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Resolution No. 17-02 CITY OF TIGARD, OREGON TIGARD CITY COUNCIL RESOLUTION NO. 17-Q 2. A RESOLUTION TO ADOPT THE FY 2017 SECOND QUARTER BUDGET SUPPLEMENTAL INCLUDING BUDGET ADJUSTMENTS TO PUBLIC WORKS, POLICY AND ADMINISTRATION, AND COMMUNITY SERVICES. WHEREAS, the city acknowledges those items that were unknown at the time the FY 2017 budget was adopted;and WHEREAS,the city recognizes approximately$192,000 of unanticipated budget in operations;and WHEREAS,the increase in budget is offset by unanticipated fund balance,grants,and contingency. NOW,THEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2016-17 Budget is hereby amended as detailed in Exhibit A. SECTION: This resolution is effective immediately upon passage. PASSED: This day of r 2017. Mayoo City of Tigard ATTEST: -Z<V G City Recorder-City of Tigard RESOLUTION NO. 17-d 2 Page 1 Q2PW01 A request in the amount of$7,500 for salary is requested to increase the FTE of the Administrative Specialist II in Parks and Recreation from a 0.75 FTE to a 1.00 FTE. This move would be funded with Contingency in the Parks Utility Fund. Revised Q1 Q2 Revised Q2 Budget Amendment Budget Parks Utility Fund Resources Beginning Fund Balance $ 156,757 $ 156,757 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses &Permits $ - $ - Intergovernmental $ - $ - Charges for Services $ 1,000,000 $ 1,000,000 Fines &Forfeitures $ - $ - Interest Earnings $ - $ - N iscellaneous $ - $ - Other Financing Sources $ - $ - Transfers In from Other Funds $ 1,535,000 $ 1,535,000 Total Resources $ 2,691,757 $ - $ 2,691,757 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ 2,460,582 $ 7,500 $ 2,468,082 Program Expenditures Total $ 2,460,582 $ 7,500 $ 2,468,082 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ - $ - Contingency $ 100,000 $ (7,500) $ 92,500 Total Budget $ 2,560,582 $ - $ 2,560,582 Reserve For Future Expenditure $ 131,175 $ - $ 131,175 Total Requirements $ 2,691,757 $ - $ 2,691,757 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 1 of 11 Budget Amendment Budget Central Services Resources Beginning Fund Balance $ 910,819 $ 910,819 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses &Permits $ 35,566 $ 35,566 Intergovernmental $ 70,600 $ 70,600 Charges for Services $ 7,326,403 $ 121,300 $ 7,447,703 Fines&Forfeitures $ - $ - Interest Earnings $ 22,593 $ 22,593 Miscellaneous $ 13,400 $ 13,400 Other Financing Sources $ - $ - Transfers In from Other Funds $ 598,001 $ 44,700 $ 642,701 Total Resources $ 8,977,382 $ 166,000 $ 9,143,382 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ 8,477,849 $ 166,000 $ 8,643,849 Public Works $ - $ - Program Expenditures Total $ 8,477,849 $ 166,000 $ 8,643,849 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ - $ - Contingency S 250,000 $ 250,000 Total Budget $ 8,727,849 $ 166,000 $ 8,893,849 Reserve For Future Expenditure $ 249,533 $ - $ 249,533 Total Requirements $ 8,977,382 $ 166,000 $ 9,143,382 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 2 of 11 Budget Amendment Budget General Fund Resources Beginning Fund Balance $ 11,191,655 $ 11,191,655 Property Taxes $ 14,762,850 $ 14,762,850 Franchise Fees $ 6,112,431 $ 6,112,431 Licenses &Permits $ 3,375,552 $ 3,375,552 Intergovernmental $ 5,809,893 $ 5,809,893 Charges for Services $ 2,568,504 $ 2,568,504 Fines&Forfeitures $ 807,789 $ 807,789 Interest Earnings $ 103,722 $ 103,722 Miscellaneous $ 56,432 $ 56,432 Other Financing Sources $ - $ - Transfers In from Other Funds $ 54,125 $ 54,125 Total Resources $44,842,953 $ $44,842,953 Requirements Community Development $ 3,822,643 $ 5,000 $ 3,827,643 Community Services $ 23,246,958 $ 23,246,958 Policy and Administration $ 837,595 $ 837,595 Public Works $ 4,372,438 S 4,372,438 Program Expenditures Total $32,279,634 $ 5,000 $32,284,634 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ 1,965,439 $ 1,965,439 Contingency S 970,000 $ (5,000) 5 965,000 Total Budget $35,215,073 $ - $35,215,073 Reserve For Future Expenditure $ 9,627,880 $ - $ 9,627,880 Total Requirements $44,842,953 $ - $44,842,953 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utidity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 3 of 11 Budget Amendment Budget Building Fund Resources Beginning Fund Balance $ 2,219,492 $ 2,219,492 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses &Permits $ 4,565,141 $ 4,565,141 Intergovernmental $ 8,281 $ 8,281 Charges for Services $ 7,035 $ 7,035 Fines &Forfeitures $ - $ - Interest Earnings $ 19,782 $ 19,782 Miscellaneous $ 932 $ 932 Other Financing Sources $ - $ - Transfers In from Other Funds $ 300,000 $ 300,000 Total Resources $ 7,120,663 $ - $ 7,120,663 Requirements Community Development $ 2,414,784 $ 8,000 $ 2,422,784 Community Services $ - $ - Policy and Administration $ - $ - Public Works $ - $ - Program Expenditures Total $ 2,414,784 $ 8,000 $ 2,422,784 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ - $ - Contingency $ 250,000 $ (8,000) $ 242,000 Total Budget $ 2,664,784 $ - $ 2,664,784 Reserve For Future Expenditure $ 4,455,879 $ - $ 4,455,879 Total Requirements $ 7,120,663 $ - $ 7,120,663 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 4 of 11 Budget Amendment Budget Parks Utility Fund Resources Beginning Fund Balancc $ 156,757 $ 156,757 Property Taxes $ $ Franchise Fees $ - $ - Licenses &Permits $ - $ - Intergovernmental $ - $ - Charges for Services $ 1,000,000 $ 1,000,000 Fines&Forfeitures $ - $ - Interest Earnings $ - $ - N iscellaneous $ - $ - Other Financing Sources $ - $ - Transfers In from Other Funds $ 1,535,000 $ 1,535,000 Total Resources $ 2,691,757 $ - $ 2,691,757 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ 2,460,582 $ 2,350 $ 2,462,932 Program Expenditures Total $ 2,460,582 $ 2,350 $ 2,462,932 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ - $ - Contingency $ 100,000 $ (2,350) $ 97,650 Total Budget $ 2,560,582 $ $ 2,560,582 Reserve For Future Expenditure $ 131,175 $ - $ 131,175 Total Requirements $ 2,691,757 $ - $ 2,691,757 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 5 of 11 Budget Amendment Budget Transportation Development Tax Fund Resources Beginning Fund Balance $ 1,279,290 $ 1,279,290 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses&Permits $ 1,785,000 $ 1,785,000 Intergovernmental $ - $ - Charges for Services $ - $ - Fines &Forfeitures $ - $ - Interest Earnings $ 11,279 $ 11,279 Miscellaneous $ - $ - Other Financing Sources $ - $ - Transfers In from Other Funds $ - $ - Total Resources $ 3,075,569 $ - $ 3,075,569 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ - $ - $ - Program Expenditures Total $ - $ - $ - Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ 87,486 $ 17,000 $ 104,486 Contingency $ 250,000 $ (17,000) $ 233,000 Total Budget $ 337,486 $ - $ 337,486 Reserve For Future Expenditure $ 2,738,083 $ - $ 2,738,083 Total Requirements $ 3,075,569 $ - $ 3,075,569 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utidity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 6 of 11 Budget Amendment Budget Street Maintenance Fee Fund Resources Beginning Fund Balance $ 1,510,308 $ 1,510,308 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses &Permits $ 2,239,103 $ 2,239,103 Intergovernmental $ - $ - Charges for Services $ - $ - Fines &Forfeitures $ - $ - Interest Earnings $ 2,043 $ 2,043 Miscellaneous $ 1,299 $ 1,299 Other Financing Sources $ - $ - Transfers In from Other Funds $ - $ - Total Resources $ 3,752,753 $ - $ 3,752,753 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ - $ S - Program Expenditures Total $ - $ - $ - Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ 1,985,000 $ 1,985,000 Transfers to Other Funds $ 313,900 $ 6,700 $ 320,600 Contingency $ 200,000 $ (6,700) $ 193,300 Total Budget $ 2,498,900 $ - $ 2,498,900 Reserve For Future Expenditure $ 1,253,853 $ - $ 1,253,853 Total Requirements $ 3,752,753 $ - $ 3,752,753 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Uddity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 7 of 11 Budget Amendment Budget Transportation SDC Fund Resources Beginning Fund Balance $ 54,000 $ 54,000 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses &Permits $ 1,614,750 $ 1,614,750 Intergovernmental $ - $ - Charges for Services $ - $ - Fines&Forfeitures $ - $ - Interest Earnings $ - $ - N iscellaneous $ - $ - Other Financing Sources $ - $ - Transfers In from Other Funds $ - $ - Total Resources $ 1,668,750 $ - $ 1,668,750 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ - $ - $ - Program Expenditures Total $ - $ - $ - Debt Service $ - $ - Loans $ - $ Work-In-Progress $ - $ - Transfers to Other Funds $ 221,015 $ 6,000 $ 227,015 Contingency S 50,000 $ (6,000) $ 44,000 Total Budget $ 271,015 $ - $ 271,015 Reserve For Future Expenditure $ 1,397,735 $ - $ 1,397,735 Total Requirements $ 1,668,750 $ - $ 1,668,750 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 8 of 11 Budget Amendment Budget Parks SDC Fund Resources Beginning Fund Balance $ 1,715,574 $ 1,715,574 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses&Permits $ 1,218,969 $ 1,218,969 Intergovernmental $ - $ - Charges for Services $ - $ - Fines &Forfeitures $ - $ - Interest Earnings $ 19,782 $ 19,782 Miscellaneous $ - $ - Other Financing Sources $ - $ - Transfers In from Other Funds $ - S Total Resources $ 2,954,325 $ - $ 2,954,325 Requirements Community Development $ $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ - $ - Program Expenditures Total $ - $ - $ Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ 1,506,045 $ 15,000 $ 1,521,045 Contingency $ 47,681 $ (15,000) $ 32,681 Total Budget $ 1,553,726 $ - $ 1,553,726 Reserve For Future Expenditure $ 1,400,599 $ - $ 1,400,599 Total Requirements $ 2,954,325 $ - $ 2,954,325 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 9 of 11 Budget Amendment Budget Sanitary Sewer Fund Resources Beginning Fund Balance $ 3,609,850 $ 3,609,850 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses &Permits $ 42,200 $ 42,200 Intergovernmental $ 383,000 $ 383,000 Charges for Services $ 1,664,796 $ 1,664,796 Fines &Forfeitures $ - $ - Interest Earnings $ 100,333 $ 100,333 Miscellaneous $ 143,091 $ 143,091 Other Financing Sources $ - $ - Transfers In from Other Funds S - S - Total Resources $ 5,943,270 $ - $ 5,943,270 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ 2,181,253 $ 61,100 $ 2,242,353 Program Expenditures Total $ 2,181,253 $ 61,100 $ 2,242,353 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ 1,160,111 $ 1,160,111 Transfers to Other Funds $ 164,726 $ 164,726 Contingency $ 400,000 $ (61,100) $ 338,900 Total Budget $ 3,906,090 $ - $ 3,906,090 Reserve For Future Expenditure $ 2,037,180 $ - $ 2,037,180 Total Requirements $ 5,943,270 $ - $ 5,943,270 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 10 of 11 Budget Amendment Budget Stormwater Fund Resources Beginning Fund Balance $ 4,488,732 $ 4,488,732 Property Taxes $ - S Franchise Fees $ - $ Licenses &Permits $ - $ - Intergovernmental $ - $ - Charges for Services $ 2,676,445 $ 2,676,445 Fines&Forfeitures $ - $ - Interest Earnings $ 7,936 $ 7,936 Miscellaneous $ 3,100 $ 3,100 Other Financing Sources $ - $ - Transfers In from Other Funds $ 93,500 $ 93,500 Total Resources $ 7,269,713 $ - $ 7,269,713 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ 1,999,819 $ 7,550 $ 2,007,369 Program Expenditures Total $ 1,999,819 $ 7,550 $ 2,007,369 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ 1,479,611 $ 1,479,611 Transfers to Other Funds $ 229,566 $ 229,566 Contingency- S 200,000 S (7,550) $ 192,450 Total Budget $ 3,908,996 $ - $ 3,908,996 Reserve For Future Expenditure $ 3,360,717 $ - $ 3,360,717 Total Requirements $ 7,269,713 $ - $ 7,269,713 FY17 Q2 - Exhibit A Q2FIN01 Credit card and bank fees are continuing to increase significantly across most city services. The increase in permit activity due to River Terrace has increased the number of credit card transactions in the General,Building,TDT,Transportation SDC and Parks SDC Funds. In addition,the Central Services Fund is seeing Utitlity Billing online credit card fees increase as charges for services on the utility bill increases. The total increase in operating expenditures across all funds is $185,000. Revised Q1 Q2 Revised Q2 Fund 11 of 11 Budget Amendment Budget Water Fund Resources Beginning Fund Balance $ 6,832,798 $ 6,832,798 Property Taxes $ - $ - Franchise Fees $ - $ - Licenses &Permits $ 74,808 $ 74,808 Intergovernmental $ - $ - Charges for Services $ 19,667,528 $ 19,667,528 Fines&Forfeitures $ - $ - Interest Earnings $ 30,644 $ 30,644 Miscellaneous $ 10,933 $ 10,933 Other Financing Sources $ - $ - Transfers In from Other Funds $ 58,751 $ 58,751 Total Resources $26,675,462 $ - $26,675,462 Requirements Community Development $ - $ - Community Services $ - $ - Policy and Administration $ - $ - Public Works $ 7,249,963 $ 56,300 $ 7,306,263 Program Expenditures Total $ 7,249,963 $ 56,300 $ 7,306,263 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ 11,406,027 $ 11,406,027 Contingency $ 100,280 S (56,300) $ 43,980 Total Budget $18,756,270 $ - $18,756,270 Reserve For Future Expenditure $ 7,919,192 $ - $ 7,919,192 Total Requirements $26,675,462 $ - $26,675,462 FY17 Q2 - Exhibit A Q2LIB01 The Library needs to increase the Bilingual Youth Services Librarian position from a current 0.50 FTE to a 0.80 FTE in order to meet the city's growing population of Spanish-speaking and bilingual families and children. In 2013, 16%of Tigard-Tualatin School District students spoke Spanish at home and the number continues to rise. The total cost of this FTE increase is $28,000 for salaries and benefits,including medical/dental,and will be made though a reduction in materials and professional services appropriation. FY17 Q2 - Exhibit A Q2PD01 The City of Tigard currently has one 1.0 FTE that is fully funded through an agreement with Metro for an outsourced detective. That position and funding expire at the end of January 2017 and the detective holding the position is retiring at that time as well. This request removes the authorized FTE as well as the associated intergovernmental revenue and appropriated personal services expenses to reflect this change. Revised Q1 Q2 Revised Q2 Budget Amendment Budget General Fund Resources Beginning Fund Balance $ 11491,655 $ 11,191,655 Property Taxes $ 14,762,850 $ 14,762,850 Franchise Fees $ 6,112,431 $ 6,112,431 Licenses&Permits $ 3,375,552 $ 3,375,552 Intergovernmental $ 5,809,893 $ (54,180) $ 5,755,713 Charges for Services $ 2,568,504 $ 2,568,504 Fines&Forfeitures $ 807,789 $ 807,789 Interest Earnings $ 103,722 $ 103,722 Miscellaneous $ 56,432 $ 56,432 Other Financing Sources $ - $ - Transfers In from Other Funds $ 54,125 S 54,125 Total Resources $44,842,953 $ (54,180) $44,788,773 Requirements Community Development $ 3,822,643 $ 3,822,643 Community Services $ 23,246,958 $ (54,180) $ 23,192,778 Policy and Administration $ 837,595 $ 837,595 Public Works $ 4,372,438 $ 4,372,438 Program Expenditures Total $32,279,634 $ (54,180) $32,225,454 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ 1,965,439 $ 1,965,439 Contingency $ 970,000 $ 970,000 Total Budget $35,215,073 $ (54,180) $35,160,893 Reserve For Future Expenditure $ 9,627,880 $ - $ 9,627,880 Total Requirements $44,842,953 $ (54,180) $44,788,773 FY17 Q2 - Exhibit A Q2PD02 The Police Department is in need of conducting a staffing study that was not included in the development of the FY 17 budget. This is an appropirate use of Criminal Forfeiture funds and staff is recommending a transfer of these funds to cover the study. The city has received the approval from the Federal Department of Justice to use these funds for the study. Funding will come from higher than anticipated fund balance. Revised Q1 Q2 Revised Q2 Budget Amendment Budget Criminal Foreiture Fund Resources Beginning Fund Balance $ 194,107 $ 50,000 $ 244,107 Property Taxes $ - $ Franchise Fees $ - $ - licenses &Permits $ - $ - Intergovernmental $ - $ - Charges for Services $ - $ - Fines&Forfeitures $ 43,000 $ 43,000 Interest Earnings $ 1,892 $ 1,892 Miscellaneous $ - $ - Other Financing Sources $ - $ - Transfers In from Other Funds $ - $ Total Resources $ 238,999 $ 50,000 $ 288,999 Requirements Community Development $ - $ - Community Services $ 150,000 $ 50,000 $ 200,000 Policy and Administration $ - $ - Public Works $ - $ - Program Expenditures Total $ 150,000 $ 50,000 $ 200,000 Debt Service $ - $ Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ 2,744 $ 2,744 Contingence S - S - Total Budget $ 152,744 $ 50,000 $ 202,744 Reserve For Future Expenditure $ 86,255 $ - S 86,255 Total Requirements $ 238,999 $ 50,000 S 288,999 FY17 Q2 - Exhibit A Q2PD03 The City receives Federal grant funds through a variety of agencies (State,local and non-profit) in order to support the overtime associated with dedicated patrols and specialized missions. This request recognizes the grant funds and the related increase in overtime appropriation. Revised Q1 Q2 Revised Q2 Budget Amendment Budget General Fund Resources Beginning Fund Balance $ 11,191,655 $ 11,191,655 Property Taxes $ 14,762,850 $ 14,762,850 Franchise Fees $ 6,112,431 $ 6,112,431 Licenses &Permits $ 3,375,552 $ 3,375,552 Intergovernmental $ 5,809,893 $ 28,702 $ 5,838,595 Charges for Services $ 2,568,504 $ 2,568,504 Fines&Forfeitures $ 807,789 $ 807,789 Interest Earnings $ 103,722 $ 103,722 Miscellaneous $ 56,432 $ 56,432 Other Financing Sources $ - $ - Transfers In from Other Funds $ 54,125 $ 54,125 Total Resources $44,842,953 $ 28,702 $44,871,655 Requirements Community Development $ 3,822,643 $ 3,822,643 Community Services $ 23,246,958 $ 28,702 $ 23,275,660 Policy and Administration $ 837,595 $ 837,595 Public Works $ 4,372,438 S 4,372,438 Program Expenditures Total $32,279,634 $ 28,702 $32,308,336 Debt Service $ - $ - Loans $ - $ - Work-In-Progress $ - $ - Transfers to Other Funds $ 1,965,439 $ 1,965,439 Contingency S 970,000 S 970,000 Total Budget $35,215,073 $ 28,702 $35,243,775 Reserve For Future Expenditure $ 9,627,880 $ - $ 9,627,880 Total Requirements $44,842,953 $ 28,702 $44,871,655 FY17 Q2 - Exhibit A