Loading...
Resolution No. 10-44 CITY OF TIGARD, OREGON TIGARD CITY COUNCIL - RESOLUTION NO. 10-61 A RESOLUTION APPROVING BUDGET AMENDMENT #1 TO THE FY 2010-11 BUDGET TO INCREASE APPROPRIATIONS IN THE FACILITIES FUND TO ALLOW FOR REPLACEMENT OF THE PERMIT CENTER ROOF. WHEREAS, the City of Tigard desires to replace the Permit Center roof, and WHEREAS, dtuing fiscal year 2009-10 the City was not able to complete the roof replacement due to inclement weather, and WHEREAS, the project cannot be completed in fiscal year 2009.10, it is now necessaiy to amend the FY 2010-11 Budget to transfer appropriations from the General Fund to the Facilities Fund. NOW, THEREFORE, BE IT RESOLVED by the Tigard City ColLmcil that: SECTION 1: The FY 2010-11 Budget is hereby amended as shown in Attaclunent A to this resolution to transfer an additional $285,500 from General Fund Contingency to General Fund Transfers Out, and to increase appropriations in the Facilities Fund to allow for completion of the Permit Center roof project. SECTION 2: This resolution is effective hTn-mediately upon passage. PASSED: Thus f 7 day of A16" 2010. t Mayor- City of Tigard ATTEST: — � �/ �A City Recorder- City of Tigard RESOLUTION NO. 10 - % [l Page 1 City of Tigard Attachment A Fiscal Year 2010-11 Budget Amendment#1 Original Revised Budget Amendment Budget General Fund Resources Beginning Fund Balance $ 6,117,299 5 6,117,299 'faxes 12,218,117 12,218,117 Franchise Execs 4,706,831 4,706,831 Licenses and Permits 861,296 B61,296 Intergovernmental 5,616,141 5,616,141 Charges for Services 254,793 254,793 Fines&forfcintres 936,000 936,000 Interest I✓arnings 102,184 102,181 II 11scellancous 22,209 22,209 Other fivancing Sources 249,000 249,000 Transfers in 3,523,981 3,523,981 Total Resources 34,607,851 - 34,607,851 Requirements Policy and Administration 808,510 808,510 Community Development 3,050,141 3,050,141 Community Services 19,30=4,054 19,304,054 Public Wurlts 4,569,689 4,569,689 Loan to CCDA 249,000 249,000 'transfers out 872,956 285,500 1,158,456 Contiugency 918,466 (285,500) 632,966 Program Expenditures Total 29,772,816 - 29,772,816 Ending Fund Balance $ 4,835,035 $ - $ 4,835,435 Original Revised Budget Amendment Budget Facilities Fund Resources Beginning Fund Balance S 316,364 $ 316,364 Interest 1'sarnings 3,164 3,164 Other financing Sources 249,000 249,000 Transfers in 363,320 285,500 6.18,820 Total Resources 931,848 285,500 1,217,348 Requirements Capital improvements 168,320 285,500 453,820 Transfets out 4,450 4,450 Program Expenditures Total 172,770 285,500 458,270 Ending Fund Balance $ 759,078 $ - $ 759,078