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11 24 2015 Agenda PacketAGENDA YELM CITY COUNCIL MEETING TUESDAY, NOVEMBER 24, 2015, 6:00 P.M. Website Viewing: Clicking on agenda items will open associated documents including staff reports, resolutions, ordinances, etc. Note: some agenda items may not have attachments. Oath of Office, Tad Stillwell, Yelm City Council Position 4 1. Call to Order 2. Roll Call 3. Agenda Approval 4. Special Presentations- 5. Public Comment — Please complete a blue speaker's card and present it to the meeting recorder. Comment topics should not appear elsewhere on the agenda. Time (three minutes per speaker) and the number of speakers (five) are limited and may be adjusted to meet agenda requirements. 6. Consent Agenda a. Minutes; Regular Meeting November 10, 2015 b. Payables; Checks # 7. Public Hearing - a. Ad Valorem Tax Rate Budget Year 2016 b. 2016 Preliminary Budget 8. New Business - a. Ordinance No. 1006, Setting Ad Valorem Tax for 2016 (7.a.) 10 min Presenter: Noah Crocker, Finance Director Attachments: Staff Report, Ordinance No. 1006 b. Ordinance No. 1008, 2016 Preliminary Budget (7.b.) 10 min Presenter: Noah Crocker, Finance Director Attachments: Staff Report, Ordinance No. 1008 C. Resolution No. 562, Interfund Loan 001 to 316 Roads /Streets 10 min Presenter: Noah Crocker, Finance Director Attachments: Staff Report, Resolution No. 562 d. Resolution No. 563, Interfund Loan 401 to 400 Stormwater Utility 10 min Presenter: Noah Crocker, Finance Director Attachments: Staff Report, Resolution No. 563 e. Ordinance No. 1007, 2015 Year -End Budget Amendment 10 min Presenter: Noah Crocker, Finance Director Attachments: Staff Report, Ordinance No. 1007 f. Release of Retainage to Nova Construction, Mosman Improvement 10 min Project Presenter: Ryan Johnstone, Public Works Director Attachments: Staff Report, ACTION ACTION ACTION ACTION ACTION ACTION ACTION ACTION g. TIB Supplement with Gray & Osborne, Additional Construction ACTION 10 min Management Services, Mosman Improvement Project Presenter: Ryan Johnstone, Public Works Director Attachments: Staff Report, h. Release of Retainage to Iverson & Sons, Yelm Ave Sidewalk Project ACTION 10 min Presenter: Ryan Johnstone, Public Works Director Attachments: Staff Report, 9. Old Business — none scheduled 10. Council and Mayor Councilmember Foster represents Yelm on the following committees. • Thurston County Solid Waste • Nisqually River Council Advisory Committee (SWAC) • Yelm Finance Committee Councilmember Baker represents Yelm on the following committees. • Intercity Transit Board • Yelm Adult Community Center Councilmember Isom represents Yelm on the following committees. • Thurston Regional Planning Yelm Economic Development Council Committee (TRPC) • Yelm Finance Committee Councilmember Littlefield represents Yelm on the following committees. • Thurston County HOME Yelm Finance Committee Consortium Councilmember Wood represents Yelm on the following committees. • (TRPC) Transportation Policy • Yelm Transportation Committee Board • TComm 911 Admin Board Councilmember Garmann represents Yelm on the following committees. • Yelm Transportation Committee Thurston County Law and Justice Councilmember Hendrickson represents Yelm on the following committees. • Medic One Yelm Emergency Operations Board Mayor Harding represents Yelm on the following committees. • Thurston County Economic • Yelm Finance Committee Development Council • Yelm Emergency Operations Board • Yelm Transportation Committee • Thurston County Mayor's Forum Yelm Economic Development • (TRPC) Transportation Policy Committee Board 11. Executive Session- none scheduled 12. Correspondence (Correspondence is available upon request) Nisqually Land Trust Newsletter, Winter 2015 Early Learning Celebration Friday, November 20, 2015 10am -12 Lacey Community Center 13. Adjourn Upcoming Meetings Regular City Council Meeting, Tuesday, December 8, 2015, 6:00 pm, Public Safety Building CITY OF YELM MEETING INFORMATION All regular Yelm City Council meetings are audio recorded. A $5.00 per CD (prepaid) fee is required. For information about obtaining a copy of the proceedings, please call 360.458.8402. Public comments are welcome. However, in order to proceed with scheduled agenda items the allowable time per speaker is limited to 3 minutes and the number of speakers limited to five. Comments during the public comment portion of the meeting should not be associated with measures or topics appearing elsewhere on the agenda and should not address topics for which public hearings have been conducted or are anticipated. It is the City of Yelm's policy to provide reasonable accommodations for people with disabilities. If you are a person with a disability and in need of reasonable accommodations to conduct business or participate in government processes or activities, please contact Janine Schnepf, at 360.458.8402 at least four (4) working days prior to the scheduled event. The City of Yelm is an equal opportunity provider and employer. The Preliminary Agenda and Approved Council Minutes are available at .www.ci.yelm.wa.us Agenda Item 6. a. Minutes Page 1 of 3 YELM CITY COUNCIL REGULAR MEETING TUESDAY, NOVEMBER 10, 2015 MINUTES 1. Mayor Harding called the meeting to order at 6:00 pm. 2. Roll Call Present: JW Foster, Joe Baker, Jennifer Littlefield, Tracey Wood, Ken Garmann and Russ Hendrickson. 15 -092 MOTION BY JOE BAKER EXCUSING COUNCILMEMBER BOB ISOM FROM THE MEETING. CARRIED. Agenda Approval 15 -093 MOTION BY JW FOSTER APPROVING THE AGENDA AS PRESENTED. CARRIED. 4. Special Presentations - October Student of the Month - Emily Greninger is both an outstanding athlete and academic force. She has maintained a 3.6 GPA while taking AP /Honors classes as well as being involved with the sports medicine program and various other community activities. Emily has been accepted to WSU where she hopes to receive an ROTC scholarship. She is a talented bowler and was on the 2013 team that won the 'WIAA Academic Championship.' Emily is much loved by the staff and students at Yelm High School. Mayor Harding presented Ms. Greninger with a plaque and thanked her for coming to the meeting. 5. Public Comment - Mike Malan, property owner in the City of Yelm stated that one of his tenants had a huge water bill due to a leak and subsequently had their water turned off because the bill had not been paid in full without notification to the renter or the property owner. Mr. Malan had been into City Hall and had spoken to Mayor Harding on the phone at which time he was asked to sign a contract with the City of Yelm ensuring the water bill would be paid over three months. Mr. Malan did not sign a contract. Mr. Malan sited the Washington Administrative Code (WAC) concerning turning utilities off for nonpayment and stated that the City of Yelm is not following the state law and if his tenant gets their water turned off for not paying the $50 shut off /reconnect fee then he has advised them to file a class action lawsuit against the City of Yelm. Mayor Harding asked Janine Schnepf, City Clerk to explain the steps and procedure from start to finish to help clarify the process. Mayor Harding invited Mr. Malan to meet with him in his office to discuss this matter further. Mr. Malan said he would do that. Preston Collins, a City of Yelm resident gave a public service announcement that Randy Cramer would be at the Triad Theater on Saturday, November 14 at 7pm to discuss military operations on Mars and the US Government secrecy on this issue. 6. Consent Agenda Minutes - Regular Meeting October 27 & Study Session October 28, 2015 and Special Meeting Minutes November 4, 2015 Payables - Checks #65613 - #65730 Totaling $2,321,678.00 YCP, Annual Christmas in the Park event, December 4 & 5, 2015 All Day - Community wide event 11/10/15 Agenda Item 6. a. Minutes Page 2 of 3 15 -094 MOTION BY TRACEY WOOD APPROVING THE CONSENT AGENDA AS PRESENTED. CARRIED. 7. Public Hearing —none scheduled 8. New Business — a. Yelm Skatepark Award Bid for Construction Contract Chad Bedlington, Public Works Manager stated the Skatepark Project is located at 201 1" Street NE across SR507 from the Yelm City Park and future Community Center. The project was designed in partnership with City Staff, BCRA Consulting, New Line Skateparks Inc. and a Citizen Advisory Committee. The majority of the project is funded via a Federal grant through the Community Development Block Grant (CDGB) program, facilitated through Federal Housing and Urban Development (HUD). This project was originally bid in August of 2015, with bid results unfortunately coming in well above the allotted budget for this project. The project was rebid in October of 2015. The Skatepark project was advertised for construction on October 16 & 23, 2015 and bids were opened on October 30, 2015. Six (6) bids were received. Dreamland Skateparks, LLC was selected as the lowest responsive bidder based on the base bid amount. Councilmember Hendrickson asked if the low bidder had been checked out thoroughly. Chad stated he had personally called and checked with other municipalities who had used Dreamland Skateparks for their projects. Councilmember Garmann asked for clarification on the total not to exceed amount. Chad stated it would be $409,300.00. This amount does not include sales tax and excludes the Bid Alternative 3 for landscaping and planting. Councilmember Foster asked what the plans were for landscaping. Mayor Harding stated that Public Works would be doing some of the work at a later date or maybe a community volunteer project in order to save money. Councilmember Foster stated that during the design, planning and construction of the project, that public safety and the privacy and respect of the two adjacent businesses be taken into consideration. Councilmember Littlefield asked if the two businesses located closest to the skate park had been contacted. Mayor Harding stated he had been in contact with both adjacent business owners. 15 -095 MOTION BY JOE BAKER AUTHORIZING MAYOR HARDING TO AWARD THE PROJECT TO AND SIGN THE CONSTRUCTION CONTRACT WITH DREAMLAND SKATEPARKS, LLC IN THE NOT EXCEED AMOUNT OF $409,300.00. THIS AMOUNT IS NOT INCLUSIVE OF SALES TAX AND EXCLUDES BID ALTERNATIVE three LISTED BELOW (PLANT PURCHASE AND INSTALLATION). CARRIED. 9. Old Business —none scheduled 10. Mayor and Council Initiatives Councilmember Foster reminded everyone that tomorrow is Veteran's Day and there will be a ceremony at the Yelm Cemetery at fpm. Councilmember Foster attended the City of Yelm Finance Committee meeting, Elected Officials Council to the South Sound Military & Communities Partnership meeting along with Associate Planner, Tami Merriman. There was a survey taken of local residents and businesses on Joint Base Lewis McChord (JBLM) and the feedback was very positive. He also attended the Special Budget Workshop on November 4. Councilmember Foster is the Chair of the General Advisory Committee for Yelm 11/10/15 Agenda Item 6. a. Minutes Page 3 of 3 Community Schools Technical and Education Program. He attended a meeting recently and was very impressed by the students and how interested they are in engaging with business leaders in our community. Councilmember Foster encouraged anyone who owns a business in the community to engage with Yelm Community Schools CTE programs to get the business owner into the classroom or to get the kids out in the community. Councilmember Wood attended the TComm 911 Admin Board meeting where they discussed a Strategic Positioning Plan and passed a Resolution allowing the Washington Military department to reimburse for the dispatcher provided to them during the wildfires. They also passed the 2016 budget. Councilmember Wood also attended the City of Yelm Finance Committee meeting. Councilmember Hendrickson attended the Special Budget meeting and the Yelm Chamber Forum luncheon. Mayor Harding attended the Thurston County Economic Development Council meeting, City of Yelm Finance Committee meeting, the Special Budget meeting and the Yelm Chamber Luncheon Forum. Mayor Harding reminded everyone that the Yelm Cemetery is honoring Veterans with a celebration at 1 pm at the Yelm Cemetery on Wednesday, November 11, 2015. 11. Executive Session - none scheduled 12. Correspondence included - South Sound Partners for Philanthropy, October 21, 2015 - announcing the recipients of the 2015 Leadership in Philanthropy Awards AWC Elected Officials Essentials Workshop, Saturday, December 5, 2015 Thurston County Chamber of Commerce, Voice Magazine Nov /Dec 2015 Morningside Newsletter November 2015 - Giving Tuesday, December 1, 2015 Strong Cities, Great State - Invitation to a reception honoring Representative J.T. Wilcox with the AWC Transportation Champion Award, November 10, 2015 5pm- 6pm at the Yelm Public Safety Building U.S. Army Corps of Engineers Public Notice for October 2, 2015 - Construction of new residential overwater structures in certain inland marine waters of Washington State Thurston County Canvassing Board meeting, Thursday, November 12, 2015, 8:30am Tumwater 13. Adjourned at 6:35 pm. Attest: Ron Harding, Mayor 11/10/15 Lori Mossman, Deputy City Clerk Agenda Item 7. Public Hearing notices Page 1 of 3 CITY OF YELM PUBLIC HEARING REVENUE SOURCES AD VALOREM TAX RATE BUDGET YEAR 2016 The City of Yelm has scheduled a Public Hearing to receive comment on the Revenue Sources for the 2016 Budget, as part of the Tuesday, November 24, 2015 City Council meeting. The Public Hearing will consider Property Tax Rates (Ad Valorem) for collection in 2016. The meeting will be held at the Yelm Public Safety Building, 206 McKenzie Ave. For additional information, please contact Janine Schnepf, (360) 458 -8402 It is the City of Yelm's policy to provide reasonable accommodations for people with disabilities. If you are a person with a disability in need of accommodations to conduct business or to participate in government processes or activities, please contact Janine Schnepf at (360) 458 -8402 at least 5 working days prior to the scheduled event. Janine Schnepf, City Clerk Published: Nisqually Valley News, November 6 and November 13, 2015 PLEASE DO NOT PUBLISH BELOW THIS LINE Distribution: City Council Packets: Mayor: Councilmembers Newspaper of Record Posted Ron Harding JW Foster Joe Baker Robert Isom Jennifer Littlefield Tracey Wood Ken Garmann Russ Hendrickson Nisqually Valley News Yelm City Hall Yelm Timberland Library Agenda Item 7. Public Hearing notices Page 2 of 3 CITY OF YELM PUBLIC NOTICE FILING OF THE YEAR 2016 PRELIMINARY BUDGET The City of Yelm 2016 Preliminary Budget will be filed with the City Clerk and will be available to the Public on Friday, November 20, 2015. To obtain a copy, contact the City Clerk at Yelm City Hall, 105 Yelm Ave West, Yelm, WA 98597. (360) 458 -8402. It is the City of Yelm's policy to provide reasonable accommodations for people with disabilities. If you are a person with a disability in need of accommodations to conduct business or to participate in government processes or activities, please contact Janine Schnepf at least 5 working days prior to the scheduled event. Janine Schnepf, City Clerk Published: Nisqually Valley News, November 13 and November 20, 2015 PLEASE DO NOT PUBLISH BELOW THIS LINE Distribution: City Council Packets: Mayor: Councilmembers Newspaper of Record Posted Ron Harding JW Foster Joe Baker Robert Isom Jennifer Littlefield Tracey Wood Ken Garmann Russ Hendrickson Nisqually Valley News Yelm City Hall Yelm Timberland Library Agenda Item 7. Public Hearing notices Page 3 of 3 CITY OF YELM PUBLIC HEARING 2016 BUDGET The Yelm City Council will hold a Public Hearing to consider the 2016 Budget on Tuesday, November 24, 2015 in Council Chambers at Yelm Public Safety Building, 206 McKenzie Ave, 6:00 p.m. The Hearing will be continued to December 8, 2015. It is the City of Yelm's policy to provide reasonable accommodations for people with disabilities in need of accommodations to conduct business or to participate in government processes or activities, please contact Janine Schnepf (360) 458- 8402 at least 5 working days prior to the scheduled event. Janine Schnepf, City Clerk Posted: November 20, 2015 PLEASE DO NOT PUBLISH BELOW THIS LINE Distribution: City Council Packets: Mayor: Councilmembers Ron Harding JW Foster Joe Baker Robert Isom Jennifer Littlefield Tracey Wood Ken Garmann Russ Hendrickson Posted Yelm City Hall Yelm Public Safety Building Yelm Timberland Library Agenda Item 8. a. Ordinance No. 1006, Setting Ad Valorem Tax for 2016 Pagel of 4 City of Yelm STAFF REPORT To: Mayor Ron Harding & Yelm City Council From: Noah Crocker, Finance Director Date: November 19, 2015 (for Nov 24th Council Meeting) Subj: Setting Ad Valorem Property Tax for 2016 Recommendation Motion to adopt Ordinance No. 1006 setting the amount fixed as Ad Valorem for the regular levy of property tax necessary to raise revenues for essential expenditures for the City of Yelm for the fiscal year 2016. Background The phrase ad valorem is Latin for "according to value ". In the case of municipal property taxes, property owners have their property assessed on a periodic basis by a public tax assessor. The assessed value of the property is then used to compute an annual tax, which is levied on the owner by his or her municipality. The legislative body must hold a public hearing and discuss any increases in property tax revenues that are being considered. The public hearing and the vote on the property tax ordinance may be done at the same meeting. In order to set the property tax rates they must be identified in the adopting ordinance both by the dollar and percentage increase amounts and certified with the county by a November 30th deadline. Cities with a population of less than 10,000 can increase their levy amount by one percent without a vote (highest lawful levy calculation). Normally, taxes on new construction are exempt from the lid /limit factor and may be added to the tax levy that is being requested. However, this is only if the statutory maximum levy rate times the assessed value of the city exceeds the highest lawful maximum. The city has not exceeded this for several years due to the economic recession. Current Situation The assessed valuation of the City increased approximately $2,968,302 over the previous year, therefore increasing one factor in the formula for determining the rate (statutory rate limit x assessed value per $1,000). The new levy rate will be $1.70911 per $1,000 of assessed valuation. This levy rate includes a councilmanic reduction of 1 % to City of Yelm property owners. Agenda Item 8. a. Ordinance No. 1006, Setting Ad Valorem Tax for 2016 Page 2 of 4 CITY OF YELM ORDINANCE NO. 1006 (RCW 84.55.120) AN ORDINANCE OF THE CITY OF YELM SETTING THE AMOUNT FIXED AS AD VALOREM FOR THE REGULAR LEVY OF PROPERTY TAX NECESSARY TO RAISE REVENUES FOR ESSENTIAL EXPENDITURES FOR THE CITY OF YELM FOR THE FISCAL YEAR 2016. WHEREAS, the City Council of the City of Yelm met and considered its budget for the calendar year 2016; and WHEREAS, a duly advertised public hearing to consider the 2015 regular property tax levy rate was held as part of the regular city council meeting on Tuesday, November 24, 2015; NOW THEREFORE, the City Council of the City of Yelm do ordain as follows: Section 1. The Yelm City Council determined that the City of Yelm requires a regular levy in the amount of $1,201,778 in order to discharge the expected expenses and obligations of the city. This amount is derived using the state - assessed property values, and amounts resulting from the addition of new construction, improvements to property and includes a councilmanic reduction of 1 % from amounts authorized by law. Section 2. State Assessed Utility Value reported at $19,010,534. As required by RCW 84.55.120 to report, The City of Yelm actual levy amount from the previous year was $1,112,055.00. The dollar amount of the increase over the actual levy amount from the previous year shall be $51,154.44, which is a percentage increase of 4.6 %. This increase is exclusive of additional revenue resulting from new construction, improvements to property, any increase in the value of state assessed property, any annexations that have occurred and refunds made. Section 3. A Certified Budget request or estimate is filed with the County Legislative Authority, separate from this ordinance. As required by RCW 84.52.020, that filing certifies the total amount to be levied by the regular property tax levy on the Department of Revenue provided form for this purpose, REV 64 0100, "Levy Certification ". Certification is made in a manner prescribed by the County Legislative Authority. Section 4. Effective Date: This ordinance shall become effective five days following passage, approval and publication as provided by law. Agenda Item 8. a. Ordinance No. 1006, Setting Ad Valorem Tax for 2016 Page 3 of 4 Section 5. Severability. If any section, subsection, paragraph, sentence, clause, or phrase of this ordinance is declared unconstitutional or invalid for any reason, such decision shall not affect the validity of the remaining portion of this ordinance. ADOPTED this 24th day of November, 2015. Ron Harding, Mayor JW Foster Councilmember Joe Baker Councilmember Bob Isom Councilmember Authenticated: Janine Schnepf, City Clerk Jennifer Littlefield Councilmember Tracey Wood Councilmember Ken Garmann Councilmember Russ Hendrickson Councilmember PASSED AND APPROVED; November 24, 2015 PUBLISHED: Nisqually Valley News, December 04, 2015 Agenda Item 8. a. Ordinance No. 1006, Setting Ad Valorem Tax for 2016 Page 4 of 4 �I)epaii mien [ of e'ven e Levy Certification 'vol', Submit this document to the county legislative authority on or before November 30 of the year preceding the year in which the levy amounts are to be collected and forward a copy to the assessor. In accordance with RCW 84.52.020, I, Noah Crocker (Name) Finance Director for City of Yelm do hereby certify to (Title) (District Name) the Thurston County legislative authority that the Council (Name of County) (Commissioners, Council, Board, etc.) of said district requests that the following levy amounts be collected in 2016 as provided in the district's (Year of Collection) budget, which was adopted following a public hearing held on Regular Levy: $1,201,778.00 (State the total dollar amount to be levied) Excess Levy: (State the total dollar amount to be levied) Refund Levy: $5,053.74 (State the total dollar amount to be levied) Signature: 11/24/15 (Date of Public Hearing) Date: For tax assistance, visit hlt2: / /dor.wa.gov/ content /taxes /property /default.asi2x or call (360) 570 -5900. To inquire about the availability of this document in an alternate format for the visually impaired, please call (360) 705 -6715. Teletype (TTY) users may call 1- 800 -451 -7985. REV 64 oboe (w) (10/7/08) To: Mayor Ron Harding Yelm City Council Agenda Item 8. b. Ordinance No. 1008, 2016 Preliminary Budget Page 1 of 6 City of Yelm From: Noah Crocker, Finance Director STAFF REPORT Date: November 19th, 2014 (for November 24th City Council Meeting) Subj: 2016 City of Yelm Budget — Ordinance No. 1008 Recommendation To open the Public Hearing on the 2016 City of Yelm Budget and after the staff report and public comment, continue the Hearing to the December 8th City Council Meeting. At this meeting additional public comment will be heard and the budget will be scheduled for adoption. Background The 2016 budget forecast was presented to the Council by Mayor Harding on November 4, 2015. Current Situation Mayor Harding and staff present a balanced 2016 Budget for public comment. The $6.633 million dollar general fund budget reflects a conservative approach to revenue projections ($5.076 million), as well as a thorough analysis of planned expenditures. It maintains current programs, contracts and levels of service provided to the community. Highlights of the 2016 Budget include: • SW Yelm Well 1A — construction of water treatment system, booster station, well house, and reservoir; • Water rights mitigation projects associated with Deschutes River Farm; • AC water line replacement projects; • Cochrane Park wetland rehabilitation; • Sewer Capital Facilities Plan; • Water Comprehensive Plan Update. Agenda Item 8. b. Ordinance No. 1008, 2016 Preliminary Budget Page 2 of 6 CITY OF YELM ORDINANCE NO. 1008 AN ORDINANCE OF THE CITY OF YELM ADOPTING THE YELM MUNICIPAL BUDGET AND SALARY AND BENEFIT SCHEDULE FOR THE CALENDAR YEAR 2016. BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF YELM, THURSTON COUNTY, STATE OF WASHINGTON, AS FOLLOWS: Section 1. The monies in the funds of the City Treasury as identified annexed hereto and by this reference incorporated as though fully set forth, or so much thereof as shall be found necessary, are hereby budgeted and appropriated for the calendar year 2016 to be used for the purposes for which said funds have been established and maintained. Section 2. The 2016 salary and hourly salary rates for officers and employees of the City of Yelm shall be, and the same are hereby fixed and established as set forth in the "2016 Salary Schedule ", annexed hereto as Appendix II, and by this reference incorporated as thought fully set forth. Sick leave, bereavement leave, vacation, holidays, medical, dental and life insurance benefits shall in calendar year 2016 be accumulated and provided to officer and employees of the City of Yelm in the manner set forth in the "2016 Benefit Schedule ", annexed hereto as Appendix III, and by this reference incorporated as though fully set forth. Section 3. Copies of this Ordinance shall be sent to the State Auditor, Thurston County Auditor, and Municipal Research Services. Section 4 Effective Date. This Ordinance shall take effect five days following publication. Section 5 Ratify and Confirmation Clause. Any action taken pursuant to this ordinance but prior the effective date is hereby ratified and confirmed. Ron Harding, Mayor Authenticated: Janine Schnepf, City Clerk PASSED AND APPROVED: PUBLISHED: Nisqually Valley News, General Fund Expenditures:, Transfer out of General Fund to other obligations /funds: General Government: 2015 2015 2016 Council $ 23,077.00 $ 75,856.00 $ 122,599.18 Court $ 40,639.00 $ 199,942.00 $ 297,471.59 Executive $ 317,103.00 $ 321,109.00 $ 288,829.00 Finance /Admin. $ 340,767.00 $ 226,706.00 $ 284,064.00 Legal $ - $ 170,000.00 $ 170,000.00 L & I Retro Program $ 245,000.00 $ 4,000.00 $ 3,800.00 Central Service $ 75,000.00 $ 400,818.00 $ 542,368.59 $ 138,305.00 $ 1,398,431.00 $ 1,709,132.36 Public Safety: $ 1,179,891.00 2015 2016 Law Enforcement 2015 $ 1,570,075.00 $ 1,873,396.23 Detention /Jail $ 375,000 $ 85,000.00 $ 85,000.00 $ 1,182,328 $ 1,655,075.00 $ 1,958,396.23 Utilities & Environment: $ 1,557,327.75 2015 2016 Animal Control $ 1,990.00 $ 1,000.00 Irrigation /Reclaimed $ 35,407.00 $ 41,818.00 Taxes: $ 37,397.00 $ 42,818.00 Economic Environment: 2015 2016 Annual Contributions $ 14,400.00 $ 14,400.00 Pollution Control ORCAA $ 3,602.00 $ 3,362.00 Emp. Development $ 100.00 $ 100.00 Community Developmt. $ 612,408.00 $ 606,440.00 Intergovernmental: $ 630,510.00 $ 624,302.00 Mental & Phys, Health: 2015 2016 Substance Abuse $ 1,700.00 $ 1,700.00 Charges ifor Services: 2015 2016 Culture & Recreation: 2015 2016 Library $ 65,000.00 $ 190,452.00 Historic Preservation $ - $ 1,000.00 Participant Rec Svcs. $ 250.00 $ 500.00 Parks $ 382,375.00 $ 389,396.00 Misc Rev. & Transfers In $ 447,625.00 $ 581,348.00 Debt Service: 2015 2016 Lease - Police Cars (P) $ 28,095.00 See Pub Safety Lease - Police Cars (1) $ 610.00 See Pub Safety Operating Cash $ 28,705.00 $ Capital : -- 2015 2016 Computers /Software $ 60,000.00 $ 10,000.00 Police Car equipment $ - $ - Park Car & Prk Structure $ $ Building repairs $ $ Lawn Mowers $ 13,122.00 $ Telephone System $ Fiber Optic $ Arraignment Software /Hardware $ Furniture for Ops Mngr $ 772.00 $ Brush Hog $ - $ 73,894.001 $ 10,000.00 H60 H58 Agenda Item 8. b. Ordinance No. 1008, 2016 Preliminary Budget Page 3 of 6 General Fund Expenditures: - Transfer out of General Fund to other obligations /funds: 2015 2016 PW Building debt pymt. $ 23,077.00 $ 25,375.00 School Resource Prog. $ 40,639.00 Public Safety Bldg. debt $ 317,103.00 See Pub Safety, Court, Council Street Dept. $ 340,767.00 $ 350,000.00 ShortLine Rail Road $ - $ 30,000.00 Roads /Streets Const.(316) Interfund Loan $ 245,000.00 $ - Roads /Streets Construction(316) Transfer $ 75,000.00 $ Library $ 138,305.00 See Library $ 1,179,891.00 $ 405,375.00 Estimated Ending Reserves: 2015 2016 Operating cash reserve $ 375,000 $ 375,000 Reserved for Emergency $ 1,182,328 $ 925,748 $ 1,557,327.75 $ 1,300,748.16 General Fund Revenues: Taxes: 2015 2016 Property, Sales, B &0, Utility, Real Estate Excise Tax, Gambling $ 4,149,985.00 $ 4,331,195.00 Licenses& Permits: 2015 2016 Business, Franchise Fees, Building Permits $ 333,014.00 $ 169,500.00 Intergovernmental: 2015 2016 Liquor taxes, criminal justice reimbursements $ 118,362.00 $ 124,388.00 Charges ifor Services: 2015 2016 Passport, planning & plan review fees, fire district impact fees $ 147,530.00 $ 69,300.00 Municipal Court revenues: 2015 2016 Court Receipts $ 95,000.00 $ 95,000.00 Misc Rev. & Transfers In 2015 2016 Interest, Misc Rev $ 71,022.00 $ 287,109.00 Beginning Net Cash Reserve:) 2015 2016 Operating Cash $ 375,000 $ 375,000 Emerge ncyreserve $ 1,770,490 1 $ 1,182,328 $ 2,145,4901 $ 1,557,328 OPERATING EXPENDITURES - 2016 $ 5,333,072 OPERATING REVENUES ' =2016 ` $ 5,076,492 NET REVENUE Q2 6Q 580) TOTAL EXPENSES & ENDING CASH 2016 $ 6,633,820 TOTAL REVENUES & BEGINNING CASH 2016 Rounding in Exps Power Point Presentation Note: Expenditures will include associated debt payments (AKA transfers out) in the appropriate department for PSB Debt 6,633,820 Agenda Item 8. b. Ordinance No. 1008, 2016 Preliminary Budget Page 4 of 6 Appendix II Salary Schedule 2016 City of Yelm Annual Salary Classification Flat Rate Minimum Maximum Accounting Clerk /Office Assist. $39,976 $47,730 Assistant to City Administrator $52,982 $63,264 Associate Planner $65,191 $77,841 Baliff $17.49 Building Inspector $54,295 $64,835 Building Official $62,025 $74,049 Certified Court Interpreter $40 -$55 per session City Administrator $ 104,000 $125,000 City Clerk /HR Manager $83,632 $83,632 Civil Service Secretary $18.98 Community Development Director $100,807 $100,807 Computer Support Specialist Part time 1560 annual hrs $40,531 $48,411 Councilmembers $7,200 $7,200 Court Administrator $63,540 $74,208 Court Clerk $42,712 $51,031 Deputy City Clerk $48,957 $58,467 Finance Director $80,988 $96,696 Judge $33,350 $33,350 Judge Pro -Tem $45 hr $0 Mayor $30,000 $30,000 Permit Coordinator / Office Assistant $41,215 $49,215 Police Chief $108,712 $108,712 Police Dept. Admininstrative Asst. $46,577 $55,632 Police Detective (Officers rate + 5 %) $64,424 $76,935 Police Officer $61,356 $73,272 Police Records Clerk $42,712 $51,031 Police Sergeant $82,800 $85,728 Provisional Police Officer Public Works Administrative Asst. vacant $46,577 $55,632 Public Works Director $102,752 $102,752 PW Field Supervisor vacant $63,300 $75,576 PW Manager $75,360 $89,988 PW Maintenance Worker $43,656 $52,176 PW Maint. Worker /Equip Operator $49,380 $58,932 PW Maint. Worker /Mechanic $53,148 $63,468 Senior Accounting Clerk vacant $51,612 $61,632 Treasurer vacant $56,270 $67,178 Utility Clerk $46,675 $55,730 Water Plant Operator $55,056 $65,736 WWTP Reuse System Manager $67,392 $80,472 WWTP Reuse System Operator $55,056 $65,736 WWTP Reuse System Operator Asst. $45,564 $54,420 Agenda Item 8. b. Ordinance No. 1008, 2016 Preliminary Budget Page 5 of 6 Appendix III Ord 1008 CITY OF YELM 2015 BENEFIT SCHEDULE All regular full -time and regular part -time employees are eligible to participate in the benefits listed below. Regular part -time employees (min 20 hours per week) receive benefits pro -rated according to hours worked. PAID SICK LEAVE Sick leave accumulates at the rate of eight (8) hours per month for full -time employees or one (1) equivalent workday per month for part time employees. Upon termination of employment for reasons other than dismissal for misfeasance or malfeasance, each employee will be paid for twenty -five percent (25 %) of the total number of accumulated sick leave days at the rate of pay applicable for such employee. However, the payment of accumulated sick leave shall not exceed an amount equal to one month of gross salary or equivalent wage. PAID VACATION Each employee covered by this agreement shall be entitled to vacation with pay. Unless approved by the Mayor /City Administrator, new employees must satisfactorily complete their trial period to be entitled to use accrued vacation leave. Vacation leave accrues monthly. Each regular full -time employee is entitled to vacation leave as follows: Year of Employment First and Second Year Third and Fourth Year Fifth — Ninth Year Tenth — Fourteenth Year Fifteenth — Nineteenth Year Twenty or More Years Vacation Days Earned Per Year 96 hours per year 104 hours per year 120 hours per year 160 hours per year 180 hours per year 200 hours per year Regular part -time employees (min 20 hours per week) receive benefits pro -rated according to hours worked. MEDICAL, DENTAL, VISION, EMPLOYEE ASSISTANCE AND LIFE INSURANCE BENEFITS Regular full -time and regular part -time (min 20 hours per week) employees and their dependents are eligible to participate in the City's medical insurance program on a pro -rata basis. As of April 1, 2015, with the exception of the Police Officer's F.O.P membership, the contribution to this benefit is 95% employer contribution, 5% employee contribution for employee medical and 80 % employer contribution, 20% employee contribution for eligible family members. Employer pays 100% of the Police Officer's HealthFirst employee medical premium and 80% of the medical premium for eligible dependents. Effective January 1, 2016, Police Officers will move medical to the AWC HealthFirst 250 Plan, with the same cost - sharing percentage stated in this section. 1o2 1008 11/20/15 Agenda Item 8. b. Ordinance No. 1008, 2016 Preliminary Budget Page 6 of 6 Appendix III Ord 1005 Current insurance company policy requires 100% participation in dental, vision and life insurance programs by all "Regular" full -time and /or part -time employees. This policy also permits a maximum of 25% of all "Regular" full -time and /or part time employees to forego participation in the City sponsored medical plan. "Regular" full -time employees choosing not to participate receive a monthly payment of $150.00 in lieu of medical insurance. "Regular" part -time employees receive one -half of the stipend amounts. Dental and vision benefits for employees and eligible family members remain active when choosing this option. RETIREMENT All employees participate in the Social Security program with the City paying a matching contribution. Police officers are eligible for participation in the LEOFF II retirement program. Other employees participate in the state PERS I, PERS II or PERS III program. The City's contribution is determined by the program and is subject to adjustments at various times throughout the year. Employees may elect to participate in a state sponsored deferred compensation program. The City does not contribute to this program. OTHER BENEFITS The City provides state worker's compensation and unemployment insurance for employees. The program determines coverage costs. PAID HOLIDAYS The following paid holidays are recognized by the City. Full -time employees receive eight hours of pay for each of the holidays: Regular part -time employees and police personnel receive a pro -rata share based upon the usual number of hours worked per regular daily shift hours for each holiday. New Year's Day Martin Luther King's Birthday President's Day Memorial Day Independence Day Labor Day Veteran's Day Thanksgiving Day Day after Thanksgiving Christmas Day One "Floating" Holiday January 1St 3rd Monday in January 3rd Monday in February Last Monday in May July 4th 1St Monday in September November 11 4th Thursday in November Friday after Thanksgiving December 25 Date selected by employee UNPAID HOLIDAYS Employees are entitled to two unpaid holidays per calendar year for a reason of faith or conscience or an organized activity conducted under the auspices of a religious denomination, church, or religious organization. 2 of 2 1005 Revised 10 -01 -15 GENERAL FUND 11/16/2015 FUND 1 ---------- - - - - -- 2015------------ - - - - -- 2015 2016 2016 2015 2015 YTD 2015 DEPT, HEgo`i. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E I)u BUDGET ACTUAL PROJECTEDYEAREND UNE BUDGET PROPOSED BUDGET REVENUES u w BEGINNING CASH & INVESTMENTS (3001 TOTAL BEGINNING CASH &INVESTMENTS $ 2,093,91600 $ $ $ 2,093+916,00; $ 1,557,327.75 TAXES (310) TAXES SUBTOTAL 111111111111111111111111 $ 4,216,472.00 $ 4,043,356.41 $ 4,149,985.90 $ 4,216,472.00; $ 4,331,195.00 LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUBTOTAL $ 152,000.00 $ 333,216.30 $ 333,014.05 $ 152,000.00; $ 169,500.00 INTERGOVERNMENTAL SERVICES (330) INTERGOVERNMENTAL SERVICES SUBTOTAL $ 124,388.00 $ 114,418.55 $ 118,362.17 $ 124,368.00; $ 124,388.00 CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS& SERVICES SUBTOTAL $ 54,800.00 $ 165,761.50 $ 147,350.67 $ 54,800.00; $ 69,300.00 FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ 95,000.00 $ 83,000.27 $ 94,999.14 $ 95,000.00; $ 95,000.00 MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUBTOTAL $ 4,750.00 $ 16,691.52 $ 16,361.52 $ 4,750.00; $ 4,750.00 PROPRIETARY FUNDS REVENUES (370) PROPRIETARY FUNDS SUBTOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ 52,947.73 $ 52,947.73 $ $ 245,000.00 OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ 2,014.07 $ 2,014.07 $ $ 37,359.00 TOTAL REVENUES $ 4,647,410.00 $ 4,811,406.35 $ 4,915,035.25 $ 4,647;410.00; $ 5,0]6,492.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (1693183.00) $ $155]327.75 $ (1693183.00) $1300748.16 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUH-TOTAL 11111111111111111111111 $ (1,368,426.00) $ (1,176,153.97) $ (1,398,431.00) $ ? (1,368426,00) $ (1,5]0,188.59) PUBLIC SAFETY (520) Amenrtine nt PUBLIC SAFTEY SUBTOTAL $ (1,630,376.00) $ (1,506,652.54) $ (1,655,075.53) $ " (1,630376,00) $ (1,]35,]14.001 UTILITIES (530) Amenrtment UTILITIES SUBTOTAL $ (38,797.00) $ (28,103.43) $ (37,397.65) $ " (38,797,00) $ (42,81 8.00) TRANSPORTATION (540) fJ l( TRANSPORTATION SUBTOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 fl l( NATURAL& ECONOMIC ENVIROMENTSUB -TOTAL $ (576,497.00) $ (563,457.25) $ (616,110.00) $ (576,497.00) $ (609,902.001 SOCIAL SERVICES (560) Ante nYf me nt SOCIAL SERVICES SUBTOTAL $ (16,100.00) $ (9,675.16) $ (16,100.00) $ (16,100.00) $ (16,100.00) CULTURE & RECREATION (570) fJ l( CULTURE & RECREATION SUBTOTAL $ (424,779.00) $ (337,001.06) $ (447,625.00) $ (424,779.00) $ (455,896.001 NONEXPENDITURES (580) Ante nYf me nt NONEXPENDITURES SUBTOTAL 1111111111111111111111111 $ $ (44,901.46) $ (294,970.00) $ $ DEBT SERVICE (591 -593) /1 IYf me nt DEBT SERVICE SUBTOTAL $ (28,705.00) $ (28,705.29) $ (28,704.64) $ " (28,705.00) $ (9,586.00) CAPITAL EXPENDITURES/EXPENSES (594-595 fJ l( CAPITAL EXPENDITURES /EXPENSE SUBTOTAL $ (104,572.00) $ (31,530.67) $ (73,893.86) $ (13,822.00) $ (10,000.00) OTHER FINANCING USES (596 -599) fl l( OTHER FINANCING USES SUBTOTAL $ (859,891.00) $ (859,891.04) $ (934,890.33) Amenrtment $ (859,891.00) $ (882,867.00) TOTAL EXPENDITURES $ (5,048,143) $ (4,586,072) $ (5,5(13,198) $ (4,957,393.00) $ '.(5,333,071.59). CITY STREET 11/16/2015 FUND 101 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 VTD 2¢iS DEFT, N�ODi. -. 2016 NOL0 THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'u BUDGET ACTUAL FR(%IECTED YEAREND LINE BUDGET PROPOSED BUDGET REVENUES T u w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 53,459.00 $ - $ $: 53,459.00; $ 67,985.38 TAXES (310) TAXES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ 107,599.00 $ 92,36534 $ 107,598.99 $: 107,599.00; $ 107,599.00 CHARGES FOR GOODS &SERVICES (3401 CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 10.00 $ 89.91 $ 89.91 $ 10,00 $ 10.00 PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 340,]6].00 $ 340,]6].00 $ 340,]6].00 $ 340,761.00; $ 350,000 TOTAL REVENUES $ 448,376.00 $ 433,222.25 $ 448,455.90 $ 448,376.00; $ 457,609.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ $ $67,98538 $ $8,765.03 GENERAL GOVERNMENT (KO) GENERAL GOVERNMENT SUBTOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL 111111111111111111111111 $ (500,196) $ (367,958) $ (435,151) $ (500,196.00) $ (516,829) NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (1,639.00) $ (1,]58.86) $ (1,]58.86) $ (5,639.00) $ - OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (5(11,835) $ (369,-) $ (436,910) $ (501,835.00) $ (516,829) ARTERIAL STREETS 11/16/2015 FUND 102 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢i5 DEFT, N�ODi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �'3u BUDGET ACTUAL FW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 68,488.00 $ - $ $: 68,488.00; $ 91,884.00 TAXES (310) TAXES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ 52,996.00 $ 44,901.19 $ 52,949.54 $: 52,996; $ 52,996 CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL 111111111111111111111111 $ 10.00 $ 33.74 $ 33.74 $ 10,00 $ 10.00 PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 53,006.00 $ 44,934.93 $ 52,983.28 $ 53,006.00; $ 53,006.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (91,494.00) $ $91,883.]] $ (91,494.00) $123,890.00 GENERAL GOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL 111111111111111111111111 $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUBTOTAL $ (30,000) $ (25,496) $ (25,496) $ (30' 00.00) $ (21,000) NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ (3,403.28) $ (3,403.28) $ $ OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (30,000) $ (28,899) $ (28,899) $ (30,000.00) $ (21,000) CUMULATIVE RSV /ECON DEV 11/16/2015 FUND 104 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEPT, N-Di. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL PR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 427,414.00 $ $ $: 427,414,00; $ 29,299.64 TAXES (3101 TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 250.00 $ 45.65 $ 45.65 $ 250.00: $ 30.00 PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 250.00 $ 45.65 $ 45.65 $ 250.00'. EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ (29498.00) $ $29300 $ (29498.00) $20488 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ (8,840.00) $ (8,103.26) $ (8,839.92) $ ...(8,840.00) $ (8,842.00) CAPITAL EXPENDITURES/EXPENSES (594-595 1 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ (389,326.00) $ (389,326.00) $ (389,326.00) $ (364326.00{ $ TOTAL EXPENDITURES $ (398,166) $ (391,429) $ (398,166) $ (398,166.00{ $ PARK RESERVE 11/16/2015 FUND 105 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢i5 DEFT, N�ODi. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL FR-WECTED YEAREND LINE BUDGET PROPOSED BUDGET REVENUES T u w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 12,687.00 $ $ $: 12,687.00; $ 683.60 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 210.00 $ 1.39 $ 1.39 $ 230.00: $ PROPRIETARY FUNDS REVENUES (3701 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 1111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 210.00 $ 1.39 $ 1.39 $ 230.00 $ EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ (897.00( $ $684 $ (897.00( $684 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) d NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ (12,000.00( $ (12,000.00( $ (12,000.00( $ 112,000.00)1 $ TOTAL EXPENDITURES iiiiiiii (12,000.00( $ (12,000( $ (12,000.000( $ (12,000.00) $ EMERGENCY DISASTER 11/16/2015 FUND 106 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEFT, N-Oi. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'u BUDGET ACTUAL FR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 6,501.00 $ $ $: 6501.00; $ 3,041.72 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 5.00 $ 6.27 $ 6.27 $ 5.00: $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 5.00 $ 6.27 $ 6.27 $ 5.001 $ EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ $ $3,042 $ $2 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ (6,506.00( $ (3,467.00( $ (3,467.00( $ ' (6,506.00) $ (3,040.00( UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (6,506( $ (3,46]( $ (3,467( $ (5,506.00) $ (3,040( TOURISM PROMOTION 11/16/2015 FUND 107 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEFT, N-Oi. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL FR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 167,126.00 $ $ $: 167,126.00; $ 180,25].39 TAXES (3101 TAXES SUB -TOTAL $ 15,000.00 $ 16,954.66 $ 16,954.66 $ 15,000.00; $ 15,000.00 LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 100.00 $ 157.66 $ 157.66 $ 100.00: $ PROPRIETARY FUNDS REVENUES (3701 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 15,100.00 $ 1],112.32 $ 17,112.32 $ 15,100.00; $ 15,000.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ (-,976.110) $ $180,257 $ (177,976.W) $1M,257 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ (1,500.001 $ (325.00) $ (325.00) $ (1;500.00) $ - SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ (2,750.00) $ (3,371.24) $ (3,371.24) $ (2,750.00) $ - NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (4,250) $ (3,696) $ (3,696) $ (4,250.00) $ YPD SCHOOL RESOURCE 11/16/2015 FUND 109 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEPT, N-Di. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL PR41ECTEDYEARENO LINE BUDGET PROPOSED BUDGET REVENUES w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ $ $ $: $ 41,792.05 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 30,000.00 $ 70,000.00 $ 70,000.00 $ 30,000.00; $ 60,000.00 PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 40,639.00 $ 40,639.00 $ 40,639.00 $ .40,,639.00; $ - TOTAL REVENUES $ 70,639.00 $ 110,639.00 $ 110,639.00 $ 70,639.00; $ 60,000.00 EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ $ $41792 $ $26367 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ (70,639.00) $ (65,034.59) $ (68,846.95) $ (70639,00) $ (75,425.00) UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUB -TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (70,639) $ (65,035) $ (68,84]) $ (]0,639,00) $ (]5,425) LIBRARY BUD FUND 11/16/2015 FUND 110 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢i5 DEFT, N�ADi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL PW-J,ECTED YEAREND LINEBUDGIT PROPOSEDBUDGET REVENUES T u w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 26,383.00 $ - $ $: 26,383.00; $ 10,875.35 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 5.00 $ 3.74 $ 3.74 $ 5.00i $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 5.00 $ 3.74 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (1038 8.00) $ $10875 $ (1038 8.00) $0 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUBTOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (540) TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (550) NATURAL& ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ (16,000.00) $ (15,511.32) $ (15,511.32) $ (16,000.00) $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ (10,8]5.351 TOTAL EXPENDITURES $ (161000) $ (15,511) $ (15,511) $ (16;000.00) $ (10,855) DEPOSITS /SURETY /RETAI NAG 11/16/2015 FUND 119 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 VTD ...2015 DEFT, N-Di. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL PR41ECTEDYEARENO LINE BUDGET PROPOSED BUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ $ $ $: $ 2,812.31 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ $ 2.31 $ 2.31 $ $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ 42,752.50 $ 42,752.50 $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ $ 42,]54.81 $ 42,754.81 $ $ EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ $ $2,812 $ $2,812 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ (25.00) $ (42,]53) $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUB -TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ $ (25) $ (42,753) $ i $ TRANSPORTATION FAC CHARGE 11/16/2015 FUND 120 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEPT, N-Oi. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL PR41ECTEDYEARENO LINE BUDGET PROPOSED BUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 254,895.00 $ $ $: 254,895.00; $ 531,566.55 TAXES (3101 TAXES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS & SERVICES SUB -TOTAL $ 60,000.00 $ 303,431.65 $ 303,431.65 $ 6U,000.00; $ 60,000.00 FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL 111111111111111111111111 $ 200.00 $ 30].]6 $ 30].]6 $ 200.00: $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 60,200.00 $ 303,739.41 $ 303,739.41 $ 6U,200.00; $ 60,000.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ (203 982.00) $ $531 ,567 $ (203 982.00) $4N,503 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (66,433.00) $ $ $ (66,633.00) $ (84,]3].20) OTHER FINANCING USES (596 -599) OTHER FINANCING USES SU &TOTAL $ (aa,680.00) $ (44,680.001 $ (44,680.001 $ (44680.90 $ (9],326.00) TOTAL EXPENDITURES $ (111,113) $ (44,680) $ (44,680) $ (111,113.00{ $ (182,063) COMM DEV BLOCK GRANT 11/16/2015 FUND 197 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEPT, N-Di. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL PR416CTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 1,444.00 $ $ $: 1,444,00; $ 1,419.40 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ $ 0.63 $ 0.63 $ $ PROPRIETARY FUNDS REVENUES (3701 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ $ 0.63 $ 0.63 $ $ EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ (1419.00) $ $1419 $ (1419.00) $1389 GENERALGOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ (25.00) $ (2536) $ (2536) $: ;(25.00) $ (30.00) SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595) CAPITALEXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (25) $ (25) $ (25.36) $ +(25.00) $ (30) LTGO BOND REDEMPTION 11/16/2015 FUND 200 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEFT, N-Di. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL FR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 30,125.00 $ - $ $: 30,125.00; $ 5,220.68 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 4,520.00 $ 6,957.20 $ 6,95].20 $ 4,520.00: $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 501,563.00 $ 501,563.04 $ 501,562.76 $ 501, 563.00; $ 539,118 TOTAL REVENUES $ 506,083.00 $ 508,520.24 $ 508,519.% $ 506,083.00; $ 539,118.35 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ (605.00) $ $5,221 $ (605.00) $4,624 GENERALGOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ (535,603.00) $ (534,349.93) $ (534,35(1.93) $ (535,603.00{ $ (539,]15.00) CAPITAL EXPENDITURES/EXPENSES (594-595 1 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (535,603) $ (534,350) $ (534,351) $ (535,603.00{ $ (539,]15) KILLION RD LID 2 REPAYMENT 11/16/2015 FUND 202 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢i5 DEFT, N�ODi. -. 2016 NOLDTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL FW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 468,419.00 $ $ $: 468,419.00; $ 583,019.16 TAXES (3101 TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 1,013,989.00 $ 1,087,855.38 $ 1,083,026.14 $ 1,013; 989,00; $ 940,799.46 PROPRIETARY FUNDS REVENUES (370) PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 1,013,989.00 $ 1,087,855.38 $ 1,083,026.14 $ 1,013; 989,00; $ 940,799.46 EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ (4]6996.00) $ $583019 $ (4]6996.00) $580019 GENERAL GOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUBTOTAL $ (3,500) $ (2,]]9) $ (2,]]9) $ : 3,500.00) $ (3,000) NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ (1,001,912.001 $ (962,052.55) $ (962,052.55) $ (1,001,912.00) $ (940,800.00) CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUB -TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (1,005,412) $ ( %4,832) $ ( %4,832) $ (1,005412.00) $ (943,800) SEWER REV BONDS /LOANS 11/16/2015 FUND 203 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEFT, N-Di. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'u BUDGET ACTUAL FR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 38.00 $ - $ $: 38.00 $ 56.82 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 5.00 $ 18.37 $ 18.37 $ 5.001 $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 266,281.00 $ 266,280.96 $ 266,281.00 $ 265;281.00; $ 266,283 TOTAL REVENUES $ 266,286.00 $ 266,299.33 $ 6,286.001 266,283.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ (42.00) $ $57 $ (42.00) $57 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ (266,282.00) $ (1]9,]68.06) $ (266,280.46) $ (265,282.00) $ (266,283) CAPITAL EXPENDITURES/EXPENSES (594-595 1 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (2661282) $ (1]91]68) $ (2661280) l $ (266,283) SEWER REV BONDS /LOANS RESERVE 11/16/2015 FUND 204 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEFT, N-Di. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL PR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 419,139.00 $ $ $: 419,139.00; $ 419,653.00 TAXES (3101 TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 300.00 $ 507.19 $ 50].19 $ 300.00: $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 300.00 $ 50].19 $ 50].19 $ 300.00: $ EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ (54214.00) $ $419653 $ (54214.00) $54428 GENERALGOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (365,225.00) $ $ $ (365(225,OO) $ (365,225.00) OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (365,225) $ $ $ (365(225,OO) $ (365,225) MUNICIPAL BUILDING FUND 11/16/2015 FUND 302 ---------- - - - - -- 2015------------ - - - - -- 2115 2016 2.36 2015 2015 YTD $Odf DEPT' NEA,D 20 }4.H9LD THE 2016 BARS NUMBER BARS DESCRIPTION R/E 'u BUDGET ACTUAL PROIECTEDYEAREND LINE BUDGET PROPOSED BUDGET REVENUES u w BEGINNING CASH & INVESTMENTS (3001 TOTAL BEGINNING CASH &INVESTMENTS $ 1,046,129.00 $ - $ - IS x.:1,046,129.00.: $ 354,014.56 TAXES (310) TAXES SUBTOTAL $ 85,000.00 $ 134,400.90 $ 134,400.90 $ 85,000.00: $ 85,000.00 LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ - $ - $ - IS : $ - INTERGOVERNMENTAL SERVICES(330) INTERGOVERNMENTAL SERVICES SUB -TOTAL $ 1,163,233.00 $ 1,248,743.72 $ 1,248,743.72 $ x.:1,163,233.00; $ 399,489.48 CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS & SERVICES SUB -TOTAL $ - $ - $ - IS : $ - FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ - $ - $ - IS : $ - MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 400.00 $ 851.01 $ 851.01 $ 400.00.:: $ - PROPRIETARY FUNDS REVENUES (3701 PROPRIETARY FUNDS SUB -TOTAL $ - $ - $ - IS : $ - NON - REVENUES (380) NON - REVENUES SUB -TOTAL 11111111111111111111111 $ - $ - $ - IS : $ - OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 471,406.00 $ 471,406.00 $ 471,406.00 $ 471,406.00:: $ TOTAL REVENUES $ 1,720,039.00 $ 1,855,401.63 $ 1,855,401.63 $ .:1,720,03$.00.: $ 484,489.48 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ $ $354,015 $ $355,129 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ - $ - $ - IS : $ - PUBLIC SAFETY (520) PUBLIC SAFTEY SUBTOTAL $ - $ - $ - IS : $ - UTILITIES (530) UTILITIES SUB -TOTAL $ - $ - $ - IS : $ - TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ - $ - $ - IS : $ - NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ - $ - $ - IS : $ - SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ - $ - $ - IS : $ - CULTURE & RECREATION (570) CULTURE & RECREATION SUBTOTAL $ - $ - $ - IS : $ - NONEXPENDITURES (580) NONEXPENDITURES SUBTOTAL $ - $ - $ - IS : $ - DEBT SERVICE (591 -593) DEBT SERVICE SUBTOTAL $ - $ - $ - IS : $ - CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUBTOTAL $ (2,766,168.00) $ (2,133,435.56) $ (2,592,791.29) $ (2,766,168.00j $ (483,375.40) OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUBTOTAL $ - $ - $ - IS TOTAL EXPENDITURES $ (2,]66,168) $ (2,133,436) $ (2,592,791) $ (2,766368.OD) . 1 $ (483,375) ROAD /STREET CONSTRUCTION 11/16/2015 FUND 316 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢ib DEFT, N�ODi. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'u BUDGET ACTUAL FR(%IECTED YEAREND LINE BUDGET PROPOSED BUDGET REVENUES T u w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 268,916.00 $ $ $: 268,916.00; $ 859.00 TAXES (3101 TAXES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ 501,891.00 $ 39,878.06 $ 39,878.06 $: 501,891.00; $ 385,000.00 CHARGES FOR GOODS &SERVICES (3401 CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL 111111111111111111111111 $ 350.00 $ 166.48 $ 166.48 $ 350.00: $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ 245,000.00 $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ 75,000.00 $ $ TOTAL REVENUES $ 502,241.00 $ 40,044.54 $ 360,044.54 $ 502,241.00; $ 385,000.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (10,42].00) $ $859 $ (10,42].00) $0 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL 111111111111111111111111 $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ TRANSPORTATION (540) TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (550) NATURAL& ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ (245,000.00) DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (760,730.00) $ (489,808.34) $ (]14,000.00) $ (760,730.00{ $ (103,500.00) OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ (37,359.00) TOTAL EXPENDITURES $ (]601]30) $ (489,808) $ (]14,000) $ (760,730.00{ $ (385,859) STORM WATER UTILITY 11/16/2015 FUND 400 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 VTD 2¢iS DEFT, N�AOi. -. 2016 NOL0TNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL FW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T u w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 36,843.00 $ - $ $: 36,843.00; $ 1,875.49 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ 75,000.00 $ - $ $: 75,000,00; $ 75,000.00 CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS & SERVICES SUB -TOTAL $ 90,000.00 $ 85,832.78 $ 89,936.32 $ 90,000,00; $ 90,000.00 FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 25.00 $ 39.12 $ 40.00 $ 25.00: $ - PROPRIETARY FUNDS REVENUES (3)01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON -REVEN UES SUBTOTAL $ $ $ 25,000.00 $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 25,000.00 $ - $ $ .25;000,00; $ 25,000 TOTAL REVEN UES $ 190,025.00 $ 85,8)1.90 $ 114,9)6.32 $ 190,025.00; $ 190,000.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (9877.00) $ $1875 $ (9877.00) $15615 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ (92,361.00) $ (81,910.03) $ (92,520.89) $ (92361.00) $ (98,930.00) TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ (25,030.00) DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (124,631.00) $ (22,748.89) $ (56,68L27)1 (124,631,00) $ (52,300.00) OTHER FINANCING USES (596-599) OTHER FINANCING USES SUB -TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (216,992) $ (104,659) $ (149,202) $ (216,992.00) $ (176,260) WATER UTILITY 11/16/2015 FUND 401 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 VTD 2¢ib DEFT, N�ODi. -. 2016 NOLO THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL PR411CTED YEAREND UNEBUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 2,031,195.00 $ $ $: 2,031,195.00; $ 2,535,507.43 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ 2,889,454.00 $ 2,865,799.83 $ 2,891,040.]] $: 2,889,454.00; $ 2,889,454.00 FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 65,900.00 $ 2,090.31 $ 2,090.31 $ 65,900.00; $ - PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL $ $ $ $ $ 25,030.00 OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ 65,000.00 $ 65,000.00 $ $ TOTAL REVENUES $ 2,955,354.00 $ 2,932,890.14 $ 2,958,131.08 $ 2,955,354.00; $ 2,914,484.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (2410063.00) $ $2535507 $ (2410063.00) $2565382 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUBTOTAL $ (1,402,460.00) $ (1,131,]34.20) $ (1,280,]]6.28) $ (1,402,460.00) $ (1,430,622.00) TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ (25,000.00) $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (23,388.00) $ (14,]0].38) $ (19,]0].38) $ (23,388.00) $ (9,450.001 OTHER FINANCING USES (596-599) OTHER FINANCING USES SUB TOTAL $ (1,150,639.001 $ (1,150,638.72) $ (1,150,63].68) $ (1,150,639,00) $ (1,444,537.00) TOTAL EXPENDITURES $ (2,5]6,48]) $ (2,29],080) $ (2,4]6,121) $ (2,571,487,00) $ (2,884,609) UTILITY CONSUMER DEPOSITS 11/16/2015 FUND 402 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 VTD ...2015 DEPT, N-Di. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'u BUDGET ACTUAL PR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ $ $ $: $ 108,470.00 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ $ $ $ $ PROPRIETARY FUNDS REVENUES (370) PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL $ $ 8,315.00 $ 8,225.00 $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ $ 8,315.00 $ 8,225.00 $ $ EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ $ $108,470 $ $108,470 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ (11,206.5]) $ (11,206.5]) $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES GARBAGE /RECYCLING 11/16/2015 FUND 403 --------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 D6PT, N-Di. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'u BUDGET ACTUAL PR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ $ $ $: $ TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ $ $ $ $ PROPRIETARY FUNDS REVENUES (370) PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ $ $ $ $ EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUB -TOTAL $ $ $0 $ $0 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ $ $ $ $ WATER CAPITAL IMPROVEMENTS 11/16/2015 FUND 404 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢i6 DEFT, N�ODi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL FW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T u w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 2,062,917.00 $ $ $: 2,062,917,00; $ 1,640,9]0.00 TAXES (310) TAXES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL 1111111111111111111111111 $ 13%DIHI.00 $ ]35,9]1.20 $ ]35,9]1.00 $: 130,000.00; $ 330,000.00 FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL 111111111111111111111111 $ 500.00 $ 1,846.66 $ 1,846.00 $ 500.00: $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 200,000.00 $ 200,000.02 $ 200,000.02 $ 200,000.00; $ 490,000 TOTAL REVENUES $ 330,500.00 $ 93],81].88 $ 93],81].02 $ 330,500.00; 1 820,000.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (1—,721D0) $ $1640970 $ (1—,721D0) $15]09]0 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL 111111111111111111111111 $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ TRANSPORTATION (540) TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (550) NATURAL& ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (4]0,000.00) $ (446,316.49) $ (608,000.001 $ (470,000.00{ $ (835,000.00) OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUBTOTAL $ (]]8,696.00) $ (]]8,696.00) $ (778,696.00) $ (778,696.00) $ (55,000.00) TOTAL EXPENDITURES $ (1,248,696) $ (1,225,012) $ (1,386,696) $ )1,2A8j59b,00j $ (890,000) WATER REV DEBT REDEMPTION 11/16/2015 FUND 405 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEPT, HEAD 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E �'u BUDGET ACTUAL PR41ECTEDYEAREND LINE BUDGET PROPOSED BUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 95,342.00 $ - $ $: 95;342.00; $ 94,642.00 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 100.00 $ 264.12 $ 265.00 $ 100.00: $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 927,561.00 $ 92],560.]0 $ 92],560.]0 $ 927,561.00; $ 929,431 TOTAL REVENUES $ 927,661.00 $ 927,824.82 $ 927,82S.70 $ 927,661.00; $ 929,431.00 EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ (95140.00) $ $94642 $ (95140.00) $94041 GENERAL GOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ (260,000.001 $ $ $ (260,0(10,00) $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ (66],863.00) $ (928,51].63) $ (928,519.56) $ (667,863.00) $ (930,031.68) CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUB -TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (92],863) $ (928,S38) $ (928,S20) $ (927,863.()D) Is (930232) WATER REVENUE DEBT RESERVE 11/16/2015 FUND 406 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢iS DEFT, N�ADi. -. 2016 NOLDTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL PW-J,ECTED YEAREND LINEBUD6ET PROPOSEDBUDGET REVENUES T u w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 922,120.00 $ $ $: 922120.00; $ 922,709.00 TAXES (3101 TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 350.00 $ 592.93 $ 592.93 $ 350.00: $ 150.00 PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 350.00 $ 592.93 $ 592.93 $ 350.001 150.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (1 060001 $ $922,7N $ (1 a6o.oa) $1 449 GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUBTOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (540) TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (550) NATURAL& ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ (921,410.00) $ $ $ (921j430,00j $ (921,410.00) DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUB -TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (921,410) $ $ $ (921;430,00) $ (921,410) SEWER LID1 REV BOND REDEMPTION 11/16/2015 FUND 407 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢iS DEFT, N�ODi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL FW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 52,338.00 $ - $ $: 52,338.00; $ 0.51 TAXES (310) TAXES SUB -TOTAL $ $ $ $ : $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: : $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ : $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: : $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ : $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 25.00 $ 31.37 $ 3137 $ 25.001 $ - PROPRIETARY FUNDS REVENUES (3701 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ : $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ $ : $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 783.00 $ 864.13 $ 1,334.13 $: 783.00: $ 274 TOTAL REVENUES $ 808.00 $ 895.50 $ 1,365.50 $ $08.00 $ 274.49 EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ $ $1 $ $0 GENERAL GOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $: : $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ : $ UTILITIES (530) UTILITIES SUB -TOTAL $ (500.001 $ (1,139.24) $ (1,200.00) $ ((500.00) $ (275.00) TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ : $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: : $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ : $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ : $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $: : $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ : $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: : $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ (52,646.00) $ (52,646.00) $ (52,646.00) $ (52,646.00) $ TOTAL EXPENDITURES $ (53,146) $ (53,785) $ (53,846) $ (53,146.00) $ (275) SEWER /REUSE UTILITY 11/16/2015 FUND 412 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 VTD 2¢iS DEFT, N�ODi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL FW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 1,456,29 8.00 $ $ 1,596,660.56 $: 1,458,298.00; $ 1,507,509.00 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ 1,893,330.00 $ $ $: 1,893;330.00; $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS & SERVICES SUB -TOTAL $ 32,250.00 $ 1,908,106.25 $ 1,982,699.61 $ 32,250.00; $ 1,925,580.00 FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 800.00 $ 4,288.36 $ 3,503.49 $ $00.00: $ 350.00 PROPRIETARY FUNDS REVENUES (3701 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 82,563.00 $ 82,563.00 $ 82,563.00 $ 82;563.00; $ TOTAL REVENUES $ 2,008,943.00 $ 1,994,957.61 $ 2,068,766.10 $ 2,008,943.00; $ 1,925,930.00 EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ (1389611.00) $ $150]509 $ (1389611.00) $1295252 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUBTOTAL $ (1,6]4,611.00) $ (1,478,551.11) $ (1,632,4]6.]4) $ (1,674611.00) $ (1,]36,352.00) TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (37,638.00) $ (16,729.15) $ (41,]29.15) $ (37,638.00) $ (38,450.00) OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ (363,382.00) $ (363,381.92) $ (363,381.48) $ (363,382.00) $ (363,385.00) TOTAL EXPENDITURES $ (2,075,631) $ (1,858,662) $ (2,03],58]) $ (2,075,631.00) $ SEWER /REUSE CAPITAL IMP 11/16/2015 FUND 413 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢i5 DEFT, N6ADi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �'$u BUDGET ACTUAL FR(UECTED YEAREND UNEBUDGET PROPOSEDBIDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 2,251,033.00 $ $ $: 2,251,033.00; $ 2,684,879.00 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS & SERVICES SUB -TOTAL $ 165,125.00 $ 756,522.50 $ 756,522.50 $ 165,125.00; $ 330,000.00 FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 750.00 $ 1,660.43 $ 1,660.43 $ 750.00: $ 350.00 PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ 97,326.00 $ 97,326.00 $ 97,326.00 $ 97,326.00; $ 97,326.00 OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ 263,201.00 $ 855,508.93 $ 855,508.93 $ 263,201.00; $ 42],6)6.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 SUBTOTAL $ (96] 3]1.00) $ $ $ (96] 3]1.00) $ GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUBTOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (1,406,000.001 $ (209,682.74) $ (309,534.20) $ (1,406,000.00) $ (1,1]0,500.001 OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUBTOTAL $ (140,863.00) $ (140,863.00) $ (140,862.50) $ (140,863.00) $ TOTAL EXPENDITURES $ (1,546,863) $ (350,546) $ (450,397) $ (1,546,863.00) $ SEWER BOND REF PMT /RSRV 11/16/2015 FUND 415 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢iS DEFT, N�ODi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL FW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 118,909.00 $ $ 97,101.00 $: 118,909.00; $ 119,047.28 TAXES (3101 TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 100.00 $ 136.03 $ 136.03 $ 100.00: $ 100.00 PROPRIETARY FUNDS REVENUES (3701 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 97,101.00 $ 97,100.96 $ 97,100.96 $ 97,101,00; $ 97,102 TOTAL REVENUES $ 97,201.00 $ 97,236.99 $ 97,236.99 $ 97,201,00; $ 97,202.00 EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ (2190 8.00) $ $119047 $ (2190 8.00) $22046 GENERAL GOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ (97,1D3.00) $ (97,100.54) $ (97,100.54) $ (97,101.00) $ (97JI12.00) CAPITAL EXPENDITURES/EXPENSES (594-595 1 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (97,101.00) $ $ $ (97;101.00) $ (97,101.00) OTHER FINANCING USES (596 -599) OTHER FINANCING USES SUB -TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (194,202) $ (97,101) $ (97,101) $ (194,202,00{ $ (194,203) SEWER LID 1 REV BOND RESERVE 11/16/2015 FUND 416 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢iS DEFT, N�ADi. -. 2016 NOLDTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL PR(UECTED YEAREND UNEBUDGET PROPOSEDBIDGET REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 5,339.00 $ $ $: 5(339.00; $ 4,875.00 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 5.00 $ 6.42 $ 6.42 $ 5.00i $ PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ TOTAL REVENUES $ S.00 $ 6.42 $ 6.42 $ 5.00i $ EXPENDITURES ENDING CASH & INVESTMENTS (5001 5UB$OTAL $ (5 ,344.W) $ $4,87S $ (5 ,344.W) $4,764 GENERALGOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ (4]0.0) $ $ (111.37) TOTAL EXPENDITURES 1 $ (4T0) $ $ (111) SHORTUNE RAILROAD 11/16/2015 FUND 430 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD 2¢i5 DEFT, N�AOi. -. 2016 NOLOTNE 2016 BARS NUMBER BARS DESCRIPTION R/E �' u BUDGET ACTUAL PW-J,ECTED YEAREND LINE BUDGET PROPOSEDBUDGET REVENUES T U w BEGINNING CASH &INVESTMENTS (3001 TOTALBEGINNING CASH & INVESTMENTS $ 6,153.00 $ $ $: 6153,00; $ 6,151.87 TAXES (310) TAXES SUB -TOTAL $ $ $ $ $ LICENSES AND PERMITS (320) LICENSES AND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL $ 10.00 $ 3.04 $ 3.04 $ 10,00 $ - PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUBTOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ $ $ $ $ 30,000 TOTAL REVENUES $ 10.00 $ 3.041 3.04 $ 10,00 $ 30,000.00 EXPENDITURES ENDING CASH & INVESTMENTS (500) SUB -TOTAL $ $ $6152 $ $6152 GENERAL GOVERNMENT(KII) GENERALGOVERNMENTSUB-TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL $ (6,163) $ $ $ (1,163,00) $ (30,000) NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ $ $ $: $ OTHER FINANCING USES (596-599) OTHER FINANCING USES SUBTOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (6,163) $ $ $ (6,163,00) WATER CONSTRUCTION 11/16/2015 FUND 431 ---------- - - - - -- 2015----------- - - - - -- 2015 2016 2016 2015 2015 YTD ...2015 DEPT, N-Di. -. 2016 NOLD THE 2016 BARS NUMBER BARS DESCRIPTION R/E BUDGET ACTUAL PR41ECTEDYEAREND JUNE BUDGET PROPOSED BUDGET 1i��u REVENUES T w BEGINNING CASH &INVESTMENTS (3001 TOTAL BEGINNING CASH & INVESTMENTS $ 6,293,034.00 $ $ $: 6,293;034.00; $ 5,088,361.31 TAXES (310) TAXES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ LICENSES AND PERMITS (3201 LICENSESAND PERMITS SUB -TOTAL $ $ $ $: $ INTERGOVERNMENTAL SERVICES(3301 INTERGOVERNMENTAL SERVICES SUB -TOTAL $ $ $ $ $ CHARGES FOR GOODS &SERVICES (340) CHARGES FOR GOODS &SERVICES SUB -TOTAL $ $ $ $: $ FINES & PENALTIES (3501 FINES & PENALTIES SUB -TOTAL $ $ $ $ $ MISCELLANEOUS REVENUES (3601 MISCELLANEOUS SUB -TOTAL 111111111111111111111111 $ 1,000.00 $ 2,883.69 $ 2,883.69 $ 1,000.001 $ 10.00 PROPRIETARY FUNDS REVENUES (3]01 PROPRIETARY FUNDS SUB -TOTAL $ $ $ $ $ NON - REVENUES (380) NON - REVENUES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ OTHER FINANCING SOURCES (3901 OTHER FINANCING SOURCES SUB -TOTAL $ 701,916.00 $ 701,916.00 $ 701,916.00 $ 701,916.00; $ 55,000 TOTAL REVENUES $ 702,916.00 $ 704,199.69 $ 704,199.69 $ 702,916.00; $ 55,010.00 EXPENDITURES ENDING CASH & INVESTMENTS (5001 sue -TOTAL $ (4s ,90.00) $ $ $ (4s ,90.00) $ GENERAL GOVERNMENT(KII) GENERAL GOVERNMENT SUB -TOTAL $ $ $ $ $ PUBLIC SAFETY (520) PUBLIC SAFTEY SUB -TOTAL $ $ $ $ $ UTILITIES (530) UTILITIES SUB -TOTAL 111111111111111111111111 $ $ $ $ $ TRANSPORTATION (5401 TRANSPORTATION SUB -TOTAL 111111111111111111111111 $ $ $ $ $ NATURAL & ECONOMIC ENVIRONMENT (5501 NATURAL &-ECONOMIC ENVIROMENT SUB -TOTAL $ $ $ $: $ SOCIAL SERVICES (560) SOCIAL SERVICES SUB -TOTAL $ $ $ $ $ CULTURE & RECREATION (570) CULTURE & RECREATION SUB -TOTAL $ $ $ $ $ NONEXPENDITURES (580) NONEXPENDITURES SUB -TOTAL $ $ $ $ $ DEBT SERVICE (591 -593) DEBT SERVICE SUB -TOTAL $ $ $ $ $ CAPITAL EXPENDITURES/EXPENSES (594-595 CAPITAL EXPENDITURES /EXPENSE SUB -TOTAL $ (6,950,000.00) $ (975,35(1.26) $ (2,014,540.02) $ (6,950,000.00) $ (5,140,000.001 OTHER FINANCING USES (596 -599) OTHER FINANCING USES sUB-TOTAL $ $ $ $ $ TOTAL EXPENDITURES $ (6,950,000) $ (975,350) $ (2,014,540) $ (6,950,000.00) $ (5,140,000) To: Mayor Ron Harding Yelm City Council Agenda Item 8. c. Resolution No. 562, Interfund Loan 001 to 316 Roads /Streets Page 1 of 3 City of Yelm From: Noah Crocker, Finance Director STAFF REPORT Date: November 19, 2015 for November 24, 2015 City Council meeting Subject: Resolution No. 562 establishing an Interfund Loan between the General Fund 001 and the Roads /Street Construction Fund 316. Recommendation Approve Resolution No. 562 establishing an interfund loan from the General Fund 001 to the Road /Streets Construction Fund 316. Background The following grant revenues were budgeted for during calendar year 2015: Mosman Avenue Improvements project: $184,000 Cullens /Solberg Sidewalk project: $163,000 Total grant funding: $347,000 Transportation Improvement Board (TIB) grant proceeds were awarded to fund the design and construction of the Mosman Avenue Improvements project and the Cullens /Solberg Sidewalk project with the construction portion of each project occurring in 2015. Current Situation The following grant revenues are anticipated to be received for the projects: Mosman Avenue Improvements project: $97,418 Cullens /Solberg Sidewalk project: $174,000 Total grant funding: $271,418 Due to the nature of reimbursement based grants, there is a timing issue as the City of Yelm has not yet received the full reimbursement from the grants. Year to date a total of $26,417 has been received from the Mosman Avenue Improvements TIB grant. Year to date a total of $0 has been received from the Cullens /Solberg Sidewalk TIB grant. Additional interim funding is needed to cover costs associated with the Mosman Avenue Improvements and Cullens /Solberg Sidewalk projects paid for out of Fund 316. This funding is needed only until the grant monies are received. Agenda Item 8. c. Resolution No. 562, Interfund Loan 001 to 316 Roads /Streets Page 2 of 3 The Finance Department has determined that an interfund loan in the amount of $245,000 is necessary to provide cash to Fund 316 to close out the projects and end the 2015 calendar year in a positive cash position in the fund. We anticipate receiving the grant reimbursement in early 2016. We expect to receive $71,000 in remaining grant proceeds for the Mosman Avenue Improvements project and $174,000 for the Cullens /Solberg Sidewalk project. Once the grant reimbursement has been received, Fund 316 will repay the interfund loan to the General Fund 001 as defined by Resolution 562. Agenda Item 8. c. Resolution No. 562, Interfund Loan 001 to 316 Roads /Streets Page 3 of 3 CITY OF YELM RESOLUTION NO. 562 A RESOLUTION OF THE CITY OF YELM PROVIDING FOR AN INTERFUND LOAN TO THE ROAD /STREET CONSTRUCTION FUND 316 AND THE LENGTH OF THE TERM OF THE LOAN TO BE PAID. WHEREAS, additional interim funding is needed to cover costs associated with the Mosman Realignment and Cullens /Solberg Sidewalk project paid out of Fund 316. WHEREAS, the interfund loan is provided only for cash flow purposes as the City awaits receipt of State of Washington Transportation Improvement Board grant funds. These State grant funds are anticipated to be received in early 2016 after project(s) close out. WHEREAS, the interfund loan will be repaid before the end of December 31, 2016 or sooner once grant funds have been received. WHEREAS, the City wishes this interfund loan to be interest free. WHEREAS, the General Fund 001 has sufficient unused funds in excess of any current needs available to provide this interim loan internally; and NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Yelm, Washington, as follows: 1. An interfund loan not to exceed $245,000 from the General Fund 001 is authorized. 2. The intent is to provide cash flow funding for 2015 to complete projects paid for out of Fund 316. 3. Funds advanced to the Roads /Street Construction Fund (316) shall be repaid to the General Fund 001 by December 31, 2016 or sooner. APPROVED by the City Council of Yelm this 24th day of November, 2015 Ron Harding, Mayor ATTEST: Janine Schnepf, City Clerk PASSED AND APPROVED; November 24, 2015 Published; December 04, 2015 Effective date; December 09, 2015 To: Mayor Ron Harding Yelm City Council Agenda Item 8. d. Resolution No. 563, Interfund Loan 401 to 400 Stormwater Utility Page 1 of 2 City of Yelm From: Noah Crocker, Finance Director STAFF REPORT Date: November 19, 2015 for November 24, 2015 City Council meeting Subject: Resolution No. 563 establishing an Interfund Loan from the Water Utility Fund 401 for the Stormwater Utility Fund 400. Recommendation Approve Resolution No. 563 establishing an interfund loan between the Water Utility Fund 401 and the Stormwater Utility Fund 400. Background The following Dept. of Ecology funds were budgeted during calendar year 2015: Department of Ecology Grant: $75,000 Department of Ecology Loan: $25,000 Total funding: $100,000 The Department of Ecology grant proceeds were awarded to fund the Stormwater Comprehensive plan during 2015. Current Situation During 2015, the Stormwater Comprehensive Plan was budgeted at a cost of $118,750. By the end of 2015, $50,000 is projected to have been spent. Due to the nature of reimbursement based grants there is a timing issue as the City of Yelm has not yet received any funds from Department of Ecology. Additional interim funding is needed to cover costs associated with the Stormwater Comprehensive Plan for Fund 400 until the grant and loan monies are received. The Finance Department has determined that an interfund loan in the amount of $25,000 is necessary to provide cash to Fund 400 to end the 2015 calendar year in a positive cash position in the fund. We anticipate receiving the grant reimbursements and loan proceeds in early 2016. Once the grant reimbursement has been received, Fund 400 will repay the interfund loan to the Water Utility Fund 401 plus interest as defined in Resolution 563. Agenda Item 8. d. Resolution No. 563, Interfund Loan 401 to 400 Stormwater Utility Page 2 of 2 CITY OF YELM RESOLUTION NO. 563 A RESOLUTION OF THE CITY OF YELM PROVIDING FOR AN INTERFUND LOAN TO THE STORMWATER UTILITY FUND 400 AND THE LENGTH OF THE TERM OF THE LOAN AND INTEREST RATE TO BE PAID. WHEREAS, additional interim funding is needed to cover costs associated with the Stormwater Comprehensive Plan and other projects paid for out of fund 400. WHEREAS, the interfund loan is provided only for cash flow purposes as the City awaits receipt of State of Washington Department of Ecology grant and loan funds. These State grant and loan funds are anticipated to be received in early 2016. WHEREAS, the interfund loan will be repaid before the end of December 31, 2016 or sooner once grant funds have been received. WHEREAS, the Water Utility Fund 401 has sufficient unused funds in excess of any current needs available to provide this interim loan internally; and NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Yelm, Washington, as follows: 1. An interfund loan not to exceed $25,000 from the Water Utility Fund 401 is authorized. 2. The intent is to provide cash flow funding for 2015 to complete projects paid for out of fund 400. 3. Interest shall be charged at the same rate the General Fund 001 is currently receiving while invested in the WA State Local Government Investment Pool (LGIP). Interest shall be calculated monthly on the last day of the month. 4. Funds advanced to the Stormwater Utility Fund (400) shall be repaid to the Water Utility Fund (401) by December 31, 2016 or sooner. APPROVED by the City Council of Yelm this 24th day of November, 2015 Ron Harding, Mayor ATTEST: Janine Schnepf, City Clerk PASSED AND APPROVED; November 24, 2015 Published; December 04, 2015 Effective date; December 09, 2015 Agenda Item 8. e. Ordinance No. 1007, 2015 Year -End Budget Amendment Page 1 of 6 MEMORAND UM City of Yelm Administrative and Financial Services 105 Yelm Avenue West, Yelm, Washington 98597 To: Mayor Harding and Yelm City Council From: Noah Crocker Date: November 20, 2015 for November 24, 2015 Council Meeting Subj: Ordinance No. 1007, 2015 Year End Budget Amendment Recommendation: Adopt Ordinance No. 1007 amending the 2015 Budget by appropriating funds for 2015 contract obligations, transfers, and other expenditure related budget adjustments. Background: Variations in both revenue and expenditure appropriations occur throughout the budget year, creating the need for amendments. The City of Yelm adopts the annual budget by department level for the Current/General Fund and by fund level for all other funds. While it is important to note that many revenues line items (and ending cash) are anticipated to end the year well above the original budgeted amounts, this amendment addresses expenditures only — except where there are transfers or interfund loans in to balance the fund. Expense appropriations are amended to the extent needed to `rebalance' the department/fund. Current situation: This 2015 Amendment in total is $2,362726.36. Appropriation changes include adjustments to balance the departments /funds as follows: FUND ADDITIONAL BUDGET COMMENTS 001 General Fund $ 737,634.00 SEE ATTACHED 197 Comm. Dev Block $ 25.36 SEE ATTACHED 316 Road /Street Construction $ 643,000.00 SEE ATTACHED 400 Stormwater Utility $ - SEE ATTACHED 401 Water Fund $ 25,000.00 SEE ATTACHED 404 Water Capital Improvement $ 523,000.00 SEE ATTACHED 405 Water Rev Debt Redemption $ 432,397.00 SEE ATTACHED 407 LID Rev Bond Redmption $ 1,200.00 SEE ATTACHED 416 Sewer LID 1 Rev Bond Reserve $ 470.00 SEE ATTACHED TOTAL All Funds $ 2,362,726.36 SEE ATTACHED Agenda Item 8. e. Ordinance No. 1007, 2015 Year-End Budget Amendment Page 2 of 6 ■ 2015 Year End Budget Amendment FUND/..ACCT Orliglinalloudget.Anit NewRudgetArnt REASON Generall Fund 001 511.210.41.013, 4,00,01 $ 4,800, LOBB11ST PROFESSIONAL SERVICES 511.313.44.00 4,500 $ 8,500 OIFIFIIICIIIAL PUBIL11CAT1110INS SERVICES 511.60.22.00 1109 $ 150 III INDIUSTRIAL III INS U RA, INCE 5 11.60. 3 1. GG lao $ 150 OFFICE & OPERATING SUIPIPLIIES 5144 „23 „1.2..00 2,0DO $ 3,70O OVERTIME ,5144 „23 „22..00 411 $ 500 IIIINDIUSTRIAL IINSURAINCE 514.23.35.00, 455 $ 9513, SMALL TOOLS/MlIlNOR ECG 514.23.41.011 - $ 9,020, PROFESSIONAL SERVICES BANKING 51430.41.013, 11101 $ 550 RECORDS SERVICES 514.90.41.00 7,000 $ 8,985 VOTER REGIISTRATIIOIN COSTS 511210.41.00 15,000 $ 35,1000 Labor Rellatlions Consuftant 517.60.41GO 3,00„O .00 $ 4,000..GG L&I Retro IPrograrn 518.81.12.00 $ 5,00.00 Overtime 513 „9O 00 „014 6,0,GM.00 $ 61,000.00 1 Utlillites(Wtr�/Swr, /Pwr) 52160.51 55,0W.0{) $ 85,000..W Care of Custody of IPriilsoners 537.10.31 $ 177.00 OFFICE SUIPIPLIIES 537.10.42.00, $ 735.0,10, POSTAGE & MAIILIIIING 537.10.49.00, $ 25.0,10, MISCELLANEOUS 551710.41.013, 3,362.001 $ 3,602.00, IPOIIIIIIutIi0n Control 558.110.22.00 9101.10O $ 3,7100.00 IIIINDIUSTRIAL INSURANCE 558-110.35.100 I's'Go.'Go $ 2,351.00 SMALL TOOLS/MlIlNOR EQ 558.10.41.01 8, „0w.00 $ 45,000.00 CONSULTANT SVCS/lPLAlN REVIEW 558.10.42.01 1,4GG.00 $ 3,05100 COMMMIUlNlICATl101NS�: I 558.10.4101 200.00 $ 23100 TRAVEL TRAIIINIIING DUES 558.10.44.00, 6,000.001 $ 9,104.00, IPRIIIINTIIING & ADVERTIISIIING 558.10.48.00, 1,400.0,01 $ 2,00,01..H, V E H I CLE/E Q R E I 558.110.48.011 1,500.001 $ 2,6001.00, TREE:CITY REIPAIIRS 558.110.49.013, 1,10013.001 $ 2,6001.00, VIIISC/RECORD ORDIIINIAINCES 572.110.41 50,1000.100 $ 65,1000..00 Library Condo montNy clues comiIng iiin higherthar) expected 576.810.48.05 4,0M.00 $ 9,0oa..GG BidglGrounds/IVItce-ClIty IPark 576.810.11.00 675.00 $ 825.00 Accured VA/H611Iday 576.810.12.00 - $ 87.00 OVERTIME 576,810.4100, $ 401.00 COMMIUlNlICATl101NS: POSTAGE 576,810.47.00, 30,000.0,01 $ 35,00,01..0O I U B LlI C UTIII LIIFFY SE R V III CE S 576,80.48.05 4,1000.001 $ 8,,00,,01..00, BLDG/GROUlNDS/MTC-CllTY I 576.8,13.48.06 2,250.100 $ 2,7100.00 BLDG/GROUlNDS/MTC-TRAILS 581.10.1k,XX - $ 245,000.00 IIIINTERIFUIND LOAN TO 316 597..XX..XX..XX - $ 75,000.00 Transferto 1316, Totall 001 268,173.00 $ 737,634.00 Revenues Expenses, 737,634..00 Net Effect to Ending Cash $ (469,461.00), Agenda Item 8. e. Ordinance No. 1007, 2015 Year-End Budget Amendment Page 3 of 6 Con,in,i Dev. BIIGck Grant 197 R,Gad�/Street cGri[struction 316 Uti 1" 400 Maint/Reparit/Util IN&P Homes-- 559.210.47.100 25 Interfund Loan to cover cash flow for 2.5,,'16 Allo,cation of lPropert Tax higher than 25, GM. 100 397„ XX. XX 25,1000.100 75,1000 budget�ed for Totall 1917 $ 25.00 $ 25.36 400 Revenues, $ - E'xpenses $ 2,536 30,1000 Net Effect to Ending Cash 5 (10361 Totall 401 R,Gad�/Street cGri[struction 316 Uti 1" 400 38I.XXXX 245,007 , Interfund Loan to cover cash flow for 3,81.XXXXX $ 25, GM. 100 397„ XX. XX 25,1000.100 75,1000 400 400 595.30.6,1105 30,1000 39,10aD Mossman Engineering Totall 401 595.30.6,1106, Revenues, 15,7107 E`xpenses 22,10 ao Cullens/Solberg Engineering $ 595.30.61107 25,1000.100 179,184 $ 2104,l0 ao Cullens/Solberg Construction 595.61.6,1104 361,339 378,10aD Mossman Realignment 316 $ Revenues, E`xpenses Net Effect to Ending Cash 586M230.00 $ $ 6,439000.00 64391000.100 (56,7710 .100), Storrnwaiter Uti 1" 400 Interfund Loan to cover cash flow for Interfund Loan to cover cash flow for 3,81.XXXXX $ 25, GM. 100 $ 25,1000.100 400 400 Totall 401 $ Revenues, $ E`xpenses $ Net Effect to Ending iLasIn $ Water Uti I ity 401 Interfund Loan to cover cash flow for 518I.XXXXX 10 $ 25,1000.100 400 Totall 401 $ 259000.00 Revenues, $ - E`xpenses $ 25,1000.100 Net Effect to Ending Cash $ (2,5,0000 0) Water Ca pita 111 n,i p rove n,i e nt 404 ''ate Agenda Item 8. e. Ordinance No. 1007, 2015 Year-End Budget Amendment Page 4 of 6 59434.61110 $ 85,1000 $ 161,WO AC' atemmaiiin Replace-Engiineering 594.34.6112 $ 300?1000 $ 362,1000 AC Watermalin Replace-Construction $ 431,918 534.210.41.100 $ 5,00 $ costs LID Admin Cost Higher than expected Totall 404 $ Revenues, En pennses Net Effect to Ending Cash 3959000.00 $ $ $ $ 5239000.00 - 523,1000.100 (138,10M.100), r rev ueDT Keuenipuion 4u5, Fiscal Agent Change-Higher Admin 59234.81,03 $ 431,438 $ 431,918 534.210.41.100 $ 5,00 $ costs LID Admin Cost Higher than expected Fiscal Agent Change-Higher Admin 592,, 34 $ 3,02 $ 479 1,,200.00 - 1?2100.100 (7100 .100), costs $ Totall 405 $ 431,,740.00 $ 432y397.00 Revenues, $ - E�xpenses, $ 432,397.100 Net Effect to Ending Cash $ (657 .100), Sewer LIDI Rev Bond Redeniption 407 534.210.41.100 $ 5,00 $ 1,2100 LID Admin Cost Higher than expected Totall 407 $ 500.00 Revenues, E`xpenses, Net Effect to Ending Cash $ $ $ $ 1,,200.00 - 1?2100.100 (7100 .100), Sewer LID I REV BOND RESERVE 416 597 „003 C0O „CwO 4710.100 ITransfer to Fund 4107-LID Aclftiin cost�s Totall 412 $ - $ 470.00 Revenues, $ - E`xpenses, $ 4710.100 Net Effect to Ending Cash $ (4710.100 TOTAL LINE. ITEM ADJUSTMENTS Agenda Item 8. e. Ordinance No. 1007, 2015 Year-End Budget Amendment Page 5of6 Revenue s,From .Transfers,in. $ Revenues, From I ntefund Loans, $ Expenses ,iniclud'ingTransfers,,Out Net Effect to EndingCash 2,362,726.36 75,470.00 270101010.010 2w3, Zu 72,61.36 (2,01712561.3,G) Agenda Item 8. e. Ordinance No. 1007, 2015 Year -End Budget Amendment Page 6 of 6 CITY OF YELM ORDINANCE NO. 1007 AN ORDINANCE amending the 2015 City of Yelm Budget as adopted by Ordinance No. 992 in December 2014, 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. 2015 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, 2015, are increased by $2,362,726.36 as shown in Exhibit A. Section 2. The budget for the year 2015 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 24th day of November, 2015. Ronald W. Harding, Mayor Authenticated: Janine A. Schnepf, City Clerk Passed and Approved: November 24, 2015 PUBLISHED: Nisqually Valley News: December 04, 2015 Effective: December 09, 2015 Agenda Item 8. f. Release of Retainage to Nova Const., Mosman Improvement Project Page 1 of 1 City of Yelm STAFF REPORT To; Mayor Ron Harding Yelm City Council From: Ryan Johnstone, Public Works Director Date: November 12, 2015 (for November 24, 2015 City Council Meeting) Subj: Project Acceptance and Release of Retainage for Mosman Avenue Improvements project. Attach: None Recommendation To accept and authorize the release of the retainage bond in the amount of $74,014.70 to Nova Contracting, Inc. for construction activities related to the City's Mosman Avenue Improvements project. Background On November 18, 2011, City staff received notification from the Transportation Improvement Board (TIB) of its successful application for grant funds in the amount of $990,501 to complete the realignment of the intersection of Mosman Ave with SR507 and roadway improvements between 2nd St SE and SW Railroad St. Design of the project was awarded to Gray and Osborne for a total cost of $231,572. Design was completed in March 2014, Current Situation The project was advertised for construction and awarded to Nova Contracting, Inc. at the May 13, 2014 City Council meeting. The contract award was in the amount of $1,492,125.13. Final construction cost was $1,477,515.12. Staff recommends acceptance of the project and release of the project retainage bond to Nova Contracting, Inc. once all proper documentation has been received from the Department of Revenue, Labor and Industries, and Employment Services and it is determined that there are no liens against the project. Page 1 of 1 Agenda Item 8. g. TI Supplement with G &O, Additional Const. Mngmt. Srvs., Mosman Improvement Project To: Mayor Ron Harding YeIm City Council From: Ryan Johnstone, Public Works Director Date: November 1E, 2015 (for November 24, 2015 City Council Meeting) Subj: Additional Construction Management Services - Mosman Avenue Improvements project. Attach: None Recommendation To authorize Mayor Harding to sign TIB Supplement #5 with Gray &Osborne, Inc. in the amount of $13,292 for additional construction management services related to the Mosman Avenue Improvements project. Background The Mosman Avenue Improvements project was advertised for construction and awarded to Nova Contracting, Inc. at the May 13, 2014 City Council meeting. Additionally, Gray & Osborne was awarded a contract for Construction Management services for the project in the amount of $191,123. Current Situation Supplement #5 is for additional services performed by Gray & Osborne due to the project exceeding the contract time. During this time additional coordination with the various project stakeholders, plan review, and general project management tasks were required. The extra time and effort incurred by Gray & Osborne is reflected in the attached supplement. These additional expenditures will be accounted for out of Fund 315. Page 1 of 1 Agenda Item 8. g. TI Supplement with G &O, Additional Const. Mngmt. Srvs., Mosman Improvement Project Page 2 of 5 Transportation Improvement Board Consultant Supplemental Agreement Agency Yelm Project Number 8- 5- 978(003) -1 Project Name Mosman Avenue Improvement Project (SW Railroad Street to SE 2nd Street) Consulting Firm Gray & Osborne, Inc. Supplement Phase Supplement No. 5 for Additional Construction Management Services The Local Agency of Yelm, Washington desires to supplement the design agreement entered into with Gray & Osborne, Inc. and originally executed on January 24, 2012. All provisions in the basic agreement remain in effect except as expressly modified by this supplement. The changes to the agreement are described as follows: Section I1, SCOPE OF WORK, is hereby changed to read SCOPE OF WORD CONSTRU!CTIOC MANAGEMENT SER'VECES Additional Pro ect Description. The Additional Scope of Work to be performed by Gray & Osborne, Inc. is as follows: Additional Project Management (due to project exceeding contract time) — Provide additional project management to include resource allocation management, client contact, and coordination with various project stakeholders including, but not limited to, TIB, City, Contractor, abutting property owners (as may be required), and utility purveyors during the lengthened construction phase of project. 2. Additional Contract Administration a. Track, review and evaluate additional Request for Information from Contractor and submittals, including Contractor's correction to traffic signal foundations_ Coordinate responses with City and WSDOT as required, Manage responses to RFIs and submittals. Section 1V, TIME FOR BEGINNING AND COMPLETION, is amended to change the Completion Date. SUPPLMENTAL COMPLETION DATE December 31, 2015 Section IV, PAYMENT, shall be amended as follows as set forth in Exhibits A -5 and B -5 (shown herein) MAXIMUM AMOUNT PAYABLE $435,987.00 Page 1 of 4 Agenda Item 8. g. TI Supplement with G &O, Additional Const. Mngmt. Srvs., Mosman Improvement Project Page 3 of 5 Transportation Improvement Board .Consultant Supplemental Agreement If you concur with this supplement and agree to the changes as stated herein, please sign and date in the appropriate spaces below, envy Signature Consultant Signature Page 2 of 4 Date Date rU /Z z If Agenda Item 8. g. TI Supplement with G &O, Additional Const. Mngmt. Srvs., Mosman Improvement Project Page 4 of 5 W U .► c� C to Cv v o EM asu � r o M o Z D ' ui o oa CIL b 60 V!.,� to." 6r� tq �..� f17 E CD C Emct;Eaa) N CO a r ff} [L) w to o Q CV3 ar :E = d !] O e# CO iQ ( Cl N cc Ci - m CL ¢ a 0 U) F It m F- Nt �V �^ _ CO C r M N a) r M 4.1 C W� d4 69 b4 d4 � W U .► c� C to Cv v o EM asu � r o M o Z D ' ui o oa CIL b 60 V!.,� to." 6r� tq �..� f17 E CD C Emct;Eaa) N ° a r ff} [L) w to o Q CV3 ar :E = d !] r e# f• CN V c' - m CL ¢ a 0 U) It 04 N �V �^ _ CO C _ _ C. C' M N a) r 4.1 C W� _ V) CIL M IM to!). 60" E� E w E E rn RT Cq (0 N t7 r V7 u7 00 > CL a (00 cr 64 1 W U .► c� C to Cv v o EM asu � r o M o Z D ' ui o oa CIL b 60 V!.,� to." 6r� tq �..� f17 E CD 4W CID 14 E r4 0 L1 S 2 z _ ip—, 7 Q c Vi H4 W �W n M CN C¢ C¢ Ef} a r ff} [L) w to to 17 r C'1% Q CV3 a C7 O 'y� L7 CD It 04 N _ CO C _ _ C. C' M N a) r C'? _ V) CIL M IM to!). 60" �}} CO AO to D• L to �a 0� > CL L CL E = Cam_ = E a � � o C v C C CO O c r r 0Q' +� 0� CL U) m O a m 0la = z U- 5 Agenda Item 8. g. TI Supplement with G &O, Additional Const. Mngmt. Srvs., Mosman Improvement Project Page 5 of 5 Transportation Improvement Board Consultant Supplemental Agreement EXHIBIT B-5 (CONSULTANT FEE DETERMINATION SHEET - COST PLUS FIXED FEE) Prepared by: Date: Brian Sourwine, P.E. _. September 16, 2015 Project: Mosman Avenue Improvements Project (Additional Construction Management Services) Classif catlon Manhours Rate Cost Principal -In- Charge 4 X $32 to $58 = $ 224 Project Manager 32 X $32 to $55 = $ 1,344 Froiect Engineer 80 X $32 to $43 = $ 2,566 Design /Civil Engineers) 0 x $18 to $36 $ 0 Survey /CARD Technician 0 X $15 to $31 $ 0 Resident Engineer 0 X $30 to $40 $ 0 Survey Crew 0 X $43 to $96 = $ 0 Professional Land Surveyor 0 x $33 to $42 = $ 0 TOTAL DSC $ 4.128 OH Rate x DSC 180.00 °Ia }( $4,128 $ 7A30 FIXED FEE I FF Rate x DSC 42.00% X $4.128 $ 1,734 TOTAL (ADDITIONAL CONSTRUCTION MANAGEMENT] 1 $13,292 Page 4 of 4 To: Mayor Ron Harding Yelm City Council From: Ryan Johnstone, Public Works Director Date: November 16, 2015 (for November 24, 2015 City Council Meeting) Subj: Project Acceptance and Release of Retainage for YeIm Ave. Sidewalk Improvements project. Attach: None Recommendation To accept and authorize release of retainage in the amount of $10,010.62 to Iversen and Sons, Inc. for construction activities related to the City's Yelm Ave. Sidewalk Improvements project. Background On November 25, 2013, City staff received notification from the Transportation Improvement Board (T1B) of its successful application for sidewalk replacement money in the amount of $184,184. The project location was Yelm Ave. W between Cullens St. NW and Solberg St. NW and included the construction of 820 feet of concrete curb, gutter, and sidewalk. Design of the project was awarded to Gray and Osborne in January 2014 and was completed in April 2015. Total design fee was $59,969. Current Situation The sidewalk project was advertised for construction in April 2015 and was awarded to Iversen and Sons, Inc. at the May 26, 2015 City Council meeting. The contract award was in the amount of $200,185.00. The project was physically completed on October 9, 2015. The final construction cost was $240,212.00. Staff recommends acceptance of the project and release of the project retainage to Iversen and Sons, Inc. once all proper documentation has been received from the Department of Revenue, Labor and industries, and Employment Services. Page 1 of I