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HomeMy WebLinkAbout1991-12 Transferring & Increasing Appropriations RESOLUTION NO. 91-~ A RESOLUTION TRANSFERRING AND INCREASING APPROPRIATIONS WITHIN 1990-91 BUDGET WHEREAS, due to the circumstances stated below, the Mayor and City Council of the City of Ashland hereby determine that: it is necessary to transfer and increase appropriations as follows: GENERAL FUND FROM: General Fund Contingency .LJ1.000 TO: 1) 2) 3) Municipal Court -Legal Senior Program-Salaries Senior program- Taxi Total 3,000 4,000 4.000 11,000 1) This appropriation covers additional costs associatE~d with indigent defense and temporary judges. 2) This appropriation covers additional personnel costs. 3) A goal of the new director, as well as an emphasis hy our grantor, has been to offer more rides than originally budgeted. POLICE SERIAL LEVY FUND From: Contingency To: Salaries and wages 3,000 3,000 This appropriation covers additional cost for overtime. WATER FUND FROM: Water Fund Contingency TO: Personnel Services-Salary :25,000 :25,000 To pay personnel costs of the Swing crew. The original budget was for 80 percent of the water/Sewer crew time, in reality they spend more than 95% of their time in Water operations. SEWER FUND FROM: Sewer Fund Contingency TO: Engineering 65,000 $ 65,000 This appropriation covers additional engineering costs associated with the Sewage Treatment Plant, as approved earlier by the City Council. 1 AIRPORT FROM: capital Outlay- Imp other than Build TO: Materials and Services: Maintenance $ 10,000 10,000 The Airport has experienced many unanticipated repairs and maintenance, including the following: Septic tank failure, replacement of fuel lines on both fuel pumps, additional landscape maintenance, new fuel line and nozzle to meet code, replacement of a fuel line retractor, and maintenance of hanger doors. ELECTRIC FUND Electric Division: FROM: Contingency 86,000 TO: 1) Transfer to Equipment Fund 2) Purchased Power 36,000 50.000 86,000 1) This appropriation covers the Electric Department share of the Electric Department Line Truck. This was budget:ed in the previous year, but delayed until this year to purchase. 2) This additional appropriation will cover the additional power costs due to the cold winter. CENTRAL SERVICES FUND FROM: Contingency TO: Administration - Materials-Services 1) Legal 2) Travel and Training 3) Professional Services (Parks) 41,000 10,000 4,250 1.750 16,000 Community Development- Capital Outlay 4) Computer Network 25,000 1) This appropriation covers additional costs for defense attorneys and other legal council. 2) This appropriation covers additional travel and training costs incurred by the Mayor and City Council. 3) This appropriation covers the costs associated with the Parks and Recreation survey on Open Space. 4) This appropriation covers extra costs associated wi"th the fiber optic computer line. 2 EQUIPMENT FUND FROM: Contingency $ 35,000 TO : 1 ) 2) 3) Gasoline/Diesel Equip Parts Building Maintenance Total 15,000 10,000 10.000 $ 35,000 1) This appropriation covers the additional price as wE~ll as consumption of fuel. 2) This appropriation covers the unanticipated costs of parts 3) This appropriation covers the costs associated with cleaning up of the leaky used oil system. IT IS HEREBY RESOLVED by the Mayor and City Council that the above appropriations and transfers are approved. This Resolution was READ and DULY APPROVED at a regular ~leeting of the City Council of the City of Ashland on the .;1/ ~ day of May, 1991. 9~~ pf~ Nan E. Franklin City Recorder SIGNED AND APPROVED this ,;//;/77'-/ day of '/J //>~z... , 1991. . ~ I ..........--:-,.' i . /.-//~ C, / .A/ /.{ (~ { /k.. L_ .~ '- A (? \;.,/..., -T &.. - "---_ Catherine M Golden Mayor 3