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HomeMy WebLinkAboutordinance.council.014-88 ORDINANCE NO. /~ (Series of 1988) AN ORDINANCE RECOGNIZING GENERAL FUND REVENUES OF $11,000; APPROPRIATING GENERAL FUND EXPENDITURES OF $418,475; REDUCING GENERAL FUND EXPENDITURES OF $1,400; RECLASSIFYING PREVIOUSLY APPROVED EXPENDITURES WITHIN THE GENERAL FUND OF $23,500; TRANSFERRING $9,400 FROM THE GENERAL FUND TO THE ICE GARDEN FUND; APPROPRIATING LAND FUND EXPENDITURES OF $25,760; RECOGNIZING TRANSPORTATION FUND REVENUES OF $16,000; APPROPRIATING WHEELER TRANSFER TAX FUND EXPENDITURES OF $75,000; RECOGNIZING ASSET REPLACEMENT FUND REVENUES OF $66,000; APPROPRIATING ASSET REPLACEMENT FUND EXPENDITURES OF $206,300; RECOGNIZING GALENA STREET CAPITAL PROJECTS FUND REVENUE OF $391,000; APPROPRIATING GALENA STREET CAPITAL PROJECTS FUND EXPENDITURES OF $391,000; RECOGNIZING ELECTRIC FUND REVENUES OF $400,000; APPROPRIATING ELECTRIC FUND EXPENSES OF $1,172,000; RECOGNIZING WATER FUND REVENUES OF $86,000; APPROPRIATING WATER FUND EXPENSE OF $60,700; APPROPRIATING ICE GARDEN EXPENSE OF $9,400; 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 available for appropriation in the General Fund; Transportation Fund; Asset Replacement Fund; Galena Street Capital Projects Fund; Electric Fund; Ice Garden Fund; and unappropriated prior year fund balance available in the General Fund; Land Fund; Wheeler Transfer Tax Fund; Asset Replacement Fund; Electric Fund; and Water Fund; and WHEREAS, the City Council is advised that certain expendi- tures, revenues 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 available for appropriation in the General Fund, Transportation Fund, Asset Replacement Fund, Galena Street Capital Projects Fund, Electric Fund, Ice Garden Fund, and unappropriated prior year fund balance in the General Fund, Land Fund, Wheeler Transfer Tax Fund, Asset Replacement Fund, Electric Fund, and Water Fund, the City Council hereby makes supplemental appropriations as itemized in Exhibit "A" attached. Section 2 If any section, subsection, sentence, clause, phrase or portion of this ordinance is for any reason held invalid or unconstitutional 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 the //~ day of ~ , 1988, 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, Colorado, at its regular meeting held at the City of Aspen, ~F'~~ ~ , 1988. William Stirling, Mayor ATTEST: Kathryn K~ch' City Clerk FINALLY adopted, passed and approved on the //~day of William Stirling, Mayor ATTEST: Kathryn K~ch, City Clerk E X H I B I T "A" GENERAL FUND Rev enue s City Council Sister Cities (3,000) ( Japan ) CAST Dinner (2,500) (Refund of expenditure) Hadid review (1,500) (Refund of expenditure) Environmental Health State Grant (4,000) (1987 carry forward) Total Revenues (11,000) Expenditures Contributions Coors classic 10,000 (contingency funds) City Council Reclassify contingency funds (23,500) Sister Cities 3,000 (Japan) CAST Dinner 3,000 (contingency- $500 & refund of exp. - $2,500) Hadid review 1,500 (design consultant) AVH contribution 86,000 (1987 carry forward) Friendship races 1,000 (contingency funds) Commercial Core and Lodging Commission Construction fees 18,750 (1987 carry forward and remaining budget) Exhibit "A" cont. GENERAL FUND City Manager City hall improvements 128,000 (1987 carry forward) GRIP 3,000 (1987 carry for.- $1,000 & 88 contingency- $2,000) Computer equipment 4,550 (1987 carry forward) City Clerk Telephones (1,400) (correct budget for Ice Garden) Printing and Publishing 10,000 (contingency funds / code) Finance Computer equipment 4,700 (1987 carry forward) Printing and Publishing 2,500 (1987 carry forward / budget document) Planning Travel reimbursement 1,000 (department request) Printing and publishing-HPC 2,000 (Res. No. 2 series of 88) Professional fees 1,900 (1987 carry forward / code modification) Engineering Ruby park improvements 22,025 (1987 carry forward) Impound lot 4,250 (1987 carry forward) Environmental Health Construction fees 4,000 (1877 carry forward / state grant) Exhibit "A" cont. GENERAL FUND Streets Wages 44,250 (Retirement & reorganization) Streets Flusher 78,500 (1987 savings) Parks Wild flower program 5,200 (1987 carry forward) Data Processing Computer equipment 2,850 (1987 carry forward) Total Expenditures 417,075 Transfers To Ice Garden 9,400 (Fund subsidy) Total Transfers 9,400 LAND FUND Expenditures Parks improvements 5,400 (1987 carry forward) Trails improvements 19,360 (1987 carry forward) Marolt bridge 1,000 (1987 carry forward) Total Expenditures 25,760 TRANSPORTATION FUND Rev e nue s Mall revenues (16,000) (Correct original budget) Total Revenues (16,000) Exhibit "A" cont. WHEELER TRANSFER TAX FUND Expenses Wheeler exterior 75,000 (1987 revenues) Total expenses 75,000 ASSET REPLACEMENT FUND Revenue s Streets - Flusher (63,000) (1987 carry forward / Lease Purchase) Data Processing - Printer (3,000) (Correct Budget for Pitkin County share) Total Revenues (66,000) Expenditures Finance 11,100 (1987 carry forward / misc. receipts system) Engineering 1,200 (1987 carry forward / curb & sidewalk repairs) Streets - Flusher 63,000 (1987 carry forward / Lease Purchase) Date Processing - Printer 125,000 (1987 carry forward / computer upgrade) Data Processing 6,000 (Correct Budget for 1988 Pitkin County share) Total Expenditures 206,300 Exhibit "A" cont. GALENA STREET CAPITAL PROJECTS FUND Revenue s City of Aspen (125,400) Citizen Participation (265,600) Total Revenues (391,000) Expenses Construction fees 391,000 391,000 Total Expenses ~ ELECTRIC FUND Rev enue s Bond Proceeds (400,000) (Undergrounding district) Total Revenues (400,000) Expenses Maroon Creek Hydro 475,800 (1987 carry forward) Undergrounding district 400,000 (88 project) Undergrounding 202,700 (1987 carry forward) Street Lighting 82,300 (1987 carry forward) System materials 6,650 (1987 carry forward / meters) Ruedi professional fees 4,550 (1987 Carry forward) Total Expenses 1,172,000 Exhibit "A" cont. WATER FUND Revenues AVH contribution (86,000) (1987 carry forward - contribution from Gen. Fund) Total Revenues (86,000) Expenses Computer equipment 23,000 (1987 carry forward) Water Management 37,700 (1987 carry forward) Total Expenses 60,700 ICE GARDEN FUND Expenses Maintenance repair 8,000 (department request) Telephone expense 1,400 (reallocate from City clerk) Total Expenses 9,400 Transfers From General Fund (9,400) (Fund subsidy) Total Transfers (9,400)