028 of 2024 - Budget Amendment No. 3 Part 4 FY 2023-24SALT LAKE CITY ORDINANCE
No. 28 of 2024
(Third amendment to the Final Budget of Salt Lake City, including
the employment staffing document, for Fiscal Year 2023-2024)
An Ordinance Amending Salt Lake City Ordinance No. 29 of 2023 which adopted the
Final Budget of Salt Lake City, Utah, for the Fiscal Year Beginning July 1, 2023, and Ending
June 30, 2024.
In June of 2023, the Salt Lake City Council adopted the final budget of Salt Lake City,
Utah, including the employment staffing document, effective for the fiscal year beginning July 1,
2023, and ending June 30, 2024, in accordance with the requirements of Section 10-6-118 of the
Utah Code.
The City's Budget Director, acting as the City's Budget Officer, prepared and filed with
the City Recorder proposed amendments to said duly adopted budget, including the amendments
to the employment staffing document necessary to effectuate any staffing changes specifically
stated therein. The City Council adopted certain proposed amendments at the City Council
meetings held on December 12, 2023, and January 16, 2024, and February 6, 2024, while
reserving consideration of other proposed amendments until a later date. Additional proposed
amendments to the duly adopted budget, including any necessary amendments to the
employment staffing document are attached hereto for consideration by the City Council and
inspection by the public.
All conditions precedent to amend said budget, including the employment staffing
document as provided above, have been accomplished.
Be it ordained by the City Council of Salt Lake City, Utah:
SECTION 1. Purpose. The purpose of this Ordinance is to amend the final budget of
Salt Lake City, including the employment staffing document, as approved, ratified and finalized
by Salt Lake City Ordinance No. 29 of 2023.
SECTION 2. Adoption of Amendments. The budget amendments, including any
amendments to the employment staffing document necessary to effectuate staffing changes
specifically stated herein, attached hereto and made a part of this Ordinance shall be, and the
same hereby are adopted and incorporated into the budget of Salt Lake City, Utah, including any
amendments to the employment staffing document described above, for the fiscal year beginning
July 1, 2023 and ending June 30, 2024, in accordance with the requirements of Section 10-6-128
of the Utah Code.
SECTION 3. Filing of copies of the Budget Amendments. The said Budget Officer is
authorized and directed to certify and file a copy of said budget amendments, including any
amendments to the employment staffing document, in the office of said Budget Officer and in
the office of the City Recorder which amendments shall be available for public inspection.
SECTION 4. Effective Date. This Ordinance shall take effect upon adoption.
Passed by the City Council of Salt Lake City, Utah, this 16 day of April , 2024.
ATTEST:
C---
CITY RECORDER
1�
Victoria Petro (Apr 30, 202414:57 MDT)
CHAIRPERSON
2
ATTEST:
C-
CITY RECORDER
(SEAL)
Bill No. 28 of 2024.
Published: May 7, 2024
Transmitted to the Mayor on Apr 30, 2024
Mayor's Action: F■ Approved Vetoed
rach tto(May 5, 202409:34 MDT)
MAYOR
APPROVED AS TO FORM
Salt Lake City Attomey's Office
Date: Apr 29, 2024
By: Py, QpJ--
Jaysen Oldroyd, Senior City Attorney
3
Fiscal Year 2023-24 Budget Amendment *3 - 4-16-24 Final Adoption
Section A: New Items
Fire Department Civilian Paramedics Two New FTEs
i and Reclassify Two Vacant Entry-level Firefighter FTEs GF
(Modified Proposal)
Fire Department Civilian Paramedics Two New FTEs
1 and Reclassify Two Vacant Entry-level Firefighter FTEs GF
(Modified Proposal)
ARPA Employee Expenses
M/sc
/® j%rants
4 City Attorney's Office Legislative Division
GF
4 City Attorney's Office Legislative Division
GF
4 City Attorney's Office Legislative Division
IMS
4 City Attorney's Office Legislative Division
GF
Streets Impact Fee Funding for 2100 South
5 Reconstruction Project
Impact Fees
6 Streets Impact Fee Funding for 600/7oo North
Impact Fees
p
Reconstruction Project
7 Access Control System Upgrade - Security
GF
8 Compliance Electric Vehicle Funds Transfer to Fleet
GF
8 Compliance Electric Vehicle Funds Transfer to Fleet
GF
8 Compliance Electric Vehicle Funds Transfer to Fleet
Fleet
9 Road Marking Maintenance
GF
io Paystation Replacement
GF
11 Rail Spur Removal
GF
1i Rail Spur Removal
CIP
12 Temporary Shelter Community
Misc Grants
13 Grant Employee - Finance - 6 Months @ 75%
CDBG Grants
13 Grant Employee - Finance - 6 Months @ 25%
Misc Grants
13 Grant Employee - Finance - One-time Costs
CDBG Grants
14 Consulting for the Enterprise Billing Systems
IMS
15 Mill & Overlay Pilot Program Equipment
Transportation
15 Mill & Overlay Pilot Program Equipment
CIP
15 Mill & Overlay Pilot Program Equipment
Fleet
16 The Road Home - Family Hotel Winter Plan
GF
Section B: Grants for Existing Staff Resources
Section C: Grants for New Staff Resources
Section D: Housekeeping
Move Funding for Downtown Central Precinct Tenant
1 Improvements for North Temple Substation and
GF
Downtown Central Project
Move Funding for Downtown Central Precinct Tenant
1 Improvements for North Temple Substation and
GF
Downtown Central Project
2 IMS FY 2023 Encumbrance Roll Forward
IMS
Move Cultural Core Funding to Non -Departmental
GF
3 from Arts Council Cost Center
Move Cultural Core Funding to Non -Departmental
GF
3 from Arts Council Cost Center
Section E: Grants Requiring No New Staff Resources
Section F: Donations
I
Administration Proposed
Expenditure
c� Amount Amount
150,119.00
10,400.00
in 00❑ nn
12,000.00
20,000.00
205,000.00
205,177.00
955,177.00
297,220.40
12,000.00
12,000.00
20,000.00
3,323,590.00
3,204,371.00
400,000.00
(20,000.00)
20,000.00
20,000.00
200,000.00
135,992.49
205,000.00
205,000.00
500,000.00
43,642.50
14,547.50
3,000.00
250,000.00
(205,177.00)
(955,177.00)
955,177.00
300,000.00
- (513,208.00)
- 513,208.00
- 4,269,083.00
- (250,000.00)
- 250,000.00
Council Approved
12,000.00
20,000.00
205,000.00
205,177.00
955,177.00
297,220.40
12,000.00
12,000.00
20,000.00
3,323,590.00
3,204,371.00
400,000.00
(20,000.00)
20,000.00
20,000.00
200,000.00
1,612,000.00
205,000.00
205,000.00
500,000.00
43,643.00
14,548.00
3,000.00
250,000.00
(205,177.00)
(955,177.00)
955,177.00
300,000.00
(513,208.00)
513,208.00
4,269,083.00
(250,000.00)
250,000.00
Ongoing
One-time
2.00
4.00
0.75
0.25
Fiscal Year 2023-24 Budget Amendment *3 - 4-16-24 Final Adoption
Section G: Council Consent Agenda -- Grant Awards
Consent Agenda #2
1 Utah Department of Natural Resources/Forestry
Misc Grants
200,000.00
200,000.00
200,000.00
200,000.00
One-time
-
2 Department of Workforce Services Know Your Neighbor
Misc Grants
100,000.00
100,000.00
100,000.00
loo,000.00
One-time
3 EPA Salt Lake City Schovaers Cleanup
Misc Grants
495,200.00
495,200.00
495,200.00
495,200.00
One-time
4 Emergency Management Performance Grant (EMPG Gr
Mise Grants
38,000.00
38,000.00
38,000.00
38,000.00
One-time
-
5 Victims of Crime Act (VOCA) SLCPD Victim Advocates
Mise Grants
346,131.8o
346,131.8o
346,132.00
346,132.00
One-time
6 Edward Byrne Memorial Justice Assistance Grant
Misc Grants
386,620.00
386,620.00
386,620.00
386,620.00
One-time
-
(JAG)
7 Rocky Mountain Power Make Ready Rosewood Park
Misc Grants
29,507.51
29,507.51
29,508.00
29,508.00
One-time
-
8 Rocky Mountain Power Make Ready Riverside Park
Misc Grants
20,517.38
20,517.38
20,517.00
20,517.00
One-time
-
9 Rocky Mountain Power Make Ready Regional Athletic
Misc Grants
12,881.77
12,881.77
12,882.00
12,882.00
One-time
-
Complex
io Rocky Mountain Power Make Ready Day Riverside Libre
Misc Grants
22,642.33
22,642.33
22,642.00
22,642.00
One-time
-
11 FEMA Power Poles Cameras
Misc Grants
39,200.00
39,200.00
39,200.00
39,200.00
One-time
-
12 Utah Internet Crimes Against Children Task Force
Misc Grants
15,000.00
15,000.00
15,000.00
15,000.00
One-time
-
Section I: Council Added Items
1 Releasing Funds for Physical Security Improvements to
CIP
-
-
-
290,000.00
One-time
City Hall
2 Releasing Funds for Temporary Sanctioned
GF
-
-
One-time
Campground ($50ok); See contingency note below*
Total of Budget Amendment
3,103,054.79
159090,714.68
3,103,055.00
16,696,204.40
7.00
Items
Administration Proposed
Council Approved
Expenditure
OngoingExpenditure One -
Initiative Number/Name
Total by Fund, BudgetAmendment #1:
General Fund
GF
-
t,73o,731.89
-
3,046,220.40
6.00
Fleet Fund
Fleet
975,177.00
975,177.00
975,177.00
975,177.00
-
CIP Fund
CIP
410,177.00
(750,177.00)
410,177.00
(46o,177.00)
-
Transportation Fund
Transportation
-
(205,177.00)
-
(205,177.00)
-
Impact Fees Fund
Impact Fees
-
6,527,961.00
-
6,527,961.00
-
IMS Fund
IMS
12,000.00
4,531,083.00
12,000.00
4,531,083.00
-
Miscellaneous Grants
Misc Grants
1,705,700.79
2,234,473.29
1,705,701.00
2,234,474.00
0.25
CDBG Operating Fund
CDBG Grants
46,642.50
46,643.00
0.75
Total of Budget Amendment
3,103,054.79
15,090,714.68
3,103,055.00
16,696,204.40
7.00
Fiscal Year 2023-24 Budget Amendment *3 - 4-16-24 Final Adoption
Current Year Budget Summary, provided for information only
FY2o23-24 Budqet, Includinq Budget Amendments
General Fund (Fund i000)
448,514,918
0.00
0.00
0.00
130,275.00
448,645,193.00
Curb and Gutter (FC 20)
3,000
3,000.00
DEA Task Force Fund (FC 41)
1,397,355
1,397,355.00
Misc Special Service Districts (FC 46)
1,700,000
-
0.00
1,700,000.00
Street Lighting Enterprise (FC 48)
4,681,185
4,681,185.00
Water Fund (FC 51)
176,637,288
i76,637,288.00
Sewer Fund (FC 52)
289,941,178
289,941,178.00
Storm Water Fund (FC 53)
19,865,892
19,865,892.00
Airport Fund (FC 54,55,56)
403,513,000
403,513,000.00
Refuse Fund (FC 57)
25,240,459
230,000.00
25,470,459.00
Golf Fund (FC 59)
12,710,o67
12,710,o67.00
E-911 Fund (FC 6o)
3,925,000
3,925,000.00
Fleet Fund (FC 61)
32,1o8,969
36,800.00
975,177.00
732,909.00
33,853,855.00
IMS Fund (FC 65)
36,254,357
9,000.00
6,000.00
12,000.00
9,000.00
36,290,357.00
County Quarter Cent Sales Tax for
Transportation (FC 69)
q ,700,000
9,700,000.00
CDBG Operating Fund (FC 71)
5,597,763
-
5,597,763.00
Miscellaneous Grants (FC 72)
8,919,917
16,197,423.00
1,705,701.00
7,349,95o.66
34,172,991.66
Other Special Revenue (FC 73)
400,000
62,416.00
462,4i6.00
Donation Fund (FC 77)
500,000
500,000.00
Housing Loans & Trust (FC 78)
14,659,043
14,659,043.00
Debt Service Fund (FC 81)
32,341,586
1,100,000.00
33,441,586.00
CIP Fund (FC 83, 84 & 86)
30,199,756
218,000.00
25,485,893.25
410,177.00
1,415,400.00
57,729,226.25
Governmental Immunity (FC 85)
3,888,581
3,888,581.00
Risk Fund (FC 87)
60,932,137
6o,932,137.00
Total of Budget Amendment Items
1,623,631,451
263,800.00
41,751,732.25
3,103,055.00
1o,967,534.66
1,679,717,572.91
3
Fiscal Year 2023-24 Budget Amendment *3 - 4-16-24 Final Adoption
General Fund (FC 10)
448,514,918
204,200.00
(763,950.00)
3,046,220.40
2,890,480.00
453,891,868.40
Curb and Gutter (FC 20)
3,000
3,000.00
DEA Task Force Fund (FC 41)
1,397,355
1,397,355.00
Misc Special Service Districts (FC 46)
1,700,000
664,293.70
2,364,293.70
Street Lighting Enterprise (FC 48)
6,044,119
6,044,119.00
Water Fund (FC 51)
177,953,787
177,953,787.00
Sewer Fund (FC 52)
301,832,622
301,832,622.00
Storm Water Fund (FC 53)
22,947,474
22,947,474.00
Airport Fund (FC 54,55,56)
520,438,997
520,438,997.00
Refuse Fund (FC 57)
28,263,792
230,000.00
28,493,792.00
Golf Fund (FC 59)
17,938,984
17,938,984.00
E-911 Fund (FC 60)
3,800,385
165,793.00
3,966,178.00
Fleet Fund (FC 61)
32,498,750
14,461,793.00
975,177.00
732,909.00
48,668,629.00
IMS Fund (FC 65)
38,702,171
9,000.00
6,000.00
4,531,083.00
406,688.00
43,654,942.00
County Quarter Cent Sales Tax for
9,700,000
(205,177.00)
1,100,000.00
10,594,823.00
Transportation (FC 69)
CDBG Operating Fund (FC 71)
5,597,763
46,643.00
5,644,406.00
Miscellaneous Grants (FC 72)
8,919,917
16,197,423.00
2,234,474.00
7,349,950.66
34,701,764.66
Other Special Revenue (FC 73)
400,000
65,472.00
465,472.00
Donation Fund (FC 77)
500,000
500,000.00
Housing Loans & Trust (FC 78)
10,212,043
6,133,511.00
16,345,554.00
Debt Service Fund (FC 81)
34,894,979
5,777,784.00
1,100,000.00
41,772,763.00
CIP Fund (FC 83, 84 & 86)
29,708,286
218,000.00
25,485,893.25
1,545,675.00
56,957,854.25
Governmental Immunity (FC 85)
3,370,012
3,370,012.00
Risk Fund (FC 87)
63,574,655
63,574,655.00
Total of Budget Amendment Items
1,768,914,009
14,892,993.00
41,655,131.95
16,406,204.40
21,655,006.66
1,863,523,345.01
/j¢t1E /%iehr�O¢e�
Budget Manager Mary Beth Thompson
Benjamin Luedtke (Apr 22, 202415:34 MDT)
Analyst, City Council Ben Luedtki
Contingent Appropriation
*The condition is released that was placed upon these funds in the FY2024 annual budget adoption ordinance. The $1 million remaining are still in a holding account pending future Council action.
Note: items highlighted in green were adopted on December 12, blue were adopted on January 16, orange were adopted on February 6, and the single item in purple was adopted on Apri116.
4
Ordinance 28 of 2024 - FY24 Budget
Amendment No. 3 - Part 4
Final Audit Report 2024-05-06
Created: 2024-04-22
By: STEPHANIE ELLIOTT (stephanie.elliott@slcgov.com)
Status: Signed
Transaction ID: CBJCHBCAABAAtTgd-cPDRjT9w0ANfU4LSYRTgl4Yoe3G
"Ordinance 28 of 2024 - FY24 Budget Amendment No. 3 - Part 4
" History
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