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Resolution No. 01-61 CITY OF TIGARD,OREGON RESOLUTION NO.01-(_0 j A RESOLUTION APPROVING A SUPPLEMENTAL BUDGET FOR FY 2001-02 FOR THE PARKS SDC FUND AND THE UNDERGROUND UTILITY FUND. WHEREAS, it is necessary to increase resources and requirements in the Parks SDC Fund to recognize a loan for the Cook Parks Master Plan Project from the Oregr,:.t Economic and Community Development Department and the Underground Utility Fund to make final payment on the Walnut and 1215 Ave.Project in FY 2001-02,and WHEREAS, under Oregon State law, such action requires approval of a Supplemental Budget following publication of public notice,public hearings,and approval of the City's Budget Committee,and WHEREAS,public notice of the Supplemental Budget was published in the Tigard Times and the Daily Journal of Commerce on September 6,2001,and WHEREAS, the Budget Committee held a public hearing and approved the Supplemental Budget on September 18,2001,and WHEREAS,the City Council held a public hearing on the Supplemental Budget on October 9,2001. NOW,THEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2001-02 Adopted Budget of the City of Tigard is hereby amended as shown in Attachment A to this resolution. SECTION 2: This resolution is effective immediately upon passage. PASSED: This q-4' day of b4*k2001. or City f rd ATTEST: u-�- City Recorder-City of Tigard RESOLUTION NO.01-JQ t Page 1 Attachment A FY 2001-02 Supplemental Budget #1 FY 2001-02 Supplem^ntal FY 2001-02 Revised Budget Revised Budget 1 Budget Parks SDC Fund Resources Beginning Fund Balance 395,331 266,895 662,226 Property Taxes 0 0 Grants 250,000 250,000 Interagency Revenues 0 0 Development Fees&Charges 502,322 502,322 Utiltity Fees and Charges 0 0 Miscellaneous Fees and Charges 0 0 Fines and Forfeitures 0 0 Franchise Fees and Business Tax 0 0 Interest Earnings 9,600 9,600 Bond Proceeds/Principal 0 1,431,847 1,431,847 Other Revenues 0 0 Transfers In from Other Funds 0 0 Total $1,157,253 $1,698,742 $2,855,995 Requirements Community Service Program 0 0 Public Works Program 0 0 Development Services Program 0 0 Policy&Administration Program 0 0 General Government 0 0 Program Expenditures Total $0 $0 $0 Debt Service $0 $0 Capital Improvements $1,071,764 $1,431,847 $2,503,611 Transfers to Other Funds $0 $0 Contingency $80,000 $266,895 $346,895 Total Requirements $1,151,764 $1,698,742 $2,850,506 Ending Fund Balance 5,489 0 5,489 Grand Total $1,157,253 $1,698,742 $2,855,995 Page 1 of 2 Attachment A FY 2001-02 Supplemental Budget # 1 FY 2001-02Supplemental FY 2001-02 Revised Budget Revised Budget #1 I Budget Underground Utility Fund Resources Beginning Fund Balance 296;962 28,007 324,969 Property Taxes 0 0 Grants 0 0 Interagency Revenues 0 0 Development Fees&Charges 58,000 58,000 Utility Fees and Charges 0 0 Miscellaneous Fees and Charges 0 0 Fines and Forfeitures 0 0 Franchise Fees and Business Tax 0 0 Interest Earnings 16,300 1,540 17,840 Bond Proceeds/Principal 0 0 Other Revenues 0 10,000 10,000 Transfers In from Other Funds 0 0 Total $371,262 $39,547 $410,809 Requirements Community Service Program 0 0 Public Works Program 0 0 Development Services Program 0 0 Policy&Administration Program 0 0 General Government 0 0 Program Expenditures Total $0 $0 $0 Debt Service $0 $0 Capital Improvements $40,000 $45,547 $85,547 Transfers to Other Funds $0 $0 Contingency $6,000 ($6,000) $0 Total Requirements $46,000 $39,547 $85,547 Ending Fund Balance 325,262 325,262 Grand Total $371,262 $39,547 $410,809 Page 2 of 2