Loading...
HomeMy WebLinkAboutresolution.council.092-20 RESOLUTION NO. 92 (SERIES OF 2020) A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ASPEN, COLORADO ADOPTING THE 2021 MUNICIPAL BUDGET AND AUTHORIZING APPROPRIATIONS PURSUANT THERE TO WHEREAS,the City Manager,designated by Charter to prepare the budget,has prepared and submitted to the Mayor and City Council the annual budget for the City of Aspen, Colorado for the fiscal year beginning January 1, 2021 and ending December 31, 2021; and WHEREAS, in accordance with Section 9.8 of the Home Rule Charter, the Council shall adopt the budget by resolution on or before the final day established by law as December 15th for certification of the ensuing year's tax levy to the county; and WHEREAS, Article 9 of the Aspen Home Rule Charter requires the adoption of an annual budget with the opportunity for the public to participate at a public hearing at least 15 days prior to the statutory deadline for certification of the ensuing year's tax levy to the county, it is the intent of the Council by adoption of this budget to follow the requirements of City Charter; and WHEREAS, the budget as submitted in Exhibit A sets forth the amount to be appropriated for expenditure, and estimated revenues, for each accounting fund for the calendar year of 2021, NOW THEREFORE, be it resolved by City Council, that the budget for the City of Aspen, Colorado for fiscal year 2021,attach hereto as Exhibit A and incorporated herein by this reference, is hereby adopted. All constituted appropriations amounting to $168,013,808, and estimated revenues amounting to $136,886,998, are hereby declared to be sufficient and necessary to pay the expenses and certain indebtedness, and provide for a reasonable fund balance at the close of the fiscal year beginning January 1, 2021 and ending December 31,2021, as required pursuant to 29-1-103 (2), C.R.S. Adopted this 24th, day of November 2020 767� Torre, Mayor I,Nicole Henning, duly appointed and acting City Clerk of the City of Aspen, Colorado, do hereby certify that the foregoing is a true and accurate copy of the Resolution adopted by the City Council at its meeting held on the 24th day of November 2020. r • Nicole Henning, ity Clerk Exhibit A: City of Aspen 2021 Appropriation by Fund Opening Ending Fund Name Balance Revenues Expenditures Balance 001-General Fund $21,684,034 $35,886,705 $36,831,720 $20,739,019 100-Parks and Open Space Fund $6,330,884 $11,990,820 $13,559,500 $4,762,204 120-Wheeler Opera House Fund $28,503,094 $4,788,700 $6,344,570 $26,947,224 130-Tourism Promotion Fund $22,978 $2,412,750 $2,412,750 $22,978 131-Public Education Fund $0 $2,547,000 $2,547,000 $0 132-REMP Fund $3,108,990 $816,000 $1,586,700 $2,338,290 141-Transportation Fund $9,368,619 $4,938,270 $4,641,700 $9,665,189 150-Housing Development Fund $35,909,334 $18,984,800 $42,718,690 $12,175,444 152-Kids First Fund $4,866,062 $1,994,345 $2,603,640 $4,256,767 160-Stormwater Fund $1,868,784 $1,588,000 $1,405,620 $2,051,164 250-Debt Service Fund $245,270 $6,135,568 $6,134,568 $246,270 000-Asset Management Plan Fund $29,441,463 $4,675,700 $6,234,750 $27,882,413 421-Water Utility Fund $4,859,292 $10,337,730 $11,696,840 $3,500,182 431-Electric Utility Fund $2,505,661 $10,614,640 $10,442,050 $2,678,251 451-Parking Fund $1,598,578 $4,007,830 $4,273,270 $1,333,138 471-Golf Course Fund $759,753 $2,242,040 $2,324,870 $676,923 491-Truscott I Housing Fund $595,017 $1,321,250 $1,595,410 $320,857 492-Marolt Housing Fund $1,069,517 $852,500 $1,476,400 $445,617 501-Employee Benefits Fund $3,471,129 $5,980,400 $6,295,700 $3,155,829 505-Employee Housing Fund $3,727,393 $2,697,900 $436,410 $5,988,883 510-Information Technology Fund $831,706 $2,074,050 $2,451,650 $454,106 $0 Total Gross Appropriations $160,767,558 $136,886,998 $168,013,808 $129,640,748 ($27,054,440) ($27,054,440) Total Net Appropriations $109,832,558 $140,959,368