HomeMy WebLinkAbout3913ORDINANCE NO./
AN ORDINANCE of the City of Kent,
Washington, amending the 2008 budget for
adjustments made between July 1, 2008, and
December 31, 2008.
THE CITY COUNCIL OF THE CITY OF KENT, WASHINGTON, DOES
HEREBY ORDAIN AS FOLLOWS:
SECTION 1. - Budget Adiustments. The 2008 City budget is amended
to include budget fund adjustments as summarized and set forth in Exhibit
"A," which is attached and incorporated into this ordinance.
SECTION2. - Severability. 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. - Ratificatron. Any act consistent with the authority and
prior to the effective date of this resolution is hereby ratified and affirmed.
1 2008 Budget Adjustments -
Second Half
SECTION 4. - 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.
ATTEST:
BRENDA JACOBER,
APPROVED AS TO FO
CLERK
UBAKER, CITY ATTORNEY
PASSED: / day of April, 2009.
APPROVED: -4- 1 day of April, 2009.
PUBLISHED: a� day of April, 2009.
I hereby certify that this is a true copy of Ordinance No. 29/.3
passed by the City Council of the City of Kent, Washington, and approved by
the Mayor of the City of Kent as hereon indicated.
�- SEAL)
BRENDA JACOB , CITY CLERK
P \Clvil\OrdInance\5ggetMdPustment=2008-2nd doc
2 2008 Budget Adjustments -
Second Half
City of Kent
Budget Adjustment Ordinance
Adjustments July 1, 2008 to December 31, 2008
Exhibit A
Total Gross Budget Change 53,994,704
Less:
Internal Service Funds (642,961)
Other Transfers (26,695,022)
Internal Transfers (30,000)
Subtotal (27,367,983)
Total Net Budget Change 26,626,721
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Adjustment
Fund Title
Ordinance
001
General Fund
209,379
110
Street Fund
(543,901)
120
Public Safety Retiree Benefits
1,051,440
150
Capital Improvement Fund
204,647
160
Criminal Justice Fund
1,524,448
170
Environmental Fund
123,214
190
Other Operating Projects Fund
390,962
195
Event Center Fund
706,113
220
Non -Voted Debt
115,338
250
Spec Assess Debt Service Fund
650,000
310
Street Capital Projects Fund
5,915,882
320
Parks Capital Projects Fund
2,866,316
330
Other Capital Projects Fund
30,600,000
340
Technology Capital Projects
3,000,000
350
Facilities Capital Projects
7,779,261
410
Water Operating Fund
(124,115)
440
Sewerage Operating
49,423
540
Facilities Management Fund
28,940
560
Insurance Fund
(552,643)
Total Gross Budget Change 53,994,704
Less:
Internal Service Funds (642,961)
Other Transfers (26,695,022)
Internal Transfers (30,000)
Subtotal (27,367,983)
Total Net Budget Change 26,626,721
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