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ORD 2009-01 - Amend 2007-08 Budget Amendments 10-07-2008ORDINANCE NO. 2009 -01 AN ORDINANCE OF THE CITY OF HUNTSVILLE, TEXAS, AMENDING THE FISCAL YEAR 2007 — 2008 ANNUAL BUDGET, ORDINANCE NO. 2007 -26 TO AMEND ADOPTED EXPENDITURES AND REVENUES OF THE BUDGET; AND DECLARING AN EFFECTIVE DATE. WHEREAS, the 2007 - 2008 Annual Budget was adopted by Ordinance 2007 -26 on September 4, 2007; 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 2007 — 2008 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 2007 — 2008 is hereby amended to include the expenditures and revenues described in Exhibit "A" 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 All ordinances of the City in conflict with the provisions of this ordinance are hereby repealed, and all other ordinances of the City not in conflict with the provisions of this ordinance shall remain in full force and effect.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 fiscal year, 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 7th day of October, 2008. THE CJTA'; JNTSVILLE, TEXAS J. Turner, Mayor Brim, City Secretary APPROVED AS TO FORM: Thomas A. Leep ity tttorney 1 2 3 4 AL Lt�j Of H-u vutsvLUe Budget Amendments FY 07 -08 Amendments uJlrrtendgt� _ F�un�l�s�y4fft! RfetBu_dgetlm�ct 92220082 101 $ 39,124 qy Gtteaslr�irFtn .. ! , $ 39,124 Budget amendment to move funds from full -time salaries in Planning & Development Admin. Division to Purchased Services & Contracts account to pay temporary engineer's contract through November 2008. 900- 1900 -95603 Transfer to Street SRF $ 9,327 Account # Account Name Amount 101 - 700 -51111 Salaries Full time $ (7,580.00) 101 - 700 -55070 Purchased Services & Contracts $ 7,580.00 92220083 —J - - - -- 306 — — — I I (517.255] Transfer of funds from GF Transfer - Equip Replacement Fund to Equipment (306) for final payment of fire truck lease purchase. Account# Account Name I F—Amount 1- 1101 -94306 Transfer - Equip Replacement Fund (517,255; 306 -43501 Transfer from General Fund 517,255 Amendment # Fund(s) Affected Net Budget Impact 92220084 206 17,100 Description Budget amendment to increase Cemetery Projects construction account with funds from Powell Grant for construction of fence at Oakwood Cemetery. Account # Account Name Amount 860- 8601 -62300 Construction 17,100 92220085 -_._. -- 2 800 900. I 9. 7 32-_ Budget amendment to pay balance of $39,123.50 owed to TxDOT for participation in Hwy 30 widening project that began 4 years ago. The payment is to be made from the Street Special Revenue Fund (603). The original contribution of $69,000 to the project was paid from Fund (Street CIP). Account # Account Name Amount 603 -43509 Transfer from C I P $ 39,124 603 - 323 -57580 Hwy 30 Widen $ 39,124 800- 1800 -95603 Transfer to Street SRF $ 29,797 900- 1900 -95603 Transfer to Street SRF $ 9,327 6 7 0 8 922266i'6 702 Macr Budget amendment to move funds from 13th St. Headwall drainage project (702-71 to University Drainage Project (702-7125) for drainage project on University Ave. I Amount Account# Account Name Budget amendment to move funds from Water Production division (220-361) to Water Distribution division (22D-362) to cover over budget amounts in Water Tap Supplies and Gas Account# = Account Name 220-361-53060 Maintenance of Wells, Tanks & Boosters 922J8#M8 221 dmentk/ move funds in Wastewater Cn/|. account to Electric account to cover over 1-363'53V3V�\--� Sewer Line /Maintenance 224 Budget amendment to move funds |n Solid Waste Disposal division (2Z4'374)from Landfill Maintenance and Maint - Streets/Curbs/Gufters accounts to Motor Vehicle Maintenance and Gas & Oil accounts to cover over budget amounts, '- _- | M�r*^ | / $_ (2J000) Z24-JT4'5J1OU | Landfill Maintenance | $ (1' O0Z) � 2�4'374'�4V4O � -- '- �Mo¢`rVehicle y�ain�enmOce � - � 2.43V� f ' 224'3745204O � | .Gau&Oi| / � | i172` Increase H/M Tax - Visitor's Center budget to pay invoice for Stan Musial World Series promotion. Increased appropriation from H/M Visitors Center fund. � ' 1 ' 10 11 17 922200811 603 Budget amendment to move funds from Street Sweeping (603 -382) Motor Vehicle Maintenance account to Streets division (603 -323) to cover over budget amounts in Clothing, Gas & Oil, and Minor Tools /Instruments accounts. Account # Account Name Account Name 221 - 363 -53070 _ Amount 16,8311 603 - 382 -54040 Motor Vehicle Maintenance Gas & Oil i 6,830 (6,257) 603-323-52031 Clothing Safety Gear (7,576) 2,311 603 323 -52040 Gas & Oil 4Reproduction & Printing 7,576 _6 179 Gas &Oil $ 3,700 603 - 323 -52050 Future Appropriations $- (1,002) - -- MinorTools /Instruments $ _ 246 224 101 Budget amendment to move funds in Wastewater Collection division (221 -363) Maint -Sewer Plant/Lift Station account to Gas & Oil account to cover over budget amounts. * Move funds in Residential Collection division (224 -375) Gas & Oil account to Commercial Collection division (224 -373) Gas & Oil account for over budget amount. * Move funds from GF Future Appropriations account (101 -1221) to Main Street division (101- 839) Reproduction & Printing and Lease of Land (cemetery entrance road, Spur 94) accounts Account # Account Name Amount 221 - 363 -53070 _ Maint -Sewer Plant[Lift Station 16,8311 2211463 -52040 Gas & Oil i 6,830 224-375-52 00 4 150 Gas & Oil (7,576) 224-373-52u—. 101-839-52120 Gas & Oil 4Reproduction & Printing 7,576 _6 179 101- 839 -55020 Lease of Land $ 823 101- 1221 -99100 '�, Future Appropriations $- (1,002) Budget amendment to increase salaries /benefits accounts in Human Resources Division (101- 150) from various accounts to cover over budget amounts due to increase in Administrative Services Director's salary durinq his time as interim Citv Manaaer. 101- 150 -51111 101- 150 -51121 101- 150 -51201 151- 150 -51202 101- 150 -51204 101 - 150 -51204 101 - 150 -51205 101- 150 -55080 101- 150 -55081 _ 101- 150 -55130 _10_1-150-52120_ Account Name Salaries - Full -time Longevity TMRS Retirement Health Insurance Disability Insurance Workers Comp Insurance Medicare Tax Training & Seminars Organization Training _- - Service Awards _Reproduction & Printing $ 30 $ 1,500 $ 2,400 $40 $ 20 $ 150 $ (4,000) I 15 nmennmeftc � Funtf�9j Aifacted. - ... N�1 �uidgsi ltnpae3 ' 922200814 220 seri. an- _ Budget amendment to move funds from Water Production division (220 -361) Electric account to Water Distribution division (220 -362) Water Line Maintenance account to cover over budget amount. Electric $ (8 60p) (and accounting) adjustment to move funds from GF Future Appropriations account to meous Expenses account for non -cash write -offs and miscellaneous TMRS payments. rte_ 101- 1101 -56120 4 Miscellaneous Expenses 101 - 1101 -99100 Future Appropriations g 221 Budget amendment to move funds from Water Fund (220) Future Appropriations account to Legal /Fiscal account (bond related costs) to cover over budget account. Also, move funds from Wastewater Fund (221) Future Appropriations account to Legal /Fiscal account to cover over 220 1220 -88190 1 _ Legal /Fiscal 220- 1220 -99100 Future Appropriations; 221 -1221 -99100 7 FutureAppropnations ($ 1 221 - 1221 -68190 t !Legal /Fiscal g 1