Loading...
HomeMy WebLinkAboutordinance.council.014-08ORDINANCE NO. ~'~ (Series of 2008) AN ORDINANCE APPROPRIATING AN INCREASE IN THE ASSET MANAGEMENT PLAN FUND EXPENDITURES OF $3,479,650, AN INCREASE IN THE GENERAL FUND OF $3,323,660, AN INCREASE IN THE PARKS FUND OF $103,200, AN INCREASE IN THE WHEELER FUND OF $1,578,850, AN INCREASE IN THE PARKING IMPROVEMENT FUND OF $216,480, AN INCREASE IN THE HOUSING DEVELOPMENT FUND OF $5,413,880, AN INCREASE IN THE KIDS FIRST FUND OF $97,410, AN INCREASE IN THE STORMWATER FUND OF $815,900, A REDUCTION IN THE DEBT SERVICE FUND OF ($75,000), AN INCREASE IN THE PARKS CAPITAL IMPROVEMENT FUND OF $2,136,990, AN INCREASE IN THE WATER FUND OF $33,190, AN INCREASE IN THE ELECTRIC FUND OF $729,320, AN INCREASE IN THE HYDROELECTRIC FACILITY FUND OF $229,690, AN INCREASE IN THE TRANSPORTATION AND PARKING FUND OF $599,860, AN INCREASE IN THE GOLF FUND OF $77,000, AN INCREASE IN THE TRUSCOTT FUND OF $4,320,100, AN INCREASE IN THE MAROLT FUND OF $24,880, AND AN INCREASE IN THE HOUSING AUTHORITY FUND OF $8,980. WHEREAS, by virtue of Section 9.12 of the Home Rule Charter, the City Council may make supplemental appropriations; and WHEREAS, the City Manager has certified that the City has unappropriated current year revenues and/or unappropriated prior yeaz fund balance available for appropriations in the following funds: ASSET MANAGEMENT PLAN HIND, GENERAL FUND, PARKS FUND, WHEELER FUND, PARKING IMPROVEMENT FUND, HOUSING DEVELOPMENT FUND, KIDS FIRST FUND, STORMWATER, DEBT SERVICE FUND, PARKS CAPITAL IMPROVEMENT FUND, WATER FUND, ELECTRIC FUND, HYDROELECTRIC FACILITY FUND, TRANSPORTATION AND PARKING FUND, GOLF FUND, TRUSCOTT FUND, MAROLT FUND, AND THE HOUSING AUTHORITY FUND. WHEREAS, the City Council is advised that certain expenditures, revenue and transfers must be approved. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF ASPEN, COLORADO: Section 1 Upon the City Manager's certification that there aze current yeaz revenues and/or prior year fund balances available for appropriation in the: ASSET MANAGEMENT PLAN FUND, GENERAL FUND, PARKS FUND, WHEELER FUND, PARKING IMPROVEMENT FUND, HOUSING DEVELOPMENT FUND, KIDS FIRST FUND, STORMWATER, DEBT SERVICE FUND, PARKS CAPITAL IMPROVEMENT FUND, WATER FUND, ELECTRIC FUND, HYDROELECTRIC FACILITY FUND, TRANSPORTATION AND PARKING FUND, GOLF FUND, TRUSCOTT FUND, MAROLT FUND, AND THE HOUSING AUTHORITY FUND: the City Council hereby makes supplemental appropriations as itemized in the Attachment A. Section 2 If any section, subdivision, sentence, clause, phrase, or portion of this ordinance is for any reason invalid or unconstitutional by any court or competent jurisdiction, such portion shall be deemed a sepazate, distinct and independent provision and such holding shall not affect the validity of the remaining portion thereof. INTRODUCED, READ, APPROVED AND ORDERED PUBLISHED AND/OR POSTED ON FH2ST READING on the 28th day of April, 2008. ATTEST: ~ Kathryn S. K ch, ty Clerk Michael C. relan ,Mayo FINALLY ADOPTED AFTER PUBLIC HEARING on the 12th day of May, 2008. ATTEST: 9/J ~ Kathryn S ity Clerk 11~chael . Ireland, M yor Approved as to Form: John Worcester, City Attorney Attachment A Total City of Aspen 2008 Approp riations by Fund Fund Name Total Expenditures 8 Transfers Out 2008 Supplemental #1 2008 Amended Expenditure Budget General Government Funds Asset Management Plan _ __ _ $5,390,630 __ $3,479,650 _ $8,870,280 General Fund $25 458 750 $3 323 660 $28.782.410 Subtotal General Gov't Funds: $30,849,380 58,803,310 $37,652,690 ~ecial Revenue Funds Parks and Open Space $9,524,200 $103,200 $9,627,400 _ Wheeler Opera House _ $3,388,560 $1,578,850 _ $4,967,410 Lodging Tax Fund _$1,330,360 $0 _$1,330,360 __ Parking Improvement Fund _ $1,528,640 $216,480 $1,745,120 Housing Development $12,307,810 $5,413_,88.0 $17,721,69.0 Early Childhood Educ. Initiative -- AVCF $347,950 $0 $347,950 Kids First /Yellow Brick $1,780,940 $97,410 $1,878,350 _ Stonnwater Fund ~ 815 900 815 900 Subtotal, Special Rev. Funds: $30,208,460 $8,225,720 $38,434,180 Debt Service Funds _ Debt Service Fund $4.119.480 - 75 000 $4 044.480 Subtotal, Debt Service Funds: 84,119,480 -$75,000 54,044,480 Parks Capital Improvement Fund $2,854,380 $2,136,990 $4,991,370 Enteryrise Funds Water Utility $10,065,220 _ $33,190 _$_10,098,410 Electric Utility Hydroelectric Facility $7,418,850 $4,131,560 _ $729,320 $229,690 _ $8,148,170 $4,361,250 Transportation Fund MunicipalGolfCourse _ $5,106,260 $1,241,320 _ $599,860 $77,000 _ _ $5,706,120 _ $1,318,320 TruscottHousing Marolt Housing _ $1,723,820 $1 166.480 - $4,320,100 24 88 _ $6,043,920 $1 191.360 .. -- - Subtotal, Enterprise Funds: - $30,853,510 $6,014,040 $36,867,550 Internal Service Funds Health Ins. Internal Service Fund City Employee Housing Fund Subtotal, Internal Service Funds: $3,662,430 $1 043.890 54,706,320 _ $0 _ ~ SO $3,662,430 $1,043,890 54,706,320 Trust & Agency Funds Housing Authority _ _- $1,076,700 _ _ _ $8,980 - $1,085,680 - - _--- SmugglerMountain Fund _ Subtotal, Trust & Agency Funds: _ 76 68_0 $1,153,380 _ ~ $8,980 __ 78.680 $1,162,360 ALL FUNDS: $104,744,910 $23,114,040 $127,858,950 Less Interfund Transfers EZFUALS NET ALCFUNDS APPROPRIATIONS: $20,358,760 $84,386,150 $5,351,000 $17,763,040 $25,709,760 $102,149,190