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HomeMy WebLinkAbout1993-22 Transfer Appropriations RESOLUTION NO. 93-o?~ A RESOLUTION TRANSFERRING APPROPRIATIONS WITHIN 1992-93 BUDGET THE CITY OF ASHLAND RESOLVES AS FOLLOWS: Due to the circumstances stated below, the Mayor and City Council of the city of Ashland hereby determine that it is necessary to transfer appropriations as follows: GENERAL FUND FROM: General Fund Contingency $23,000 TO: Police Dept - Equipment Senior Div - Equipment Econ Dev - Recycle Committee Human Resources - Traveler's Aid Total 15,000 5,000 1,000 2,000 $23,000 The Police Department appropriation covers the costs associated with the new motorcycle, which is being paid from Police forfei- tures. The Senior Department equipment appropriation covers bus expenditures which were covered by donations. The recycle committee needs additional monies for the recycle center and the Human Services budget needs an additional appropriation for the Traveler's Aid program. EMERGENCY 9-1-1 FUND FROM: Contingency Materials and Services - Telephone Total $ 790 1,210 2,000 TO: Personnel Services $2,000 This appropriation will cover additional pay for overtime and unemployment insurance. STREET FUND FROM: Personnel Services - Salary $50,000 TO: Material and Services - Maintenance Storm Sewers Capital Hersey st. Storm Sewer Total 10,000 40,000 $50,000 The Hersey st. Storm Sewer project was planned for completion prior to July 1, 1992, and was offset with additional carryover. The maintenance for storm sewers has run over budget. 1 STREET FROM: TO: FUND (cont.) Capital Outlay Misc. Concrete Street Tree Replacement Total $10,000 10,000 10,000 $30,000 $10,000 10,000 10,000 $30,000 Materials and Services Mise Concrete Street Tree Replacement Total This appropriation better classifies these expenditures as Materials and Services. CAPITAL IMPROVEMENTS FUND FROM: Capital Outlay - Building TO: $10,000 Contract Services - Forest Interface Mgmt $10,000 The above appropriation covers the costs associated with the Forest Management - Interface Clearing expenses. WATER FUND FROM: Water Fund Personnel TO: $48,000 Materials and Services Watershed Management Purchased Water Chemical and Lab Testing Advertising Maintenance Inventory Adjustment Conservation - Toilet Rebates Total 10,000 6,000 8,000 5,000 6,000 10,000 3,000 $48,000 The Materials and Services costs for the Water Division are higher than expected. The watershed (Forest Interface) expendi- tures were in the study stage during last year's budget process. The Purchased Water, Chemicals and Lab Testing, and Water Conser- vation Advertising costs are more because of the drought last summer and fall. The Inventory Adjustment is the result of getting the inventory ready for computerization. The City is purging slow moving and obsolete items from the inventory. The $3,000 is for Toilet rebates that are in process. ELECTRIC FUND FROM: Electric Fund Contingency TO: $100,000 Purchased Power $100,000 2 This appropriation will cover the estimated cost overrun on purchased power for 1992-93. EQUIPMENT FUND FROM: Contingency $4,500 TO: Salaries $4,500 This appropriation covers additional part-time hours. HOSPITAL FUND FROM: Hospital Fund Contingency $500,000 TO: Salary and Wages Employee Benefits Materials and Services 100,000 100,000 300,000 FROM: Debt Service $100,000 TO: Materials and Services $100,000 This appropriation covers the increased utilization and salary increases that were not anticipated in the original budget document. The foregoing resolution was READ and DULY ADOPTED at a regular meeting of the City council of the City of Ashland on the /d day of '----&-e--x~___ 1993. '> ~/ . ~--7~(") ;:tf ;-Ad/tk.-lt,L-' Nan E. Franklin, City Recorder SIGNED and APPROVED this ~/~?c'"i day of '--j \. / - /--~~.-<::-- / ~7 ../~ -, C~h~; ~;;r{: , 1993. )~ /{"- ,~~~/'-- -- Golden, Mayor 67J~ as to form: Paul Nolte, City Attorney H:\jil1\wp\budget\taresl.92- 3