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HomeMy WebLinkAboutResolution 1998-009 RESOLUTION NO. 1998-009 RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ATASCADERO,CALIFORNIA AMENDING 1997-98 FISCAL YEAR BUDGET RESOLUTION 62-97 NOW, THEREFORE BE IT RESOLVED, by the City Council of the City of Atascadero that the Fiscal Year 1997-98 Budget is amended as follows: SECTION 1. The revenue and appropriation amounts for each fund are adjusted by the amounts shown in Exhibit A,made a part of this resolution. SECTION 2. These changes are effective immediately upon adoption of this resolution. On motion by Council Member Johnson and seconded by Council Member Luna, the foregoing resolution is hereby adopted in its entirety on the following roll-call vote: AYES: Council Members Clay,Johnson,Lerno,Luna and Mayor Carden NOES: None ABSENT: None ADOPTED: February 10, 1998 C A R � By: OLD L. C EN, ,Mayor ATTEST: MARCIA M.TORGERSON, ity Clerk At ROVED AS TO FORM: ROY .HANLE , City rney EXHIBIT A 1997-98 1997-98 Adopted Adjusted Budget Adjustments Budget REVENUES Taxes $ 5,315,800 $ 5,315,800 Permits&Fees 256,400 (45,000) 211,400 Intergovermental 1,241,823 68,215 1,310,038 Charges for Services 838,650 - 838,650 Fines&Forfeitures 51,820 51,820 Revenues from Use of Money 25,000 100,000 125,000 Other Revenues 114,985 37,700 152,685 Total revenues $ 7,844,478 $ 160,915 $ 8,005,393 EXPENSES BY DEPARTMENT City Council $ 25,390 $ 6,550 $ 31,940 City Clerk 51,210 4,300 55,510 City Treasurer 4,300 (260) 4,040 Legal and Code Enforcement 123,920 14,310 138,230 City Manager 149,570 41,030 190,600 Personnel and Recruitment 59,490 2,650 62,140 Finance 189,080 1,610 190,690 Risk Management 278,470 4,980 283,450 Non-Departmental 600,280 (7,190) 593,090 Police 2,307,420 25,700 2,333,120 Police-Grants&Special 267,703 (9,385) 258,318 Fire 1,353,925 13,880 1,367,805 Weed Abatement 40,000 100 40,100 Comm.Development Admin. 148,530 (31,520) 117,010 Planning 238,970 (16,460) 222,510 Building 173,130 (220) 172,910 Engineering 140,650 140,650 Comm.Services Admin. 95,120 (3,150) 91,970 Recreation 351,320 (2,480) 348,840 Parks 306,320 13,280 319,600 Lake Pavilion 83,400 6,425 89,825 Zoo 337,770 700 338,470 Building Maintenance 176,570 45,630 222,200 Reserves&Contingencies 323,000 50,000 373,000 Transfers Out 18,000 18,000 Total expenses $ 7,843,538 $ 160,480 $ 8,004,018 Pagel of 3 EXHIBIT A 1997-98 1997-98 Adopted Adjusted Budget Adjustments Budget GAS TAX FUND Revenues $ 470,000 $, 49,860 $ 519,860 Expenditures 476,070 190,140 666,210 COMMUNITY DEVELOPMENT BLOCK GRANT FUND Revenues - 424,570. 424,570 Expenditures - 424,570 424,570 TRANSIT/DIAL-A-RIDE Revenues 439,610 15,000 454,610 Expenditures 439,610 15,000 454,610 WASTEWATER OPERATIONS&FACILITIES Revenues 1,584,220 - 1,584,220 Expenditures 2,282,040 10,000 2,292,040 CAPITAL PROJECTS FUND Revenues 11480,910 (6,360) 1,474,550 Expenditures 1,504,160 (50,085) 1,454,075 LOCAL TRANSPORTATION FUND-NON TRANSIT - Revenues 95,080 - 95,080 Expenditures 224,690 8,500 2332190 SIDEWALK IN LIEU FEES Revenues .2,500 - 2,500 Expenditures 36,850 - 36,850 AMAPOA/TECORIDA DRAINAGE FUND Revenues 20,000 _ - 20,000 Expenditures 146,510 21,000 167,510 GROWTH MITIGATION-STREETS&BRIDGES IMPACT FEES Revenues 75,000 - 75,000 Expenditures 628,790 (11,800) 616,990 GROWTH MITIGATION-DRAINAGE IMPACT FEES Revenues 41,500 - 41,500 Expenditures 305,440 (32,260) 273,180 Page 2 of 3 EXHIBIT A 1997-98 1997-98 Adopted Adjusted Budget Adjustments Budget POLICE IMPACT FEES Revenues 21,000 - 21,000 Expenditures 21,000 - 21,000 FIRE IMPACT FEES Revenues 46,500 - 46,500 Expenditures ' 35,680, - 35,680 PARKS&RECREATION IMPACT FEES Revenues 75,500 75,500 Expenditures 37,400 - 37,400 STREET MAINTENANCE DISTRICTS FUND Revenues 3,600 - 3,600 Expenditures - - TREE PLANTING FUND Revenues - - - Expenditures 2,000 - 2,000 Page 3 of 3