HomeMy WebLinkAbout3576ORDINANCE NO. _5�5 76
AN ORDINANCE of the City Council of the City of
Kent, Washington, amending the 2001 Budget for
adjustments made from January 1, 2001, to July 31, 2001.
THE CITY COUNCIL OF THE CITY OF KENT, WASHINGTON, DOES
HEREBY ORDAIN AS FOLLOWS:
SECTION 1. The 2001 City budget is hereby amended to include budget
fund adjustments as summarized and set forth in Exhibit "A," which is incorporated in this
ordinance by reference as if fully set forth herein.
SECTION2. Severabihty. If any section, sentence, clause or phrase of this
ordinance should be held to be invalid or unconstitutional by a court of competent
jurisdiction, such invalidity or unconstitutionality shall not affect the validity or
constitutionality of any other section, sentence, clause or phrase of this ordinance
SECTION 3. Effective Date. This ordinance shall take effect and be in
force five (5) days from and after its passage, approval and publication as provided by law.
J HITE, MAYOR
-_ _ - - 1 2001 -Budget Adjustment
TTEST
JACOBER, gITY CLERK
AS TO FORM.
ASSED: day of PCYV1,4--,2001.
,'PROVED: day of 41 2001.
UBLISHED. day of ®cl�. , 2001.
I hereby certify that this is a true copy of Ordinance No. 36-76 , passed
by the City Council of the City of Kent, Washington, and approved by the Mayor of the
City of Kent as hereon indicated.
P1Crvd\OrdmwcelBudgetAdjwtment-2001 doc
(SEAL)
BRENDA JACOBER, Y CLERK
2 2001 - Budget Adjustment
City of Kent
Budget Adjustment Ordinance
Adjustments January 31, 2001 to July 31, 2001
Exhibit A
Fund Adjustment
Title Ordinance
001
General Fund
95,898
110
Street Fund
1,036,103
130
Lodging Tax Fund
-
140
Youth/Teen Programs
542
150
Capital Improvement Fund
8,419
160
Criminal Justice Fund
70,841
170
Environmental Fund
134,344
180
Comm Development Block Grants
95,268
190
Other Operating Projects Fund
(12,260)
211
Voted Debt Service Fund
-
212
Councdmanic Debt Service Fund
1,033
250
Spec Assmnt Debt Service Fund
-
310
Street Capital Projects Fund
27,963,839
320
Park Capital Projects Fund
438,086
330
Other Capital Projects Fund
212,386
410
Water Fund
197,846
440
Sewerage Fund
890,084
480
Golf Complex Fund
87,510
510
Fleet Service Fund
160,195
520
Central Services Fund
15,000
530
Fire Equipment Fund
-
540
Facilities Fund
48,055
560
Insurance Fund
470,940
620
Firemen's Relief and Pension Fund
-
680
Economic Development Corporation
-
Total Gross Budget 31,914,129
Less
Internal Service Funds -
Other Transfers (2,371,869)
Internal Transfers (1,082,730)
Subtotal (3,454,599)
Total Net Budget 28,459,530