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1007 Budget Amend 2015CITY 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 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 $691,058.36 to reflect a total line item budget adjustment of $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. 7 � Ronald W. H rding, M r Authenticated: &Iu� 4,4 4 Janine A. Schnepf, City Clerk Passed and Approved: November 24, 2015 PUBLISHED: Nisqually Valley News: December 04, 2015 Effective: December 09, 2015 EXHIBIT A 2015 Year End Budget Amendment FUNDJACCT Original Budget Amt New Budget Amt REASON General Fund 001 511.20.41.00 $ 4,000 $ 4,800 LOBBIST PROFESSIONAL SERVICES 511.30.44.00 $ 4,500 $ 8,500 OFFICIAL PUBLICATIONS SERVICES 511.60.22.00 $ 109 $ 150 INDUSTRIAL INSURANCE 511.60.31.00 $ 100 $ 150 OFFICE & OPERATING SUPPLIES 514.23.12.00 $ 2,000 $ 3,700 OVERTIME 514.23.22.00 $ 411 $ 500 INDUSTRIAL INSURANCE 514.23.35.00 $ 455 $ 950 SMALL TOOLS /MINOR EQ 514.23.41.01 $ - $ 9,020 PROFESSIONAL SERVICES BANKING 514.30.41.00 $ 110 $ 550 RECORDS SERVICES 514.90.41.00 $ 7,000 $ 8,985 VOTER REGISTRATION COSTS 515.20.41.00 $ 15,000 $ 35,000 Labor Relations Consultant 517.60.49.00 $ 3,000.00 $ 4,000.00 L &1 Retro Program 518.81.12.00 $ - $ 500.00 Overtime 518.90.00.00 $ 60,000.00 $ 61,000.00 Public Utilites(Wtr /Swr /Pwr) 523.60.51 $ 55,000.00 $ 85,000.00 Care of Custody of Prisoners 537.10.31 $ - $ 177.00 OFFICESUPPLIES 537.10.42.00 $ - $ 735.00 POSTAGE & MAILING 537.10.49.00 $ - $ 25.00 MISCELLANEOUS 553.70.41.00 $ 3,362.00 $ 3,602.00 Pollution Control 558.10.22.00 $ 901.00 $ 3,700.00 INDUSTRIAL INSURANCE 558 - 10.35.00 $ 1,800.00 $ 2,351.00 SMALL TOOLS /MINOR EQ 558.10.41.01 $ 8,000.00 $ 45,000.00 CONSULTANTSVCS /PLAN REVIEW 558.10.42.01 $ 1,400.00 $ 3,053.00 COMMUNICATIONS: PHONE 558.10.43.01 $ 200.00 $ 230.00 TRAVEL TRAINING DUES 558.10.44.00 $ 6,000.00 $ 9,104.00 PRINTING &ADVERTISING 558.10.48.00 $ 1,400.00 $ 2,000.00 VEHICLE /EQ REP /MTC 558.10.48.01 $ 1,500.00 $ 2,600.00 TREE:CITY REPAIRS 558.10.49.00 $ 1,000.00 $ 2,600.00 MISC /RECORD ORDINANCES 572.10.41 $ 50,000.00 $ 65,000.00 Library Condo monthly dues coming in higher than expected 576.80.48.05 $ 4,000.00 $ 8,000.00 Bldg/Grounds /Mtce -City Park 576.80.11.00 $ 675.00 $ 825.00 Accured VA/Holiday 576.80.12.00 $ - $ 87.00 OVERTIME 576.80.43.00 $ - $ 40.00 COMMUNICATIONS: POSTAGE 576.80.47.00 $ 30,000.00 $ 35,000.00 PUBLIC UTILITY SERVICES 576.80.48.05 $ 4,000.00 $ 8,000.00 BLDG /GROUNDS /MTC -CITY PK 576.80.48.06 $ 2,250.00 $ 2,700.00 BLDG /GROUNDS /MTC- TRAILS 581.10.XX.XX $ - $ 245,000.00 INTERFUND LOAN TO 316 597.XX.XX.XX $ - $ 75,000.00 Transfer to Fund 316 Total 001 $ 268,173.00 $ 737,634.00 Revenues $ - Expenses $ 737,634.00 Net Effect to Ending Cash $ (469,461.00) Page 2 of 5 Comm Dev. Block Grant 197 559.20.47.00 Total 197 $ Revenues Expenses Net Effect to Ending Cash 381.XX.XX 397.XX.XX 595.30.63.05 595.30.63.06 595.30.63.07 595.61.63.04 316 316 $ Revenues Expenses Net Effect to Ending Cash 2S 25.00 $ 15,7071 $ 179,184 I $ Maint/Reparit/Util NSP Homes- - 25.36 Allocation of Property Tax higher than budgeted for 25.36 25.36 39,000 Mossman 22,000 Cullens /S 04,000 Cullens /S 78,000 Mossman 586,230.00 $ 643,000.00 $ 643,000.00 $ (56,770.00; Engineering Construction nment 391JODOD( $ 25,000.00 $ Interfund Loan to cover cash flow for 400 Total 401 $ - Revenues $ Expenses $ Net Effect to Ending Cash S - Interfund Loan to cover cash flow for 581JOOU0( 0 $ 25,000.00 400 Total 401 $ 25,000.00 Revenues $ - Expenses $ 25,000.00 Net Effect to Ending Cash S (25.000.001 Page 3 of 5 Water Capital Improvement 404 594.34.63.10 $ 594.34.63.12 $ Total 404 $ Revenues Expenses Net Effect to Ending Cash Water Rev Debt Redemption 405 592.34.83.03 $ 592.34.84.00 $ Total 40S $ Revenues Expenses Net Effect to Ending Cash Sewer LIDi Rev Bond 534.20.41.00 $ Total 407 $ Revenues Expenses Net Effect to Ending Cash 85,000 $ 161,000 AC Watermain 300,000 $ 362,000 AC Watermain 385,000.00 $ $ 523,000.00 523,000.00 struction 431,438 $ 431,918 Fiscal Agent Change - Higher Admin costs 302 $ 4n Fiscal Agent Change - Higher Admin Costs $ 431,740.00 $ 432,397.00 $ 432,397.00 S 1657.001 407 Sewer LID i REV BOND RESERVE 416 500 $ 1,200 LID Admin Cost Higher than expected $ - 500.00 $ 1,200.00 $ 1,200.00 $ (700.00) 597.03.00.00 1 $ - $ 470.00 1 Transfer to Fund 407 -LID Admin costs Total 412 $ Revenues Expenses Net Effect to Ending Cash - $ 470.00 $ 470.00 $ 1470.00'. Page 4 of 5 TOTAL ORIGINAL BUDGETED LINE ITEMS TOTAL LINE ITEM ADJUSTMENTS NET LINE ITEM CHANGES Revenues From Transfers in Revenues From Intefund Loans Net Effect to Ending Cash 1,671,668.00 2,362,72636 75,470.700 2711,000.00 Page 5 of 5