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Resolution No. 06-76 CITY OF TIGARD, OREGON TIGARD CITY COUNCIL RESOLUTION NO. 06-'_7 CP A RESOLUTION APPROVING BUDGET AMENDMENT#10 TO THE FY 2006-07 BUDGET TO ACCEPT AND EXPEND A STATE HOMELAND SECURITY GRANT FOR PURCHASE OF 800 MHZ RADIOS. WHEREAS, Public Works staff submitted, via the Police Department, a grant request to the State Homeland Security Grant program for purchase of 800 MHz hand held radios; and WHEREAS, during the first awarding of grants, the City was notified that it would not receive any grant revenues; and WHEREAS, the State Homeland Security Grant Program conducts a process on all unused award money at the end of their grant session; and WHEREAS, the State Homeland Security Grant Program has now notified the City that it will receive $22,225 in grant revenues to purchase seven (7) 800 MHz hand held radios, seven (7) spare heavy-duty,long life batteries,and a bank charger;and WHEREAS, it is necessary to amend the FY 2006-07 Budget to recognize the grant .revenues of $22,225 and to increase appropriations in the Public Works Department by the same amount. NOW,THEREFORE,BE IT RESOLVED by the Tigard City Council that: SECTION 1: The FY 2006-07 Budget of the City of Tigard is hereby amended as shown in Attachment A to this resolution to increase General Fund grant revenues by $22,225 and to increase appropriations in the Public Works Program by the same amount. SECTION 2: This resolution is effective immediately upon passage. PASSED: This 1`l day of E)2CQ- M 2006. c Mayor XCity of Tigard ATTEST: City Recorder- City of Tigard RESOLUTION NO. 06 - ` to Page 1 Attachment A FY 2006-07 Budget Amendment #10 FY 2006-07 Budget Revised Revised Amendment Revised Budget # 10 Budget General Fund Resources Beginning Fund Balance $7,801,614 $7,801,614 Property Taxes 10,225,860 10,225,860 Grants 322,130 22,225 344,355 Interagency Revenues 2,699,084 2,699,084 Development Fees&Charges 664,000 664,000 Miscellaneous Fees and Charges 307,325 307,325 Fines and Forfeitures 626,000 626,000 Franchise Fees and Business Tax 3,667,000 3,667,000 Interest Earnings 217,400 217,400 Other Revenues 26,000 26,000 Transfers In from Other Funds 2,707,028 2,707,028 Total $29,263,441 $22,225 $29,285,666 Requirements Community Service Program $12,456,168 $12,456,168 Public Works Program 2,977,412 22,225 2,999,637 Community Development Program 2,986,903 2,986,903 Policy&Administration Program 348,365 348,365 General Government 75,000 75,000 Program Expenditures Total $18,843,848 $22,225 $18,866,073 Debt Service $0 $0 Capital Projects $0 $0 Transfers to Other Funds $4,876,553 $4,876,553 Contingency $1,000,000 $1,000,000 Total Budget $24,720,401 $22,225 $24,742,626 Ending Fund Balance 4,543,040 4,543,040 Total Requirements $29,263,441 $22,225 $29,285,666