Loading...
HomeMy WebLinkAbout1993-29 Adopting Annual Budget RESOLUTION ADOPTING BUDGET RESOLUTION NO. 93-;29 A RESOLUTION ADOPTING THE ANNUAL BUDGET AND MAKING APPROPRIATIONS BE IT RESOLVED that the Ashland City Council hereby adopts the 1993-94 Fiscal Year Budget, now on file in the office of the City Recorder. BE IT FURTHER RESOLVED, that the amounts for the fiscal year beginning July 1, 1993, and for the purposes shown below are hereby appropriated as follows: GENERAL FUND Human Resources Economic Development Miscellaneous Debt Service Transfers Out Contingency Police Department Municipal Court Communications Fire Department Senior Program Planning Building TOTAL GENERAL FUND $ 78,370 216,840 65,500 104,000 62,000 255,160 1,956,000 157,000 393,000 1,653,180 129,000 382,650 252,300 5,705,000 CEMETERY FUND Personnel Services Materials and Services Capital Outlay Debt Services Transfers Contingencies TOTAL CEMETERY FUND 93,000 106,650 11 ,000 2,000 500 15,000 228,150 BAND FUND Personnel Services Materials Contingency TOTAL BAND FUND 4,500 117,700 7,800 130,000 AIRPORT FUND Personnel Services Materials and Services Transfers TOTAL AIRPORT FUND 1,000 26,500 19,000 $ 46,500 II RESOLUTION ADOPTIING BUDGET STREET FUND Personnel Services Materials and Services Capital Outlay Debt Service Transfers Contingency TOTAL STREET FUND $ 539,000 897,200 154,000 15,000 70,000 100,000 1,775,200 CAPITAL IMPROVEMENTS FUND Personnel Services Materials and Services Capital Outlay Debt Service Transfers Contingency TOTAL CAPITAL IMPROVEMENTS 1,000 143,200 2,289,500 653,100 46,000 100,000 3,232,800 HOSPITAL CONSTRUCTION FUND Capital Outlay 840,000 BANCROFT BOND FUND Debt Service 400,000 GENERAL BOND FUND Debt Service 463,000 DEBT SERVICE FUND Debt Service 83,500 ADVANCE REFUNDING BOND FUND Debt Service 776,000 WATER QUALITY FUND Water Division Debt Services Transfers Contingency Conservation Division TOTAL WATER QUALITY FUND 2,835,610 4,200 299,500 200,000 58,000 $ 3,397,310 III RESOLUTION ADOPTING BUDGET SEWER FUND Personnel Services Materials and Services Capital Outlay Debt Service Contingencies TOTAL SEWER FUND $ 454,000 614,000 1,153,400 431,200 100,000 2,752,600 ELECTRIC UTILITY FUND Conservation Division Electric Department Debt Service Transfers Out Contingency TOTAL ELECTRIC UTILITY FUND 511,000 7,846,600 8,000 67,500 275,000 8,708,100 CENTRAL SERVICES FUND Administrative Department Finance Department Contingency Public Works Department Computer Services TOTAL CENTRAL SERVICES FUND 468,000 994,000 100,000 496,000 282.000 2,340,000 INSURANCE SERVICES FUND Personnel Services Materials and Services Transfers Out Contingency TOTAL INSURANCE SERVICES FUND 14,500 596,000 30,000 400,000 1,040,500 EQUIPMENT FUND Personnel Services Materials and Services Capital Outlay Contingency TOTAL EQUIPMENT FUND 143,000 371,500 592,000 60.000 1,166,500 CEMETERY TRUST FUND Transfers $ 30.000 IV RESOLUTION ADOPTING BUDGET HOSPITAL FUND Personnel Services Materials and Services Capital Outlay Transfers Contingencies TOTAL HOSPITAL FUND 6,885,200 4,829,100 2,025,000 381,000 700,000 14,820,300 PARKS AND RECREATION FUND Parks Division Debt Service Transfers Contingency Recreation Division TOTAL PARKS AND RECREATION 1,434,700 4,500 71,000 8,000 123,800 1,642,000 RECREATION SERIAL LEVY FUND Personnel Services Materials and Services TOTAL RECREATION LEVY FUND 54,600 56,400 111,000 PARKS CAPITAL IMPROVEMENTS FUND Capital Outlay 208,000 PARKS AND RECREATION TRUST FUND Materials and Services 800 TOTAL APPROPRIATIONS $ 49,897,260 BE IT FURTHER RESOLVED, that Resolution No. 93-~ is repealed. This Resolution was READ BY TITLE ONLY and DULY ADOPTED at a regular meeting of the City Council of the City of Ashland on the 6th day of July, 1993. r----~ d '" . '--/~Ci i 7//UdU!.h-L Nan E. Franklin, City Recorder . 12'./, SIGNED AND APPROVED this ~ day of July, 1993. ~'7 {1!:'i-f~ ~~~ Catherine M. Golden, Mayor ]Wed as to form' awe ~JJc; Paul Nolte, City Attorney V