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HomeMy WebLinkAboutRES NO 110-97(1)RESOLUTION A RESOLUTION AMENDING RESOLUTIONS NO. 110-97 AND 111-97 ADOPTING THE OPERATING, CAPITAL IMPROVEMENT PROGRAM AND CENTRAL DISTRICT DEVELOPMENT AGENCY BUDGETS FOR THE CITY OF BAKERSFIELD, CALIFORNIA, FOR THE FISCAL YEAR 1997-98. WHEREAS, in accordance with the Charter of the City of Bakersfield and applicable ordinances, the City Council of said City adopted Resolution Nos. 110-97 and 111-97, adopting the Operating, Capital Improvement Program and Central District Development Agency Budgets for the City of Bakersfield, California, for the fiscal year 1997-98 on June 25, 1997; and, WHEREAS, the City desires to make amendments thereof; NOW, THEREFORE, BE IT RESOLVED by the Council of the City of Bakersfield as follows: 1. That the Operating, Capital Improvement Program and Central District Development Agency Budgets for the City of Bakersfield, California, for the fiscal year 1997-98, as adopted by Resolution Nos. 110-97 and 111-97, are hereby further amended to reflect the changes included in Exhibit "A". 2. That the said Budgets for said fiscal year 1997-98, so amended, shall be the Budgets for the City of Bakersfield, California, for said fiscal year 1997-98 as contemplated to be made by this Council. 3. That the said Budgets for said fiscal year 1997-98 shall total $267,044,690, with the Operating and Debt Service (which includes the Community Development Block Grant) Budget totaling $185,171,062, the Capital Improvement Program totaling $76,090,533, and the Central District Development Agency Budget totaling $5,783,095. 4. That the City Clerk shall certify to the adoption of the resolution, and henceforth and hereafter the same shall be in full force and effect. .......... O00 .......... by the I HEREBY CERTIFY that the foregoing Resolution was passed and adopted Council of the City of Bakersfield at a regular meeting thereof held on AI~R 2 2 19~ by the following vote: AYES: COUNCILMEMBER DeMOND, CARSON, SMITH, McDERMOTT, ROWLES, SULLIVAN, SALVAGGIO NOES: COUNCILMEMBER ABSTAIN: COUNCILMEMBER ~1~,~ o ~ __ A~ENT: COUNCILMEMBER CITY CLERK and Ex Officio C,lb_~ of the Council of the City of Bakersfie~ld APPROVED APR 2 2 1~ BO MAYOR of the City of Bakersfield APPROVED as to form: ~' ORN f the City of Bakersfield DWH.jp AMEND97-98 Attachment - 2 ORIGIN,~L CITY OF BAKERSFIELD FISCAL YEAR 1997- 98 BUDGET AMENDMENTS DATE FUND ITEM AMOUNT COMMENTS 07/16/97 311 07/16/97 151 07/16/97 121 07/16/97 333 07/16/97 333 08/06/97 121 08/06/97 411 08/06/97 333 08/06/97 151 08/20/97 412 08/20/97 151 09/04/97 151 09/10/97 151 09/10/97 011 09/10/97 121 09/10/97 411 09/10/97 411 09/10/97 315 09/10/97 315 09/24/97 151 09/24/97 315 09/25/97 395/315 09/26/97 655 11/05/97 655 12/03/97 411 12/18/97 412 07/01/97 511/521 AMENDMENTS AND TRANSFERS: Reduce Appropriation to Capital Outlay Fund ($46,377) Appropriate Gas Tax Fund Balance $50,000 Appropriate State Grant Revenue to ISTEA Fund $188,240 Appropriate Road and Bridge Bond Funds to Coffe Road Bridge $808,000 Reduce Appropriation to Road and Bridge Bond Fund for Coffee ($808,000) Appropritate ISTEA Fund Balalnce $500,000 Reduce Appropriation to the Sewer Enterprise Fund ($272,000) Reduce Appropriation to the Coffee Road Overcrossing Fund ($265,600) Appropriate Gas Tax Fund Balance $10,000 Appropriate Sewer Enterprise Fund Balance to PW Operations $100,000 Appropriate Gas Tax Fund Balance $30,000 Reduce Gas Tax Appropriations to Fund Estimated Deficit ($150,000) Transfer from Gas Tax completed projects to Chester Avenue $210,000 Transfer General and Sewer Fund Balance to Gas Tax Fund $210,000 Appropriate Environment Enhancement Grant Funds to ISTEA Fund $250,000 Appropriate Sewer Enterprise Fund Balance $1,670,160 Appropriate Sewer Enterprise Fund Balance $60,390 Appropriate Blue Cross premium Surplus $300,000 Appropriate/Transfer Blue Cross Premiun Surplus $800,000 Appropriate Developer Contribution to the Gas Tax Fund $49,757 Appropriate funds for Pedestrian Skybridge $270,000 Reduce Appropriation to the Arena and Centennial Plaza Funds ($29,934,670) Reduce Appropriations in Assmt. Dist. fund 93 I-A ($20,000) Appropriate Developer Contribution to the Gas Tax Fund $26,750 Appropriate Assessment District 93-1A Fund Balance $16,947 Appropriate Developer Contribution to the Gas Tax Fund $79,200 Appropriate Sewer Enterprise Fund Balance and State Loan $29,239,800 Appropriate State Grant Revenue to ISTEA Fund $497,200 Reduce Appropriations for actual 1997 sewer revenue bond proceeds ($1,925,000) Reduce Appropriation to Capital Outlay Fund ($22,402) Reduce 97-98 Budget for Risk Management ($137,000) Appropriate ED/CD Operating Budget in the Home Fund $127,051 Appropriate Asset Forfeiture Funds to Police Operating Budget $9,000 dwh: fy97-98 budamend - 1st (April 13, 1998) Reduce for items accrued back to FY96-97.(finance Adjustment) Funding for Alta Vista area street improvements. (Bids item 3.) Resurfacing various streets - 1996-97. (Bids item 4.) For Final payment on SOG vs PG&E per Agreement 97-150 (Misc. item 5) July 1997 payment was accrued to FY. 1996-97 when judgement occurred. For local share of Q Street Grade Separation Project (Consent Misc. item 3) Project re-evaluated and priority lowered, project deferred (Consent Misc. item 3) Project developer now required to construct with subdivision (Consent Misc. item 3) Funding for Beech St. at 24th St Signal (Misc. item 3) Attorney Retainer Agreement City vs. Kenko (Consent item 8k) Funding for Endeavor School Flashing Beacon (Consent. item 8x) Modifications to CiP program cover estimated fund deficit. (Misc, item 3) Additional funding for Chester Avenue Streetscape project (Consent item 8 r~ 1) To construct Chester Avenue Streetscape project (Consent Bids. item 8 r. 1) To construct Chester Avenue Streetscape project (Consent Bids. item 8 r 1) To construct Buena Vista Trunk Sewer project- phase I (Consent Bids. item St) To construct Bank Street Sewer Lift Station modifications. (Consent item 8u) Transfer to Arena Pedestrian Project (Consent Misc. item 8x) Transfer to Convention Arena Expansion Project (Consent Misc. item 8x) To resurface various streets (Consent item 8q) For plans and design of Pedestrian Skybridge at Convention Center (Consent item 8 j 2) To correct budget errors in Finance and City Manager's F.Y. 1996-97 Year End process To reduce Public Works Carryovers for F.Y. 96-97. To construct the traffic preemption project. (Consent Bids, item 8n) For change orders #12 & #13 on Northeast Trunk Sewer project (Consent Misc. item 6w) To construct road improvements on White Lane (Consent Misc. item 8p) To construct WWTP #2 upgrade and expansion. (Consent Bids. item 8j) For seismic retrofit design of 6 bridges (Consent item 8m) To appropriate fund balance for bond interest due in F.Y. 1997-98. Reduce for items accrued back to FY96-97.(Finance Adjustment) Budget Adjustment per City Manager's Office. To provide first time home buyers assistance. (Consent item 4) To purchase 1 police service dog. (Resolutions item 1) 08/06/97 011 08120/97 511 08~20~97 011 08/20/97 012 08~20~97 012 08/20197 012 09/10/97 012 09/10/97 011 09/24/97 315 09125197 315 10/22/97 511 11/05/97 011 11/19/97 511 12103197 011/521 12~03/97 011/521 12/17/97 011 12/17/97 012 12tl 7/97 392 12/18/97 412 Appropriate Heart Smart Grant Funds to Recreation Division Appropriate Equipment Mgmt. Fund Balance to PW Operations Appropriate General Fund Balance to Police Operating Budget Appropriate General Fund Balance to Engineering Operating Budget Appropriate Development Fees to Engineering Operating Budget Appropriate Developer Shares to Dev. Svcs, Operating Budget Appropriate Developer Shares to Dev. Svcs, Operating Budget Appropriate Blue Cross premium Surplus Reduce and Transfer Appropriations for Pedestrian Skybridge Reduce Appropriation to the Arena and Centennial Plaza Funds Appropriate Asset Forfeiture Funds to Public Works Operating Budget Appropriate Asset Forfeiture Funds to Public Works Operating Budget Appropriate Equipment Mgmt, Fund Balance to PW Operations Appropriate General Fund Balance to Self Insurance Fund Transfer General Fund Balance to Self Insurance Fund Reduce Transfers and Appropriate funds to MIS Operating Budget Appropriate Developer Contribution to Dev. Svcs, Operating Budget Appropriate Fund Balance to CDDA Housing Fund Adjust Appropriations for actual 1997 sewer revenue bond proceeds $20,000 $510,000 $34,000 $8,200 $11,800 $24,780 $19,920 $200,000 ($170,000) ($1,024,940) $140,000 $50,000 $552,480 $100,000 $100,000 ($4,000) $6,500 $256,198 $475,000 To conduct community educational outreach program (Misc. item 4) Loan to Kern Refuse Disposal for automated refuse equipment (Consent item o) To fund cost of Police Telecommunicator Position (Consent item 8x) For on-cell consultants for plan checking and inspections ( Consent item By) For on-cell consultants for plan checking and inspections ( Consent item 8y) Developer's share of EIR Fees for Cardiac Hospital (Consent item 8p 1) Developer's share of EIR Fees for Cardiac Hospital (Consent item 8p 1) Employee one-time rebate from Blue Cross (Consent Misc. item 8x) For plans and design of Pedestrian Skybridge at Convention Center (Consent item 8 j 2) To correct budget errors in Finance and City Manager's F.Y. 1996-97 Year End process For 7 used replacement police vehicles through the Equipment Fund.(Consent item 8h) To construct second shooting bay at Pistol Range, (Consent Resolution item 8c) Loan to Kern Refuse Disposal for automated refuse equipment (Consent item 8 f2) For property acquisition of Panorama Drive Homes (consent Misc. item 8 o) For property acquisition of Panorama Drive Homes (consent Misc, item 8 o) To fund two additional positions for MIS. (Consent item 8dd) Developer's share of EIR Fees for Cardiac Hospital (Consent item 8p 1) To use set-aside monies outside Downtown Redevelopment Area (Consent item 80 To appropriate fund balance for bond interest due in F.Y. 1997-98. TOTAL AMENDMENTS AND TRANSFERS $3,231,384 dwh: fy97-98 budamend - 1st (April 13, 1998) CITY OF BAKERSFIELD FY 1997-98 ADOPTED BUDGET Departmental Appropriations by Fund Budget Summary Operating Budgets City of Bakersfield Central District Develop, Agency $11,625,909 $33,106,200 $17,787,567 $48,585,786 $8,146,232 $9,991,385 $7,916,069 $46,452,625 $183,611,773 $0 $0 $0 $0 $0 $0 $79,547 $5,447,350 $5,526,897 Total Operating Capital Improvements City of Bakersfield Central District Develop Agency $11,625,909 $33,106,200 $17,787,567 $48,585,786 $8,146,232 $9,991,385 $7,995,616 $51,899,975 $189,138,670 $151,200 $40,000 $235,450 $39,015,666 $2,378,000 $5,524,765 $1,020,000 $0 $48,365,081 $0 $0 $0 $0 $0 $26,309,555 $0 $0 $26,309,555 $151,200 $40,000 $235~450 $39,015,666 $2,378,000 $31,834,320 $1,020,000 $0 $74,674,636 $11,777,109 $33,146,200 $18,023,017 $87,601,452 $10,524,232 $41,825,705 $9,015,616 $51,899,975 $263,813,306 Total Capital Improvements Total Appropriations CITY OF BAKERSFIELD FY 1997-98 ADOPTED BUDGET Departmental Appropriations by Fund City of Bakersfield OperatinR Budget General Fund Transportation (TDA) Gas Tax Traffic Safety Municipal Improvement Debt Public Financing Authority Capital Outlay Fund Arena Project Fund Transportation Development Agriculture Water Domestic Water Parking Lots/Structures Park Improvement Fund Refuse Collection Aviation Fund Self Insurance Supplemental Law Enforce Equipment Management Wastewater Treatment Plant Community Dev. Block Grant Assessment Districts $6,783,040 $9,000 $4,140,377 $473,492 $220,000 $33,106,200 $17,787,567 $9,922,009 $0 $9,991,385 $2,476,399 $18,759,656 $113,368 $11,397,686 $5,916,668 $3,050,108 $5,096,124 $4,759,244 $143,720 $3,013,105 $4,754,555 $200,000 $339,395 $12,870,000 $1,524,940 $2,039,595 $1,181,900 $928,880 $190,000 $408,890 $1,000,000 $495,000 $14,772,890 $339,395 $5,457,685 $87,104,000 $0 $2,476,399 $200,000 $839~395 $12,879,000 $0 $1,524,940 $2,039,595 $4,182,008 $6,024,504 $143,720 $190,000 $19,168,546 $113,368 $5,140,377 $495,000 $11,871,178 $20,689,558 $3,352,500 $5,677,685 ~ ~ Y ,~.otal Operabng $11,625,909 $33,106,200 $17,787,567 $48,585,786 $8,146,232 $9,991,385 $7,916,069 $46,452,625 $183,611,773 CITY OF BAKERSFIELD FY 1997- 98 ADOPTED BUDGET Departmental Appropriations by Fund City of Bakersfield Capital Improvements Surfact Transportation (ISTEA) Transportation (TDA) Gas Tax Park Improvement Captial Outlay Fund Arena Project Fund Transportation Development Road and Bridge Bond Funds Agriculture Water Domestic Water Parking Lots/Structures Refuse Collection Aviation Fund Federal Grants Public Facilities Equipment Management Wastewater Treatment Plant Community Dev. Block Grant Assessment Districts Total Capital Improvements "~tal City of Bakersfield $2,399,000 $623,000 $3,022,000 $0 $2,895,223 $2,895,223 $184,250 $184,250 $138,000 $40,000 $235,450 $95,400 $44,000 $552,850 $31,504,670 $31,504,670 $372,900 $372,900 $1,967,203 $1,967,203 $4,500 $130,950 $481,000 $50,000 $666,450 $1,897,000 $1,897,000 $0 $5,700 $360,000 $365,700 $0 $0 $0 $0 $3,O00 $30,225,890 $30,228,890 $664,500 $353,000 $1,017,500 $0 $151,200 $40,000 $235,450 $39,015,666 $2,378,000 $31,834,320 $1,020,000 $0 $74,674,636 $11,777,109 $33,146,200 $18,023,017 $87,601,452 $10,524,232 $41,825,705 $8,936,069 $46,452,625 $258,286,409 CITY OF BAKERSFIELD FY 1997- 98 ADOPTED BUDGET Departmental Appropriations by Fund Central District Development Agency Operating Budget Operating Debt Service $79,547 $1,551,500 $1,631,047 $3,895,850 $3,895,850 $0 $0 $0 $0 $0 $0 $79,547 $5,447,350 $5,526,897 $26,309,555 $26,309,555 $0 $0 $0 $0 $0 $26,309,555 $0 $0 $26,309,555 $0 $0 $0 $0 $0 $26,309,555 $79,547 $5,447,350 $31,836,452 Total Operating Capital Improvements Capital Total Capital Improvements Total CDDA