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HomeMy WebLinkAbout2003-25 Adopting Supp. BudgetRESOLUTION NO. 2003- A RESOLUTION ADOPTING A SUPPLEMENTAL BUDGET ESTABLISHING APPROPRIATIONS WITHIN THE 2002-2003 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 of the 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: Street Fund Appropriation: Public Works - Street Operations Resource: Intergovernmental Revenue $474,000 $474,O0O To appropriate $474,000 for the Siskiyou Boulevard Improvement Project representing the accelerated construction schedule and corresponding unanticipated earlier receipt of State funds. Capital Improvements Fund Appropriation: Materials & Services Capital Outlay Resource: Other Financing Sources $50,000 $1,450,000 SI,500,000 To recognize the $1,500,000 received from the Economic and Community Development Division via financing on the Community Development/Engineering Services building. The financing reimburses the fund for monies up-fronted for construction of the new building and the supplemental budget increase the FY 2002-03 appropriations levels allowing more construction of the fire station to be done this year. Telecommunications Fund Appropriation: Electric - Operations Debt Service Resource: Fund Balance - Carry Forward $1,707,175 $300,0O0 $2,007,175 To appropriate in FY 2003 for construction and debt service related to the capital financing for Ashland Fiber Network completed too late (June) in FY 2002 to be included in the adopted budget. Central Service Fund Appropriation: Finance - Accounting Resource: Charges for Services $60,000 $60,000 To appropriate for the additional staff time related to the early transfer of two Parks & Recreation positions to the City Finance Department as part of a consolidated services effort. SECTION 2. This resolution takes effect upon signing by the Mayor. This resolution was read by title only in accordance with Ashland Municipal Code Section 2.04.090 duly PASSED and ADOPTED this 17th day of June, 2003: Barbara Christensen, City Recorder SIGNED and APPROVED this 17th day of June, 2003' Alan W. DeBoer, Mayor Paul Nolte, City Attorney Notice of Supplemental Budget Hearing A public hearing on a proposed supplemental budget for the City of Ashland, Jackson County, State of Oregon, for the fiscal year July 1,2002 to June 30, 2003 will be held at the Civic Center, 1175 East Main Street, Ashland, Oregon. The hearing will take place on June 17, 2003, at 7:00 p.m. The purpose of the hearing is to discuss the supplemental budget with interested persons. A copy of the supplemental budget document may be inspected or obtained on or after June 9, 2003 at the Finance Department, 20 East Main, Ashland, Oregon 97520 between 8:00 a.m. and 5:00 p.m. A summary of the supplemental budget is presented below. STREET FUND Intergovernmental Revenue Public Works-Street Operations TOTAL Resources Rec~uirements $474,000 $474,000 $474,000 $474,000 To appropriate $474,000 for the Siskiyou Boulevard improvement project representing the accelerated construction schedule and corresponding unanticipated earlier receipt of state funds. CAPITAL IMPROVEMENT FUND Other Financing Sources Materials & Services Capital Outlay TOTAL $1,500,000 $50,000 $1,450,000 $1,500,000 $1,500,000 To recognize the $1,500,000 received from the Oregon Economic and Community Development Division via financing on the Community Development/Engineering Services building and increase appropriations allowing an expedited construction schedule on the fire station. TELECOMMUNICATIONS FUND Fund Balance - Carry Forward Electric Operations Debt Service TOTAL $2,007,175 $1,707,175 $300,000 $2,007,175 $2,007,175 To appropriate $1,707,175 for construction and $300,000 for debt service related to the capital financing for Ashland Fiber Network completed late in June 2002. CENTRAL SERVICE FUND Charges for Services $60,000 Finance-Accounting TOTAL $60,000 $60,000 $60,000 To appropriate for the additional staff time related to the early transfer of two Parks & Recreation employees to the City Finance Department as part of a consolidated services effort. TOTAL ALL FUNDS $4,041,175 $4,041,175