Loading...
Resolution No. 06-53 CITY OF TIGARD, OREGON TIGARD CITY COUNCIL RESOLUTION NO. 06-J3 A RESOLUTION APPROVING BUDGET AMENDMENT #4 TO THE FY 2006-07 BUDGET TO INCREASE APPROPRIATIONS IN THE GAS TAX CAPITAL PROJECT BUDGET WITHIN THE COMMUNITY INVESTMENT PROGRAM FOR ADDITIONAL FUNDING FOR THE HALL BOULEVARD SIDEWALK PROJECT. WHEREAS, the Hall Boulevard Sidewalk total project cost was estimated to be $286,725; and WHEREAS, a Community Development Block Grant will fund$136,725 of the total cost; and WHEREAS, the Community Development Block Grant revenue was included in the FY 2006-07 budget; and WHEREAS, during the budget process, only $150,000, which was the portion of the project to be funded by Gas Tax revenues,was appropriated in the FY 206-07 Budget; and WHEREAS, the project was bid and staff recommended that the bids be rejected at the August 8, 2006 City Council meeting; and WHEREAS, the project will be re-bid in early 2007 and it is likely that construction costs will increase; and WHEREAS, staff is requesting that appropriations be increased to fund the total estimated project cost of$300,000; and WHEREAS, it is now necessary to amend the FY 2006-07 Budget to increase appropriations in the Gas Tax Capital Projects budget so adequate funding is available when the project is re-bid. NOW,THEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2006-07 Budget is hereby amended as shown in Attachment A to this resolution to transfer$150,000 from the Gas Tax Fund Contingency to the Gas Tax Capital Projects budget for additional funding for the Hall Boulevard Sidewalk Project. SECTION 2: This resolution is effective immediately upon passage. RESOLUTION NO. 06 -,6-3 Page 1 PASSED: This �S — day of–/4c2006. C Mayor City of Tigard ATTEST: City Recorder- City of Tigard RESOLUTION NO. 06 - � Page 2 Attachment A FY 2006-07 Budget Amendment # 4 FY 2006-07 Budget Adopted Adopted Amendment Revised Budget #4 Budget Gas Tax Fund Resources Beginning Fund Balance $2,527,366 $2,527,366 Grants 228,025 228,025 Interagency Revenues 2,393,000 2,393,000 Development Fees &Charges 18,000 18,000 Interest Earnings 35,000 35,000 Other Revenues 127,642 127,642 Transfers In from Other Funds 0 0 Total $5,329,033 $0 $5,329,033 Requirements Community Development Program 460,000 460,000 Program Expenditures Total $460,000 $0 $460,000 Debt Service $0 $0 Capital Projects $2,885,000 $150,000 $3,035,000 Transfers to Other Funds $1,582,352 $1,582,352 Contingency $400,000 ($150,000) $250,000 Total Budget $5,327,352 $0 $5,327,352 Ending Fund Balance 1,681 1,681 Total Requirements $5,329,033 $0 $5,329,033