HomeMy WebLinkAboutordinance.council.039-02 ORDINANCE NO. 39
(Series of 2002)
AN ORDINANCE APPROPRIATING' AN INCREASE IN GENERAL FUND
EXPENDITURES OF $958,862; AN INCREASE IN ASSET MANAGEMENT PLAN-
GENERAL FUND EXPENDITURES OF $985,816; A DECREASE IN THE PARKS FUND
OF ($502,578); AN INCREASE IN THE PARKS OPEN SPACE ACQUISITION FUND OF
$791~147; AN INCREASE IN THE WHEELER OPERA HOUSE FUND OF $238,332, AN
INCREASE IN THE LOTTERY - ACRAfREGIONAL TRANSPORTATION FUND OF
$297,366; AN INCREASE IN THE PARKING IMPROVEMENT (GARAGE) FUND OF
$119,146; AN INCREASE IN THE AFFORDABLE HOUSING / DAY CARE FUND OF
$4,347,119; AN INCREASE IN THE WATER FUND OF $1,887,472; A DECREASE IN
THE ELECTRIC FUND OF ($418,635); A DECREASE IN THE RUEDI FUND OF
($161,175); AN INCREASE IN THE TRANSPORTATION FUND OF $254,600, AN
INCREASE IN THE GOLF FUND OF $2,222,427; AN INCREASE IN THE TRUSCOTT
FUND OF $4,163, A DECREASE IN THE MAROLT FUND OF ($39,786),
APPROPRIATIONS AUTHORITY OF $13,751,105 IN THE PARKS CAPITAL
PROJECTS FUND FOR THE ASPEN RECREATION CENTER, WAGNER pARK AND
CEMETERY LANE PHASE I, APPROPRIATIONS AUTHORITY OF $20,998,037 FOR
THE TRUSCOTT HOUSING CAPITAL PROJECTS FUND, APPROPRIATIONS
AUTHORITY OF $4,464,780 FOR THE DEBT SERVICE FUNDS, AND
APPROPRIATIONS AUTHORITY OF $2,000,000 FOR THE CITY OF ASPEN
EMPLOYER HEALTH INSURANCE INTERNAL SERVICE FUND.
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 year fund balance available for appropriation in the
following funds: General Fund, Asset Management Fund-General Fund; Parks Fund, Parks Open
Space Acquisition Fund, Wheeler Opera House Fund, Tourism-ACRA / Regional Transportation
Fund, Parking Improvement (Garage) Fund, Affordable Housing / Day Care Fund, Water Fund,
Electric Fund, Ruedi Fund, Transportation Fund, Golf Fund, Truscott Fund, Marolt Fund, Parks
Capital Facilities Fund, Truscott Capital Facilities Fund, Debt Service Funds, and the City Health
Insurance Internal Service 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 are current year revenues and/or prior year fund
balances available for appropriation in the General Fund, Asset Management Fund-General Fund,
Parks Fund, Parks Open Space Acquisition Fund, Wheeler Opera House Fund, Tourism-ACRA /
Regional Transportation Fund, Parking Improvement (Garage) Fund, Affordable Housing / Day
Care Fund, Water Fund, Electric Fund, Ruedi Fund, Transportation Fund, Golf Fund, Trusc0tt
Fund, Marolt Fund, Parks Capital Facilities Fund, Truscott Capital Facilities Fund, Debt Service
Funds, and the City Health Insurance Internal Service Fund: the City Council hereby makes
supplemental appropriations as itemized in Exhibit 1. Exhibit 2 lists by fund the original 2002
budget appropriations, the supplemental appropriations approved by Council in Ordinance #02-
13, the appropriations requested in this supplemental Ordinance #02-39, and the sum total of all
the budget appropriations for 2002.
Section 2
If any section, subdivision, sentence, clause, phrase, or portion of this ordinance is for any reasor~
invalid or tmconstitutional by any court of competent jurisdiction, such portion shall be deemed a
separate, distinct and independent provision and such holding shall not affect the validity of the
remaining portion thereof.
Section 3
A public hearing on the ordinance shall be held on November 25, 2002 at 5:00 p.m. in the City
Council Chamber, Aspen City Hall, Aspen, Colorado.
INTRODUCED, READ AND ORDERED published as provided by law by the City Council of
the City of Aspen, Aspen, Colorado, at its regular meeting held November 11, 2002.
A x rEST ~ . ..
Ka~hr.-y~ Ko~, ~ity Clerk-
FINALLY, adopted, passed and approved on the 25th clay of November, 2002.
ATTEST:
EXHIBIT ti 1
CITY OF ASPEN, ORDINANCE NO. 39, SERIES OF 2002
SUMMARY OF 2002 BUDGET SUPPLEMENTAL REQUESTS
i FUND BUDGET REQUEST ITEM ONE-TIME ON-GOING FUND TOTAL
:ASSET MGMT PLAN - GENERAL FUND
AMP PROJECT CARRYFORWARDS 706,721 706,721
TRANSFER ADJUSTMENTS (284,300) (284,300)
ASPEN REC. CENTER START-UP-PREAPPROVED 191,975 191,975
ANIMAL SHELTER - PREAPPROVED 321,420 321,420
AMP PROPERTY TAX ADI,/ffN CHARGE 50,000 50,000
I AMP TOTAL $ 935,816 $ 50,000 $ 985~816
,~ENERAL FUND
DEPARTMENTAL OPERATING SAVINGS 915,087 915,087
CITY MANAGER SAVINGS 187,694 187,694
CMTY DEVELOPMENT SPECIAL PROJECTS CWFD 43,349 43,349
CONTRIBUTIONS BUDGET DOUBLED Lrp ACCOUNTS IN 2002 (169,600) (169,600)
PC/WK/EME REPLACEMENT I61,578 161,578
iNSURANCE CLAIMS POOL 34,666 34,666
HEALTH INSURANCE PREMIUM (83,351) (83,351)
CMTY DEVELOPMENT ASPEN CITY - PIP CO SPLIT (8,564) (8,564)
MAROON CREEK ANNEXATION (72,000) (72,000)
TKANSFER TABOR EXCESS TO ARC PROJECT 500,000 500,000
TRANSFER VIA WATER TO ARC 100,000 100,000
CASTLE KIDGE DEBT PAYMENT (716,597) (716,597)
WILDLIFE ENFORCEMENT SUBSIDY TO PARICING 7,500 7,500
TRANSFER TO TRANSPORTATION FOR GF BUS RIDERSHIP COST 19,472 46,107 65,579
HISTORIC PRESERVATION GRANT-PREAPPROVED 8,446 8,446
CITY SHOP MERCHANDISE INVENTORY 10,000 10,000
ENVIRO HEALTH SALARY ADIUSTMENT 20,456 20,456
NEW WEB SUPPORT POSITION - MISSED IN 2002 BUDGET 22,509 22,509
KJAX CONTRIBUTION ADJUSTMENT 20,000 20,000
CITYWIDE ADVERTISING APPROP AUTHORITY 12,944 12,944
WORKERS' COMPENSATION CONTINGENCY (21,632) (21,6321
FiNANCE SALARIES REDUCTION (40,000) (40,0001
FINANCE TRAINING REDUCTION (20,000) (20,00(
HISTORIC PRESERVATION SALARY ADJUSTMENT 30,798 30,798
STREETS MATERIALS REDUCTION (50,000) (50,00(
I TOTAL GENERAL FUND $ 1,935,626 $ (976,764) $ 958,862
t'ARKS FUND
DEPTAL OPERATING & CITY MGR SAVINGS 40,211 40,211
PC/WK/EMR REPLACEMENT (1,060) (1,060]
iNSURANCE CLAIMS POOL 3,036: 3,036
HEALTH INSURANCE PREMIUM (13,670) ( 13,670~
NORDIC CARRYFORWARD 55,895 55,895
OPEN SPACE GF OVERHEAD PORTION SHIFT (128,2211 (128,2211
ISELIN HOUSING MITIGATION OVERBUDGETED (26,000) (2~000)
COZY POiNT DEBT PYMT MADE iN OPEN SPACE (362,8101 (362,810)
AMP PROJECTS AND SALARY REDUCTION (573,057) (573,057)
TIEHACK PEDESTRIAN BRIDGE - BUDGET ALIGNMENT (7 ! ,559~ (71,559
ARC LANDSCAPiNG 150,000 159,000
AMP CARRYFORWARD 424,657 424,657
I TOTAL PARKS FUND $ 70,646 $ (573,2241 I $ (502~578)
WHEELER OPERA HOUSE FUND
DEPTAL OPERATiNG & CITY MGR SAVINGS 91,366 91,366
PC/WICJEMR REPLACEMENT 48,012 48,012
INSURANCE CLAIMS POOL 58 58
HEALTH iNSURANCE PREMIUM 2,558 2,558
BUDGET RE-ALIGNMENT (120,336) (120,336)
ROOF REPLACEMENT - REAPPROPRIATION 67,049 67,049
MOVIE SCREEN ROLLER - REAPPROPRIATION 5,840 5,840
AMP CARRYFORWARD 143,785 143,785
[TOTALWHEELER FUND $ 356,052 $ (117,720 $ 238,332
TOURISM - ACRA / REG TRANSPORTATION FUND
REGIONAL TRANSPORTATION APPROPRIATION 297,366 297,366
[TOTAL TOURISM $ $ 297,366 $ 297,366
FUND BUDGET REQUEST ITEM ONE-TIME ON-GOING FUND TOTAL
PARKING IMPROVEMENT (GARAGE) FUND
DEPTAL OPERATING & CITY MGR SAVINGS 61,6t7 61,617
PC/WK/EMR REPLACEMENT 10,034 10,034
INSURANCE CLAIMS POOL 5,552 5,552
HEALTH INSURANCE PREMIUM 921 921
SALARY REDUCTION (10,955) (10,955)
AMP CARRYFORWARD 51,977 51,977
ITOTAL PARK GARAGE $ 123,628 $ (4,482) $ 119,146
AFFORDABLE HOUSING / DAY CARE FUND
DEPTAL OPERATING & CITY MGR SAVINGS 90,858 90,858
PCAVK/EMR REPLACEMENT 3,562 3,562
INSURANCE CLAIMS POOL (46) (46)
HEALTH INSURANCE PREMHJM 924 924
BUDGET RE-ALIGNMENT (249,533) (249,533)
NEW OLD STAGE ROAD DEVELOPMENT 1,498,354 1,498,354
ZUPANCIS PROPERTY 3,000,000 3,000,000
AMP CARRYFORWARD 3,000 3,000
I TOTALAHDC $ 4,595,774 $ (248,655) $ 4,347,119
WATER FUND
DEPTAL OPERATING & CITY MGR SAVINGS 121,038 121,038
PC/WK/EIvlR REPLACEMENT (7,042) (7,042)
INSURANCE CLAIMS POOL (7,468 (7,468)
HEALTH INSURANCE PREMIUM (6,912) (6,912)
BUDGET RE-ALIGNMENT 34,199 34,199
CUSTOMER REFUNDS-USAGE INCENTIVES 188,000 188,000
TRANSFER TO GENERAL FUND FOR ARC PROJECT 100,000 100,000
MILL STREEET WELL AMP ?ROJECT 215,000 215,000
RED ~ RIGHT-OF-WAY AMP PROJECT-PREAPPROVED 493,000 493,000
MAINLINE REPLACE-TIEHACK PED BRIDGE-MISSED BUDGET 200,000 200,000
CASTLE CREEK HEAD GATE MODIFICATIONS 243,000 243,000
WATERLINE RELOCATION -HWY 82 52,000 52,000
AMP CARRYFORWARD 262,657 262,657
I TOTALWATER $ 1~867,653 $ 19,819 $ 1,887,472
ELECTRIC FUND
DEPTAL OPERATING & CITY MGR SAVINGS 134,188 134,188
PC/WKfEMR REPLACEMENT (4,520) (4,520~
INSURANCE CLAIMS POOL (9,205) (9,20:
HEALTH INSURANCE PREMIUM (2,663) (2,662
PURCHASED POWER PAYMENT REDUCTION (500,000) (500,00(
BUDGET RE-ALIGNMENT (36,435) (36,4351
[ TOTAL ELECTRIC $ 129,668 $ (548,303) $ (418,635]
RUEDI FUND
INSURANCE CLAIMS POOL 7,962 7,962
BUDGET RE-ALIGNMENT (99,137~ (99,137
PROFIT DISTRIBUTION ADJUSTMENT (70,000) (70,00C
] TOTALRUEDI $ $ (161,175~ $ (161,175
TRANSPORTATION / PARKING CONTROL FUND
DEPTAL OPERATING & CITY MGR SAVINGS 136,494 136,494
PC/WK/EMR REPLACEMENT 53,357 53,357
INSURANCE CLAIMS POOL 5,003 5,003
HEALTH INSURANCE PREMIUM 15,612 15,612
BUDGET RE-ALIGNMENT (227,366~ (227,366
ADDITIONAL PAYMT TO RFTA-BUS REPLACEMENT 250,000 250,000
AMP CARRYFORWARD 21,500 21,500
I TOTAL TRANSPORTATION $ 211,351 $ 43,249 $ 254,600
GOLF FUND
DEPTAL OPERATING & CITY MGR SAVINGS 54,142 54,142
PCF~VKfEMR REPLACEMENT 2,428 2,428
INSURANCE CLAIMS POOL 10,985 10,985
HEALTH INSURANCE PREMIUM 9,353 9,353
TRUSCOTT / GOLF LANDSCAPING 200,000 200,000
BONDS AND FUND BALANCE TRANSFER TO TRUSCOTT PROJECT 1,876,819 1,876,819
OVERHEAD ADJUSTMENT 52,000 52,000
AMP CARRYFORWARD 16,700 16,700
I TOTAL GOLF $ 2,150,089 $ 72,338 $ 2,222,427
FUND BUDGET REQUEST ITEM ONE-TIME ON-GOING FUND TOTAL
TRUSCOTT FUND
INSURANCE CLAIMS POOL 854 854
HEALTH iNSURANCE PREMIUM 3,309 3,309
[ TOTAL TRUSCOTT $ $ 4,163 $ 4,163
MAROLT FUND
INSURANCE CLAIMS POOL (1,062) (1,062
HEALTH INSURANCE pREMIUM 6,046 6,046
PHONES / UTILITIES COSTS 12,500 12,500
DEBT PYMT BUDGET ADJUSTMENT (57,270 (57,270)
I TOTAL MAROLT $ $ (39,786 $ (39,786)
PARKS & OPEN SPACE ACQUISITION FUND
COZY POINT DEBT PYMT 362,810 362,810
COZY POINT -GF DEBT PYMT TO GF 400,000 400,000
BUDGET ALIGNMENT (21,663) (21,663
LEGAL FEES COSTS 50,000 50,000
I TOTAL OPEN SPACE $ 450,000 $ 341,147 $ 791z147
PARKS CAPITAL FUND
ASPEN RECREATION CENTER 12,236,105 I2,236,105
WAGENER PARK RESTROOMS 615,000 615,000
CEMETERY LANE - PHASE I 900,000 900,000
I TOTAL PARKS CAPITAL PROJECTS $ 13,751,105 $ $ 13,751,105
TRUSCOTT FACILITIES FUND
HOUSING PROJECT TOTAL FUNDING 20,998,037 20,998,037
I TOTAL TRUSCOTT HOUSING CAPITAL PROJECTS $ 20,998~037 $ $ 20,998,037 ~
DEBT SERVICE FUNDS
1995 GARAGE COP 687,633 687,633
1992 UTE AND 1994 CEMETERY LANE SPECIAL IMPRV DISTRICTS 139,613 139,613
1992 REDBRiCK GO BONDS 364,920 364,920
1993 CITY SHOP GO BONDS 231,935 231,935
1995 COZY POINT COP 362,810 362,810
1999 PARKS SALES TAC REVENUE BONDS 1,043,627 1,043,627
2001 PARKS SALES TAX REVENUE BONDS 863,407 863,407
2001 HOUSING BONDS 770,835 770,835
I TOTAL DEBT SERVICE PYMTS $ $ 4,464~780 $ 4,464,780
CITY HEALTH INSURANCE INTERNAL SERVICE FUND
EMPLOYER COSTS OF INSURANCE PROVISION 2,000,00£ 2,000,00C
[ TOTAL CITY HEALTH INSURANCE COSTS' $ $ 2,000,000 $ 2,000,000
CITYWIDE SUPPLEMENTAL #39 GRAND TOTAL $ 47,575,445 $ 4,622,753$ 52,198,198
CITY OF ASPEN SUMMARY OF 2002 APPROPRIATIONS
ORD. #2002-39, EXHIBIT #2
Orginal 2002 Supplemental Supplemental Final Council
Fund / Department Budget Ord #02-13 & Ord. #02-39 Approved 2002
Resolution Transfers (CWFD & Other) Budget
GENERAL FUND (000-001~
000-Asset Management Plan - General Fund 4,931,922 363,362 985,817 6,281,121
001-General Fund Operating 13,347,507 1,106,292 958,864 15,412,663
TotaJ General Fund Operating and AMP Appropriations $18,279,429 $1,469,674 $1,944,681 $21,693,784
SPECIAL REV FUNDS (fOOs~
100-Parks & Open Space Fund 8,079,417 326,700 (502,578) 7,903,539
120-Wheeler Opera House Fund 2,245,881 41,332 238.322 2,525,535
130-Tourism/Transit Fund 458,273 297,366 755,639
140-Parking Improvement (Garage) 1,399,908 47,157 119,146 1,566,211
150-Affordable Housing Projects/Da¥care Fund 4,600,686 1,025,218 4,347,119 9,973,023
Total Special Revenue Funds Appropriations $16,325,892 $1,898,680 $4,499,375 $22,723,947
DEBT SERVICE FUNDS (20Os) * i
220-1995 Garage COP 687,633 687,633
222-1992 Ute SIP Bonds 139,613 139,613
223-1992 Redbrick GO 364,920 364,920
224-1993 City Shop GO 231,935 231.935
225-1995 Cozy Point COP 362,810 362,810
226-1999 Sales Tx Bond 1,043,627 1,043,627
228-2001 Parks Bonds 863,407 863,407
227-200t Housing Bonds 770,835 770,835
Total Debt Service Fund Appropriations $0 $0.0 $4,464,780 $4,464,780
CAPITAL PROJECTS FUNDS (300s~ *
340-Open Space Funds 3,275,293 (2,083,697) 791,147 1,982,743
~63-Parks and Recreation Facilities Fund 0 250,000 13,751,105 14,001,105
364-Truscett Facilities Fund 0 0 20,998,037 20,998,037
Total Capital Projects Funds Appropriations $3,275,293 ($1,833,697) $35,540,289 $36,981,885
ENTERPRISE FUNDS (400s~
421-Water Fund 7,190,365 (1,563,143) 1,887,472 7,514,694
431-Electric Fund 5,017,887 37,974 (418,635) 4,637,226
444-Ruedi Fund 1,258,199 (161,175) 1,097,024
450-Transportation / Parking Control Fund 2,047,596 1,180,918 254,600 3,483,114
471-Golf Fund 1,081,945 (52,000) 2,222,427 3,252,372
~-91 -Truscott Place Housing Fund 1,663,697 4,163 1,667,860
492-Marolt Housing Fund 942,656 84,500 (39,786) 987,370
Total Enterprise Funds Appropriations $19,202,345 ($311,751) $3,749,066 $22,639,660
ENTERPRISE FUNDS (50Os) *
501-City-Employer Health Insurance ISF 2,000,000 2,000,000
Total City Health Insurance ISF Appropriations $0 $0 $2,000,000 $2,000,000
GRAND TOTAL CI~APpI~OPRIATJ;ONS, **%. ;~;.; .J/ $57,082,959 $1,222,906 $52;198,191 $110¢504,056
GRAND TO~AL;EXC LUDING INTER-F[! ND TRANSFERS * ~ ~:;: ~;~¢;- I $95,308,980
· NOTE ON INTERFUND TRANSFERS: Some appropriations are partly funded by transfers from other City funds, as discussed below:
363 Fund - Of the $13.9 million appropriated to the Parks Capital Projects Fund. $2.170.000 is funded by a transfer from the AMP-GF
and $1,065,477 from a transfer from the General Fund (both of these transfers are reflected in the above total appreoriations figures for
GF and AMP).
364 Fund - Of the $21 million aoareariated to the Truscott Facilities Fund. $5.5 million is funded by transfers: $142.000 from the Parking
Improvement Fund, $142,000 from the Water fund $300.000 from the Golf Fund's fund balance. $1.77 million from the Golf Funo
deriving from proceeds from the 1999 Parks and Open Space Sales Tax Bond Issue. $1.284 million from the Parks Fund for housing unit
purchase and mitigation, and $1.85 million from the Affordable Housing / DayCare Fund. All of these transfers are reflected in
appropriations figures of each rescective fund above.
200s and the 501 Funds - All of the $4.5 million in debt service paymts and $2.0 million in health insurance costs are funded through
transfers from the genersl fund and special revenue funds above and have been excluded as to not duolicate the total expenditures
amounts.
=inance KV 11/06/2002