HomeMy WebLinkAboutordinance.council.032-01 ORDINANCE #32
Series of 2001
AN ORDINANCE APPROPRIATING GNERAL FUND EXPENDITURES OF $2,081,479;
APPROPRIATING ELECTRIC FUND EXPENDITURES OF $477,178; APPROPRIATING
GOLF FUND EXPENDITURES OF $21,429; APPROPRIATING PARKING/GARAGE FUND
EXPENDITURES OF $135,070; APPROPRIATING PARKS FUND EXPENDITURES OF
$623,952; APPROPRIATING TRANSPORTATION FUND EXPENDITURES OF $511,378;
APPROPRIATING WATER FUND EXPENDITURES OF $ 814,031; APPRPRIATING
WHEELER FUND EXPENDITURES OF $549,526; APPROPRIATING DAYCARE FUND
EXPENDITURES OF $139,341
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 unapprorpiated current year
revenues and/or unappropriated prior year fund balance available for appropriation in the general
fund, affordable housing/daycare fund, electric fund, golf fund, parking/garage fund, parks fund,
transportation fund, water fund and Wheeler fired; and
WHEREAS, the City Council is advised that certain expenditures, revenues and transfer
must be approved.
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF
ASPEN, COLORADO:
Section 1
Upon the City Manager Certification that there are current yeare revenues and/or prior year fund
balance available for appropriation in the general fund, affordable housing/daycare fund, electric
fund, golf fund, parking/garage fund, parks fund, transportation fired, water fund and Wheeler fund;
the City Council hereby makes supplemental appropriations as itemized in Exhibits 1 and 2.
Section 2
That if any section, subsection, sentence, clause, phrase or portion of this ordinance is for any
reason held invalid or unconstitutional in a court of competent jurisdiction, such portion shall be
deemed a separate, distinct and independent provision and shall not affect the validity of the
remaining portions thereof.
Section 3
A public hearing on this ordinance will be held on August 27, 2001, at 5:00 p:m. in the City
Council Chambers, Aspen City hall, Aspen, Colorado
INTRODUCED, READ AND ORDERED published as provided by law by the City
Council at its regular meeting held August 13, 2001.
ATTEST:
City Clerk
FINALLY adopted and ordered published this 27th day of August 2001.
AT14EST:
EXHIBIT 1
ITEMS NOT YET PRESENTED TO COUNCIL
GENERAL FUND SAVINGS CARRYFORWARD
The City permits departments to retain 50% of unused budgeted amounts into next year's
budget; Tins promotmn of" sawngs ' as opposed to the traditmnal "use it or lose it"
Philosophy has proven to be a very effective budget control. In addition 10% is retained
under the City Managers office to be used for City wide Contingencies (Central Savings).
Some departments have remaining carry forward, from the previous y~ars, included in the
araount below. Departments, concerned' about the future, have spent a relatively small
portion of previous years savings carry forward.
PREVIOUS 2001 CARRY
CARRYFORWARD. FORWARD
Attorney 00109-09000-88900 $ 17,673 $ 4,720
Building Maintenance 00191-55100-88900 4,295 3,981
Asset Managemem 00191-55100-88900 0 2,941
City Clerk 00107-07000-88900 27,455 '14,586
City Manager 00105-05000-88900 16,016 t 4,187
Comm Dev 00113-13000-88900 14,401 9,960
Infor. Systems 00161-61000-88900 32,924 0
Env. Health 00125.25500~88900 18,107 24,928
Finance 00111-1 t000-88900 94,972 22,986
Ice Garden 00174-74000-88900 41,941 6,039
Police 00131-31000-88900 75,920 20,687
Streets 00141-41000-88900 57,057 0
Managers Savings 00105-05000-88901 128,257 25,003
TOTAL $529,018 $150,017
4
ELECTRIC FUND
$92,178 Savings Carry Forward:
Dep~ment 43145-45000-88900 $ 78,370
City Manager ~ 43145-45000-88901 $13,808
$38~,000 Asset Management Plan Carry Forward.
GOLF FUND
$14~474 Savings Carry Forward
Department 47173-73000-88900 $ 9,435
City Manager. 47173-73000-88901 $ 5,039 ·.
$6,955 Asset Management Plan Carry Forward.
PARKING/GARAGE . .
$51,951 Savings Carry Forward .
Department 14054-54000-88900 $ 43,149
City Manager 14054-54000-88901 $. 8,802
$83,1.19 Asset Management Plan Carry Forward.
PARKS FUND
$13,i 16 Savings Carry Forward.
Department 10055-55000-88900 $ I3,116
$498,836 Asset Management Plan Carry Fo[ward.
TRANSPORTATION FUND' '
$262,712 Savings CarryForward
Department 45032-32000-88900 $ 209,075
City Manager 45032-32000-88901 $ 53,637
$198,666 Assei Management Plan Carry Forward.
6
GENERAL FUND AMP CARRY FORWARD
Various Departments - Asset Management Plan (AMP). c~-'ry fo~'ward is comprised of
those projects that were not completed in 2000. There was $ 5,040,607 budgeted in AMP
for 2000 of which $3,917,638 was expended. In Order to complete projects and / or to
purchase necessary equipment, departments have requested $1,122,969 to be carried
forward into'2001. Below is a recap oft.he AMP carryforward requests.
Asset Management $100,493
Animal Shelter 469,432
City Clerk 65,000
Ice Garden Projects 14,487
Recreation Projects 142,740
Engineering 159,048
Yellow Br~ek 78,489
Streets 9,604
Env. Health 3,665
I - Network 32,61.6
Comm. Development 47,395
TOTAL $1,122,969
WATER FUND
.$111,596 Savings Carry Forward
Department 42143-43000-88900 $ 93,853
City Manger 42T43-43000-$8901 $ ~7,743
$702,435 Asset Management Plan Carry Forward
DAY CARE .FUND.,
$5,956 Sa~ings Carry Forward
Department 15024-24000~$8900 $ 5,956
WHEELER FUND
$43,181 Savings Carry Forward
Deparrmem 12093-93000-88900 $35,665
City Manger 12093-93000-88901 $ 7,157
$506,345 Asset Management Carry Forward.
ACCOUNTS.THAT NEED TO BE 'CARRIED FORWARD AT 100%
$ 5,000 for Environmental Hardship Grants. $ 4,000 for Environmental GIS Grant.
$ 20,000 for Workers Compensation Contingency. $107,042 for the Lottery which is
state mandated. $19,671 for payout to Environmental Health for employee that was
employed by City/CoUnty. $117,803 for various Community Development Projects that
were not completed in 2000.
Environmental Health 00125-25600-82900 $ 5,000
Environmental Health 00125-25500~82902 4,000
Environmental Health 00125-25800-g0012 19,671
Community Developmem 00125-13200~8x:~ 117,803
Finance 00111 - 11000-80069 20,000
Lottery 00175-51800-83900 107,00Q
TOTAL $ 273,474'
DAYCARE FUND; GRANTS CARRY FORW.4JtD
$ 900 for. Wildwood School-Daycare, $ 5,292 for Providers Network, $ 98,704 for
Tuition Assistant Pool, $1,172 for Technical Assistant, $ 950 for Early Childhood
Center.
Wildwood School - Daycare 15024-24100-84708 $ 900
Providers Network 15024-24100-84711 5,292
Tuition Assistant Pool 15024.24100-84712 98,704
Technical Assistant 15024-24100-84714 1,172
Early Childhood Center 15024-24100-84715 950
TOTAL $107,018
REQUEST FOR FUNDS PREAPPROVED BY COUNCIL
$ 26,367 for the Daycare Fund ( Roaring Fork Kids ). $ 6,000 for Asset Management
( Air Conditioners ). $ 50,000 for Transportation/Parking Fund, ( LSC Transportation
ConSUltants, Inc ), $100,000 for Parks Fund ( Castle.Creek Bridge ), $12,000 for Parks
Fund (Cozy Pohat ).
ONE-TIME Previous. Council
Approval
Daycare Fund 15024.24100-84713 $ 26,367 Yes
Asset Management 00191-81001-86000 6,000 Yes
Transportation/Parking 13000-19010-82000 50,000 Yes
Parks 10094-82005-86000 100,000 Yes
Parks 10094-81014-86000 12,000 Yes
TOTAL $194,367