HomeMy WebLinkAboutordinance.council.048-82 RECORD OF PROCEEDINGS 100 Leaves
ORDINANCE NO. ~
(Series of 1982)
AN ORDINANCE APPROPRIATING GENERAL FUND EXPENDITURES OF $193,877
RECOGNIZING GENERAL FUND REVENUES OF $53,500; TRANSFERRING $9,000
FROM THE GENERAL FUND TO THE ICE GARDEN FUND; APPROPRIATING ICE
GARDEN FUND EXPENDITURES ~ OF $9,000; RECOGNIZING
GOLF COURSE FUND REVENUES OF $600; APPROPRIATING ICE GARDEN FUND
EXPENDITURES OF $600; RECOGNIZING REVENUE SHARING FUND REVENUES OF
$3,600; TRANSFERRING $3,600 FROM THE REVENUE SHARING FUND TO THE
GENERAL FUND; RECOGNIZING WATER MANAGEMENT PLAN (1981 BOND)
REVENUES OF $160,000; APPROPRIATING WATER MANAGEMENT PLAN (1981
BOND) EXPENDITURES OF $160,000; RECOGNIZING WATER MANAGEMENT PLAN
(1982 BOND) REVENUES OF $6,350,000; APPROPRIATING WATER MANAGEMENT
PLAN (1982 BOND) EXPENDITURES OF $2,314,600; APPROPRIATING LAND
FUND EXPENDITURES OF $61,400; TRANSFERRING $6,000 FROM THE LAND
FUND TO THE GENERAL FUND; RECOGNIZING ELECTRIC FUND REVENUES OF
$206,000; APPROPRIATING ELECTRIC FUND EXPENDITURES OF $189,800;
AND TRANSFERRING $6,180 FROM THE ELECTRIC FUND TO THE ASSET
REPLACEMENT 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 in the General Fund, Land
Fund, Electric Fund, Ice Garden Fund, Golf Course Fund, Revenue
Sharing Fund, Water Management Plan Fund (1981 Bond), and the
Water Management Plan Fund (1982 Bond); and
WHEREAS, the City Council is advised that certain revenues
and expenditures must be recognized and 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, Electric Fund, Ice Garden Fund, Golf Course Fund,
Revenue Sharing Fund, Water Management Plan Fund (1981 Bond), and
the Water Management Plan Fund (1982 Bond), the City Council here-
by makes supplemental appropriations as itemized in Exhibit "A"
attached.
RECORD OF PROCEEDINGS 100 Leaves
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 portions thereof.
Section 3
A public hearing on the ordinance shall be held on the~
day of ~ , 1982, in the City Council
/
Chambers, 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.~ /9 / , 1982.
-~ -~ '~ Susan E. Michael,?Mayor Pro Tem
ATTEST:
Kathryn S~Koch, City Clerk
FINALLY adopted, passed and approved this ~ day of
/~ , 1982.
.: Herman Edel, Mayor
~TTEST:
Ka~hr~n S/Koch, City Clerk
E X H I B I T A (Contd,)
ICE GARDEN FUND
tkpenditures
Garden Lights $ 9,000
Transfers
Frc~ General Fund $ 9,000
Revenues
In Kind Contribution-FiAA $ 240
In Kind Contribution-Rugby Club 360
Total Revenues $ 600
Expenditures
In Kind Contribution-~AA $ 240
In Kind Contribution-Rugby Club 360
Total Expenditures $ 600
Revenues
Additional 1982 Revenue Sh~ring $ 3,600
Transfers
To General Fund $ 3,600
MANAG~4ENT PLAN (1981 Bond)
P~venues
1981 Water Manag~_nt Plan Bond Proceeds . $160,000
Expenditures
Knollwood Pump Station $110,900
Completion of 1981 Projects 50,000
Total Expenditures 1~, 000
~i'~R MA~A~ PLAN (1982 Bond)
Revenues
1982 Water Management Plan Bond Proceeds $6,300,000
Accrued Interest 50,000
Total Revenues $6,350,000'
Expenditures
MBIA Insurance Pre,milan $ 130,000
Kirchner & Moore 138,600
Other Issue Costs 12,000
Accrued Debt Service - 5 months 350,000
1982 Projects 1,684,000
Total Expenditures $2,314,600
ilxpenditures
Calf Pro Shop Construction $60,000
Architects for Pro Shop-during Constr. (Hagman-Yaw) 1,400
Total Expenditures $61,400
Transfers
To General Fund - City Hall Wall $ 6,000
-2-
E X H I B I T A (Contd.
Revenues
Residential Sales $109,900
C~'~rcial Sales 87,000
Interdepartmental Sales 10,000
?oral Revenues $206,000
Expenditures
Legal Fees for Public Service Co. Rate Case $ 4,800
Fo~n Gaskets 3,000
Electric Undergrounding 7,000
Purchased Power 175,000
Total Expenditures $189,800
Transfers
l.To Asset Replacement Fund $ 6,180
Transfers .
Frcm Electric Fund $ 6,180
-3-
RECORD OF PROCEEDINGS 100 Leaves
~ A .~. ,~ OF CERTIF/'CATE
C'}UNTY OF P£TKIN
I, Kathryn S. Koch, Ci. ty Clerk of Aspen, Colorado,
do hereby certify that the above and foregoing ordinance was
ln~oeuce~., read in ~:ull, and passed on
readinc at ~ regular meeting of the City ~ou~il o'{ the
in tho Aspen Times a weekly newspaper of general circul-
ation, published in ~he City ef Aspen, Colorado, in its
issue of ~_~ .... , 19.~ and was finally adopted
and appreved at a regular meeting of the City Council on
~ ...... ce .... , Series of !9 of said City, as
provided by
IN V/gNESS WNEREOF, I have hereunto set my hand and
tha se~l of said C~hy of Aspe:l, ~oluz~do, this
..... y of
EXHIBIT A
Revenues
Planning - Professional Fees (County Only) $ 3,500
Building - City Share of Revenues 30,000
G & A - F.I.C.A. Refunds 20,000
Total Revenues $53,500
Expenditures
City Council - Audit $12,227
Soccer club (Water Soccer Field) 2,200
MAA Cash Cc~tribution 5,000
Aspen Institute Cash Contribution 5,000
$24,~27
CCLC - Rubey Park Improvements $28,250
Flowers-Matching Project 2, O00
Mallstream Bridges (1/2) 6,500
Children ' s Festival 1,000
Professional Fees - Gage Davis 5,000
$42,750
Engineering - S~nuggler M~er Plan Study $20,000
Parks - City Hall Wall Repair $ 6,000
Mallstream Bridges (1/2) 6,500
$12,500
Planning - Professional Fees (County Only) $ 3,500
G & A - F.I.C.A Refunds-Consulting Fees $ 5,000
F. I .C.A Refunds 10, O00
$15,000
Streets - Street Overlays (Phase I of Capitol
Improvement Program) $71,000
City Manager - ~ployee Assistance Program $ 4,700
Total Expenditures $~193,877
Transfers
To Ice Garden (Lights) $ 9,000
Frcm Land Fund (Wall) $ 6,000
Frcm Revenue Sharing Fund $ 3,600