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Resolution No. 06-48 CITY OF TIGARD, OREGON TIGARD CITY COUNCIL RESOLUTION NO. 06-4q A RESOLUTION APPROVING BUDGET AMENDMENT #1 TO THE FY 2006-07 BUDGET TO INCREASE APPROPRIATIONS IN THE SANITARY SEWER DIVISION FOR PURCHASE OF A REPLACEMENT BACKHOE. WHEREAS, in FY 2005-06, the Sanitary Sewer Division budgeted to replace a backhoe; and WHEREAS, the Division ordered the replacement backhoe in February 2006 and delivery was anticipated to be in May 2006;and WHEREAS, due to delays caused by manufacturing problems, the backhoe will be received after July 1, 2006; and WHEREAS, Generally Accepted Accounting Principles requires that expenditures be recorded when the product is actually received; and WHEREAS, funds were not appropriated in FY 2006-07 to pay for this expenditure; and WHEREAS, it is now necessary to amend the FY 2006-07 Budget to increase appropriations in Sanitary Sewer Division to pay for this expenditure. NOW,THEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2006-07 Budget is hereby amended as shown in Attachment A to this resolution to transfer $84,899 from the Sanitary Sewer Fund contingency to the Public Works Department's Sanitary Sewer Division operating budget to pay for the replacement backhoe. SECTION 2: This resolution is effective immediately upon passage. PASSED: This day of 2006. Mayor- tity of Tigard ATTEST: City Recorder- City of Tigard RESOLUTION NO. 06 - � Page 1 Attachment A FY 2006-07 Budget Amendment # 1 FY 2006-07 Budget Adopted Adopted Amendment Revised Budget # 1 Budget Sanitary SewerFund Resources Beginning Fund Balance $7,561,169 $7,561,169 Utiltity Fees and Charges 1,392,500 1,392,500 Interest Earnings 125,000 125,000 Other Revenues (5,000) (5,000) Transfers In from Other Funds 0 0 Total Resources $9,073,669 $0 $9,073,669 Requirements Public Works Program 805,220 84,899 890,119 Program Expenditures Total $805,220 $84,899 $890,119 Debt Service $0 $0 Capital Improvements $2,520,000 $2,520,000 Transfers to Other Funds $429,647 $429,647 Contingency $563,300 ($84,899) $478,401 Total Budget $4,318,167 $0 $4,31$,167 Ending Fund Balance 4,755,502 4,75$,502 Total Requirements $9,073,669 $0 $9,073,669