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HomeMy WebLinkAbout2011-18 Adopting Annual Budget RESOLUTION 2011~J g RESOLUTION ADOPTING THE ANNUAL BUDGET AND MAKING APPROPRIATIONS The City of Ashland resolves that the 2011-2012 Fiscal Year Budget, now on file in the office of the City Recorder is adopted. The amounts for the fiscal year beginning July 1,2011, and for the purposes shown below are hereby appropriated as follows: SECTION I: GENERAL FUND Administration Department Administration Department- Library Administration Department- Municipal Court Administrative Services - Social Services Grants Administrative Services - Economic & Cultural Grants Administrative Services - Miscellaneous Administrative Services - Band Police Department Fire and Rescue Department Public Works - Cemetery Division Community Development - Planning Division Community Development - Building Division Transfers Contingency $ 258.829 376,720 452,123 122,710 626,078 127,546 58,500 5,518,481 5,480,533 321,125 1,153,310 612,533 500 500,000 15,608,988 TOTAL GENERAL FUND COMMUNITY DEVELOPMENT BLOCK GRANT FUND Personal Services Materials and Services TOTAL CDBG FUND 44,300 221,845 266,145 RESERVE FUND Transfers TOTAL RESERVE FUND STREET FUND Public Works - Street Operations Public Works - Storm Water Operations Public Works - Transportation SDC's Public Works - Storm Water SDC's Public Works - Local Improvement Districts Contingency TOTAL STREET FUND 5,040,020 713,551 401,110 146,850 391,140 100,000 6,792,671 AIRPORT FUND Materials and Services Debt Service Contingency TOTAL AIRPORT FUND 64,950 43,536 5,000 113,486 CAPITAL IMPROVEMENTS FUND Public Works - Faciiities 4,269,180 Page 1 of3 Administrative Services - Parks Open Space Transfers Other Financing Uses (Interfund Loans) Contingency TOTAL CAPITAL IMPROVEMENTS 1,907,000 121,982 208,000 50,000 6,556,162 DEBT SERVICE FUND Debt Service TOTAL DEBT SERVICE FUND 2,248,574 2,248,574 WATER FUND Electric - Conservation Division Public Works - Forest Lands Management Division Public Works - Water Supply Public Works - Water Treatment Public Works - Water Distribution Public Works - Reimbursement SDC's Public Works - Improvement SDC's Public Works - Debt SDC's Debt Service Interfund Loan Contingency TOTAL WATER FUND 171,526 1,843,458 620,922 1,056,289 2,347,519 110,000 250,000 124,860 560,298 200,000 194,000 7,478,872 WASTEWATER FUND Public Works - Wastewater Collection Public Works - Wastewater Treatment Public Works - Reimbursement SDC's Public Works - Improvement SDC's Debt Service Contingency TOTAL WASTEWATER FUND 1,937,482 2,478,433 21,250 351,912 1,670,573 160,000 6,619,650 ELECTRIC FUND Electric - Conservation Division Electric - Supply Electric - Distribution Electric - Transmission Debt Service Contingency TOTAL ELECTRIC FUND 509,841 7,095,300 6,164,617 953,000 24,565 425,000 15,172,323 TELECOMMUNICATIONS FUND Personal Services Materials & Services Capital Outlay Contingency TOTAL TELECOMMUNICATIONS FUND 670,620 1,265,959 140,640 100,000 2,177,219 CENTRAL SERVICES FUND Administration Department IT - Computer Services Division Administrative Services Department City Recorder Division Public Works - Administration and Engineering 1,364,801 1,188,042 1,736,601 310,756 1,390,453 Page 2 of3 Contingency TOTAL CENTRAL SERVICES FUND 145,000 6,135,653 INSURANCE SERVICES FUND Personal Services Materials and Services Contingency TOTAL INSURANCE SERVICES FUND 79,580 676,500 150,000 906,080 EQUIPMENT FUND Public Works - Maintenance Public Works - Purchasing and Acquisition Contingency TOTAL EQUIPMENT FUND 988,614 800,000 47,000 1,835,614 CEMETERY TRUST FUND Transfers TOTAL CEMETERY TRUST FUND 20,000 20,000 PARKS AND RECREATION FUND Parks Division Recreation Division Golf Division Transfers Contingency TOTAL PARKS AND RECREATION FUND 3,500,240 1,103,040 432,890 349,000 50,000 5,435,170 YOUTH ACTIVITIES LEVY FUND Materials and Services TOTAL YOUTH ACTIVITIES LEVY FUND 20,000 20,000 PARKS CAPITAL IMPROVEMENTS FUND Capital Outlay TOTAL PARKS CAPITAL IMP, FUND 70,000 70,000 TOTAL APPROPRIATIONS $ 77,456,607 SECTION 2, This resolution takes effect upon signing b~~or. . This solution was duly A SED and ADOPTED this-Z.E.-- day of June, 2011. Barbara Christensen, City Recorder ~ day of June, 2011. n Stromberg, May SIGNED AND APPROVED this Relld as ~ LJ'l'4( _ David Lohman, City Attorney Page 3 of3