HomeMy WebLinkAboutResolution 67-92 RESOLUTION NO. 67-92
RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF ATASCADERO APPROVING A BUDGET FOR THE
1992-93 FISCAL YEAR AND APPROPRIATING FUNDS THEREOF
BE IT RESOLVED by the Atascadero City Council as follows:
Section One: Pursuant to provisions of the Government Code,
a budget is hereby approved, per the attached exhibit A entitled
"Annual Appropriations by Fund, by Department", and as may be
amended by City Council for the City of Atascadero for Fiscal
Year 1992-93;
Section Two: The attached exhibit B, entitled "Revenue
Projections by Fund" and Exhibit C, entitled "Schedule of
Interfund Transfers", are also hereby approved, and as may be
amended by City Council for the City of Atascadero for Fiscal
Year 1992-93;
Section Three: The City Manager or his designee, may
transfer appropriations within, but not between, each of the
departmental appropriations, as required to achieve the orderly
and efficient functioning of the City; and
Section Four: The Council, from time to time, by motion may
approve additional appropriations, as they deem necessary.
On motion by Councilperson Luna, seconded by Councilperson
Kudlac, the foregoing resolution is hereby adopted in its
entirety on the following roll call vote:
AYES: Councilmembers Borgeson, Bewley, Luna, Kudlac and Mayor
Nimmo
NOES: None
ABSENT: None
ADOPTED: July 14, 1992
CITY OF ATASCADERO
By:
ATTEST: Robert P. Nimmo, Mayor
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Resolution No. 67-92
Page 2
APPROVED AS TO FORM:
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RESO'L'UTION NO. 67-92
EXHIBIT "A„
Page 1
EXHIBIT A: ANNUAL APPROPRIATIONS BY FUND, BY DEPARTMENT C
FISCAL YEAR 2992-93
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DEPARTMENT AMOUNT
----------___----------------- ___--__--
FUND 001 - GENERAL FUND
City Council 26,925
City Clerk 45,925
City Treasurer 4,105
City Attorney 80,000
City Manager 135,050
Police 2,183, 190
Fire 1,052,750
Public Works/Engineering & Administration 241,200
Community Development/Administration 181, 120
Community Development/Planning 251,550
Community Development/Building 216,840
Community Development/Code Enforcement 59,950
Community Services/Administration 31,600
Community Services/Parks 326,005
Community Services/Building Maintenance 202,750
Community Services/Streets 390,000
Personnel 657525
Finance 272,450
Risk Management 250,750 i
Equipment Replacement 75,500
Non-Department 387,300
Community Group Funding 20,400
------
TOTAL GENERAL FUND 6,500,335
FUND 002 - GAS TAX
Streets/Gas Tax 222,000
FUND 015 - ZOO OPERATIONS
Zoo Operations 220,340
Capital Improvements 0
TOTAL ZOO ENTERPRISE 220,340
FUND 200 DIAL-A-RIDE:
Dial-A-•Ride Operations 315,475
Capital Improvements 0
TOTAL DIAL-A-RIDE 315,475
FUND 201 - WASTEWATER
Wastewater Operations 1,142:,455
Capital Improvements 1,232,500
TOTAL WASTEWATER N2.424,955
FUND 202 - PARK CONCESSIONS
Park Concession Operations 23,200
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RESOLUTION NO. 67-92-
EXHIBIT
7-92EXHIBIT "A"
Page 2
EXHIBIT A: ANNUAL APPROPRIATIONS BY FUND, BY DEPARTMENT
FISCAL YEAR 1992-93
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DEPARTMENT AMOUNT
FUND 203 - PAVILION
Pavilion Operations 38,290
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FUND 204 - AQUATICS
Aquatics 30,260
FUND 205 - RECREATION
Recreation Operations 401,725
FUND 301 - TREE PLANTING TRUST
Tree Planting Activities 41000
FUND 307 - EMERGENCY SERVICES
Emergency Preparedness 12,000
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FUND 310 - POLICE TRAININGG TRUST
Police Training 20,000
FUND 311 - WEED ABATEMENT TRUST
Weed Abatement 40,000
FUND 403 - ASSESSMENT DISTRICT #3/REDEMPTION
Assessment District #3 6,420
FUND 404 - ASSESSMENT DISTRICT #4/REDEMPTION
Assessment District #4 102,000
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FUND 405 - ASSESSMENT DISTRICT #5/REDEMPTION
Assessment District x5 56,356
FUND 452 - C.O.P.-REDEMPTION
C.O.P. Debt Service 202,400
FUND 500 - CAPITAL PROJECTS FUND
Capital Improvements 2,406,300
FUND 731 STREET MAINTENANCE DISTRICTS
Street Maintenance Districts 30,000
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GRAND TOTAL 13,057, 106
VOTE: Interfund Transfers are only included in Exhibit C.
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RESOLUTION NO. 67-92
EXHIBIT "B"
FXHIBIT B: REVENUE PROJECTIONS BY FUND, FISCAL YEAR 1992-93 C
FUND AMOUNT
FUND 001 - General Fund _~_-----------6'581,500
454,500
FUND 002 - Gas Tax 3,000
FUND 013 - Assessment District #4/Reserve 157,000
FUND 015 - Zoo Operations 356,000
FUND 200 - Dial-A-Ride 971,700
FUND 201 - Wastewater 35,050
FUND 202 - Park Concessions 40,000
FUND 203 -= pavilion 29,435
FUND 204 - Aquatics
325,485
FUND 205 - Recreation 4,000
FUND 301 - Tree Planting Trust 5,000
FUND 306 - Sidewalk Trust 12,000
FUND 307 - Emergency Services -20,000
FUND 310 - Police Training 42,000
FUND 311 - Weed Abatement 6,424
FUND 403 - Assessment District #+3/Redemption 107,233
FUND 404 - Assessment District T4/Redemption 43,000
FUND 405 - Assessment District *5/Redemption 12,400
FUND 452 - C.O.P. Redemption X8,500
FUND 500 - Capital Projects Fund15,000
t FUND 550 - Police Impact Fees
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FUND 575 - Fire Impact Fees 1,00075,000
FUND 600 - Parks Impact Fees 65,000
FUND 700 - Drainage Impact Fees 25,000
FUND 701 - Amapoa/Tecorida Impact Fees 125,004
FUND 705 - Streets & Bridges Impact Fees 5,100
FUND 731 - Street Maintenance Districts 87,340
FUND 732 - TDA/Non-Transit
GRAND TOTAL 9,372,623
NOTE: Interfund Transfers are only included in Exhibit C.
RESOLUTION NO. 67-92
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EXHIBIT "C"
EXHIBIT C: SCHEDULE OF INTERFUND TRANSFERS, FISCAL YEAR 1992-93
FROM FUND TO FUND AMOUNT PURPOSE
�. General Fund Zoo Operations 75,000 Operating Support
General Fund Recreation 77,065 Operating Support
General Fund COP Debt Srvc 100,000 Debt Service
Gas Tax General Fund 5,000 Engineering Support
Gas Tax Capital Projects 556,000 Capital Improvements
AD*4/Reserve ADO/Redemption 3,000 Debt Service
Dial-A-Ride General Fund 75,000 Overhead Support
Wastewater General Fund 97,500 Overhead Support
Tree Planting Capital Projects 10,000 Capital Improvements
AD#3/Redemption Wastewater 6,420 Debt Service
Police Impact Capital Projects 3,550 Capital Improvements
Police Impact COP Debt Srvc 58,000 Debt Service
Fire Impact Capital Projects 3,550 Capital Improvements
Paries Impact Capital Projects 26,250 Capital Improvements
Parks Impact COP Debt Srvc 32,000 Debt Service
Drainage Impact Capital Projects 55,000 Capital Improvements
Amapoa/Tecorida Capital Projects 135,000 Capital Improvements
Street & Bridge Capital Projects 595,250 Capital Improvements
TDA/Non-Transit Capital Projects 787,250 Capital Improvements
GRAND TOTAL 2,700,335
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