund Balance 181,635 20 21 TOTAL CAPITAL IMPROVEMENTS 3,580,514 22 PARKS CAPITAL IMPROVEMENTS FUND 23 Personnel Services - 24 Materials and Services - 25 Capital Outlay 5,020,000 26 G7 Transfer Out 793,828 28 Resolution No.2019-12 Page 3 of 8 Page 4 of 8 li 1 Ending Fund Balance 1,368,972 2 TOTAL PARKS CAPITAL IMPROVEMENTS FUND 7,182,800 3 DEBT SERVICE FUND 4 5 Debt Service 3,790,874 6 Ending Fund Balance 1,419,738 7 TOTAL DEBT SERVICE FUND 5,210,612 8 WATER FUND 9 10 Public Works-Conservation Division 578,660 11 Public Works-Water Supply 4,382,522 12 Public Works-Water Supply Debt 19,090 13 Public Works-Water Treatment 18,225,395 14 Public Works-Water Treatment Debt 298,883 15 16 Public Works-Water Distribution 9,219,893 17 Public Works-Water Distribution Debt 502,563 18 Public Works- Improvement SDC's 4,153,000 19 Public Works- Improvement SDC's Debt 361,876 20 Public Works- Reimbursement SDC's Debt 68,724 21 22 Transfers Out 500,000 23 Contingency 685,000 24 Ending Fund Balance 19,600,412 25 TOTAL WATER FUND 58,596,018 26 27 WASTEWATER FUND 28 Resolution No.2019-12 Page 4 of 8 Page 5 of 8 1 Public Works-Wastewater Collection 5,741,660 2 Public Works -Wastewater Collection Debt Service 151,658 3 Public Works -Wastewater Treatment 8,319,440 4 5 Public Works -Wastewater Treatment Debt Service 3,434,209 6 Public Works - Reimbursement SDC's 1,109,750 7 Contingency 325,000 8 Ending Fund Balance 15,233,131 9 10 TOTAL WASTEWATER FUND 34,314,848 11 STORM WATER FUND 12 Public Works - Storm Water Operations 1,888,482 13 Public Works- Storm Water Operations Debt 23,700 14 Public Works - Storm Water SDC's 316,000 15 16 Contingency 30,000 17 Ending Fund Balance 1,226,864 18 TOTAL STORM FUND 3,485,046 19 ELECTRIC FUND 20 Administration - Conservation Division 1,830,754 21 72 Electric- Supply 16,114,835 23 Electric- Distribution 16,896,919 24 Electric-Transmission 2,665,970 25 Debt Services 44,517 26 Contingency 225,000 27 28 Pa e 5 of 8 Resolution No.2019-12 g Page 6 of 8 1 Ending Fund Balance 761,698 2 TOTAL ELECTRIC FUND 38,539,693 3 TELECOMMUNICATIONS FUND 4 5 Personnel Services 1,619,782 6 Materials and Services 2,801,123 ' Capital Outlay 130,000 8 Contingency 105,000 9 to Ending Fund Balance 1,268,143 11 TOTAL TELECOMMUNICATIONS FUND 5,924,048 12 CENTRAL SERVICES FUND 13 Administration Department 3,578,160 14 IT-Computer Services Division 2,996,167 15 16 Administrative Services Department 5,877,867 17 City Recorder Division 375,849 18 Public Works-Administration and Engineering 5,008,021 19 Contingency 210,418 20 Ending Fund Balance 51,208 21 22 TOTAL CENTRAL SERVICES FUND 18,097,690 23 INSURANCE SERVICES FUND 24 Personnel Services - 25 . Materials and Services 2,112,012 26 27 Capital Outlay - 28 Resolution No.2019-12 Page 6 of 8 Page 7 of 8 1 Contingency - 2 Ending Fund Balance 243,352 3 TOTAL INSURANCE SERVICES FUND 2,355,364 4 5 HEALTH BENEFITS FUND 6 Personnel Services - ' Materials and Services 12,732,303 8 Transfers Out 200,000 9 10 Contingency 100,000 11 Ending Fund Balance 923,954 12 TOTAL INSURANCE SERVICES FUND 13,956,257 13 EQUIPMENT FUND 14 Public Works- Maintenance 3,715,299 15 16 Public Works-Purchasing and Acquisition 3,877,500 17 Contingency 100,000 18 Ending Fund Balance 47,091 19 TOTAL EQUIPMENT FUND 7,739,890 20 PARKS EQUIPMENT RESERVE FUND 21 22 Capital Outlay 300,000 23 Interfund Loan - 24 Ending Fund Balance 215,744 25 TOTAL PARKS EQUIPMENT RESERVE FUND 515,744 26 27 CEMETERY TRUST FUND 28 Resolution No.2019-12 Page 7 of 8 Page 8 of 8 ' I 1 Transfers Out 150,000 2 Ending Fund Balance 923,964 3 TOTAL CEMETERY TRUST FUND 1,073,964 4 5 TOTAL BUDGET 304,952,146 6 Less Ending Fund Balance 52,285,293 7 Total Appropriations 252,666,853 8 SECTION 2 This resolution was duly PASSED and ADOPTED this 4th day of 9 June, 2019, and takes effect upon signing by the Mayor. 10 11 V A w4 12 Melissa Huhtala, City Recorder 13 SIGNED and APPROVED this 5th day of June, 2019. 14 15 1 f 1 -)C5-1A-A-175. 16 John Stromberg, Mayor 17 Reviewed as to form: 18 19 7 20 —, 21 David H. Lohman, City Attorney 22 23 24 25 26 27 28 Resolution No.2019-12 Page 8 of 8