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Resolution No. 03-44 CITY OF TIGARD, OREGON RESOLUTION NO. 03-::4� A RESOLUTION APPROVING BUDGET AMENDMENT #7 TO THE FY 2003-04 ADOPTED BUDGET TO INCREASE APPROPRIATIONS FOR FUNDING OF SANITARY SEWER REIMBURSEMENT DISTRICT PROJECTS WHEREAS, the City has initiated the Neighborhood Sewer Extension Program to extend public sewers and recover costs through Reimbursement Districts in accordance with TMC Chapter 13.09; and WHEREAS, the City Council approved the formation of Sanitary Sewer Reimbursement Districts Nos. 28 and 29 on August 26, 2003 and the estimated total cost of construction for both districts is approximately $852,559; and WHEREAS, Sanitary Sewer Reimbursement Districts Nos. 24 and 25 were not completed in FY 2002-03 and funds need to be carried over into FY 2003-04 for completion; and WHEREAS, the FY 2003-04 Adopted Budget for the Sanitary Sewer Fund only includes $750,000 for the Sewer Extension Program and needs to be amended to provide for the additional appropriations required for funding of the program. NOW,THEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2003-04 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. ('4 PASSED: This Cday of .Q 1_._ 2003. ay -Ci igard ATTEST: City Recorder- City of Tigard RESOLUTION NO. 03 - Page 1 Attachment A FY 2003-04 Budget Amendment # 7 FY 2003-04 Budget Revised Revised Amendment Revised Budget #7 Budget Sanitary Sewer Fund Resources Beginning Fund Balance 8,388,092 8,388,092 Property Taxes 0 0 Grants 0 0 Interagency Revenues 15,000 15,000 Development Fees&Charges 0 0 Utiltity Fees and Charges 1,530,310 1,530,310 Miscellaneous Fees and Charges 0 0 Fines and Forfeitures 0 0 Franchise Fees and Business Tax 0 0 Interest Earnings 167,762 167,762 Bond Proceeds/Principal 0 0 Other Revenues (5,000) (5,000) Transfers In from Other Funds 0 0 Total $10,096,164 $0 $10,096,164 Requirements Community Service Program 0 0 Public Works Program 627,883 627,883 Development Services Program 0 0 Policy &Administration Program 0 0 General Government 0 0 Program Expenditures Total $627,883 $0 $627,883 Debt Service $0 $0 Capital Improvements $922,300 $214,000 $1,136,300 Transfers to Other Funds $290,353 $290,353 Contingency $282,000 ($214,000) $68,000 Total Requirements $2,122,536 $0 $2,122,536 Ending Fund Balance 7,973,628 7,973,628 Grand Total $10,096,164 $0 $10,096,164