Loading...
ORD 15-029 ORDINANCE NO , 15 - 029 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF CAMAS , WASHINGTON AMENDING THE CITY ' S 2015 - 2016 BUDGET ORDINANCE 2719 and ORDINANCE 15 - 022 . WHEREAS , the City Council of the City of Camas approved Ordinance No . 2719 , Ordinance No . 15 - 022 , and adopted a budget for the 2015 - 2016 biennium ; and , WHEREAS , the City Council of the City of Camas desires to effectively utilize and manage the City ' s financial resources ; and , WHEREAS , the City will receive additional revenues that were not anticipated at the time of adopting the budget for 2015 - 2016 ; and , WHEREAS , funds received in excess of estimated revenues during the current fiscal year when authorized by an ordinance amending the original budget, may be included in the expenditure limitation [RCW 35A . 33 . 120 (4 ) ] ; and , WHEREAS , the City desires to undertake activities , which were not foreseen at the time of adopting the 2015 - 2016 budget ; and, WHEREAS , the financial activities in the following funds could not have been reasonably foreseen at the time of adopting the 2015 - 2016 budget ; NOW THEREFORE , THE CITY COUNCIL OF THE CITY OF CAMAS DO ORDAIN AS FOLLOWS : SECTION 1 Budget Amendment : The City of Camas 2015 - 2016 Budget as adopted in Ordinance No . 2719 and Ordinance No . 15 - 022 is to be amended as follows : 1 . Supplement the 2015 Budget for Cemetery seasonal costs . Ordinance No . 15 -029 Page - 2 2 . Supplement the 2015 Budget for increased Firemen Retiree Medical Costs in the Firemen ' s Pension Fund . 3 . Supplement the 2015 Budget for increase in rental and repair rates on new garbage trucks in Solid Waste Fund . 4 . Supplement the 2015 Budget for equipment for new police vehicles in the Equipment Rental Fund . 5 . Modify the 2015 Budget for debt service costs which were overstated in the Street LED Lighting Project Fund . 6 . Supplement the 2015 Budget for a major storm event in the Street Fund (potential reimbursement from FEMA . SECTION 2 Budget Amendment- Effect on Fund Revenues and Expenses . The foregoing increases affect the City funds as shown on Attachment A . SECTION 3 This ordinance shall take effect and be in force five (5 ) days from and after its passage , approval , and publication , as accordance with law . PASSED by the Council and APPROVED byytheor is 2 day of December 2015 . SIGNED ko Mayor ATTEST . � C�-P �--� Clerk APPROVED as to form : City Attorney Attachment A 2615 Budget Amendment a Fund Summary Budget Budget Estimated Budget Amendment Amended Beg Fund Balance Revenues (1) Expenses (i) End Fund Balance Revenues Expenses Fund Balance Note: Budget Packages Ciperating Funds General $ 3,416,716 $ 18,455, 117 1 $ (19,253,119) 1 $ 2,618,714 1 (5,000) 1 $ 2,613,714 11 Streets $ 187,320 $ 2, 282,793 $ (27276,945) $ 193, 168 IS (200,000) $ (6,832) 6 Camas/Washougal Fire & EMS $ 267, 167 $ 8,420,877 $ (81607,054) $ 80,990 80,990 Cemetery $ 4,371 1 $ 181, 500 $ (180,340) $ S,531 $ 51000 $ (5,000) $ 5,531 1 L, Capital/Enterprise Funds Unlimited GO Debt Service $ 34, 561 $ 625,000 $ (622,137) $ 37,424 $ 37,424 Limited GO Debt Service $ - $ 11075,875 $ (1,0751875) $ - $ _ Growth Management Act Projects $ 11442,700 $ 21212,113 $ (27572,855) $ 1,081,958 $ 1,Q81,958 NW 38th Ave. Construction $ - $ 11131,000 $ ( 1, 131,000) $ Friberg Rd . Construction $ - $ 11000,000 $ ( 11000)000) $ Community Center Construction $ (83,379) $ 84,500 $ - $ 11121 $ 11121 Brady Road Construction $ - $ 839,000 $ (839,000) $ $ _ 6th and Norwood Construction $ - $ 3,000,000 $ ( 1,9001000) $ 1, 100,000 $ 1,100,000 Street Lighting LED Project $ - $ 215007000 $ (21568,568) $ (68,568) $ 68,568 $ - 5 Bond Fund Capital Projects $ - $ 800,000 $ - $ 800,000 $ 800,000 Storm Drainage $ 11103,305 $ 1, 187,301 $ ( 11296)635) $ 993,971 $ 993,971 Solid Waste $ 11084,810 $ 21168,192 $ (2,0181202) $ 11234, 800 $ (20,000) $ 11214,800 3 Water/Sewer $ 41366,864 $ 21,048,040 $ (21,814,401) $ 31600, 503 $ 3,600,503 WS Capital Reserve $ 2,383,597 $ 1,4071701 $ (804,000) $ 21987,298 $ 29871298 WS Bond Reserve $ 9042332 $ 658,000 $ - $ 11562,332 $ 12562,332 NUGA Sewer Construction Project w $ 17, 223,000 $ (590,000) 1 $ 16, 633, 000 1 $ 16, 6331000 - - - - - - - - - - - - - -- $ Lodging Tax $ 16,948 $ 71094 $ ( 15,000) $ 9,042 $ 91042 Firemen's Pension $ 21533,361 $ 57,429 $ (15,522) $ 21575,268 $ (3,000) $ 2,572,268 2 Equipment Rental and Replacement $ 1, 6141226 $ 11783, 546 $ (21793,655) $ 604,117 $ 25,000 $ 629,117 14 $ 19,276,899 $ 88,148,07$ $ (71,374,308) $ 35,050,669 $ 51000 $ (139,432) $ 35,916,237 (1) Budgeted revenues and expenses reflect the 2015 Adopted Budget Attachmeht A 71W Current Proposed Rev increase Rev DeAdjustment 4 Description Fund Budget Budget Exp Note cIncrease B rease Impact to Transfer to Cemetery Supplemental 001 $ 133,718 $ 138,718 001-00-597-112-25 $ (5,000) $ • (5,000) 1 Adjust Fund Balance Supplemental 001 $ 21618,714 $ 2,613,714 001*000508.000400 $ 5,000 $ 51000 1 Transferfrom General Fund Supplemental 125 $ 133,718 $ 138,718 125.00,397.000.00 $ 5,000 $ 57000 1 Public Utilities Supplemental 125 $ 21838 $ 71838 125-00-536-500-47 $ (5,000) $ I 2 Pension and Disability Supplemental 611 $ 15522 $ 18,522 611.00.5M2OOZ9 $ (3,000) $ (30000) 2 Adjust Fund Balance 5v plemental 611 $ 21575,268 $ 2,572,268 611.00,508,000,00 31000 $ 3,000 3 Interfund Dper Rentals & Leases Supplemental 422 $ 369,926 389,926 422,00-537900,45 $ (20,000) $ (20,000) 3 Adjust Fund Balance Supplemental 422 $ 1,234,800 $ 1,214,800 422,OO.SDS.ODD.00 $ 20,000 $ 20,000 4 Repairs and Maintenance Supplemental 523 $ 51,436 $ 76,436 523,00,548.650.48 $ (25,000) $ (25,000) 4 Adjust Fund Balance* Supplemental 523 $ 604,117 $ 579,117 523.00.508.000.00 $ 25,000 $ 25,000 5 Construction Administrative 317 $ 2,500,000 $ 2,431,432 317,00,595.630.65 $ 68,568 $ 68,568 5 Adjust Fund Balance Administrative 317 $ (68,568) $ 317,DOS08,000,00 $ (68,568) $ (68,568) 6 Repairs and Maintenance Supplemental 112 $ 3,760 $ 203,760 11200,542300.48 $ (200,000.00) $ (200,000.00) 6 Adjust Fund Balance ISupplemental 112 $ 193,168 1 $ (6,832) 11200,508.000,00, 1 200,000000 $ 200,ODO,OO I