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HomeMy WebLinkAboutordinance.council.016-00 ORDINANCE NO. 16 (Series of 2000) AN ORDINANCE APPROPRIATING GENERAL FUND EXPENDITURES OF $3,430,961; TRANSFERRING $18,000 FROM GENERAL FUND TO TRANSPORTATION FUND; APPROPRIATING WHEELER FUND EXPENDITURES OF $521,724; APPROPRIATING PARKS & OPEN SPACE FUND EXPENDITURES OF $639,635; TRANSFERRING $20.000 FROM PARKS AND OPEN SPACE FUND TO TRANSPORTATION FUND; APPROPRIATING HOUSlNG/DAYCARE FUND EXPENDITURES OF $835,479; TRANSFERRING $17,500 FROM HOUSlNG//DAYCARE FUND TO THE GENERAL FUND; TRANSFERRING $5,000 FROM HOUSlNG/DAYCARE FUND TO TRANSPORTATION FUND; APPROPRIATING WATER FUND EXPENSES OF $798,951; TRANFERRING $40,000 FROM WATER FUND TO TRANSPORTATION FUND; APPROPRIATING PARKING IMPROVEMENT FUND EXPENDITURES OF $149,353; TRANSFERRING $10,000 FROM THE PARKING IMPROVEMENT FUND TO THE GENERAL FUND; APPROPRIATING ELECTRIC FUND EXPENDITURES OF $390,042; APPROPRIATING TRANSPORTATION/PARKING FUND EXPENDITURES OF $1,132,024; APPROPRIATING GOLF FUND EXPENDITURES OF $83,398; APPROPRIATING RUEDI FUND EXPENDITURES OF $31,831; APPROPRIATING PARKS AND RECREATION BOND FUND EXPENDITURES OF $12,995,973. WHEREAS, by virtt~e 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 General Fund, Parks & Open Space Fund, Wheeler Fund, Housing/Daycare Fund, Water Fund, Parking Improvement Fund, Electric Fund, Transportation/Parking Fund, Golf Fund, Ruedi Fund, and Parks and Recreation Bond Fund. WHEREAS, the City Council is advised that certain expenditures, 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 and/or prior year fund balance available for appropriation in the General Fund, Parks & Open Space Fund, Wheeler Fund, Housing£Daycare Fund, Water Fund, Parking Improvement Fund, Electric Fund, Transportation/Parking Fund, Golf Fund, Ruedi Fund, and Parks and Recreation Bond Fund; the City Council hereby makes supplemental appropriations as itemized in Exhibit "1" and Exhibit "2" attached. Section 2 If any section, subsection, sentence, clause, phrase or portion of this ordinance is for any mason 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 26th of June, 2000 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 it's regular meeting held at the City of Aspen, May 22th, 2000. ~[chel R. Richards, May~ ' ATTEST: : Kathryri KO~, ~ity Clerk 2000. FiNALLY, adopted, passed and approved on the ,:~'" day of.~, Kathryn Koch, ~ity ~lerk 2 EXHIBIT 1 ITEMS NOT YET PRESENTED TO COUNCIL GENERAL FUND Various Departments - Operating savings carry forward, 60% of the remaining unspent budgeted expenditures. 50% is retained by the department and 10% goes to the City Manager's office to be used for City wide contingencies (central savings pool). The 1999 General Fund Savings is $259,481. Some departments have remaining carry forwards, from the five previous years, included in the amount below. Departments, concerned about the future, have spent a relatively small portion of previous years savings carry forward. The savings carry forward below may seem large for a one year period, but over the five year period, it averages about $152,500 per year. City Manager 00105-05000-88900 $ 16,016 City Clerk 00107-07000-88900 27,455 Attorney 00109-09000~88900 17,673 Risk Management 00109-09200-88900 5,492 Finance 00111-11000-88900 94,972 Community Develop 00113-13000~88900 14,401 Engineering 00115-15000-88900 92 Environment Health - City 00125-25500-88900 16,712 Environment Health - Cnty 00125~25700-88900 8,741 Human Resources 00106-06000-88900 305 Police 00131-31000-88900 75,920 Streets 00141-41000-88900 142,346 Information Systems 00161-61000-88900 86,059 Ice Garden 00174-74000-88900 41,941 Building Maintenance 00191-55100-88900 4,295 Manager Savings 00105-05000-88901 209,272 $ 761,692 Various Departments - Accounts that need to be carried forward at 100%. $30,000 for the City Manager's cash-out which was expensed to the first payroll of 2000. $25,000 for Telecommunication's survey. $615 for Sister City Flags. $136,901 for various Community Development projects that were not completed in 1999. $5,000 for Environmental Hardship Grants. $20,000 for Workers Compensation Contingency. $107,042 for the Lottery which is state mandated. $59,231 is the additional .5% from the 1998 budget that was not given to the departments. $25,000 for bus-pullout mitigation. City Managers 00105-05000-80012 $ 30,000 City Managers 00105-05000-82000 25,000 City Council 00103-03000-82900 615 Community Development 00113-13200-8xxxx 136,901 Engineering Sidewalks 00115-70060-82700 50,000 Environmental Health 00125-25700-83900 5,000 Finance 00111-11000-80069 20,000 Finance 00111-11000-88999 59,231 Lottery 00175-51800-83900 107,042 Streets 00141-41200-82900 25,000 $458,789 Employee termination cash out. City Managers 00105-05000-80012 $ 2,631 Finance 00111-11000-80012 3,861 Additional increase in operating budget for recreation of $19,000. Recreation 00171-71100-82320 $ 19,000 $3,000 for Computer upgrade, $3,325 for additional services required by Farmer's Market, and $1,900 additional grant expenditures. All of the expenditures are offset by revenues. Environmental Health 00125-25700-83655 $ 3,000 00125-25500-80012 3,325 00125-25500-82901 1,900 $6,000 to produce six additional CITY VUES shows to be shown on GrassRoots Television. $5,000 for Aspen Institute Community Forum on Telecommunications, as requested by the City~ Account 001.05.05000.82000 $ 6,000 001.02.04323.84012 5,000 2 GOLF FUND $30,234 Savings Carry Forward. Department 47173-73000-88900 $ 25,195 City Manager 47173-73000-88901 5,039 $53,164 Asset Management Plan Carry Forward. TRANSPORTATION / PARKING FUND $96,733 Savings Carry Forward. Department 45032-32000-88900 $ 70,759 City Manager 45032-32000-88901 25,974 $524,291 Asset Management Plan Carry Forward $85,000 for Summer Cross,Town Shuttle Account 45094-32100-82900 $ 85,000 ELECTRIC FUND $84,281 Savings Carry Forward. Department 43145-45000-88900 $ 71,789 City Manager 43145~45000-88901 12,492 $305,761 Asset Management Plan Carry Forward. PARKING IMPROVEMENT FUND $53,358 Savings Carry Forward. Department 14054-54000-88900 $ 44,556 City Manager 14054-54000-88901 8,802 $ 95,995 Asset Management Plan Carry Forward. WATER FUND $ 46,704 Savings Carry Forward. Department 42143-43000-88900 $ 39,776 City Manager 42143-43000-88901 6,928 $730,247 Asset Management Plan Carry Forward. 3 HOUSING / DAY CARE FUND $5,183 Savings Carry Forward. Department 15024-24000-88900 $ 4,319 City Manager 15024-24000-88901 864 $95,660 Asset Management Plan Carry Forward $619,000 to appropriate funds for a second debt service reserve fund. In accordance with bond documents, the City agreed to fund a second reserve, if the initial reserve fund was depleted. It is not anticipated that these funds will be spent. Housing Reserve $619,000 $9,724 for project management software to track affordable housing construction projects. Account 150.23.23000.83900 $9,724 WHEELER FUND $384 Savings Carry Forward. City Manager 12093-93000-88901 $ 384 $128,340 Asset Management Plan Carry Forward. PARKS/h OPEN SPACE FUND $83,907 Savings Carry Forward. Department 10055-55000-88900 $ 27,804 Nordic 10055-55523-82900 56,103 $410,728 Asset Management Plan Carry Forward. $100,000 to Purchase Nordic Snowcat in the year 2000 instead of 2001. Two thirds of the expenditure will be reimbursed by Snowmass Village and Pitkin County in 2001. $35,000 for improvements and renovations on the Anderson Property. Account 10094-83005-86000 $ 100,000 Capital 10094-83009-86000 35,000 4 PARKS & RECREATION BOND FUND $ 12,995,973 Asset Management Plan Carry Forward. RUEDI $ 31,831 Asset Management Plan Carry Forward. ITEMS PREVIOUSLY APPROVED BY COUNCIL GENERAL FUND In conjunction with the Annexation of the Aspen Highlands Village, department budgets are increased to meet the increased demand for services. The amounts below represent the "at annexation cost" pro- rated for the partial year remaining from May 15; 2000. The expenditures are partially offset by additional revenues of $90,265. Account Number 001.91.05000.8XXXX $ 4,493 001.03.03000.8XXXX 4,771 001.05.05000.8XXXX 9,477 001.07.07000.8XXXX 7,991 001.09.09000.8XXXX 7,797 001.09.09200.SXXXX i ,645 001.11.11000.8XXXX 13,234 001.13.13200.8XXXX 25,780 001.15.15000.8XXXX 13,375 001.13.13000.8XXXX 2,120 001.25.25500.8XXXX 3,749 001.31.31000.8XXXX 106,331 001.41.41000.8XXXX 2,900 001.71.71000.8XXXX 18,362 . 001.74.74000.8XXXX 9,103 i 00.55.55000.8XXXX 1,575 232,703 Council Contingency ~ $10,000 for Aspen Youth Council, $1,500 for Student Trip to Katsuyama, $2,000 for Sister Cities International Conference, $10,000 Character Counts, $5,000 P&Z meals and $1,000 for the Friendship City Program. Account Number 00103-03000-8xxxx $ 29,500 5 City Manager - Recognize costs associated with the Community Lecture Series, the optical imaging program,departmental training and transportation incentive program. The optical imaging,departmental training and transportation incentive program were funded from the central savings pool which is coritrolled by the City Manager. Account Number 00105-05000-82000 $ 5,000 00107-07000-80030 5,000 00106~06100~81500 1,112 00195-00000-95450 18,000 Asset Management - Recognize costs associated with the minor renovation of City Hall, electrical rewiring of City Hall, investigating HVAC solutions in City Hall, Yellow Brick Improvements and Aspen Mountain Drainage Plan. The Aspen Mountain Drainage Plan is funded from impact fees from Savannah limited partnership. Account Number 00091-81001-86000 $ 7,000 00071-82016-86000 70,000 00015-82015-86000 35,000 00091-81006-86000 30,000 00091-81 O01-86000 20,000 Community Development - Recognize $12,400 associated with House Size Control Study, $14,260 additional cost for Top of Slope Mapping, $35,000 for Infill and TDR study, and $25,000 for City Center Master Plan. Account Number 00113-13200-82000 $ 12,400 00113-13200-82000 14,260 00113.13365.82000 35,000 00113.13370.82000 25,000 PARKING GARAGE Transfer $10,000 to the General Fund to partially fund Civic Center Master Plan. Account Number 14095-00000-95001 $ 10,000 PARKS/~ OPEN SPACE $10,000 for the Noxious Weed and transfer $20,000 for Transportation's Marolt Ditch Project. Account Number 10055-55400-82900 $ 10,000 10095-00000-95450 20,000 6 WHEELER $375,000 for the HVAC upgrades. $18,000 for emergency repair of the plumbing associated with Bentleys. Account Number 12094-82019-86000 $ 375,000 12093-93000-82800 18,000 HOUSING / DAY CARE $8,000 for the Snyder Project Cost Evaluation, $12,000 for Roaring Fo~rk Legal Services, $45,000 for Wildwood School's line of credit transfer, transfer $17,5000 to Infill/TDR project, transfer $5,000 for Transportation's Marolt Ditch Project, $14,591 additional staffing for Kids First, and $26,321 for additional tuition assistance for last two quarters of 2000. Account Number 15023-23000-82000 $ 8,000 15023-23000-84000 12,000 15024-24100-84707 45,000 15095-00000-95450 5,000 15095-00000-95001 17,500 15024-24000-80012 14,591 15024-24100-84712 26,321 WATER $40,000 transfer for Transportation's Marolt Ditch Project. $22,000 for replacement of Chlorine scrubber solution and exhaust stack. Account Number 42195-00000-95450 $ 40,000 42194-XXXXX-XXXXX 22,000 7 TRANSPORTATION / PARKING FUND $90,000 for the Marolt Ditch Project which $40,000 is transferred from the Water Fund, $20,000 is transferred from the Parks Fund and $5,000 is transferred from the Housing/Daycare Fund. S58,000 for the MAA/West End transportation plan and $25,000 for the lease of an electric vehicle. $18,000 for the Transportation Incentive Program which is funded from Central Savings. $125,000 for Old Stage Road Intersection Design, and $110,000 for SH82 Buttermilk to Roundabout Design. Old Stage Road will be reimbursed by Maroon Creek Club and SH82 by CDOT. Account Number 45094-82018-86000 $ 90,000 45096-00000-96421 40,000 45096-00000-96100 20,000 45096-00000~96150 5,000 45032-32100-82000 58,000 45094-83023-86000 25,000 45096-00000-96001 18,000 45032-32100-82909 18,000 45032-32100-8~ 180 235,000 8 EXHIBIT 2 GENERAL FUND AMP CARRY FORWARD Various Departments - Asset Management Plan (AMP) carry forward is comprised of those projects that were not completed in 1999. There was $6.3 million budgeted in AMP for 1999 of which $4.4 million was expended. In order to complete projects and/or to purchase necessary equipment, departments have requested $1,643,788 to be carried forward into 2000. Below is a recap of the AMP carry forward requests. Color Copier $ 18,400 Voting Equipment 16,094 3rd Floor Remodel 17,284 Work/Office/IS Equipment 17,000 Ice Garden Maintenance 26,500 Fleet 338,652 Street Improvements 255,000 Bridge Repairs & Design 21,000 Aspen Mountain Drainage Plan 37,400 Yellow Brick 100,000 DEPP 796,458 1,643,788