HomeMy WebLinkAboutordinance.council.062-77RECORD OF PROCEEDINGS
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ORDINANCE NO.
(Series of 1977)
AN ORDINANCE REDUCING PRIOR APPROPRIATIONS OF ANTICIPATED
SALES TAX REVENUES TO THE GENEP~AL FUND OF $352,492.00, TO
THE LAND FUND OF $165,548.00; TO THE TRANSPORTATION FUND
OF $165,348.00; AND ~%KING SUPPLEMENTAL APPROPRIATIONS
TO THE GENERAL FUND OF THE AMOUNT OF $432,~33.00, ?0
CAPITAL PROJECTS-ELECTRICAL UNDERGROUNDING IN THE ~OUNT
OF $12,000.00, TO THE LAND FUND IN THE AMOUNT OF $60,000.00,
TO THE CAPITAL PROJECTS FUND-~LL IN THE AMOUNT OF $16,500.00,
?0 THE TRANSPORTATION FUND IN THE AMOUNT OF $159,160.00, TO
TRUST AND AGENCY FUNDS IN THE AMOUNT OF $111,716.00 AND TO
THE DEBT SERVICE FUNDS IN TEE AMOUNT OF $18,36t.00; AND
DECLARING THAT AN EMERGENCY EXISTS REQUIRING I~kNiEDIATE
ENACTMENT
WNEREAS, by virtue of Section 9.12 of the Home Rule Charter,
the City Council may make supplemental appropriations,
JHEREAS, the City Council is advised that certain revenues
and expenditures must be recognized and approved, and be so before
the end of the calendar year,
~OW, THEREFORE, JE IT ORDAINED BY THE CITY COUNCIL O~ THE
CITY OF ASPEN, COLORADO:
Section 1
General Fund
(a) Upon the City Manager's certification that there are
available for appropriation revenues in excess of those
estimated in the budget, %he City Council hereby makes
a supplemental appropriation of prior year unappropriated
revenues of $271,530.00 and of those general fund unappro-
priated revenues on attached Exhibit "A" in the amount of
$160,903.00 for the purposes specified on Exhibit "B" in
the amount of $79,Q41.00.
(b) The revenues in the general fund are hereby reduced
in the amount of $352,~92.00 (City share of County sales
tax).
Section 2
Capital Projects-Electrical Undergrounding
Upon the City Manager's certification that there are
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available for appropriation revenues in excess of those estimated
in the budget, the City Council hereby makes a supplemental
appropriation of prior year unappropriated surplus in the amount
of $12,000.Q0 to the capital projects fund for completion of
electrical undergrounding.
Section 3
Land Fund
(a) Upon the City Manager's certification that there are
available for appropriation revenues in excess of those
estimated in the budget, the City Council hereby makes
a supplemental appropriation in the amount of $60,000.00
from prior year unappropriated surplus of the land fund.
(b) The revenues in the land fund are hereby reduced in
the amount of $165,548.00 (City sales tax 6th penny),
resulting in a budget change in the fund balance of ($105,348).
Section 4
Capital Projects Fund-~all
Upon the City Manager'3 certification that there are avail-
able for appropriation revenues in excess of those estimated in
the budget, the City Council hereby makes a supplemental appro-
priation of prior year unappropriated surplus in the amount of
$16,500.90 for completion of the public mall.
Section 5
Transportation Fund
(a) Upon the City Manager's certification that there are
available for appropriation revenues in excess of those
estimated in the budget, the City Council hereby makes a
supplemental appropriation of $107,000.00 from prior year
unappropriated surplus, and $42,500.00 received in settle-
~ent from MiniBus, and $9,660.00 received from C.E.~.A. grant
for transportation fund salaries.
(b) The revenues in the transportation fund are hereby
reduced in the amount of $165,348.00 (sales tax revenue) and
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the transfer to the 1973 sales tax revenue bond debt service
fund reduced by $18,048.00
Section 6
?rust and Agency Funds
(a) Employee Retirement Fund. Upon the City Manager's
certification that there are available for appropriation
revenues in excess of those estimated in the budget, the
City Council hereby makes a supplemental appropriation
to the Employee Retirement Fund of $20,000.00 for forfeit
of city contributions, $20,000.00 for refund of employee
contributions, $3,300.00 for trustee fees and $1,000.00 for
refund of vested share.
(b) Police Pension Fund. Upon the City Manager's certifi-
cation that there are available for appropriation revenues
in excess of those estimated in the budget, the City Council
hereby makes a supplemental appropriation to the police
pension fund of $20,000.00 for refund of employee contribu-
tions and $550.00 for operating expenditures.
(c) Revenue Sharing. Upon the City Manager's certification
that there are available for appropriation revenues in
excess of those estimated in the budget, the City Council
hereby makes a supplemental appropriation of $46,666.90
from the federal assistance grant and transfers $46,666.00
from the unencumbered balance to the general fund.
Section 7
Debt Service Funds
(a) 1973 Sales Tax Revenue Bond
Debt Service Fund
Upon the City Manager's certification that there are
available for appropriation revenues in excess of those
estimated in the budget, the City Council hereby makes a
supplemental appropriation of the 1973 sales tax revenue
bond debt service fund of $18,948.00 from the land fund
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for payment of bond coupons and principal; and reduces
the appropriation from the transportation fund by $18,048.00.
(b) 1972 Sales Tax Bond
Debt Service Fund
Upon the City Manager'3 certification that there are
available for appropriation revenues in excess of those
estimated in the budget, the City Council hereby makes
a supplemental appropriation to the 1972 sales tax
bonds - debt service fund $313.00 from the land fund
and appropriates $313.00 of the unencumbered balance for
coupon redemption.
Section 8
If any provision of this ordinance or the application
thereof to any person or circumstance is held invalid, such
invalidity shall not affect other provisions or applications
of the ordinance which can be given effect without the invalid
provision or application, and to this end the provisions of this
ordinance are declared to be severable.
Section 9
That it is hereby declared that an emergency exists requir-
ing the immediate adoption of this ordinance inasmuch as all
budget ordinances for 1977 revenues or expenditures must be fully
approved by the City's governing body before the end of this
calendar year; that this ordinance be approved only by the unanimous
vote of councilmen present or a vote of five councilmen, whichever
is less; that this ordinance be passed at two meetings of council;
that neither a public hearing nor first publication be required;
that this ordinance be published within ten (10) days after final
passage, and that it take effect upon final passage.
2NTRODUCED ?I~D READ by the Aspen City Council at its regular
meeting held Monday, December 12, 19/7'~. >
/Stacy/Standley III
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RECORD OF PROCEEDINGS
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ATTEST:
Kathryn ~ i~auter
City Clerk
READ, ii~INALLY ADOPTED, PASSED AND APPROVED and ordered
published by the Aspen City Council o~~~/~ /'~ ,
Stacy S~ndley III
Mayor/
ATTEST:
1977.
City Clerk
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GENERAL FUND REVENUES
Revenue Sharing ?ransfer
Cigarette tax
Franchise taxes
Liquor Occupation tax
Dog licenses
Construction permits
Excavation permits
Grants-Police
Anti-Recession Grant
CETA Grants
Highway users tax
Motor vehicle registration
Pitkin County road and bridge
Air Pollution Grant
Subdivision exemption fees
Plan check fees
Vehicle registration fee
Voter registration lists
Business license lists
Iselin court fees
Arts and crafts fees
Ballet fees
Gymnastics fees
Karate fees
Swimming fees
Tennis fees
Theatre fees
Skin diving
Basketball OTA fees
Flag football
Hiking and playground
Soccer fees
Softball fees - ladies
Softball fees - men
Additional pool activities
Golf tourney
County court fines
Towing fines - impounded
Towing fines - not impounded
Interest income
Court bonds - forfeited
General Fund Revenues Total
$46,666
5,000
22,000
5,000
600
(5,000)
500
13,648
37,000
6,000
3,000
3,000
5,000
2,400
750
10,000
200
200
20
500
1,500
350
84
200
210
140
100
75
130
85
140
2,140
10
2,260
2,000
500
2,500
(10,000)
(5,000)
6,895
100
$160,903
EXHIBIT A
RECORD OF PROCEEDINGS
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GENERAL FUND EXPENDITURES
City Council
Auditing $ 500
Cloud Seeding 1,124
Rugby Club Contribution 1,700
Mid Census Report 5,000
Aspen Volunteer Fire Dept.
(Extra Contribution) 1,000
City Manager
~]rantsperson
Planning - Expense of Developing
Point Building Permit Allocation
System (funded by COG-701 Grant) 4,000
Redstone Plat (Co. only
project) 1,812
City Attorney
Holland & Hart
Environmental Health
Air pollution project
(funded by grant)
Recreation Activities
(additional revenues of
$10,424)
Park Maintenance
General Fund Expenditures Total
9,324
5,000
5,812
6,500
2,400
26,229
24,676
$79,941
EXHIBIT B
RECORD OF PROCEEDINGS
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STATE OF COLORADO )
) ss
COUNTY OF PITKIN )
CERTIFICATE
I, Kathryn S. Hauter, City Clerk of Aspen, Colorado,
do hereby certify that the above and foregoing ordinance was
introduced, read in full, and passed on ~7~
reading at a regular meeting of the City Council of the
City of Aspen on ~ ?~ , 197 ? , and publish-
ed in the Aspen Times a weekly newspaper of general circul-
ation, published in the City of Aspen, Colorado, in its
issue of /t~L~c~ ~g~ , 1977 , and was finally adopted
and approved at a regular meeting of the city Council on
~~/ /~ , 197_7 , and ordered published as
Ordinance No. ~__
provided by law.
, Series of 197_7 , of said City, as
IN WITNESS WHEREOF, I have hereunto set my hand and
the seal of said City of Aspen, Colorado, this j/.~L~
day of ~ , 197 ~ .
Kathryn S~Hauter, City Clerk