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HomeMy WebLinkAboutordinance.council.039-89 ORDINANCE NO. ~'~ (Series of 1989) AN ORDINANCE RECOGNIZING GENERAL FUND REVENUES OF $30,000; APPROPRIATING GENERAL FUND EXPENDITURES OF $205,340; RECLASSIFYING PREVIOUSLY APPROVED EXPENDITURES WITHIN THE GENERAL FUND OF $33,400; TRANSFERRING $3,000 FROM THE GENERAL FUND TO THE ICE GARDEN FUND; APPROPRIATING LAND FUND EXPENDITURES OF $3,000; RECOGNIZING UNDERGROUNDING ELECTRIC UTILITY IMPROVEMENT DISTRICT NUMBER ONE FUND REVENUES OF $74,000; APPROPRIATING UNDERGROUNDING ELECTRIC UTILITY IMPROVEMENT DISTRICT NUMBER ONE FUND EXPENDITURES OF $73,500; RECOGNIZING ELECTRIC FUND REVENUES OF $50,000; REDUCING ELECTRIC FUND REVENUES OF $1,098,640; APPROPRIATING ELECTRIC FUND EXPENSES OF $50,000; REDUCING ELECTRIC FUND EXPENSES OF $1,041,640; RECOGNIZING RUEDI FUND REVENUES OF $1,098,640; APPROPRIATING RUEDI FUND EXPENSES OF $1,041,640; APPROPRIATING ICE GARDEN FUND EXPENSES OF $3,000; 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; Undergrounding Electric Utility Improvement District Number One Fund; Electric Fund; Ruedi Fund; Ice Garden Fund; and unappropriated prior year fund balance available in the General Fund; 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, Undergrounding Electric Utility Improvement District Number One Fund; Electric Fund; Ruedi Fund; Ice Garden Fund, and unappropriated prior year fund balance in the General 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 ~ , 1989, 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~ ~-~-~ ~s~e~ ~-~ /~ __, 1989. MiChael ~ass~ant Mayor Pro Tem % ATTEST: FINALLY adopted, passed and app[oved on the~7~/_~day of ~i~ael Gassm~n,I Mayor Pro Tem ATTEST: E X H I B I T "A" GENERAL FUND Revenues City Clerk Xeroxing (30,000) (increased activity) Total Revenues (30,000) Expenditures City Council Increase Contingency Funds 100,0 00 (per 6/19/89 meeting) Reclassify Contingency Funds (33,400) City Manager Ballot Information 2,500 (Contingency Fund) City Clerk Xeroxing 30,000 (increased activity) City Attorney Legal fees 25,000 (Contingency Fund) Planning HPC 2,900 (Contingency Fund) Engineering Construction fees 14,000 (North Mill St Sidewalk) Building Professional Fees 7,000 (Pitco 88 carry forward) Exhibit b'A" cont. GENERAL FUND Housing Wages 4,670 (Pitco 88 carry forward) Communications Wages 5,550 (Pitco 88 carry forward) Equipment 1,870 (Pitco 88 carry forward) Streets Snowmelter 26,000 (utility bills) Parks Vehicle Operations 14,000 (increased activity) Wildflowers 2,250 (recognize 1988 contribution) Recreation Schweitzer Memorial 3,000 (Contingency Fund) Total Expenditures 205,3 40 Transfers To Ice Garden Fund 3,000 (Capital project) Total Transfers 3,000 LAND FUND Expenditures Maintenance expense 3,000 (Red Roof) Total Expenditures 3,000 Exhibit "A" cont. UNDERGROUNDING ELECTRIC UTILITY IMPROVEMENT DISTRICT NUMBER ONE FUND Revenues Special Assessment Revenue (74,000) (accounting entry) Total Revenues (74,000) Expenditures Professional Fees 500 (accounting entry) Principal Payments 55,000 (accounting entry) Interest Payments 18,000 (accounting entry) Total Expenditures 73,500 ELECTRIC FUND Revenues Ruedi 1,098,6 40 (accounting entry) Transformer Sales (50,000) Total Revenues 1,048,640 Expenses Ruedi (1,041,640) (accounting entry) Transformer Sales 50,000 Total Expenses (991,640) RUEDI FUND Revenues Accounting Entry (1,098,640) Total Revenues (1,098,640) Exhibit i'A~ cont. RUEDI FUND Expenses Accounting Entry 1,041,640 Total Expenses 1,041,640 ICE GARDEN FUND Expenses Capital Project 3,000 (see Dept request) Total Expenses 3,000 Transfers From General Fund (3,000) (Capital project) Total Transfers (3,000) ';3i' a-f'.f' r.e,~u,~?-'.4: '.-!; ar, a F, pf'oF, P i a'( ion af'.eas (l'en'!:a i v,~h~.,:: i 8.:5') 420 ,zomF, en 'J n i'~::8:E', '[he a,::'kua i veh:[,: Ie C:)F,e ¢'a'~: the budge1: ~,,~as ?2'7:,'aQQ,, The 19:3 (:i(3 r~c:,'( have 4:!'"~e .?:.a,./~.nSs .~: porn Pent · .-- ¢- ' ;~.. d d i I: i o n i.. h e ~:, ,::) i ].' ,._- y o .¢ n (:) t r. TO: MAYOR AND CITY COUNCIL THRU: BOB ANDERSON, CITY MANAGER THRU: DALLAS EVERHART, BUDGET COORDINATOR FROM: GEORGE PUCAK, MANAGER, ASPEN ICE GARDEN DATE: June 30, 1989 RE: REQUEST FOR ADDITIONAL FUNDS FOR ICE RINK RENOVATION PROJECT SUMMARY: It is requested that $3,000 in additional funds be allocated to the Rink Boards Capital Improvements Project (coding qglTq 51800 82700) PREVIOUS COUNCIL ACTION: Council approved modifications to the Ice Garden on June 27, 1988 and appropriated the initial funding of $192,000 on July 6, 1988 by Appropriation Ordinance #29. Contract awards were then made for refrigeration mod ification and the purchase of new hockey boards and protective shields. On Ja_nuary 9, 1989 an additional $43,$64 was allocated for demolition and concrete modifications to the walkways and curbs inside the rink. BACKGROUND: Work began on the Ice Garden renovation on April 1, 1989, and was completed June 4, 1989. The rink re-opened for the Aspen Summer Skating School on June 5. PROBLEM DISCUSSION: During the demolition of the interior walkways (done by Red Mountain Corporation) a problem developed with a portion of the north wall (Hyman Street wall). As the walkway beside the wall was removed the wall began to move and shift, making it dangerous to work below it. Inspection showed deterioration of the block at the base of the wall. Over the years this wall has been subjected to the pressures of winter snow build-up and considerable movement has been noted. It was decided that in order for work to continue on the curbs and walkways a 10' X section of the block wall had to be removed and a new one built. FINANCIAL IMPLICATIONS: The cost to remove and replace the wall was $3,894.76. A portion of this can be absorbed in the project, but an additional $3,000 is required to pay for the repair. RECOMMENDTION: Statf recommends allocating additional funds to cover the wall repairs from the general fund.