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HomeMy WebLinkAboutordinance.council.051-88 ORDINANCE NO. ~/ (Series of 1988) AN ORDINANCE RECOGNIZING GENERAL FUND REVENUES OF $119,700; APPROPRIATING GENERAL FUND EXPENDITURES OF $211,454; REDUCING GENERAL FUND EXPENDITURES OF $49,600; RECLASSIFYING PREVIOUSLY APPROVED EXPENDITURES WITHIN THE GENERAL FUND OF $11,315; TRANSFERRING $49,600 FROM THE GENERAL FUND TO THE WHEELER TRANSFER TAX FUND; TRANSFERRING $358,000 FROM THE GENERAL FUND TO THE PARKING IMPROVEMENT CAPITAL PROJECT FUND; RECOGNIZING LAND FUND REVENUES OF $187,000; APPROPRIATING LAND FUND EXPENDITURES OF $34,000; TRANSFERRING $20,000 FROM THE LAND FUND TO THE GENERAL FUND; RECOGNIZING WHEELER TRANSFER TAX FUND REVENUES OF $10,000; APPROPRIATING WHEELER TRANSFER TAX FUND EXPENDITURES OF $59,600; APPROPRIATING 1985 SALES TAX REFUNDING REVENUE DEBT SERVICE FUND EXPENDITURES OF $1,000; RECOGNIZING GALENA STREET CAPITAL IMPROVEMENT PROJECT FUND REVENUES OF $11,000; APPROPRIATING GALENA STREET CAPITAL IMPROVEMENT PROJECT FUND EXPENDITURES OF $11,000; APPROPRIATING PARKING IMPROVEMENT CAPITAL PROJECT FUND EXPENDITURES OF $358,000; RECOGNIZING 1988 UNDERGROUNDING DISTRICT CAPITAL PROJECT FUND REVENUES OF 280,000; APPROPRIATING 1988 UNDERGROUNDING DISTRICT CAPITAL PROJECT FUND EXPENDITURES OF $330,000; TRANSFERRING $30,000 FROM THE 1988 UNDERGROUNDING DISTRICT CAPITAL PROJECT FUND TO THE 1988 UNDERGROUNDING DISTRICT DEBT SERVICE FUND; APPROPRIATING WATER FUND EXPENSES OF $19,000; RECOGNIZING ELECTRIC FUND REVENUES OF $16,000; APPROPRIATING ELECTRIC FUND EXPENSES OF $32,700; REDUCING ELECTRIC FUND EXPENSES OF $310,000; TRANSFERRING $80 ,000 FROM THE ELECTRIC FUND TO THE 1988 UNDERGROUNDING DISTRICT CAPITAL PROJECTS FUND; APPROPRIATING RUEDI FUND EXPENSES OF $140,000; RECOGNIZING ASPEN/PITKIN WATER TRUST FUND REVENUES OF $20,000; 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; Land Fund; Wheeler Transfer Tax Fund; 1985 Sales Tax Refunding Revenue Debt Service Fund; 1988 Undergrounding District Debt Service Fund; Galena Street Capital Improvement Project Fund; Parking Improvement Capital Project Fund; 1988 Undergrounding District Capital Project Fund; Water Fund; Electric Fund; Ruedi Fund; and Aspen/Pitkin Water Trust 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, Land Fund, Wheeler Transfer Tax Fund, 1985 Sales Tax Refunding Revenue Debt Service Fund, 1988 Undergrounding District Debt Service Fund, Galena Street Capital Improvement Project Fund, Parking Improvement Capital Project Fund, 1988 Undergrounding District Capital Project Fund, Water Fund, Electric Fund, Ruedi Fund, and Aspen/Pitkin Water Trust 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 hearin~ on the ordinance shall be held on the /~4~ day of ~ , 1988, at 5:00 p.m. in the City Council Chamber, Aspen City Hall, Aspen, Colorado. INTRODUCED, READ AM 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,_~~-4';~-~ ~ , 1988. William Stirling, Mayor ATTEST: Kathryn Koch, City Clerk FINALLY adopted, passed and approved on the /~day of William Stirling, Mayor ATTE ST: EXHIBIT "A" GENERAL FUND Revenues City Manager CCLC Administration (10,000) (Accounting Entry) City Clerk Xerox Charge Outs (32,000) (Accounting Entry) City Attorney Settlement (13,700) Building Building Permits (22,000) (Increased Activity) Finance Property Tax Agent Fees (7,000) (Accounting Entry) Interest Income (12,000) Police CCLC - Mall Patrol (10,000) (Accounting Entry) Streets Dept Charge Outs (3,000) (Accounting Entry) Recreation Tennis (2,000) (Increased Activity) Day Care (8,000) (Increased Activity) Total Revenues (119,700) Exhibit "A" cont. GENERAL FUND Expenditures Contributions Coors Classic 1,300 Arts Contribution (49,600) (Accounting Entry) City Council Reclassify Contingency (11,315) Funds Council Chamber Chairs 500 (Contingency Fund) Commercial Core and Lodging Commission Administrative Expense 20,000 (Accounting Entry) City Manager Personnel 1,200 (Cafeteria Benefit Plan) Wages 8,500 (Accounting Entry) City Hall 17,000 City Clerk Xerox Charge Outs 32,000 (Accounting Entry) Election Advertising 600 (Contingency Fund) City Attorney Operating Expense 13,700 Finance Professional Fees - 7,000 Property Tax (Accounting Entry) Professional Fees 3,000 (Debt Service Admin.) Printing and Publishing 2,000 (1989 Budget document) Exhibit "A" cont. GENERAL FUND Planning Printing and Publishing 3,000 (Dept Request) Engineering Independence Pass 300 (Contingency Fund) Building Operating Expenses 22,000 (Increased Activity) Housing Enforcement Program 9,915 (Contingency Fund) 1987 Housing Survey 4,154 Municipal Court Printing 3,500 (Parking Tickets) Streets Vehicle Maintenance 3,000 (Accounting Entry) Parks Water Meters 20,000 Data Processing Maintenance Contract 5,100 (Increased Activity) Recreation Tennis 2,000 Day Care 8,000 Capital Improvement Projects Snow melt project 10,000 (Dept Request) Parking Structure 25,000 (Correct Ordinance 29) Total Expenditures 161,854 Exhibit "A" cont. GENERAL FUND Transfers To Wheeler Transfer Tax Fund 49,600 (Accounting Entry) To Parking Improvement 358,000 Capital Project Fund (Rio Grande Parking Structure) From Land Fund (20,000) (Water Meters/Parks Dept) 387,600 Total Transfers LAND FUND Revenues Sales Tax (148,000) (Accounting Entry) Contributions (4,000) (PCPA) Red Roof (35,000) (Rent) (187,000) Total Revenues .... Expenditures Red Roof 30,000 Easements 4,000 (PCPA Contributions) Total Expenditures 34,000 Transfers To General Fund 20,000 (Water Meters/Parks Dept) Total Transfers 20,000 Exhibit "A" cont. WHEELER TRANSFER TAX FUND Revenues Concessions (10,000) (Increased Activity) (10,000) Total Revenues Expenditures Contributions 49,600 (Accounting Entry) Concessions 10,000 (Increased Activity) Total Expenditures 59,600 Transfers From General Fund (49,600) (Accounting Entry) (49,600) Total Transfers 1985 SALES TAX REFUNDING REVENUE DEBT SERVICE FUND Expenditures Professional Fees 1,000 (Debt Service Admin.) Total Expenditures 1,000 1988 UNDERGROUNDING DISTRICT DEBT SERVICE FUND Transfers From the 1988 Undergrounding District Capital Project Fund (30,000) (Accounting Entry) Total Transfers (30,000) GALENA STREET CAPITAL IMPROVEMENT PROJECT FUND Revenues Citizen Contributions 11,000 Total Revenues 11,000 Exhibit "A" cont. GALENA STREET CAPITAL IMPROVEMENT PROJECT FUND Expenditures Construction Fees 11,000 Total Expenditures 11,000 PARKING IMPROVEMENT CAPITAL PROJECT FUND Expenditures Rio Grande Parking Structure 358,000 Total Expenditures 358,000 Transfers From General Fund (358,000) (Rio Grande Parking Structure) (358,000) Total Transfers 1988 UNDERGROUNDING DISTRICT CAPITAL PROJECT FUND Revenues Bond Proceeds (280,000) (Accounting Entry) Total Revenues (280,000) Expenditures Construction expense 330,000 (Accounting Entry) Total Expenditures 330,000 Transfers From Electric Fund (80,000) (Accounting Entry) To 1988 Electric Undergrounding Debt Service Fund 30,000 (Accounting Entry) Total Transfers (50,000) Exhibit "A" cont. WATER FUND Expenses Vacation and sick Time 19,000 (Accounting Entry) 19,000 Total Expenses ====== ELECTRIC FUND Revenues (16,000) Ruedi Participation (16,000) Total Revenues ====== Expenses Galena Street improvement 9,700 District Vacation and sick Time 19,000 (Accounting Entry) Undergrounding District (310,000) (Accounting Entry) Overtime 4,000 (Dept Request) (277,300) Total Expenses ======= Transfers To 1988 undergrounding District Capital Project Fund 80,000 (Accounting Entry) 80,000 Total Transfers ====== RUEDI FUND Expenses Profit Distribution 140,000 140,000 Total Expenses ======= Exhibit "A" cont. ASPEN/PITKIN WATER TRUST FUND Revenues Contributions 20,000 Total Revenues 20,000