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HomeMy WebLinkAboutordinance.council.053-89 ORDINANCE NO. ~ ~ (Series of 1989) AN ORDINANCE RECOGNIZING GENERAL FUND REVENUES OF $15,000; APPROPRIATING GENERAL FUND EXPENDITURES OF $618,534; RECLASSIFYING PREVIOUSLY APPROVED EXPENDITURES WITHIN THE GENERAL FUND OF $126,325; REDUCING GENERAL FUND EXPENDITURES OF $74,770; RECOGNIZING LAND FUND REVENUES OF $50,000; APPROPRIATING LAND FUND EXPENDITURES OF $122,000; APPROPRIATING WHEELER TRANSFER TAX FUND EXPENDITURES OF $850; RECOGNIZING PARKING IMPROVEMENT FUND REVENUES OF $140,000; REVERSING A TRANSFER OF $468,000 FROM THE PARKING IMPROVEMENT FUND TO THE 1989 SALES TAX REVENUE REFUNDING DEBT SERVICE FUND; TRANSFERRING $600,000 FROM THE PARKING IMPROVEMENT FUND TO THE PARKING IMPROVEMENT CAPITAL PROJECT FUND; RECOGNIZING GRADUATED REAL ESTATE TRANSFER TAX FUND REVENUES OF $280 ,000; REDUCING 1989 SALES TAX REVENUE REFUNDING DEBT SERVICE FUND EXPENDITURES OF $364,000; APPROPRIATING UNDERGROUND ELECTRIC UTILITY IMPROVEMENT DISTRICT NUMBER ONE DEBT SERVICE FUND EXPENDITURES OF $1,500; RECOGNIZING PARKING IMPROVEMENT CAPITAL PROJECT FUND REVENUES OF $300 ,000; APPROPRIATING PARKING IMPROVEMENT CAPITAL PROJECT FUND EXPENDITURES OF $900,000; RECOGNIZING TRUSCOTT PLACE CAPITAL PROJECT FUND REVENUES OF $4,600,000; APPROPRIATING TRUSCOTT PLACE CAPITAL PROJECT FUND EXPENDITURES OF $4,600,000; APPROPRIATING WATER FUND EXPENSES OF $1,130; APPROPRIATING ELECTRIC FUND EXPENSES OF $570; REVERSING A TRANSFER OF $74,770 FROM THE ELECTRIC FUND TO THE GENERAL FUND; TRANSFERRING $72,000 FROM THE ELECTRIC FUND TO THE LAND FUND; APPROPRIATING GOLF COURSE FUND EXPENSES OF $400; RECOGNIZING ICE GARDEN FUND REVENUES OF $14,625; APPROPRIATING ICE GARDEN FUND EXPENSES OF $8,380; 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; Parking Improvement Fund; Graduated Real Estate Transfer Tax Fund; 1989 Sales Tax Revenue Refunding Debt Service Fund; Underground Electric Utility Improvement District Number One Debt Service Fund; Parking Improvement Capital Project Fund; Truscott Place Capital Project Fund; Water Fund; Electric Fund; Golf Course Fund; Ice Garden Fund; and unappropriated prior year fund balance available in the General Fund; and Electric 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, Parking Improvement Fund, Graduated Real Estate Transfer Tax Fund, 1989 Sales Tax Revenue Refunding Debt Service Fund, Underground Electric Utility Improvement District Number One Debt Service Fund; Parking Improvement Capital Project Fund, Truscott Place Capital Project Fund, Water Fund, Electric Fund, Golf Course Fund, Ice Garden Fund, and unappropriated prior year fund balance in the General Fund, and the Electric 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 Aspen, ~~ , 1989. William Stirling, Mayor ATTEST: Kathryn Koch, City Clerk FINALLY adopted, passed and approved on the ///~day of , ~ , 1989. William Stifling, Mayor Kathryn~o~h, /City Clerk E X H I B I T ~'A~' GENERAL FUND Revenues Finance Interest Income (10,000) Planning Pitkin County Share (5,000) (temporary help) Total Revenues (15,000) Expenditures General and Administrative Reclassify Pay For Performance (114,300) City Council Reclassify Contingency Funds (12,025) Aspen Sports Festival 6,000 (Contingency Fund) ARA Kiosk 475 (Contingency Fund) Tenth Mountain Division 500 (Contingency Fund) Professional Fees 25,000 (Hadid review) Purchased Services 7,150 (goal setting, auto free days, historic week banner) City Manager Pay For Performance 3,600 Health Insurance 520 Recycling Banner 50 (Contingency Fund) Personnel Pay For Performance 2,400 Health Insurance 150 Exhibit "A'~ cont. GENERAL FUND City Clerk Pay For Performance 5,100 Health Insurance 560 City Attorney Pay For Performance 1,500 Health Insurance 210 Professional Fees 50,000 Finance Pay For Performance 12,600 Health Insurance 1,230 Professional Fees 2,600 (investment program) Planning Pay For Performance 13,800 Health Insurance 1,380 Temporary Help 5,000 (Pitkin County only) Engineering Pay For Performance 3,700 Health Insurance 660 Marolt Soil Testing 5,000 (Contingency Fund) Environmental Health Pay For Performance 8,300 Health Insurance 530 Police Pay For Performance 30,200 Health Insurance 4,040 Municipal Court Pay For Performance 3,300 Health Insurance 300 Streets Pay For Performance 11,400 Health Insurance 1,330 City shop 249,484 (asbestos removal) Exhibit "A~ cont. GENERAL FUND Parks Pay For Performance 11,300 Health Insurance 1,200 Data Processing Pay For Performance 5,500 Health Insurance 420 Recreation Pay For Performance 1,600 Health Insurance 770 Capital Improvements Employee Housing 212,000 (Taddune house) Front End Loader 54,000 Trails (74,770) (accounting entry) Total Expenditures 543,764 Transfers To Electric Fund 74,770 (reverse transfer/ accounting entry) Total Transfers 74,770 LAND FUND Rev enue s State Of Colorado (50,000) (trails program) Total Revenues (50,000) Exhibit '~A" Cont. LAND FUND Expenditures Construction Fees 122,000 (trails program) Total Expenditures 122,000 Transfers From Electric Fund (72,000) (trails program) Total Transfers (72,000) WHEELER TRANSFER TAX FUND Expenditures Health Insurance 850 Total Expenditures 850 PARKING IMPROVEMENT FUND Revenues In Lieu Of Development Fees (140,000) (accounting entry) Total Revenues (140,000) Transfers From 1989 Sales Tax Revenue (468,000) Refunding Debt Service Fund (reverse transfer/ accounting entry) To Parking Improvement Capital 600,000 Project Fund (accounting entry) Total Transfers 132,000 Exhibit ~'A" cont. GRADUATED REAL ESTATE TRANSFER TAX FUND Rev enue s Real Estate Transfer Tax (280,000) (accounting entry) Total Revenues (280 ,000) 1989 SALES TAX REVENUE REFUNDING DEBT SERVICE FUND Expenditures Debt Service (364,000) (accounting entry) Total Expenditures (364,000) Transfers To Parking Improvement Fund 468,000 (reverse transfer/ accounting entry) Total Transfers 468,000 UNDERGROUND ELECTRIC UTILITY IMPROVEMENT DISTRICT NUMBER ONE DEBT SERVICE FUND Expenditures Collection Fees 1,500 (Pitkin County) Total Expenditures 1,500 PARKING IMPROVEMENT CAPITAL PROJECT FUND Revenues Proceeds From Bonds (300,000) (accounting entry) Total Revenues (300,000) Exhibit i~Ab' cont. PARKING IMPROVEMENT CAPITAL PROJECT FUND Expenditures Professional Fees 200,000 (bond issuing cost) Construction Fees 700,000 Total Expenditures 900,000 Transfers From Parking Improvement Fund (600,000) (accounting entry) Total Transfers (600,000) TRUSCOTT PLACE CAPITAL PROJECT FUND Rev enue s Proceeds From Bonds (4,600,000) Total Revenues (4,600,000) Expenditures City Of Aspen 1,000,000 Professional Fees 200,000 (bond issuance cost) Construction Fees 3,400,000 Total Expenditures 4,600,000 WATER FUND Expenses Health Insurance 1,130 Total Expenses 1,130 Exhibit i'A" cont. ELECTRIC FUND Expenses Health Insurance 570 Total Expenses 570 Transfers From General Fund (74,770) (reverse transfer/ accounting entry) To Land Fund 72,000 (trails program) Total Transfers (2,770) GOLF COURSE FUND Expenses Health Insurance 400 Total Expenses 400 ICE GARDEN FUND Revenues Hockey Camp Program (14,625) Total Revenues (14,625) Expenses Health Insurance 380 Professional Fees 8,000 (hockey camp) Total Expenses 8,380