Loading...
HomeMy WebLinkAboutResolution 055-87 RESOLUTION NUMBER 55-87 RESOLUTION OF THE CITY COUNCIL THE THE CITY OF ATASCADERO APPROVING A BUDGET FOR THE 1987-88 FISCAL YEAR AND APPROPRIATING FUNDS THEREOF BE IT RESOLVED the the Atascadero City Council as follows: SECTION l: Pursuant to provisions of the Government Code, a budget is hereby approved, per attachments entitled Budqet, Fiscal Year 1987-88 , and as may be amended by City Council for the City of Atascadero for Fiscal Year 1987-88 . SECTION 2: The City Manager may transfer appropriations within, but not between, each of the departmental activities, as required to achieve the orderly and efficient functioning of the City. SECTION 3 : The Council, from time to time, by motion, may approve additional appropriations, as they deem necessary. On motion by Councilperson BOURBEAU and seconded by Councilperson MACKEY the foregoing resolution is hereby adopted in its entirety on the following roll call vote : AYES: COUNCILMEMBERS BORGESON, BOURBEAU, HANDSITY, MACKEY & MAYOR NORRIS NOES: NONE ABSENT: NONE ADOPTED: 6/23/87 CITY OF ATASCADERO BARBARA NORRIS ATTEST: Mayor /a BOYD C. SHA ITZ, City Clerk By: CINDY WII,KI S Deputy City Clerk Y p APPROVED AS TO CONTENT MICHAEL B. SHEL`z'ON, City Manager APPROVED AS TO FORM EYRG SEN, City Attorney GENERAL FUND EXPENDITURES 1987-88 DEPARTMENT BUDGET City Council $ 33, 434 City Clerk 47 ,224 City Treasurer 2, 403 City Manager 108 ,901 Administrative Services 609 , 079 City Attorney 45 , 091 Community Development 533, 142 Police 1., 340,709 Fire 728 , 309 Recreation 253 , 969 Parks 212,827 Zoo -0- Engineering 122, 814 Streets 366 ,413 Building Maintenance 156 , 704 112',265 (*) Non-Departmental zXiM 3 Sub-Total $4,670 ,284 (*) Contribution to Zoo Enterprise 117,774 Contribution to Capital 249, 000 Project Fund 0 Total $5, 045, 058 (*) (* Amended by Council 6/23/87) ZOO ENTERPRISE FUND BUDGET SUMMARY 1987-88 REVENUE BUDGET Gate Receipts $ 74 ,500 Contribution from General Fund 117 ,774 Total $192 ,274 EXPENDITURES Salaries & Benefits $110 ,582 Services & Supplies 46 ,192 Contribution to General Fund-Admin. Chg. 6 , 000 Capital Outlay/Improvements 29 ,500 Total $192 ,274 113 GAS TAX FUND BUDGET SUMMARY 1986-87 1987-88 BUDGET BUDGET REVENUE State Allocation $ 238 , 891 $ 255 ,897 Fund Balance 116 , 868 0 Total $ 355 ,759 $ 255 , 897 EXPENDITURES Street Resurfacing $ 318 ,759 $ 193 ,797 Street Lighting 37,000 39 ,000 Signs 0 6 ,300 Pavement Marking 0 16 ,800 Total $ 355 ,759 $ 255 ,897 131 LOCAL TRANSPORTATION FUND BUDGET SUMMARY 1986-87 1987-88 REVENUE BUDGET BUDGET Handicap System $ 24 ,111 $ 26 ,000 Dial-a-Ride Operations 197 ,325 222 ,545 North Coastal Transit 5 , 940 6 ,500 Investment Earnings 10 ,000 10 ,000 Dial-a-Ride Fares 31,060 30 ,000 LTF Street Maintenance 34 ,200 34 ,200 Street Maintenance (TDA) 85 ,567 96 ,423 STA Street Maintenance 10 , 097 17 ,271 Misc. 174 500 Depreciation Fund Balance 20 ,000 24 ,000 Total $ 418 ,474 $ 467,439 EXPENDITURES Dial-a-Ride Contract $ 161 , 000 $ 169,050 Dial-a-Ride Maintenance 40 , 060 44 , 350 Personnel Costs 5 ,080 6 ,405 Handicap System 24 ,110 26 ,000 North Coastal Transit, 6 ,000 6 ,500 Misc. 2 ,360 2 ,740 Depreciation 40 ,000 44 ,000 Street Resurfacing 139 , 864 168 ,394 Total $ 418 , 474 $ 467,439 138