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ORD 2006-28 - Amend Budget Amendments - 05/06 and 06/07 [11-14-2006]ORDINANCE NO. 2006 -28 AN ORDINANCE OF THE CITY OF HUNTSVILLE, TEXAS, AMENDING THE FISCAL YEAR 2005 — 2006 ANNUAL BUDGET, ORDINANCE NO. 2005-14, AMENDING THE FISCAL YEAR 2006 -07 ANNUAL BUDGET, ORDINANCE NO. 2006-15; TO AMEND ADOPTED EXPENDITURES AND REVENUES OF THE BUDGET; AND DECLARING AN EFFECTIVE DATE. WHEREAS, the 2005 - 2006 Annual Budget was adopted by Ordinance 2005 -14 on September 6, 2005, and the 2006 -07 Annual Budget was adopted by Ordinance 2006 -15 on September 5, 2006; WHEREAS, various unforeseen circumstances affecting the City have presented themselves during the course of these fiscal years; 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 2005 — 2006 budget and the 2006 — 2007 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 2005 — 2006 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. The annual budget for fiscal year 2006 — 2007 is hereby amended to include the expenditures and revenues described in Exhibit "B" attached hereto and made a part of this ordinance as if set out verbatim herein. Section 4. All ordinances of the City in conflict with the provisions of this ordinance are hereby repealed, and all other ordinances of the City not in conflict with the provisions of this ordinance shall remain in full force and effect.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 5. 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 6. 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 7. This ordinance shall take effect immediately after its passage. PASSED AND APPROVED on this the 14th day of November 2006. VILLE, TEXAS J. Turner, Mayor ATT T: Danna Welter, City Secretary AP PR VED AS TO F Thomas A. LeepKicity Attorney Exhibit A cittJ, o f H- �c.wtsvi,f.l.e Budget Amendments FY 05 -06 Amendments Amendment # Fund {s} Affected Net Bt 11140611 101 101 Description The COLA and step and grade change provisions were budgeted as a lump sum in the non - deparartmental division of each fund. This budget amendment moves those funds from the lump sum in General Fund's Non - Departmental to the individual division's salary accounts to provide for the COLA and any step increases given in FY 05 -06. Account # , Account Name - Amount 101 - 1101 -51140 Step /COLA Adjustment {313,793 101 - 113 -51111 Salaries - Full Time 101- 113 -51121 Longevity 101 - 113 -51125 Car Allowance 101- 113 -51200 ICMA Retirement Expense 101 - 113 -51201 TMRS Retirement 101 - 113 -51203 Disability Insurance 101 - 113-51204 Workers Comp Insur 101 -113 -51205 Medicare Tax 101 - 113 -51206 Unemployment Comp Insur 101 - 114 -51111 Salaries - Full Time 101- 114 -51121 Longevity 101 -114 -51201 TMRS Retirement 101 -114 -51203 Disability Insurance 101 - 114 -51204 Workers Comp Insur 101- 114 -51205 Medicare Tax 101 - 114 -51206 Unemployment Comp Insur 101-115-51206 Unemployment Comp Insur 101 -117 -51204 Workers Comp Insur 101- 117 -51206 Unemployment Comp Insur 101 - 150 -51111 Salaries - Full Time 101 - 150 -51121 Longevity 101 - 150 -51201 TMRS Retirement 101- 150 -51204 Workers Comp Insur 101- 150 -51205 Medicare Tax 101 - 150 -51206 Unemployment Comp Insur 101 - 151 -51111 Salaries - Full Time 101- 151 -51121 Longevity 101 - 151 -51201 TMRS Retirement 101- 151 -51205 Medicare Tax 101- 151 -51206 Unemployment Comp Insur 101 - 210 -51118 Salaries - Part Time 10,205 114 .. .. _......_. . 1,240 3,000 1,759 15 39 132 189 4,752 366 1,220 24 35 34 126 63 160 63 5,675 31 170 24 27 34 1,071 53 155 12 75 4,358 Exhibit A 101 - 210 - 51121 Longevity 1,231 101- 210 -51202 Health Insurance 469 101- 210 -51204 Workers Comp Insur 15 101 - 210 -51206 Unemployment Comp Insur 910 101 - 231 -51111 Salaries - Full Time 5,585 101- 231 -51201 TMRS Retirement 1,049 101 - 231 -51202 Health Insurance 234 101 - 231 -51204 Workers Comp Insur 5 101- 231 -51206 Unemployment Comp Insur 401 101 - 234 -51111 Salaries - Full Time 1,141 101 -234 -51121 Longevity 139 101 - 234 -51201 TMRS Retirement 170 101 - 234 -51204 Workers Comp Insur 5 101- 234 -51206 Unemployment Comp Insur 63 101- 320 -51111 Salaries - Full Time 10,944 101 - 320 -51118 Salaries - Part Time 247 101 - 320 -51121 Longevity 1,434 101-320-51125 Car Allowance 81 101- 320 -51201 TMRS, Retirement 712 101 - 320-51202 Health Insurance 1,171 101- 320 -51203 Disability Insurance 19 101 -320 -51204 Workers Comp Insur 42 101 - 320 -51205 Medicare Tax 342 101 -320 -51206 Unemployment Comp Insur 357 101- 388 -51111 Salaries - Full Time 6,077 101- 388 -51121 Longevity 356 101 -388 -51201 TMRS Retirement 1,148 101- 388 -51203 Disability Insurance 17 101 -388 -51204 Workers Comp Insur 173 101 - 388 -51206 Unemployment Comp Insur 190 101- 389 -51111 Salaries - Full Time 5,517 101- 389 -51121 Longevity 1,194 101- 389 -51201 TMRS Retirement 1,944 101 - 389-51204 Workers Comp Insur 584 101 - 389 -51205 Medicare Tax 381 101 - 389 -51206 Unemployment Comp Insur 380 101- 420 -51111 Salaries - Full Time 3,431 101 - 420 -51118 Salaries - Part Time 694 101 - 420 -51121 Longevity 440 101 - 420 -51201 TMRS Retirement 682 101- 420 -51202 Health Insurance 234 101 - 420 -51203 Disability Insurance 8 101- 420 -51204 Workers Comp Insur 14 101- 420 -51206 Unemployment Comp Insur 127 101 - 421 -51111 Salaries - Full Time 21,129 101- 421 -51118 Salaries - Part Time 228 101 - 421 -51121 Longevity 446 101 - 421 -51201 TMRS Retirement 3,653 101 - 421 -51203 Disability Insurance 39 101 -421 -51204 Workers Comp Insur 3,335 101 - 421 -51205 Medicare Tax 123 101 - 422 -51111 Salaries - Full Time 9,361 101 - 422 -51118 Salaries - Part Time 6,264 101 - 422 -51121 Longevity 359 101 - 422 -51201 TMRS Retirement 3,060 101- 422 -51202 Health Insurance 709 101 - 422 -51204 Workers Comp Insur 8,269 101- 422 -51205 Medicare Tax 322 101 - 423 -51111 101 - 423 -51121 101 - 423 -51201 101 - 423 -51203 101 - 423 -51204 101- 423 -51205 101 - 423 -51206 101 - 444 -51111 101 - 444 -51121 101 - 444 -51201 101 - 444 -51203 101 - 444 -51204 101 - 444 -51205 101 - 444 -51206 101- 550 -51111 101 - 550 -51121 101 - 550 -51201 101 - 550 -51204 101- 550 -51205 101- 550 -51206 101 - 551 -51121 101 - 551 -51123 101 - 551 -51202 101 - 551 -51204 101 - 551 -51205 101 - 551 -51206 101 - 552 -51111 101 - 552 -51121 101- 552 -51123 101 - 552 -51124 101 - 552 -51201 101 - 552 -51203 101 - 552 -51205 101 - 552 -51206 101 - 552 -51210 101 - 640 -51202 101 - 640 -51206 101 - 647 -51111 101- 647 -51118 101- 647 -51121 101 - 647 -51201 101 - 647 -51203 101 - 647 -51204 101 - 647 -51205 101- 647 -51206 101 - 716 -51111 101 - 716 -51201 101 - 716 -51203 101 - 717 -51111 101 - 717 -51121 101 - 717 -51201 101 - 717 -51203 101 - 717 -51204 101 - 717 -51206 101 - 718 -51111 101 - 718 -51121 101- 718 -51201 101- 718 -51203 Exhibit A Salaries - Full Time Longevity TMRS Retirement Disability Insurance Workers Comp Insur Medicare Tax Unemployment Comp Insur Salaries - Full Time Longevity TMRS Retirement Disability Insurance Workers Comp Insur Medicare Tax Unemployment Comp Insur Salaries - Full Time Longevity TMRS Retirement Workers Comp Insur Medicare Tax Unemployment Comp Insur Longevity Incentive Pay Health Insurance Workers Comp Insur Medicare Tax Unemployment Comp Insur Salaries - Full Time Longevity Incentive Pay Clothing TMRS Retirement Disability Insurance Medicare Tax Unemployment Comp Insur Retirement - Parttime Firefighters Health Insurance Unemployment Comp Insur Salaries - Full Time Salaries - Part Time Longevity TMRS Retirement Disability Insurance Workers Comp Insur Medicare Tax Unemployment Comp Insur Salaries - Full Time TMRS Retirement Disability Insurance Salaries - Full Time Longevity TMRS Retirement Disability Insurance Workers Comp Insur Unemployment Comp Insur Salaries - Full Time Longevity TMRS Retirement Disability Insurance 4,101 91 653 16 9 10 63 7,013 424 1,517 14 242 131 225 10,203 213 1,698 27 1,329 126 1,055 2,539 950 458 910 2,830 18,484 756 727 319 6,686 64 1,395 1,865 2,278 468 251 17,881 13,462 317 3,047 241 85 386 274 5,245 771 19 9,926 559 1,542 36 34 60 8,042 - 78 1,249 27 Exhibit A 101 - 718 -51204 Workers Comp Insur 20 101 - 718 -51205 Medicare Tax 12 101 - 718 -51206 Unemployment Comp Insur 126 101 - 719 -51111 Salaries - Full Time 9,178 101 - 719 -51121 Longevity 1,069 101 - 719 -51201 TMRS Retirement 1,517 101 - 719 -51203 Disability Insurance 34 101 - 719 -51206 Unemployment Comp Insur 317 101 - 724 -51111 Salaries - Full Time 12,333 101 - 724 -51121 Longevity 1,905 101 - 724 -51126 License Pay 300 101 - 724 -51201 TMRS Retirement 3,985 101 - 724 -51203 Disability Insurance 58 101 - 724 -51204 Workers Comp Insur 115 101 - 724 -51205 Medicare Tax 31 101- 724 -51206 Unemployment Comp Insur 442 101 - 725 -51111 Salaries - Full Time 3,186 101 - 725 -51121 Longevity 330 101 - 725 -51201 TMRS Retirement 530 101 - 725 -51204 Workers Comp Insur 19 101- 725 -51205 Medicare Tax 43 101 - 725 -51206 Unemployment Comp Insur 126 101 - 726 -51206 Unemployment Comp Insur 68 101 - 838 -51206 Unemployment Comp Insur 58 101 - 839 -51111 Salaries - Full Time 1,395 101- 839 -51121 Longevity 53 101 - 839 -51201 TMRS Retirement 201 101 - 839 -51203 Disability Insurance 7 101 - 839 -51205 Medicare Tax 17 101 - 839 -51206 Unemployment Comp Insur 63 Amendment # Fund(s) Affected Net Budget Impact 11140612 1 1 220 1 1 220 Description The COLA and step and grade change provisions were budgeted as a lump sum in the non - deparartmental division of each fund. This budget amendment moves those funds from the lump sum in Water Fund's Non - Departmental to the individual division's salary accounts to provide for the COLA and any step increases given in FY 05 -06. Account # = Account Name Amount 220 - 1220 -51140 Step /COLA Adjustment (45,091) 220 - 212 -51111 Salaries - Full Time 8,705 220- 212 -51204 Workers Comp Insur 31 220 - 212 -51205 Medicare Tax 3 220 - 212 -51206 Unemployment Comp Insur 385 220 - 361 -51111 Salaries - Full Time 11,408 220 - 361 -51121 Longevity 294 220 - 361 -51201 TMRS Retirement 3,962 Exhibit A 220-361-51203 Disability Insurance 55 2N-361-51205 Medicare Tax 1 217 220-361-51206 Unemployment Comp Insur 255 220-362-51126 License Pay 360 220-362-51201 TMRS Retirement 31,361 M-362-51205 Medicare Tax �g 220-362-51206 Unemployment Comp Insur 595 220-368-51111 Salaries - Full Time 9,545 220-368-51121 Longevity 66 220-368-51126 License Pay 0 220-366-51201 TIVIRS Retirement 2,507 220-368-51204 Workers Comp Insur 599 220-368-51205 Medicare Tax 196 220-368-51206 Unemployment Comp Insur 264 220-396-51121 Longevity 317 220-396-51126 License Pay 300 220-396-51201 TMRS Retirement 1,384 220-396-51205 Medicare Tax 99 M-396-51206 Unemployment Comp Insur 154 Amendment # Fund(s) Affected Net Budget Impact oeoonpovn e COLA and step and grade change provisions were budgeted auo Jump sum inthe n^dopavartmenta| division of each fund. This budget amendment moves those funds m the lump sum in Wastewater Fund's Non-Departmental to the individual division's lary accounts to provide for the COLA and any step increases given in FY 05-06. Account# Account Name Am;unt 221-1221-51140 Step/COLA Adjustment (13,972) 221-363-51121 Longevity 293 221-36M1126 License Pay 146 221-363-51201 TIVIRS Retirement 11391 221-363-51206 Unemployment Comp Insur 4§4 221-364-51121 Longevity 707 221-364-51201 TMRS Retirement 21668 221-364-51202 Health Insurance �34 221-364-51206 Unemployment Comp Insur 407 221-365-51201 TMRS Retirement 3 221-365-51202 Health Insurance 2�4 221-365-51206 Unemployment Comp Insur 257 221-366-51121 Longevity 2134 M-366-512U Health Insurance n4_ 221-366-51205 Medicare Tax 280 221-366-51206 Unemployment Comp Insur 14-3 221-367-51121 Longevity 1 58 221-367-51206 Unemployment Comp Insur 252 Exhibit A Amendment # Fund(s) Affected Net Budget Impact 11140614 1 1 224 1 1 224 12,140 Description The COLA and step and grade change provisions were budgeted as a lump sum in the non- deparartmental division of each fund. This budget amendment moves those funds from the lump sum in Solid Waste Fund's Non - Departmental to the individual division's salary accounts to provide for the COLA and any step increases given in FY 05 -06. After the Steo /COLA Adjustment has been fully used, the additional $12,140 will still need to be amended through an increase in appropriations. Account # Account Name Amount 224 - 1224 -51140 Step /COLA Adjustment (39,960) 224 - 373 -51111 Salaries - Full Time 2,327 224 - 373 -51201 TMRS Retirement 1,682 224 - 373 -51203 Disability Insurance 20 224 - 373 -51204 Workers Comp Insur 511 224 - 373 -51205 Medicare Tax 581 224 - 373 -51206 Unemployment Comp Insur 553 224 - 374 -51111 Salaries - Full Time 28,870 224 - 374 -51118 Salaries - Part Time 73 224 - 374 -51201 TMRS Retirement 5,922 224 - 374 -51205 Medicare Tax 478 224- 374 -51206 Unemployment Comp Insur 697 224 - 375 -51111 Salaries - Full Time 5,312 224- 375 -51121 Longevity 419 224 - 375 -51126 License Pay 73 224 - 375 -51201 TMRS Retirement 815 224 - 375 -51204 Workers Comp Insur 195 224 - 375 -51205 Medicare Tax 4 224 - 375 -51206 Unemployment Comp Insur 794 224 - 377 -51111 Salaries - Full Time 996 224 - 377 -51121 Longevity 66 224 - 377 -51201 TMRS Retirement 187 224 - 377 -51203 Disability Insurance 5 224 - 377 -51204 Workers Comp Insur 50 224 - 377 -51206 Unemployment Comp Insur 67 224 - 382 -51111 Salaries - Full Time 374 224 - 382 -51121 Longevity 257 224 - 382 -51201 TMRS Retirement 285 224 - 382 -51203 Disability Insurance 6 224 - 382 -51204 Workers Comp Insur 419 224 - 382 -51206 Unemployment Comp Insur 63 Exhibit A Amendment # `11140615 Fund(s) Affected Net Budget Impact 260 260 Description The COLA and step and grade change provisions were budgeted as a lump sum in the non-deparartmental division of each fund, This budget amendment moves those funds from the lump sum in Cemetery Fund's Non-Departmental to the individual division's salary accounts to provide for the COLA and any step increases given in FY 05-06. Account# = Account Name Amount 260-1260-51140 Step/COLA Adjustment (2,869) 260-460-51111 Salaries - Full Time 42 260-460-51121 Longevity 166 260-460-51201 TIVIRS Retirement 2,217 260-460-51203 Disability Insurance 31 260-460-51204 Workers Comp Insur 301 260-460-51205 Medicare Tax Ei4 260-460-51206 Unemployment Comp Insur 59 Amendment # 11140616 Fund(s) Affected Net Budget Impact 603 603 Description The COLA and step and grade change provisions were budgeted as a lump sum in the non-deparartmental division of each fund. This budget amendment moves those funds from the lump sum in Street Fund's Non-Departmental to the individual division's salary accounts to provide for the COLA and any step increases given in FY 05-06. Account# Account Name E7777mount 603-1603-51140 Step/COLA Adjustment (6,266) 603-323-51N1 TMRS Retirement 897 603-323-51202 Health Insurance 24 603-323-51204 Workers Comp Insur 1,969 603-32M1205 Medicare Tax 514 603-323-51206 Unemployment Comp Insur 1,740 603-384-51121 Longevity W2 603-384-51202 Health Insurance 468 603-384-51206 Unemployment Comp Insur 292 Exhibit A Amendment # 11140617 Fund(s) Affected Net Budget Impact 612 612 33,042 Description The salary budget was prepared for one of the School Resources Officers based on a regular officer's salary amount. During the fiscal year this position was vacated and a senior officer was transferred to fill the position. Because the senior officer's salary was higher than what was budgeted for the position an overbudget situation occured. Account # Account Name Amount 612- 555 -51111 Salaries - Full Time 21,590 612 - 555 -51121 Longevity 1,352 612- 555 -51123 Incentive Pay 1,235 612- 555 -51201 TMRS Retirement 6,681 612- 555 -51202 Health Insurance 226 612- 555 -51203 Disability Insurance 144 612 - 555 -51204 Workers Comp lnsur 958 612 - 555 -51205 Medicare Tax 531 612 - 555 -51206 Unemployment Comp Insur 324 Exhibit A City of H- L'cv1'tsvi,l.(.e Budget Amendments Amendment # 11140621 FY 05 -06 Amendments Fund(s) Affected Net Budget Impact 101 1 1 101 Description IBudget Amendment to adjust for current sick leave liability, Account # Account Name I I Amount 101 - 1101 -51140 Step/COLA Adjustment (11,207) 101- 1101 -51150 Classification Adjustment (10,242) 101 -115 -55070 Purchased Services /Contracts (1,401) 101 -113 -51111 Salaries - Full Time 548 101 - 114 -51111 Salaries - Full Time 660 101 - 115 -51111 Salaries - Full Time 511 101-150-51111 Salaries - Full Time 176 101 - 151 -51111 Salaries - Full Time 44 101- 231 -51111 Salaries - Full Time 264 101-234-51111 Salaries - Full Time 135 101 - 320 -51111 Salaries - Full Time 3,220 101 - 388 -51111 Salaries - Full Time 1,956 101 - 389 -51111 Salaries - Full Time 2,179 101 - 420 -51111 Salaries - Full Time 1,506 101 - 421 -51111 Salaries - Full Time 850 101- 422 -51111 Salaries - Full Time 710 101- 423 -51111 Salaries - Full Time 85 101- 444 -51111 Salaries - Full Time 297 101- 550 -51111 Salaries - Full Time 602 101 - 552 -51111 Salaries - Full Time 3,494 101-647-51111 Salaries - Full Time 506 101 -716 -51111 Salaries - Full Time 663 101- 717 -51111 Salaries - Full Time 896 101- 718 -51111 Salaries - Full Time 61 101 -719 -51111 Salaries - Full Time 720 101- 724 -51111 Salaries - Full Time 2,417 101 - 725 -51111 Salaries - Full Time 85 101 - 838 -51111 Salaries - Full Time 195 101-839-51111 Salaries - Full Time 67 Amendment # 11140622 Exhibit A Fund(s) Affected Net Budget Impact 220 1 1 220 Description Budget Amendment to adjust for current sick leave liability. Account # , Account Name I r Amount 220 - 1220 -51140 Step /COLA Adjustment (509) 220 - 1220 -88190 Legal /Fiscal (8,814) 220 - 212 -51111 Salaries - Full Time 1,848 220 - 361 -51111 Salaries - Full Time 1,553 220 - 362 -51111 Salaries - Full Time 4,464 220 - 368 -51111 Salaries - Full Time 604 220 - 396 -51111 Salaries - Full Time 855 Amendment # Fund(s) Affected 11140623 260 Description Budget Amendment to adjust for current sick leave liability. Account # Account Name 260- 1260 -51140 Step /COLA Adjustment 260- 460 -51111 Salaries - Full Time Net Budget Impact I 260 824 Amount (177) 1,001 Amendment # Fund(s) Affected Net Budget Impact 11140624 603 603 Description Amendment to adjust for current sick leave liability. Account # Account Name Amount 603- 1603 -51140 Step /COLA Adjustment (7,855) 603-323-51111 Salaries - Full Time 6,651 603 - 384 -51111 Salaries - Full Time 1,204 Amendment # 11140625 Exhibit A Fund(s) Affected Net Budget Impact 612 1 1 612 6,276 Description Budget Amendment to adjust for current sick leave liability. Account # Account Name Amount 612 - 555 -51111 Salaries - Full Time 6,276 Exhibit A City Of H- u.v�,tsUUl.e Budget Amendments FY 05 -06 Amendments Amendment # Fund(s) Affected Net Budget Impact 11140631 101 101 220 220 221 221 601 601 603 603 664 664 Description Budget Amedments to correct classifications which were over budget at year end. These accounts were not able to be amended from within their same division (over budget within division) and funds had to be taken from other divisions to correct. No overall budget impact within each fund. Account # , Account Name Amount 101 - 114 -51130 Overtime 2,815 101 - 114 -52010 Office Supplies 177 101 - 114 -55080 Training & Seminars 1,555 101 -112 -55080 Training & Seminars (4,547) 101 - 388 -52270 Inventory Short/Over 12,032 101 - 388 -55080 Training & Seminars (1,750) 101 - 388 -55070 Purchased Services /Contracts (405) 101 - 389 -52900 Garage- Bulk Oil (6,615) 101- 320 -55070 Purchased Services /Contracts (3,262) 101 - 422 -54040 Motor Vehicle Maintenance 4,372 101 - 422 -55040 Electric 4,788 101 - 422 -52090 Botanical /Agricultural (1,103) 101 - 422 -53010 Building Maintenance (602) 101 - 422 -56012 Insurance -Fleet (384) 101 - 422 -57422 Emancipation Park Impry (1,274) 101 - 421 -55070 Purchases Services /Contracts (5,360) 101 - 421 -55080 Training & Seminars (437) 101 - 725 -52040 Gas & Oil 606 101 - 725 -54040 Motor Vehicle Maintenance 297 101 - 725 -55080 Training & Seminars 78 101 - 725 -55195 Cellular Phone Charges 35 101 - 725 -55030 Long Distance (169) 101- 725 -55090 Memberships /Subscriptions (100) 101 - 725 -55120 Mileage and Misc Meals (100) 101 - 725 -55200 Pager Air Time (62) 101 - 724 -57280 Demolition Program (585) Exhibit A 101-838-51130 Overtime 313 101-838-57900 Downtown Maint/Improv 1,236 101-838-52010 Office Supplies (34 101-838-56030 Legal Advertising (150 101-840-57910 Performances (1,365 220-396-51130 Overtime 1,435 220-396-54040 Motor Vehicle Maintenance 6,470 220-396-52200 Non Capital Equipment Purchases (1,304) 220-396-55080 Training & Seminars (1,712) 220-396-56012 Insurance- Fleet (17-9-)- 220-362-55581 Water Line Cleaning (4j10) 221-364-55040 Electric 36,375 221-364-55580 Sludge Removal 8,101 221-364-52070 Chemical Supplies (7,486) 221-364-53050 Maint.- Streets/Curbs/Gutters {1,448) 221-364-54020 Maint.- Mach/Tools/Instruments (869) 2-21-364-54040 Motor Vehicle Maintenance (1,549) 221-364-54130 SCADA Maintenance (1,973) 221-364-57685 SCADA Project (3,985) 221-363-53030 Sewer Line Maintenance (10,000) 221-1221-56010 LiablComp Insurance (17,166) 221-365-55040 Electric 38,678 221-365-52070 Chemical Supplies (250) 221-365-53050 Maint.- Streets /Curbs /Gutters (1,435) 221-365-54130 SCADA Maintenance (2,208) 221-365-57685 SCADA Project (2,100) 221-363-55040 Electric (10,388) 221-363-55582 WW Odor Remediation (11,850) 221-363-57685 SCADA Project (6,61-2-) 221-366-57685 SCADA Project (3,835) 601-432-52130 Other Supplies 4,666 601- 432-51124 Clothing (600) 601-432-51111 Salaries- Full Time (1,066) 601-1601-57037 Purchases- Special Monies (3,000) 603-1603-56120 Miscellanous Expense 6,053 6021-384-53110 Drainage Maintenance (6,053) 664-882-55231 Electric- Statue 369 664-882 -55606 Payments to ChamberNisit Cntr 5,000 664-1664-55239 Council Community Discretionary (5,369) Exhibit A Amendment # Fund(s) Affected Net Budget Impact 11140632 101 101 220 220 612 612 Description Budget Amedments to correct overtime accounts which were over budget at year end. These accounts were able to be amended from within their same division (not over budget within division). No overall budget impact within each division. Account # Account Name I I Amount 101 - 150 -51130 Overtime 100 101 - 150 -52120 Reproduction & Printing (100) 101 - 231 -51130 Overtime 393 101 - 231 -53010 Building Maintenance (393) 101 - 552 -51130 Overtime 2,463 101 - 552 -52030 Clothing (2,463) 101 - 724 -51130 Overtime 6,046 101- 724 -57280 Overtime (6,046) 220 - 362 -51130 Overtime 7,642 220 - 362 -55581 Water Line Cleaning (7,642) 612- 555 -51132 Overtime- Police Tobacco Grant 1,846 612- 555 -54040 Motor Vehicle Maintenance (1,279) 612 - 555 -55195 Cellular Phone Charges (235) 612 - 555 -90312 Computers & Software (332) Amendment # 11140633 Fund(s) Affected Net Budget Impact I 116 116 2,039 Description I Budget Amendment is to correct Debt Issue Costs accounts in General Debt Service Fund. Debt issue costs exceeded budgeted amount by $2,039. Account # = Account Name Amount 116 - 1116 -88200 Debt Issue Costs 629 116 - 1161 -88200 Debt Issue Costs 1,410 Exhibit A Amendment # Fund(s) Affected Net Budget Impact 11140634 221 221 603 603 Description Budget Amendment is to fully distribute remaining Step /COLA adjustment in Wastewater land Street Funds. Account # Account Name Amount 221 - 1221 -51140 Step /COLA Provision (20,947) 221 - 363 -51111 Salaries - Full Time 2,492 221 - 364 -51111 Salaries - Full Time 1,250 221-365-51111 Salaries - Full Time 952 221 - 366 -51111 Salaries - Full Time 15,362 221- 367 -51 1 1 1 Salaries - Full Time 891 603 - 1603 -51140 Step /COLA Provision 603 -323 -51111 Salaries - Full Time 603 - 384 -51111 Salaries - Full Time Amendment # 11140635 (19,139) 16,308 2,831 Fund(s) Affected Net Budget impact 224 224 47,762 Description Budget Amendment is to increase appropriations for Bad Debt Expense account in Solid Waste Fund. This is a non -cash item. Account # Account Name Amount 224- 1224 -91410 Bad Debt Expense 47,762 Exhibit A Amendment # 11140636 Fund(s) Affected 224 Net Budget Impact 224 7,847 Description Budget Amendment is to increase appropriations for Gas & Oil and Motor Vehicle Maintenance accounts in various Solid Waste Fund divisions. After all accounts within Solid Waste Fund with budget remaining are reduced to correct for the over budget accounts, $7,821 will still need to be amended through an increase in appropriations. Account # Account Name I Amount 224 - 373 -52040 Gas & Oil 10,288 224 - 373 -54040 Motor Vehicle Maintenance 12,977 224 - 373 -55080 Training & Seminars (213) 224 - 373 -55090 Memberships /Subscriptions (290) 224 - 373 -56012 Insurance -Fleet (230) 224 - 374 -54010 Motor Vehicle Maintenance (12,723) 224 - 374 -55650 Yard Waste Contract (3,142) 224 - 377 -52010 Office Supplies (50) 224 - 377 -52020 Postage (1,000) 224 - 377 -52030 Clothing (243) 224 - 377 -52031 Clothing- Safety Gear (88) 224 - 377 -52050 Minor Tools Instruments (100) 224 - 377 -52060 Cleaning Supplies (146) 224 - 377 -52120 Reproduction & Printing (1,315) 224 - 377 -52130 Other Supplies (467) 224 - 377 -56030 Legal Advertising (317) 224 - 377 -57377 Bag Some Litter Project (1,995) 224 - 1224 -56010 Liab /Comp Insurance (920) 224 - 375 -52040 Gas & Oil 7,979 224 - 375 -54040 Motor Vehicle Maintenance 2,410 224 - 375 -53300 Driveway Repairs (1,000) 224 - 375 -55080 Training & Seminars (225) 224 - 375 -56012 Insurance- Fleet (153) 224 - 1224 -56010 Liab /Comp Insurance (1,190) 224 - 382 -52040 Gas & Oil 780 224 - 382 -54040 Motor Vehicle Maintenance 2,410 224 - 382 -55080 Training & Seminars (250) 224 - 382 -56012 Insurance- Fleet (51) 224 - 1224 -56010 Liab /Comp Insurance (2,889) Exhibit A Amendment # Funnd(s) Affected Net Budget Impact 11140647 101 101 3,000 260 260 - Description Additional budget is needed in Cemetery Fund. Revenues from sale of cemetery space are $13,000 below budget and the Cemetery Fund requires additional funds to meet obligations. Account # Account Name 101 -1101 -95260 Transfer to Cemetery Fund 260 -43501 Transfer from General Fund Amendment # 11140637 Fund(s) Affected 461 260 ount 3,000 3,000 Net Budget Impact Description Interest Income in the Oakwood Cemetery Endowment Fund exceeded budget. Budget Amendment is to increase Transfer to Cemetery Fund account for additional interest revenue. Account # Account Name Amount 461 -42602 Interest Income 595 461- 1461 -95260 Transfer to Cemetery Fund 595 260 -43560 Transfer from Cemetery Endow. 595 Amendment # 11140648 Fund(s) Affected Net Budget Impa 260 1 1 260 Description A budget to provide for the purchase of addiitonal land for the cemetery was included in the FY 05 -06 budget. However, the land was purchased at the end of FY 04 -05 so the budget that provided for the purchase in FY 05 -06 needs to be eliminated. Account # Account Name Amount 260 -43570 Transfer from Land Fund (32,000) 260 -460 -57022 Improvements- Cemetery (32,000) Exhibit A Amendment # Fund(s) Affected Net Budget Impact 11140638 302 302 603 603 1,303 Description Council passed a budget amendment during their July 18, 2006 meeting to provide a budget for the GASB 45 Post Employee Benefit Study. A portion of the amendment as listed contained an error. Another Budget Amendment is requested to provide the correct Street Fund transfer budget for the needed amount for the study. Account # Account Name Amount 603 - 1603 -94302 Transfer Insurance Fund 1,303 302 -43514 Transfer from Street Fund 1,303 Amendment # Fund(s) Affected Net Budget Impact- 11 140639 610 610 Description Contributions were received from patrons, citizens, Kiwanis Club and the Gates Foundation for use in Library Programs and for book replacement. Budget Amendment is to increase various revenue and expense accounts for purchases made. Account # Account Name I I Amount 610 -42912 Contributions- Book Replacement 142 610 - 440 -54110 Book Replacement 142 610 -42911 Contributions- Library Memorials 1,181 610 - 440 -57037 Purchases- Special Monies 1,181 610 -42910 Contributions- Library Donations 908 610- 440 -57037 Purchases- Special Monies 865 610 - 440 -57038 RIF & TX Reading Club 43 610 -42905 Contributions 2,000 610 - 440 -57038 RIF & TX Reading Club 2,000 610 -42801 Grants 6,250 610 - 440 -57575 Gates Foundation Grant 6,250 Amendment # 111«nmxm Exhibit A Fund(s) Affected Net Budget Impact 615 616 Description Contributions were made in honor of Helen Wheat to conduct children's library programs. Budget Amendment is to increase Contributions account for amount received and expense |accounts for program expenses. � Account# F7 Account Nam—e-----7 Amount 615-42905 Contributions 335 615-1615-55070 Purchased Services/Contracts 3 1 35 615-42905 Contributions 303 615-1615-55021 Lease of Buildings 303 Amendment # Fund(s) Affected --Net, Budgetimpact Description lRevenue from hotel/motel tax exceeded budgeted amount. Arts Commission don I tracts account is overbudget because of prior year (FY 04-05) projects not being completed until Account# -Account Nam7e= Amount 662-885-78040 Arts Commission Contracts 12,177 662-41401 H/M Tax- Arts 12,177 Amendment # Fund(s) Affected Net Budget Impact Description The Statue-Paver fund isospecial revenue fund whose fund balance is dedicated tothe purchase of statue pavers. Purchase nf pavers inFY05-0O exceeded the amount budgeted, This budget amendment will increase appropriations by $1,854 for the purchase of statue pavers. Account# r— Account Name 665-884-57950 Paver Project K Amount 8 1,M4 1 Exhibit A ML t o t--t LC Vuts�/�l,I,e w:U "ASV Budget Amendments FY 05 -06 Amendments r?entlm`et t"�rd)af " "e het "��d4li»pacty 11140631 625 625 1,264 630 630 74,211 7p'Q.3 Budget Amedments to correct classifications which were over budget at year end. ' Ar Et Account Name Accou'nit # 426 625 - 1625 -52130 Other Supplies 625 - 1625 -55070 Purchased Services /Contracts 838 630 - 1630 -96999 Transfer to CIP Funds 74,211 Exhibit B c�t� of H-�to'tSVULe Budget Amendments FY 06 -07 Amendments Amendment # Fund(s) Affected Net Budget Impact 11140641 101 101 - Description Pay for interns was originally budgeted within Salaries /Other Pay /Benefits. However, interns will work on a contract basis and not as an employee on the payroll. Budget amendment is requested to move the budget from the Student account in the Salaries /Other Pay /Benefits category into the Intern Contract Payment account under the Services /Utilities category. Account # Account Name Amount 101 - 420 -51116 Student (16,800) 101 - 420 -55017 Intern Payment Program 16,800 Amendment # Fund(s) Affected Net Budget I 11140642 101 101 306 306 Description The riding lawnmower for the new Parks crew was budgeted in the incorrect account. A transfer to Capital Equipment Fund for the purchase should have been budgeted. Account # Account Name C 101 - 422 -69020 Capital Equipment Purchase 101 - 422 -90300 Vehicle /Equipment 306 -43401 Charge to General Fund 306 - 379 -69020 Capital Equipment Purchase Amou (9,000) 9,000 9,000 9,000 Amendment # 11140643 Exhibit B Fund(s) Affected Net Budget Impact 101 1 1 101 2,745 Description This budget amendment is to correct a timing difference. Conference table was budgeted and purchased in FY 05 -06 but was not delivered until the beginning of FY 06 -07. Account # Account Name 101 - 113 -52610 Office Furnishings /Equipment Amount 2.745 Amendment # Fund(s) Affected Net Budget Impact 11140644 1 1 101 1 1 101 12,000 Description This budget amendment is to correct a timing difference. Library software was budgeted and purchased in FY 05 -06 but was not delivered until the beginning of FY 06 -07. Account # Account Name 101 - 640 -69025 Capital Software Purchases Amendment # 11140645 Amount 12,000 Fund(s) Affected Net Budget Impact I 603 603 210,000 Description Several street maintenance projects were not able to be performed in FY 05 -06 as budgeted because of special construction projects such as 1st Street, AJ Brown WWTP entrance road, Eastham- Thomason /Aquatic Center Parking Lots. An increase in appropraitions in the amount of $210,000 is requested. FY 05 -06 budget for street maintenance was $324,650 with only $11,328 expended. Account # Account Name Amount 603 - 323 -53051 Street Infrastructure Projects 210,000 Amendment # 11140646 Exhibit B Fund(s) Affected Net Budget Impact 307 1 307 5,4281 Description Money received for Rescue /Hazmat. Budget amendment to increase Rescue Hazmat related expenses by same. Account # ] Account Name Amount 307- 1347 -52246 Rescue /Haz -Mat 5,428 Amendment # 11140649 Fund(s) Affected Net Budget Impact 702 702 11,407 Description costs for extending electric service to the lift stations in the TxDOT Rest Area project created the necissity to increase the project budget by $11,407. TOOT will contribute the additional $11,407. Account # Account Name Amount 702 -7112 -62300 TOOT Rest Area WW Construe. 11,407