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Resolution No. 78-11 CITY OF TIGARD, OREGON RESOLUTION No. 78-y(_ A RESOLUTION ADOPTING A SUPPLEMENTAL BUDGET AND MAKING APPROPRIATIONS FOR THE CITY OF TIGARD FOR THE YEAR ENDING JUNE 30, 1978. WHEREAS, the Tigard City Council has held a duly advertised public hearing on a proposed supplemental budget to make provision for the appropriation of previously unanticipated revenues from the following sources and in the noted amounts: General Fund State Revenue Sharing - additional estimate of funds to be received in 77-78 $23,500 CETA Special Projects , reimbursement in support of special project 1,940 State Library Grant - funds for improving library 3,000 LCDC - last portion of grant funds for FY 76-77 received in September, 1977 1,813 TOTAL $ 30,253 Road Fund Gas Tax imposed by Washington County after § budget was prepared 11,000 Park & Recreation Development Fund Ordinance imposing fees adopted August, 1977 20,000 Sewer Fund Unanticipated Cash Carry Over 14,242 State Tax Street Fund Unanticipated Cash Carry Over 26,759 Federal Revenue Sharing Fund Unanticipated Cash Carry Over 13,588 TOTAL RESOURCES $115,842 WHEREAS, the Tigard City Council has determined that it is necessary to increase the appropriations over the amount originally estimated for the General Fund and the Revenue Sharing Fund for the fiscal year ending June 30, 1978. f : NOW, THEREFORE, E BE IT RESOLVED THAT: Section 1: The proposed supplemental budget, as amended by action of the City Council in public session, and as displayed on the attached document entitled City of Tigard 1977-78 Supplemental Budget, is hereby c '.' adopted and the amounts displayed thereon for the indicated purposes are hereby appropriated for the fiscal year ending June 30, 1978. 5` PASSED: Thisda/ Y of �rKu r.., , 1978. I ATTEST: Mayor T t RESOLUTION No. 78- / Recorder CITY OF TIGARD. NOTICE OF SUPPLEMENTAL BUDGET aEARING A public hearing on a proposed supplemental budget for the City•of Tigard for the fiscal year 1977-78, will be held in the Lecture Room at Fowler Junior •• High School, 10865 SW T?alnet Street, Tigard, Oregon on February 13, 2978, at 8;00 P.M. Copies of the supplemental budget are available without charge at the office of the . City Recorder. The budget may be inspected by interested persons at the office.of. ,a the City Recorder during regular office hours. Any person may appear at the public:: hearing on the spplemental budget, and discuss the budget or any part of it. . . = RESOURCES General Fund State Revenue Sharing .- additional estimate of funds to be received in 77-78 $23,500 CETA Special Projects - reimbursement in support of special project 1,940 State Library Grant - funds for improving library 3,000 LCDC - last portion of grant funds for FY 76-77 received in September 1977 1,813 TOTAL $ 30,253 Road Fund Gas Tax imposed by Washington County after budget was prepared $ 11,000 Park & Recreation Development Fund Ordinance imposing fees adopted August, 1977 $ 20,000 Sewer Fund Unanticipated Cash Carry Over $ 14,242 State Tax Street Fund Unanticipated Cash Carry Over $ 26,759 Federal Revenue Sharing Fund Unanticipated Cash Carry Over $_ 13,588 TOTAL RESOURCES $I15t OPERATIONAL BUDGET 1. COMMUNITY PROTECTION POLICE SERVICES. 1.1 1.1.3 Services Division Capital Outlay - Building Construction & Improvements - expansion of police facilities $ 8,500 Funding Source State Revenue Sharing Funds y 8,500 1.4• PLANN1,14 & ZONING 1.4.1 Current Planning Division Materials & Services - phone $ 70 Capital Outlay - office furniture 700 TOTAL $ 770 1.4.2 Advance Planning Division Materials & Services to cover printing of technical reports ,• Materials & Services in support of CETA special project data base survey. 1,940 _ TOTAL $ 3,753 _ - Funding Source L.C.D.C. portios of grant funds, for _ FY 1976-77 received in September of current budget year $ 1,813 C.E.T.A. Special Projects - reimbursement 1,940 State Revenue Sharing Funds 770 TOTAL $ 4,523 2. HOME AND COMMUNITY QUALITY 2.1 PUBLIC WORKS "2.1.4 Park Division Capital Outlay - machinery & equipment $ 5,410 Funding Source _ State Tax Street Fund $ 5,410 3. SOCIAL SERVICES 3.1 -LIBRARY 3.1-3.Operation & Maintenance Division Capital Outlay - equipment &carpeting for library $ 3,000 3.1.2 Tecbnical Services Division Capital Outlay - shelving 500 TOTAL $ 3,500 ' Funding Source State Library Grant $ 3,000 State Revenue Sharing Funds 500 TOTAL 3,500 3.43 YOUTH SERVICE 3.3.1 Support to Tigard Community Youth Service $ 7,500 Funding Source State Revenue Sharing Funds $ 7,500 4. POLICY &ADMINISTRATION 4.2 CITY ADMINISTRATOR 4.2.2 Staff Functions Division Capital Outlay - office equipment $ 720 Funding Source State Ravenue Sharing $ 720 5. CITY WIDE SUPPORT FUNCTIONS -5.1 NON-DEPARTMENTAL FUNCTIONS 5.1.11 Contractual Services - secure accounting system analysis and revision $ 4,500 Funding'Source Federal Revenue Sharing $ 4,500 _. 5.1.19 CONTINGENCY DIVISION $ 6L,189 Funding Source General Fund $ 5,510 Sewer Fund 14,242 State Tax Street Fund- 21,349 Federal Revenue Sharing 9,088 County Road Fund 11,000 TOTAL $61,189 6• CAPITAL BUDGET 6.2"':-HOME? AND COMMMITY QUALITY Parks Acquisition & Development Division 6..2'.1.3-..Land Acquisition& Development Area #1 $ 6,000 L.3 Land Acquisition & Development Area #2 14,000 TOTAL $ 20,000 Funding Source Park & Recreation Development Funds $20,000 TOTAL EXPENDITURES $ 15.842 TT Publish January 25, 1978 ppf Y 1/12/78 SUPPLEMENTAL BUDGET 77 - 78 RESOURCES $23,500 State Revenue Sharing Funds Total funds estimated to be received in 1977-78 $73,500. Budget Committee allocated $50,000 when they prepared budget, leaving $23,500 to be appropriated. $11,000 County Road Tax Result of tax imposed by Washington County after budget was prepared. It is anticipated the City will receive only one-quarter of funds this fiscal year. Conservative estimate for city's share is $11,000. $ 1,940 CETA Special Projects (In and Out) Reimbursement by CETA in support of CETA special project as approved by Council. $ 3,000 State Library Grant - (In and Out) Funds for improvement of library. $20,000 Park and Recreation Funds Ordinance imposing the fees adopted in August of 1977 and was not included in 1977-78 budget. $54,589 Unanticipated Cash Carry Over Cash in dedicated funds carried over from last fiscal year. Sewer Fund $14,242; State Tax Street Fund $26,579. Federal Revenue Sharing Fund $13,588. ;s7 $ 1,813 L.C.D.C. (In and out) City received last portion of grant funds for FY 1976-77 in September of current budget year. a I n d ami. .m Eo w Ln E rn r 'r >. 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