Loading...
Resolution No. 06-05 CITY OF TIGARD, OREGON RESOLUTION NO. 06- Qf— A RESOLUTION APPROVING BUDGET AMENDMENT #9 TO THE FY 2005-06 BUDGET TO INCREASE APPROPRIATIONS IN THE TRAFFIC IMPACT i i E FUND FOR FUNDING OF WALNUT STREET RIGHT-OF-WAY ACQUISITION AND THE STREET MAINTENANCE FEE FUND FOR FUNDING OF ADDITIONAL COSTS RELATED TO THE PAVEMENT MAJOR MAINTENANCE PROGRAM. WHEREAS, in FY 2004-05, the City acquired thirty-three of the thirty-five desired parcels for tight-of-way along Walnut Street,and WHEREAS,the two remaining property owners are now willing to negotiate the sale of their parcels;and WHEREAS, the FY 2005-06 Budget does not include any appropriations for this acquisition;and WHEREAS, staff has determined that $50,000 will be needed from the Traffic Impact Fee Fund for the acquisition of the fight-of-way;and WHEREAS, staff has requested additional funding from the Street Maintenance Fee Fund for the Pavement Major Maintenance Program (PMMP) due to increased costs in asphaltic concrete materials and the extension of the Gteenbutg Road overlay;and WHEREAS, it is necessary to amend the FY 2005-06 Budget to increase appropriations to Bold these additional costs. NOW,THEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2005-06 Budget is hereby atnended as shown in Attachment A to this resolution to transfer $50,000 from the Traffic Impact Fee Fund contingency to the Traffic Itupact Fee Capital Improvement Project budget and transfer$80,500 froin the Street Maintenance Fee Fund contingency to the Pavement Major Maintenance Program (PMMP) Capital Improvement budget. SECTION 2: This resolution is effective immediately upon passage. PASSED: This 7 � day of 2006. 4 C Mayor kity of Tigard A T: try Recorder-City of Tigard RESOLUTION NO. 06 - �S Page 1 Attachment A FY 200506 Budget Amendment # 9 FY 2005-06 Budget Adopted Adopted Amendment Revised Budget # 9 Budget Street Maintenance Fee Fund Resources Beginning Fund Balance $128,136 $128,136 Utiltity Fees and Charges 800,000 800,000 Interest Earnings 4,000 4,000 Transfers In from Other Funds 0 0 Total $932,136 $0 $932,136 Requirements Program Expenditures Total $0 $0 $0 Debt Service $0 $0 Capital Improvements $725,000 $80,500 $805,500 Transfers to Other Funds $119,800 $119,800 Contingency $80,500 ($80,500) $0 Total Requirements $925,300 $0 $925,300 Ending Fund Balance 6,836 6,836 Grand Total $932,136 $0 $932,136 Attachment A FY 2005-06 Budget Amendment # 9 FY 2005-06 Budget Adopted Adopted Amendment Revised Budget #9 Budget Traffic Impact Fee Fund Resources Beginning Fund Balance $1,187,867 $1,187,867 Grants 660,000 660,000 Development Fees & Charges 735,000 735,000 Interest Earnings 40,000 40,000 Other Revenues 150,000 150,000 Transfers In from Other Funds 0 0 Total $2,772,867 $0 $2,772,867 Requirements Program Expenditures Total $0 $0 $0 Debt Service $0 $0 Capital Improvements $2,051,364 $50,000 $2,101,364 Transfers to Other Funds $206,797 $206,797 Contingency $325,000 ($50,000) $275,000 Total Requirements $2,583,161 $0 $2,583,161 Ending Fund Balance 189,706 189,706 Grand Total $2,772,867 $0 $2,772,867