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Ordinance 2014-06 - FY12-13 Budget Amendments - CIP ORDINANCE NO. 2014-06 AN ORDINANCE OF THE CITY OF HUNTSVILLE, TEXAS, AMENDING THE 2012-2013 ANNUAL BUDGET AND CAPITAL IMPROVEMENTS PROJECTS (CIP) BUDGETS, ORDINANCE NO. 2012-38 TO AMEND ADOPTED EXPENDITURES OF THE BUDGET; AND DECLARING AN EFFECTIVE DATE. WHEREAS, the 2012-2013 Annual Budget and CIP Budgets were adopted by Ordinance 2012-38 on September 12,2012; WHEREAS, various unforeseen circumstances affecting the City have presented themselves during the course of the fiscal year•, WHEREAS, the City Council considered the circumstances independently, deliberating appropriately on the associated revenues and expenditures and the overall impact on the general financial status of the City; WHEREAS,pursuant to the laws of the State of Texas and the City Charter of the City of Huntsville,Texas,the City Council has determined that it will be beneficial and advantageous to the citizens of the City of Huntsville to amend the Capital Improvements Projects(CIP)budget as set forth herein; and WHEREAS,this ordinance combines the independent Council actions into one budget amendment document; NOW,THEREFORE,BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF HUNTSVILLE, TEXAS,that: Section 1. The findings set forth above are incorporated into the body of this ordinance. Section 2. The annual budget for fiscal year 2012 — 2013 is hereby amended to include the expenditures and revenues in Exhibit "A" and the Capital Improvements Projects budget is hereby amended to include the expenditures described in Exhibit "A" (if any) attached hereto and made a part of this ordinance as if set out verbatim herein. Section 3. All ordinances of the City in conflict with the provisions of this ordinance are hereby repealed, and all other ordinances of the City not in conflict with the provisions of this ordinance shall remain in full force and effect. Section 4. Should any section, portion, sentence, clause or phrase of this ordinance be declared unconstitutional or invalid for any reason, it shall not invalidate or impair the force or effect of any other section or portion of this ordinance. Section 5. The necessity for amending the budget for the Capital Improvements Projects,as required by the laws of the State of Texas, requires that this ordinance shall take effect immediately from and after its passage, as the law in such cases provides. Section 6.This ordinance shall take effect immediately after its passage. PASSED AND APPROVED on this the 19'b day of November 2013. THE CI Y O/F�HUN LL XAS 4 Mac Woodward, Mayor AT EST: APPROVED AS TO FORM: (Lee oc ward, City Secre ar o Schneider, City Attorney Exhibit A 1 Budget Amendments FY 12-13 of 4 November 1 g , 2Q 13 a Source: Gift Shop Sales $ 2,147 Increase: Gift Shop Mdse-COGS $ 2,147 Year End Clean Up-General Fund Explanation: Gift Shop Mdse-COGS expense needs to be increased. Actual Sales exceeded budget by over$20,000 creating increased COGS. b Decrease: General Fund Non Departmental-Future Appropriations $ 10,531 Decrease: City Secretary-Supplies $ 1,171 Increase: City Secretary-Salaries/Other Pay/Benefits $ 7,608 Increase: City Secretary-Services and Utilities $ 2,619 Increase: City Secretary-Insurance/Sundry/Elections $ 1,475 Explanation: Year End Clean Up-General Fund C Decrease: General Fund Non Departmental-Future Appropriations $ 29,469 Decrease: Risk and Safety Management-Services and Utilities $ 31,918 Increase: City Attorney-Services and Utilities $ 61,387 Explanation: Year End Clean Up-General Fund d Decrease: Human Resources-Insurance/Sundry/Elections $ 260 Increase: Human Resources-Salaries/Other Pay/Benefits $ 176 Increase: Human Resources-Supplies $ 84 Explanation: Year End Clean Up-General Fund e Decrease: Public Works Adm-Services and Utilities $ 2,293 Increase: Public Works Adm-Salaries/Other Pay/Benefits $ 2,293 Explanation: Year End Clean Up-General Fund f Decrease: Warehouse-Supplies $ 230 Decrease: Finance-Services and Utilities $ 883 Increase: Warehouse-Salaries/Other Pay/Benefits $ 1,113 Explanation: Year End Clean Up-General Fund 9 Decrease: Public Safety Adm-Services and Utilities $ 2,512 Increase: Public Safety Adm-Salaries/Other Pay/Benefits $ 2,512 Explanation: Year End Clean Up-General Fund Exhibit A 2 Budget Amendments FY 12-13 of November 19 , 2013 Increase: IT-Salaries/Other Pay/Benefits $ 2,261 Explanation: Year End Clean Up-General Fund 1 Decrease: GIS-Services and Utilities $ 1,412 Increase: GIS-Salaries/Other Pay/Benefits $ 1,412 Explanation: Year End Clean Up-General Fund j Decrease: Community and Eco Dev.Adm-Supplies $ 2,429 Decrease: Community and Eco Dev Adm-Services and Utilities $ 566 Increase: Community and Eco Dev Adm-Salaries/Other Pay/Benefits $ 2,995 Explanation: Year End Clean Up-General Fund k Decrease: Planning and Zoning-Supplies $ 503 Increase: Planning and Zoning-Salaries/Other Pay/Benefits $ 176 Increase: Planning and Zoning-Insurance/Sundry/Elections $ 327 Explanation: Year End Clean Up-General Fund Decrease: Health-Supplies $ 578 Increase: Health-Salaries/Other Pay/Benefits $ 346 Increase: Health-Maintenance of Equipment $ 232 Explanation: Year End Clean Up-General Fund 111 Decrease: Water Fund-Non Departmental-Future Appropriations $ 10,286 Increase: Utility Billing-Salaries/Other Pay/Benefits $ 10,286 Explanation: Year End Clean Up-Water Fund n Decrease: NB Davidson WW Treatment Plant-Services and Utilities $ 8,441 Increase: NB Davidson WW Treatment Plant-Salaries/Other Pay/Benef $ 8,441 Explanation: Year End Clean Up-Wastewater Fund O Decrease: Commercial Collection-Supplies $ 2,983 Increase: Commercial Collection-Salaries/Other Pay/Benefits $ 2,983 Explanation: Year End Clean Up-Solid Waste Fund P Decrease: Solidwaste Disposal-Equipment Maintenance $ 24,246 Increase: Solidwaste Disposal-Salaries/Other Pay/Benefits $ 24,246 Explanation: Year End Clean Up-Solid Waste Fund q Decrease: Recycling-Supplies $ 942 Increase: Recycling-Salaries/Other Pay/Benefits $ 942 Explanation: Year End Clean Up-Solid Waste Fund Exhibit A 3 Budget Amendments FY 12-13 of November 19 , 2013 Source PD School Resource Officer SRF-Fund Balance $ 12,798 Decrease: PD School Resource Officer SRF-Maintenance of Equipment $ 50 Decrease: PD School Resource Officer SRF-Services and Utilities $ 1,956 Decrease: PD School Resource Officer SRF-Supplies $ 2,566 Increase: PD School Resource Officer SRF-Salaries/Other Pay/Benefits $ 17,370 Explanation: Year End Clean Up-PD School Resource Officer Fund S Decrease: Arts Center SRF-Services and Utilities $ 594 Increase: Arts Center SRF-Salaries/Other Pay/Benefits $ 594 Explanation: Year End Clean Up-Arts Center SRF t Decrease: Airport SRF-Maintenance Structures/Improvement $ 729 Increase: Airport SRF-Salaries/Other Pay/Benefits $ 729 Explanation: Year End Clean Up-Airport SRF Exhibit A 4 of CIP Budget Amendments FY 12-1`3 4 November 19 , 2013 a Decrease: Wastewater CIP-Drainage "20th to 21st Street" 702-7134 $ 5,282 Decrease: Wastewater CIP-"Sam Houston/West Mosley" 702-7133 $ 43,983 Increase: Wastewater CIP-"Unallocated" 702-999 $ 49,265 Move unused budget for completed and closed projects to unallocated for potential Explanation: reallocation to existing active projects or future projects b Decrease: Fund 711 WW CIP-"Goree Sewer" 711-71142 $ 15,356 Increase: Wastewater CIP-"Unallocated"702-999 $ 15,356 Move unused budget for completed and closed project to unallocted in Wastewater CIP Explanation: Fund 702 -will be closing Fund 711 when final projet is closed C Decrease: Street CIP-"Essex Drive" 800-8701 $ 23,923 Decrease: Street CIP-"Spur 59 Improvements" 800-8702 $ 24,649 Decrease: Street CIP-"Magnolia Way Renovations" 800-8703 $ 26,433 Increase: Street CIP-"Unallocated" 800-999 $ 75,005 Move unused budget for completed and closed projects to unallocated for potential Explanation: reallocation to existing active projects or future projects d Decrease: General CIP-"Army Rsv Center Upgrade" 815-81550 $ 33,690 Increase: General CIP- "Unallocated" 815-999 $ 33,690 Explanation: Move unused budget for completed and closed projects to unallocated for potential reallocation to existing active projects or future projects e Decrease: IT CIP-"Disaster Backup Data Center"-842-64008 $ 10,315 Increase: IT CIP-"Unallocated" 842-999 $ 10,315 Move unused budget for completed and closed projects to unallocated for potential Explanation: reallocation to existing active projects or future projects