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Resolution No. 08-65 CITY OF TIGARD, OREGON TIGARD CITY COUNCIL SOLUTION NO. 08- A RESOLUTION APPROVING BUDGET AMENDMENT 09-0+6 TO THE FY 2008-09 BUDGET GRANTING $1,000 TO THE TIGA:RD CHAMBER OF COMMERCE FOR THE DOWNTOWN TREE LIGHTING CELEBRATION. WHERE AS,the Tigard Chamber of Commerce has asked for financial assistance from the City for the annual Downtown Tree Lighting Celebration;and WHEREAS, the City identified $1,000 in the Convnunity Services Program for raid-year requests for assistance;and WHEREAS, the Downtown Tree Lighting Celebration has grown into a signature event for the community during the holiday season. NOW,THEREFORE,BEITRESOLVED by the Tigard City Council that: SECTION 1: The FY 2008-09 Budget is hereby amended as shown in Attachment A to this resolution, transferring$1,000 from the General Fund Contingency to the Community Services Program to support the request from the Chamber of Commerce. SECTION 2: This resolution is effective immediately upon passage. PASSED: This day of ,1L 2008. Mayor-City of Tigard ATTEST: CityRecorder-City of Tigan- OLUTION NO.08 - Page 1 Fiscal Year 2008-09 Budget Amendment#09-06 Revised Revised Budget Amendment Budget General Fund Resources Beginning Fund Balance $ 10,308,127 $ 10,308,127 Property Taxes $ 11,626,766 $ 11,626,766 Grants $ 510,$72 $ 510,572 Interagency Revenues $ 4,828,686 $ 4,828,686 Fees&Charges $ 1,773,190 $ 1,773,190 Fines and Forfeitures $ 938,030 $ 938,030 Franchise Fees $ 4,286,183 $ 4,286,183 Interest and Rental Earnings $ 306,150 $ 306,150 Bond/Note Proceeds $ - $ - Other Revenues $ 34,000 $ 34,000 Indirect Charges $ 832,119 $ 832,119 Transfers In from Other Funds $ 1,251,669 $ 1,251,669 Total Resources $ 36,695,492 $ $ 36,695,492 Requirements Policy and Legislation $ 257,536 $ 257,536 City Administration $ 653,489 $ 653,489 Community Development $ 4,366,631 $ 4,366,631 Community Services 15,991,410 $ 1,000 $ 15,992,410 Public Works 3,749,717 $ 3,749,717 General Government $ - $ - Program Expenditures Total $ 25,018,783 $ 1,000 $ 25,019,783 Indirect Expenses $ 4,979,639 $ 4,979,639 Loans $ 380,000 380,000 Capital Projects $ 910,845 910,845 Transfers to Other Funds $ 1,084,841 $ 1,084,841 Contingency $ 549,733 $ (1,000) $ 548,733 Total Budget $ 32,923,841 $ $ 32,923,841 Ending Fund Balance $ 3,771,651 $ - $ 3,771,651 Total Requirements $ 36,633,792 $ - $ 36,695,492