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HomeMy WebLinkAbout2216ORDINANCE NO. 4-� / AN ORDINANCE of the City of Kent, Washington, amending the 1979 Budget for trans- fers and adjustments made to various budgets during the 4th quarter of 1979. Section 1. The reasons for changes in budgets are as fol- lows: ol- lows: jj A. CURRENT EXPENSE a Revenues B. 1. Increase in budgeted estimated beginning cash balance. 2. Increase transfer from com- pleted Reith Road & Military Intersection Construction Fund. 3. Increase zoning and subdivi- sion fees. Expenditures 1. Non -Departmental a) Increase budget for trans- fer to new Advance Construc- tion Fund approved by Coun- cil 11-19-79. 2. Planning a) Professional services for Upland Southcenter Corpo- rate Plat by Jones & Jones approved by Council 7-2-79. b) Secretary, supplies, type- writer, desk & chair for support for Hearing Examiner approved by Council 5-21-79. 3. Fire a) Increase budget for over- time due to arbitration award of Kelly days and manpower shortage from disabilities. Revenue 31,644 1,000 4,250 Total Budget Adjustments Current Expense Fund $ 36,894 CONTINGENCY FUND Revenues 1. Increase budgeted transfer from Contingency Fund. 120,000 Expenditure 20,000 5,144 4,250 7,500 $ 36,894 Expenditures 1. Increase budget for personal services Total Budget Adjustments Contingency Fund C. FEDERAL/STATE GRANT MATCHING FUND Revenue 1. Decrease budgeted transfer from Current Expense Fund. Expenditure 1. Decrease budgeted estimated ending cash balance. Total Budget Adjustments Federal/State Grant Matching Fund D. ALCOHOLIC REHABILITATION FUND Revenue 1. Increase budgeted Liquor Excise Tax and Liquor Pro- fits. Expenditure 1. Increase budgeted payment to King County for alcoholism services. Total Budget Adjustments Alcoholic Rehabilitation Fund E. KENT COMMONS OPERATING FUND 1. Budget Investment Interest. 2. Increase budgeted Park room rental fee. Expenditures 1. Increase budgeted Ground Maintenance. 2. Budget Recreation staff for December, 1979. Total Budget Adjustments Kent Commons Operating Fund - 2 - Revenue Expenditure 120,000 $ 120,000 $ 120,000 (120,000) (120,000) $ (120,000) $ (120,000) 357 357 $ 357 $ 357 •M ME $ 1,230 $ 1,230 F. KEITH ROAD & MILITARY INTER- SECTION CONSTRUCTION FUND Revenue 1. Budget Investment Interest Expenditure 1. Increase budgeted transfer to Current Expense Fund to close Construction Fund. Total Budget Adjustments Reith Road & Military Inter- section Construction Fund G. 4TH AVENUE SIGNAL CONSTRUCTION FUND Revenue 1. Increase budgeted Federal FAM Grant. Expenditure 1. Increase budgeted engineering costs covered by increased grant. Total Budget Adjustments 4th Avenue Signal Const. Fund H. NORTH CENTRAL STREET IMPROVEMENT CONSTRUCTION FUND Revenue Expenditure 1,000 $ 1,000 500 $ 500 Revenue 1. Budget Investment Interest. 200 Expenditure 1. Increase budgeted engineering cost. Total Budget Adjustments North Central Street Improvement Construction Fund $ 200 I. LOWER MILL CREEK PARK RETENTION BASIN.CONSTRUCTION FUND Revenue 1. Budget transfer from Revenue Sharing Fund. Expenditure 1. Budget engineering costs. - 3 - 50,000 1,000 $ 1,000 500 $ 500 200 $ 200 50,000 J. Revenue Total Budget Adjustments Lower Mill Creek Park Retention Basin Construction Fund $ 50,000 LAKE FENWICK RESTORATION CONSTRUCTION FUND Revenue 1. Budget transfer from Park Fund Expenditure 1. Budget engineering costs. Total Budget Adjustments Lake Fenwick Restoration Construction Fund K. 1978 WATER REVENUE BOND CONSTRUCTION FUND Revenue 1. Increase budgeted transfer from East Hill Booster Con- struction Fund Expenditures 1. Increase budgeted Construc- tion Contractor Services 2. Decrease budgeted Ending Fund 28,000 $ 28,000 Expenditure $ 50,000 28,000 $ 28,000 10,000 balance. (9,400) Total Budget Adjustments 1978 Water Revenue Bond Con- struction Fund $ 600 $ 600 L. EAST HILL BOOSTER PUMP CONSTRUCTION FUND Revenue 1. Increase budgeted Investment Interest. Expenditure 1. Increase budgeted transfer to 1978 Water Revenue Bond Construction Fund. Total Budget Adjustments East Hill Booster Pump Construction Fund - 4 - .SE $ 600 .N $ 600 Revenue Expenditure M. WORKMENS COMPENSATION FUND Revenue 1. Increase budgeted Workmens Compensation contribution. 3,000 Expenditure 1. Increase budgeted claims for 1979. 3,000 Total Budget Adjustments Workmens Compensation Fund $ 3,000 $ 3,000 N. FIRE RELIEF & PENSION FUND Revenue 1. Increase budgeted Invest- ment Interest. 946 Expenditure 1. Increase budgeted Pension and Retirement cost. 946 Total Budget Adjustments Fire Relief & Pension Fund $ 946 $ 946 0. LEFF DISABILITY LEAVE FUND Revenue 1. Increase budgeted insurance reimbursement. 18,000 Expenditures 1. Increase Pension & Retirement. 2. Increase Medical & Hospital. Total Budget Adjustments LEFF Disability Leave TOTAL ALL BUDGET ADJUSTMENTS FOURTH QUARTER - 1979 12,000 6,000 $ 18,000 $ 18,000 $ 141,327 $ 141,327 Section 2. This Ordinance shall take effect and be in force five (5) days .from and after its passage, approval and publication as provided by law. ISABEL HOGAN, MAYOR - 5 - ATTEST: MARIE JENSCITY CLERK APPROVED AS TO FORM: a D NA LD E. MIRK, CITY ATTORNEY PASSED the APPROVED the PUBLISHED the day of April, 1980. day of April, 1980. day of April, 1980. I hereby certify that this is a true copy of Ordinance No. passed by the City Council of the City of Kent, Washington, and approved by the Mayor of the City of Kent as hereon indicated. I (SEAL, PlIAR JENSE , CITY CLERK