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Resolution No. 05-56 CITY OF TIGARD, OREGON RESOLUTION NO. 05-5& A RESOLUTION APPROVING BUDGET AMENDMENT #2 TO THE FY 2005-06 BUDGET TO CARRY OVER FUNDS IN THE PUBLIC WORKS PROGRAM FOR REPLACEMENT VEHICLES. WHEREAS, in FY 2004-05 the Public Works Depar trent budgeted to replace several vehicles; and WHEREAS,the Depaitnent ordered these vehicles in late spring of 2005; and WHEREAS, due to delays in ordering the vehicles will be received after July 1,2005; and WHEREAS, the vehicles were not received until FY 2005-06, and according to Generally Accepted Accounting Principles,the expense must be recorded in FY 2005-06; and WHEREAS, fw-ids not spent in FY 2004-05 were carried forward into FY 2005-06; and WHEREAS, it is now necessary to amend the FY 2005-06 Budget to allow expenditure of funds carried forward. NOW,TI-JEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2005-06 Budget is hereby amended as shown in Attaclunent A to this resolution to transfer $25,008 fiom the Fleet/Property Management Fund Contingency, $13,247 from the Sanitary Sewer Fund contingency, and $22,254 from .the General Fund contingency to the Public Works Department's Property Management, Sanitary Sewer, and Street Maintenance Divisions for purchase of the replacement vehicles. SECTION 2: This resolution is effective immediately upon passage. PASSED: Tli SO day ofvn �/ 2005. Mayor- ity,of Tigard ATTEST: YU (4ityRecorder- City of Tigard RES OLUTION NO. 05 - Page 1 Attachment A FY 2005-06 Budget Amendment # 2 FY 2005-06 Budget FY 2005-06 Adopted Amendment Revised Bud et #2 Budget General Fund Resources Beginning Fund Balance $8,671,679 $8,671,679 Property Taxes 9,582,474 9,582,474 Grants 415,656 415,656 Interagency Revenues 2,459,839 2,459,839 Development Fees & Charges 512,510 512,510 Miscellaneous Fees and Charges 252,360 252,360 Fines and Forfeitures 650,827 650,827 Franchise Fees and Business Tax 3,069,234 3,069,234 Interest Earnings 204,000 204,000 Other Revenues 25,000 25,000 Transfers In from Other Funds 2,677,233 2,677,233 Total $28,520,812 $0 $28,520,812 Requirements Community Service Program $11,969,249 $11,969,249 Public Works Program 2,629,088 22,254 2,651,342 Development Services Program 2,941,422 2,941,422 Policy&Administration Program 343,085 343,085 Program Expenditures Total $17,882,844 $22,254 $17,905,098 Debt Service $0 $0 Capital Improvements $0 $0 Transfers to Other Funds $4,507,732 $4,507,732 Contingency $1,000,000 ($22,254) $977,746 Total Requirements $23,390,575 $0 $23,390,575 Ending Fund Balance $5,130,237 $5,130,237 Grand Total $28,520,812 $0 $28,520,812 1 Attachment A FY 2005-06 Budget Amendment # 2 FY 2005-06 Budget FY 2005-06 Adopted Amendment Revised Budget #2 Budget Sanitary Sewer Fund Resources Beginning Fund Balance $8,569,263 $8,569,263 Utiltity Fees and Charges 2,074,957 2,074,957 Interest Earnings 188,000 188,000 Other Revenues (5,000) (5,000) Transfers In from Other Funds 0 0 Total $10,827,220 $0 $10,827,220 Requirements Public Worcs Program $899,832 13,247 $913,079 Program Expenditures Total $899,832 $13,247 $913,079 Debt Service $0 $0 Capital Improvements $2,990,000 $2,990,000 Transfers to Other Funds $574,216 $574,216 Contingency $679,000 ($13,247) $665,753 Total Requirements $5,143,048 $0 $5,143,048 Ending Fund Balance 5,684,172 5,684,172 Grand Total $10,827,220 $0 $10,827,220 2 Attachment A FY 2005-06 Budget Amendment # 2 FY 2005-06 Budget FY 2405-06 Adopted Amendment Revised Bud et #2 Budget Fleet/Property Management Fund Resources Beginning Fund Balance $60,000 $60,000 Interest Earnings 3,350 3,350 Transfers In from Other Funds 1,258,707 1,258,707 Total $1,322,057 $0 $11322,057 Requirements Public Works Program $1,141,217 25,008 $1,166,225 Program Expenditures Total $1,141,217 $25,008 $1,166,225 Debt Service $0 $0 Capital Improvements $0 $0 Transfers to Other Funds $82,348 $82,348 Contingency $90,000 ($25,008) $64,992 Total Requirements $1,313,565 $0 $1,313,565 Ending Fund Balance 8,493 8,493 Grand Total $1,322,057 $0 $1,322,057 3