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994 Amend 2014 BudgetCITY OF YELM ORDINANCE NO. 994 AN ORDINANCE amending the 2014 City of Yelm Budget as adopted by Ordinance No. 983 in December 2013, by increasing /decreasing appropriations in excess of original estimates and making required year- end adjustments. The City Council of the City of Yelm, Washington ordains as follows: Section 1. 2014 budgeted amounts for revenue and /or expenditures for the operation of the government of the City of Yelm for the fiscal year ending December 31, 2014, are increased by $382,212.90 as shown in Exhibit A. Section 2. The budget for the year 2014 as amended by the changes in Section 1 shall be filed in the office of the City Clerk who is hereby directed to transmit this supplemental budget to the Auditor of the State of Washington, Division of Municipal Corporations. Section 3. Ratify and Confirmation Clause — Any action taken pursuant to this ordinance but prior to the effective date is hereby ratified and confirmed. Section 4 This ordinance shall take effect five days following publication. PASSED and signed in authentication on this 10th day of February, 2015. Ronald W. Harding, Ma Authenticated: anine A. Schnepf, City Clerk Passed and Approved: February 10, 2015 PUBLISHED: Nisqually Valley News: February 20, 2015 Effective: February 25, 2015 EXHIBIT A 2014 Year End Budget Amendment FUND /ACCT AMOUNT REASON General Fund 001 Streets 101 511.10.41.00 $ 4,000.00 Lobbying Services 542.30. $ Salary /Wages /Benefits. Police Cash outs Salary/Wages /Benefits. New Standby Pay, 521.10.xx $ 46,835.00 (not budgeted). Disability Insurance not Medical Variance budgeted. $ 521.10.xx $ 2,365.00 Services /O &M. Vehicle Maintenance 594.44.64.00 531.30. $ 240.00 Pollution Control Total 101 551.xx $ 4,000.00 Annual Contributions. New Contract with Revenues $ - Yelm Senior Center Expenses 576.10.xx $ 950.00 Salary /Wages /Benefits Net Effect to End Cash 576.80 $ 14,209.00 Services /O &M & Utilities. Utilities was the bulk $10K, fuel 594.21.64.00 $ 16,549.00 PD Capital Expenditures. New Computers, docking stations not budgeted 594.76.64.00 $ 42.00 Parks Capital Expenditures 597.37.00.00 $ 193.68 T/O to 403 Garbage to Zero and Close Out 597.21.00.00 $ 7,701.18 T/O to 109 SRO Total 001 $ 97,084.86 Revenues $ - Expenses $ 97,084.86 Net Effect to End Cash $ (97,084.86) City Streets 101 542.30. $ 3,118.00 Salary/Wages /Benefits. New Standby Pay, Medical Variance 542.xx $ 616.00 Services /O &M 594.44.64.00 $ 1,411.00 Street Capital. Pole Building Cost overruns Total 101 $ 5,145.00 Revenues $ - Expenses $ 5,145.00 Net Effect to End Cash $ (5,145.00) Lodging Tax Revenue 107 Museum O &M. Utility cost increased, pest 575.50.00.00 $ 1,423.00 control Total 107 $ 1,423.00 Revenues $ - Expenses $ 1,423.00 Net Effect to End Cash $ (1,423.00) Page 2 of 4 EXHIBIT A 2014 Year End Budget Amendment FUND /ACCT AMOUNT REASON School Resource Officer 109 397.21.01.00 $ 7,701.18 T/I from 001 for SRO Officer Salary /Wages /Benefits 521.10.xx $ 7,701.18 Salary /Wages /Benefits Total 109 $ 15,402.36 $ Revenues $ 7,701.18 Expenses $ 7,701.18 400 Net Effect to End Cash $ - Revenues Storm Water Utility 400 538.30. $ 624.00 Salary /Wages /Benefits 538.3 $ 1,622.00 Services /O &M. Utility Taxes 594.38.64.00 $ 5,383.00 Capital Expenditures. Portion of Tax for Sweep Truck never paid 400 $ 7,629.00 1,425.00 Revenues $ - Expenses $ 7,629.00 $ Net Effect to End Cash $ (7,629.00) $ Water Utility 401 534.10. $ 3,876.00 Salary /Wages /Benefits Services /O &M. Taxes = $43,267, printing, 534.10. $ 70,888.00 misc ext, equip rpr, vehicle rpr, water samples 594.34.64.00 $ 1,425.00 Capital Expenditures. Pole Building Cost add construction. Offset by Scrap Revenue Total 401 $ 76,189.00 Revenues $ - Expenses $ 76,189.00 Net Effect to End Cash $ (76,189.00) Garbage (Spring Cleanup) 403 397.37.00.00 1 $ 193.68 403 $ 193.68 Revenues $ 193.68 Expenses $ - Net Effect to End Cash $ 193.68 T/I From 001 to ZERO and Close Out Page 3 of 4 EXHIBIT A 2014 Year End Budget Amendment FUND /ACCT AMOUNT REASON Sewer Utility 412 535.10. $ 19,621.00 Salary/Wages /Benefits. No budget for Cash outs, or OT and affected taxes 535.10/535.50 $ 158,100.00 Services /O &M. Treatment Plant Maint. _ $129K, Taxes = $20K 594.35.64.00 $ 1,425.00 Capital Expenditures. Pole Building Cost add construction. Offset by Scrap Revenue Total 412 $ 179,146.00 Revenues $ - Expenses $ 179,146.00 Net Effect to End Cash $ (179,146.00) TOTAL LINE ITEM ADJUSTMENTS Revenues From Transfers In Expenses Including Transfers Out Net Effect to Ending Cash $ 382,212.90 $ 7,894.86 $372,895.04 $ (365,000.18) Page 4 of 4