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HomeMy WebLinkAbout2001-13 Adopt Supp. BudgetRESOLUTION NO. 2001- A RESOLUTION ADOPT1NG A SUPPLEMENTAL BUDGET ESTABLISHING APPROPRIATIONS WITHIN THE 2000-2001 BUDGET Recitals: ORS 294.480 permits the governing body of a municipal corporation to make a supplemental budget for the fiscal year for which the regular budget has been prepared under one or more of the following reasons: a. An occurrence or condition which had not been ascertained at the time of the preparation of a budget for the current year which requires a change in financial planning. b. A pressing necessity which was not foreseen at the time of the preparation o fthe budget for the current year which requires prompt action. c. Funds were made available by another unit of federal, state or local government and the availability of such funds could not have been ascertained at the time of the preparation of the budget for the current year. d. Other reasons identified per the statutes. THE CITY OF ASHLAND RESOLVES AS FOLLOWS: SECTION 1. Because of the circumstances stated below, the Mayor and City Council of the City of Ashland determine that it is necessary to adopt a supplemental budget, establishing appropriations as follows: Wastewater Fund Appropriation: Interfund Loan - Telecommunications Fund Appropriation: Public Works - SDC $1,600,000 $1,600,000 This transfer of appropriation is to adjust for funds not being used for projects this year allowing for unforeseen conditions requiring an interfund loan to supplement the Telecommunications Fund budget. Telecommunications Fund Appropriation: Electric - Operations Resource: Interfund Loan - Wastewater Fund $1,600,000 $1,600,000 This supplemental budget amends appropriation and cash levels to account for unforeseen construction and operation expenses and reduced revenues. Parks and Recreation Fund Appropriation: Parks Division Resource: Revenues $1,785,000 $1,785,000 This supplemental budget recognizes unanticipated revenues and fund balance carry forward to offset added capital costs related to the Calle Guanjuato improvements. Parks Capital Improvements Fund Appropriation: Capital Outlay Resource: Revenues $10,000 $10,000 This supplemental budget recognizes increased fund balance carry forward to offset added capital costs related to the Calle Guanjuato improvements. This resolution was read by title only in accordance with Ashland Municipal Code Section 2.04.090 duly PASSED and ADOPTED this 15th day of May, 2001: Bgrbara Chnstensen, City Recorder SIGNED and APPROVED this 15th day of May, 2001: Alan W. DeBoer, Mayor R~6~wed as to form: Paul Nolte, City Attorney G:~BUDGET\Ords & ResolutionsXAppropriation Transfers\Supplemental Budget Resolution 2000-2001 .wpd ASHLAND PARKS AND RECREATION COMMISSION COMMISSIONERS: JoAnne Eggers Sally D. Jones Rick Landt Jim Lewis Laurie MacGraw 340 SO. PIONEER STREET · ASHLAND, OREGON 97520 Kenneth J. Mickelsen Director TEL.: (541 ) 488-5340 FAX: (541) 488-5314 MEMORANDUM TO : FROM : DATE : SUBJECT : Patrick Caldwell, Staff Accountant City of Ashland Kenneth J. Mickelsen, Director April 6, 2001 Revised Request for supplemental budgets for Department Funds The Department is requesting the following supplemental budget for the Parks and Recreation Fund and the Parks Capital Improvement Fund for FY 2000-2001 due to unanticipated revenues. Amount of Increase - Parks and Recreation Fund budget by category: Resources Working Capital Carryover Taxes Intergovernmental Revenues Charges for Service Miscellaneous Revenues Operating Transfers in Total $ 205,000 60,000 2,500 40,200 130,000 1,348,000 $1,785,700 Parks Division Requirements Capital Outlay $1,785,000 Adjusted 2000-2001 budget for: Parks & Recreation Fund - Resources Working Capital Carryover Taxes Intergovernmental Revenues Charges for Service Interest Miscellaneous Revenues Operating Transfers In Total $1,196,500 2,601,000 83,735 767,965 75,500 142,000 1,348~000 $ 6,214,700 Parks Division Requirements Personal Services Materials & Services Capital Outlay Debt Service Transfers Out Contingency Unappropriated Total $1,671,000 982,085 2,165,700 4,000 50,000 40,000 589,354 $ 5,502,139 Note; The Operating Transfers In consists of $1,348,000 for the City's share of the Calle Restoration Project and $160,000 in Parks SDC's. Home of Famous Lithia Park Memorandum to Finance Depadment Page 2 FY 2001 Supplemental Budget 04-06-2001 Amount of Increase - Parks Capital Improvements Fund budget by category: Resources Working Capital Carryover $ 10,000 Adjusted 2000-2001 budget for: Parks Capital Improvements Fund - Resources Working Capital Carryover Funded Depreciation Interest on Investments Operating Transfers In Total $ 295,000 95,000 25,000 70,000 $ 485,000 Parks Capital Improvements Fund - Requirements Capital Outlay $ 347,700 Unappropriated 137,300 Total $ 485,000 ab: Budgets by Year