HomeMy WebLinkAbout3500ORDINANCE NO. 3500
AN ORDINANCE of the City of Port Angeles, Washington amending
the 2014 budget and funds.
WHEREAS, the Annual Budget of the City of Port Angeles for the year 2014, was
adopted, approved and confirmed on December 3rd, 2013, in Ordinance 3490, in the manner
provided by law.
WHEREAS, now there exists an emergency that could not reasonably have been foreseen
when the 2014 budget was adopted.
WHEREAS, the facts constituting the emergency include, but are not limited to:
Unanticipated additional revenue;
Unanticipated reduced revenue;
Unanticipated additional expenditures for a variety of expenditure
classifications including maintenance and repair and changes in planned
capital expenditures as previously authorized by Council;
WHEREAS, these facts require amendments to the adopted budget in order to meet the
expenses of government of the City for the fiscal year ending December 31, 2014.
NOW, THEREFORE, the City Council of the City of Port Angeles, Washington, do
ordain as follows:
Section 1. Pursuant to RCW 35A.33.090, the City Council declares that an
emergency exists.
-1-
Section 2. The 2014 budget appropriation for each separate fund as set forth in
Ordinance 3490, is amended as shown in the attached Exhibit A
Section 3. The City Clerk and the codifiers of this ordinance are authorized to
correct scrivener's errors, references, ordinance numbering, section and subsection numbers and
any references thereto.
Section 4. This Ordinance exercises authority granted exclusively to the City
Council and is not subject to referendum. It shall be in force and take effect 5 (five) days after
publication according to law.
PASSED by the City Council of the City of Port Angeles by a vote of one more than the
majority of all members of the legislative body at a regular meeting of said Council on the 180
day of March, 2014.
Dan DiGuilio, Mayor
APPROVED AS TO FORM:
Jan sa Hurd, City Clerk William E. Bloor, City Attorney
PUBLISHED: March 23, 2014
By Summary
11 \a ORDFNANCES&RESOLUTIONS\ORDINANCES.2014\1 - BudgetAxnendnient.02.24.14.wpd
-2-
CITY of PORT ANGELES
2014 Budget Ordinance - Amend #1
Exhibit A
F n
I lFund IDiv. Name/ Description I I Beginningi Revenuel Expendituresl Ending
I I I I Balance Est.1 I I Balance Est.
9 0 D N fe;l AiJ +s /anoJ #atal$ifgrreferen'Ce only)
2014 ;Bu' get,,"- 1Ist�Arneh
Beginning]
Fund Balance:
001,_
1210
City Manager
001.
1211
Customer Commitment
001.
1220
Human Resources
001.
1230
City Clerk
001.
1390
Community Service
Pal,
2001
Finance- Revenue
001,
2010
Finance Administration
001.
2023
Accounting
002,
2025
Customer Service
001.
12080
lReprographics
001.
12091
Non-Departmental
001.
2099
General Unspecified
001.
3010
OtyAttorney
001.
3012
Jail Contributions
001.
3021
Prosecution
001.
4010
Planning
001.
4020
Building
001,
4030
Code Compliance
001.
5010
Police Administration
001.
5012
PenCom/Copital Transfers
001,
5021
Police Investigation
001.
5022
Police Patrol
001,
5026
Police Reserves & Volunteers
001.
5029
Police Records
001,
5050
Police Facilities Maintenance
001.
6010
, Fire A
001,
6012
jPenCom1Medk ISupport
001,
6020
Fire Suppression
001.
6021
Fire Volunteers
001.
6022
Special Operations
001,
6030
Fire Prevention
001,
6040
Fire Training
001.
6050
Fire Facilities Maintenance
001.
6060
Fire Emergency Management
001.
7010
Public Works Administration
001.
17012
Public Works CIP
001.
8010
Parks Administration
001.
8012
Senior Center
001,
8050
Ocean Vfew Cemetery
001.
8080
Park Facilities
001.
8090
Marine Life, Center___
001.
8112
Senior Center Facilities
001.
8131
Central Services Facilities
001.
8221
Sports Programs
001. 18224
1
Youth /Family Programs
001 TOTAL General Fund
4,865,688 4,865,688
411,500 272,400
0 8,900
0 244,400
0 219,100
0 46,750
14,577,400 0
0 615,300
0 705,600
0 1,034,600
0 86,900
0 45,800
0 200,800
439,300 385,300
0 650,000
19,500 499,100
336,400 468,700
215,000 164,950
0 42,600
0 613,450
215,000 245,200
300 885,850
380,250 2,783,800
0 11,150
23,350 447,450
15,000 5,800
123,900 344,500
0 454,600
9,800 1,374,200
8,800 65,300
0 3,500
23,600 31,600
6,000 139,500
0 41,300
0 3,100
1,513,600 2,680,000 LL
0 176,200
26,500 293,200
44,000 144,100
141,000 151,900
20,000 1,541,100
0 20,300
0 37,100
315,800 589,300
167,000 164,400
89,500 167,800
4,865,688 19,163,800 19,163,800 1 4,865,683�
4,865,688 4,881,688
411,500 272,400
0 8,900
0 244,400
0 219,100
0 46,750
14,577,400 0
0 615,300
0 705,600
0 1,034,600
0 86,900
0 45,800
0- 200,800
439,300 385,300
0 650,000
22,500 535,300
336,400 468,700
215,000 164,950
0 42,600
0 613,450
215,000 245,200
300 885,850
440,250 2,783,800
0 11,150
23,350 447,450
15,000 5,800
123,900 345,300
0 454,600
9,800 1,374,200
8,800 65,300
0 3,500
23,600 31,600
6,000 139,500
41,300
0 3,100
1,513,600 2,680,000
0 176,200
26,500 293,200
44,000 144,100
141,000 151,900
20,000 1,541,100
0 20,300___
0 37,100
315,800 589,300
167,000 164,400
89,500 167,800
4,865,688 12,276,800j 19,210,800 4,881,688
SPE�d(AL RE tI4L)tT'&
2014 ;Bu' get,,"- 1Ist�Arneh
Beginning]
Revenue
Expenditure s
Ending
Balance Est.1
574,800
121,538
Balance Est.
4,865,688 4,881,688
411,500 272,400
0 8,900
0 244,400
0 219,100
0 46,750
14,577,400 0
0 615,300
0 705,600
0 1,034,600
0 86,900
0 45,800
0- 200,800
439,300 385,300
0 650,000
22,500 535,300
336,400 468,700
215,000 164,950
0 42,600
0 613,450
215,000 245,200
300 885,850
440,250 2,783,800
0 11,150
23,350 447,450
15,000 5,800
123,900 345,300
0 454,600
9,800 1,374,200
8,800 65,300
0 3,500
23,600 31,600
6,000 139,500
41,300
0 3,100
1,513,600 2,680,000
0 176,200
26,500 293,200
44,000 144,100
141,000 151,900
20,000 1,541,100
0 20,300___
0 37,100
315,800 589,300
167,000 164,400
89,500 167,800
4,865,688 12,276,800j 19,210,800 4,881,688
SPE�d(AL RE tI4L)tT'&
1101
Lodging Excise Tax Fund
226,0387
470,300
574,800
121,538
226,038_
470,300
574,800
121,538
102
Street Fund
134,680
1,851,600
1,861,700
124,580
134,680
1,851,600
1,861,700
124,580
103
Economic Development Fund - - ------
291,602
420,500
179,500
533,602
291,602
420,500
178,500
533,602
105
Real Estate Excise Tax-1 (REET-1) Fund
17,561
85,400
18,400
84,561
17,561
85,400
18,400
84,561
107
_.PenCorn
Fund
572,618
2,308,200
2,398,500
482,318
572,618
-2,308,200
2,398,500
482,318
156
Esther Webster (Fine Arts Center) Operations
- 0
0
0
0
721,083
138,300
132,310
727,073
160
Real Estate Excise Tax-2 (REET-2) Fund
12,381
85,200
86,100
11,481
12,381
85,200
86,100
11,481
172
1
Port Angeles Housing Rehab. Fund
208,663 1
791,500
1 834,300
165,863
208,663
791,500 1
834,300
165,863
TOTAL Special Revenue Funds 1,463,543 1
6,012,700
1 5,952,300
1,523,943
114,610 1
2,251,016
Page 1of2
IE
CITY of PORT ANGELES
2V14 Budget Ordinance - Amend #1
Exhibit
_jFund
Div.
Name / Description
Electric Utility Fund
11�0_
er (Fine Arts Center) Fund
IE
CITY of PORT ANGELES
2V14 Budget Ordinance - Amend #1
Exhibit
1215 1 12006 LTGO Bond (Prop. Acquisition) Fund 678,011 65,000 87,000 656,011 678,011 60,300 87,000 651,311
TOTAL Debt Service Funds 688,247 607,100 1 621,500 688,247 602,400 621,500 669,147
601
401
lowment Fund
Electric Utility Fund
11�0_
er (Fine Arts Center) Fund
Water Utility Fund
I Balance Est.
1215 1 12006 LTGO Bond (Prop. Acquisition) Fund 678,011 65,000 87,000 656,011 678,011 60,300 87,000 651,311
TOTAL Debt Service Funds 688,247 607,100 1 621,500 688,247 602,400 621,500 669,147
TOTAL Enterprise / Utility Funds
��
°~
501 Equipment Services 4,178,342 1,740,750 2,322,585 3,596,507 4,178,342 - 1,789,100 1 2,495,985 1 3,471,457
502 Information Technology 820,405 1,857,800 1,844,508 833,697 820,405 1,857,800 2,658,908 19,297
503 Self-Insurance 1,138,231 5,308,000 5,308,000 1,138,231 5,308,000 5,308,000 1,138,231
TOTAL Internal Service Funds 136,978 8,906,550 9,475,093 5,568,435 8,954,900 10,462,893 4,628,985
1602 IN 11 remen's Pension Fu n d 420,094 23,301 32�5 '094 ���094
TOTAL Fiduciary Funds 420,094 23,301 325 �094 1 420,094 H) 1 305,194
601
401
lowment Fund
Electric Utility Fund
11�0_
er (Fine Arts Center) Fund
Water Utility Fund
403
er (Fine Arts Center) Trust Fund
Wastewater Utility Fund
404
Solid Waste -- Collections Utility Fund
405
4,000
Solid Waste - Transfer Stn,/Landfill Utility Fund
406
191,106
Stormwater Utility Fund
409
195,106
Medic I Utility Fund
421
fjo-n-servation
Fund
TOTAL Enterprise / Utility Funds
��
°~
501 Equipment Services 4,178,342 1,740,750 2,322,585 3,596,507 4,178,342 - 1,789,100 1 2,495,985 1 3,471,457
502 Information Technology 820,405 1,857,800 1,844,508 833,697 820,405 1,857,800 2,658,908 19,297
503 Self-Insurance 1,138,231 5,308,000 5,308,000 1,138,231 5,308,000 5,308,000 1,138,231
TOTAL Internal Service Funds 136,978 8,906,550 9,475,093 5,568,435 8,954,900 10,462,893 4,628,985
1602 IN 11 remen's Pension Fu n d 420,094 23,301 32�5 '094 ���094
TOTAL Fiduciary Funds 420,094 23,301 325 �094 1 420,094 H) 1 305,194
TOTAL Permanent Funds
386o978
601
0
lowment Fund
652
3,000
er (Fine Arts Center) Fund
656
3 '99711
er (Fine Arts Center) Trust Fund
TOTAL Permanent Funds
386o978
3,000
0
389,978 1
386,978
3,000
373,121
0
3 '99711
8,778,850
193,771
316
Governmental Park Improvement Fund
191,106
4,000
0
195,106
191,106
4,000
0
195,106
451
Electric Capital Fund
265,764
948,000
1,108,061
135,300
122,310
1,121,051
3,283,600
3,000
452
0
389,978
310
Governmental Capital Improvement Fund
2,694,121
3,428,400
5,749,400
373,121
2 64,i2l
278,500
8,778,850
193,771
316
Governmental Park Improvement Fund
191,106
4,000
0
195,106
191,106
4,000
0
195,106
451
Electric Capital Fund
265,764
948,000
1,023,000
190,764
2,478,264
991,600
3,283,600
186,264
452
Water Capital Fund
51,444
306,000
306,000
51,444
1,660,715
306,000
1,915,300
51,415
453
Wastewater Capital Fund
452,041
694,000
1,105,800
40,241
1,951,192
724,000
2,596,800
98,392
456
Stormwater Capital Fund
427,749
988,000
1,405,000
10,749
534,749
998,300
1,522,300
10,749
463
1
iCombined Sewer Outflow Capital Project Fund
)1,453
1, ,
4,054,628
1,960,700
4,208,553
1806775
TOTAL Capital Funds
10,653
2,668,200
mB-Tom ALL FUNDS 61,75 054,723 E� �130,475,701) 141,577,181 47,269,051
Reserves 'msig"ate
Reserves Used <mon-s,ncra/Fund)
TOTAL ALL FUNDS 44,963,704 128,97D,731 1128,970,731 58,370,532 141,577,181 141,577,181 47,269,051
' The Esther Webster Fund will be separated Into 2 new funds In 2014: Fund 156 will be used for operations, and Fund 656 will be used to track trust activity. The total budgeted amounts
will not change.
NOTE: Fund balances shown above are estimates as the year-end revenues and expenditures for 2013 have not been finalized.
Page zof 2
Summaries of Ordinances Adopted by the
Port Angeles City Council
On March 18. 2014
Ordinance No. 3499
THIS ORDINANCE of the City of Port Angeles, Washington, makes changes to Chapter 3.70
and Chapter 14.05 of the Port Angeles Municipal Code relating to electrical permits.
Ordinance No. 3500
THIS ORDINANCE of the City of Port Angeles, Washington, amends the 2014 budget and
funds.
The full texts of the Ordinances are available at City Hall in the City Clerk's office, on the City's
website at www.citvol]pa.us, or will be mailed upon request. Office hours are Monday through
Friday, 8:00 a.m. to 5:00 p.m. These Ordinances shall take effect five days following the date of
publication by summary.
Janessa Hurd, CMC
City Clerk
Publish: March 23, 2014