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1064, Amend 2019-2020 Biennial Budget CITY OF YELM ORDINANCE NO. 1064 AN ORDINANCE OF THE CITY OF YELM AMENDING THE 2019-2020 BIENNIAL BUDGET. WHEREAS, the City of Yelm adopted the 2019-2020 Biennial Budget with Ordinance No. 1050, the Mid-Biennial Budget amendment with Ordinance No. 1055, and the March 2020 Budget Amendment with Ordinance No. 1059 in accordance with RCW 35A.34130 WHEREAS, the City of Yelm adopted Resolution No. 602 to establish a budget calendar to increase the consistency and predictability of the budget development processes, and specifies the budget will be routinely monitored and updated using year to date actual revenue and expenditures. WHEREAS, the City Council finds that the proposed adjustments to the 2019-2020 Biennial Budget Amendment for 2020 reflect revenues and expenditures that are intended to ensure the provision of vital municipal services at acceptable levels. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF YELM: Section 1. The July 2020 Amendment of the 2019-2020 Biennial for 2020 as set forth in Exhibits A is hereby adopted. Section 2. This Ordinance shall be in force and take effect following passage, approval, and publication. Section 3. Ratify and Confirmation Clause—Any action taken pursuant to this ordinance but prior to the effective date is hereby ratified and confirmed. ADOPTED BY THE CITY COUNCIL AT A REGULAR MEETING THEREOF ON THE 28TH DAY OF JULY, 2020. 1.10 Signed: JW Foster, Mayor Authenticated: Lori Lucas, City Clerk I Page 4 of 4 City of Yeim July 2020 Budget Amendment Summary-Exhibit A Fund Balances Revenue Expenditures Fund Balances July 2020 Budget Jury 2020 BudgetBe Beginning Current Budget Adjustments Amendment Current Budget Adjustments Estimated Ending Amendment General Fund(001) 6150,025 6,859,439 303,609 7,163,048 6,975,804 399,325 7,375,129 937,944 Municipal Street Fund(101) 11,406 478,746 • 478,746 344,092 --�_ 344,092 146,060 Arterial Street Fund(102) 222,597 139,219 •- 139,219 161,592 --'- 161,592 200,224 Cumulative Reserve Fund 1104) 331,071 15,000 - 15,000 - - 346,071 Park Reserve Fund(105) 893 • . Tourism Promotion(107) 305,443 14,241 • 14,241 152,527 152,527 167,157 YP0 school Resowe4 Fund(109) 49,920 87,000 - 87,000 50,789 • 50,789 86,131 Deposits&Retainage Fund(119) 8,070 - - - - 8,070 Transportation FxiBties 1120) 99,989 122,000 - 122,000 60,000 - 60,000 161,989 LTGO Bond Redemption(200) 30,232 333,395 100,000 433,395 298,915 148,000 446,915 16,712 Killion Road LI01202) 844,308 459,397 • 459,397 374,700 • 374,700 929,005 Sewer Revenue Bonds 1203) 5,689 173,275 100,000 273,275 259,539 • 259,539 19,425 Sewer Revenue Bond Rear(204) 866,500 1,511 - 1,511 • 868,011 Municipal Building Fund(302) 15,902 987,254 • 987,254 930,851 - 930,851 72,305 Road&Street Construction(316) 509,331 2,627,388 • 2,627,388 1,937,522 1,937,522 1,199,197 Stormwatrr Utility Fund(400) 260,633 419,230 • 419,230 536,934 - 536,934 142,929 Water Utility Fund(401) 5,574,020 3,477,721 • 3,477,721 3,065,328 70,000 3,135,328 5,916,413 Utility consumer Deposits(402) 91,089 5,000 • 5,000 5,000 - 3,000 91,089 Water Capital Improvement(404) 3,301,686 523,477 • 523,477 2,835,126 245 _-. ,000 3,080,126 745,037 Water Revenue Debt Sete(405) 63,545 913,681 70,000 983,681 876,512 57,810 934,322 132,904 Water Cupid Improvement(406) 956,200 1,383 • 1,383 • - - 957,583 Sewer Utility Fund 1412) 2,051,021 2,977,937 2,977,437 3,586,311 . 100,000 3,686,311 1,342,647 5ewer/Reuse Capital Resv(413) 2,742,051 4,109,999 • 4,109,999 2,969,742 • 2,969,742 3,882,308 Sewer Debt 5ery&Reserve 1415) 199,915 97,451 97,451 171,580 - 171,580 125,786 Shorting Railroad Fund(430) 4,812 60 • 60 - 4,872 Water Construction Fund(431) 1,042 70 70 1,111 6111 1 IT ER&R Fund 1501) 434224 350,869 350,869 597,775 597,775 191,318 Capital Equipment ER&R(502) 1.124,309 576,102 576,103 813,643 813,663 886,768 Project Performance Trust(630) 11,079 - - - • 11,079 11.079 - Total of Al Funds 21,291,003 25.750,775 573,679 26,324454 27,004,282 1,036329 26036.607 19.574690