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CCDA Resolution No. 14-08 CITY OF TIGARD, OREGON CITY CENTER DEVELOPMENT AGENCY RESOLUTION NO. 14- 00 A RESOLUTION TO ADOPT A SUPPLEMENTAL BUDGET AMENDMENT TO THE FY 2015 BUDGET THAT WILL BE USED FOR THE FACADE IMPROVEMENT PROGRAM. WHEREAS, the city acknowledges those items that were unknown at the time the FY 2015 Budget was adopted;and WHEREAS,the city allows for the carryover of funds that were unspent in the previous year; and WHEREAS, the city recognizes $32,000 of unanticipated requirements in the City Center Development Agency are offset by$32,000 of beginning fund balance in the capital expenditures program. NOW,THEREFORE, BE IT RESOLVED,by the Tigard City Center Development Agency that: SECTION 1: The FY 2014-15 Budget is hereby amended as is stated in Exhibit A. SECTION 2: This resolution is effective immediately upon passage. PASSED: This day of 6,e-y' , 2014. Ch City of Ti rd City' nter Development Agency ATTEST: ��� X Recorder-City of Tigard City Cente evelopment Agency CCDA Resolution No.(' O$ Page 1 FY 2015 First Quarter Budget Amendment Exhibit A 1. Carryforward-City Center Development Agency A carryforward is required for the completion of two projects in the Facade Improvement Program. This action will increase the beginning fund balance in the Urban Renewal Capital Improvement Fund by$32,000 with an equal increase in capital program expenditures. Revised Revised Budget Amendment Budget Urban Renewal Capital Improvement Fund Resources Beginning Fund Balance $ - $ 32,000 $ 32,000 Property Taxes S S - Franchise Fees S S Licenses&Permits S S - Intergovernmental S 254,000 S 254,000 Charges for Services S - S - Fines&Forfeitures S S Interest Earnings S S Miscellaneous 5 - S - Other Financing Sources S 1,330,000 S 1,330,000 Transfers In from Other Funds S 675,000 S 675,000 Total Resources $ 2,259,000 $ 32,000 $ 2,291,000 Requirements Policy and Administration S - S - Community Development $ S - Community Services $ S Public Works S S Program Expenditures Total $ - $ - $ - Debt Service $ - S Loans S - S - Work-In-Progress S 2,259,000 $ 32,000 S 2,291,000 Transfers to Other Funds S - S - Contingency S - S - Total Budget $ 2,259,000 $ 32,000 $ 2,291,000 Reserve For Future Expenditure $ - $ - $ - Total Requirements $ 2,259,000 $ 32,000 $ 2,291,000