Loading...
081 of 1988 - Amending Ordinance No 39 of 1988 Adopting the Budge for Fiscal YR 1988-89 0 88-1 B 88-5 SALT LAKE CITY ORDINANCE NO. _81 OF 1988 (Amending the Budget of Salt Lake City, Utah) AN ORDINANCE AMENDING SALT LAKE CITY ORDINANCE NO. 39 OF 1988 ADOPTING THE BUDGET OF SALT LAKE CITY, UTAH, FOR THE FISCAL YEAR BEGINNING JULY 1, 1988 AND ENDING JUNE 30, 1989. 10 PREAMBLE On June 13, 1988, the Salt Lake City Council (the "City Council" ) adopted the budget of Salt Lake City, Utah for the fiscal year beginning July 1, 1988 and ending June 30, 1989, in accordance with the requirements of Section 118 of Chapter 6, Title 10, Utah Code Annotated, 1953 as amended; and that said budget was approved by the Mayor of Salt Lake City, Utah. The Director of Finance, acting as the City's Budget Officer, prepared and filed with the City Recorder proposed amendments to said duly adopted budget, copies of which are attached hereto, for consideration by the City Council and inspection by the public. The City Council fixed a time and place for a public hearing to be held on December 13, 1988 to consider the attached proposed amendments to the budget and ordered notice thereof be published as required by law. Notice of said public hearing to consider the amendments to said budget was duly published and a public hearing to consider the attached amendments to said budget was held on December 13, 1988 in accordance with said notice at which hearing all interested parties for and against the budget amendment proposals were heard and all comments were duly considered by the City Council. All conditions precedent to amend said budget 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 budget of Salt Lake City, Utah as adopted by Salt Lake City Ordinance 39 of 1988. SECTION 2. Adoption of Amendments. The budget amendments attached hereto and made a part of this Ordinance be, and the same hereby are adopted and incorporated into the budget of Salt Lake City, Utah for the fiscal year beginning July 1, 1988 and ending June 30, 1989, in accordance with requirements of Section 128 of Chapter 6, Title 10, Utah Code Annotated ( 1953, as amended) . SECTION 3. Certification to Utah State Auditor. The Director of the City' s Finance Department, acting as the City' s Budget Officer, is authorized and directed to certify and file a copy of said budget amendments with the Utah State Auditor. SECTION 4. 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 in the office of said Budget Officer and in the office of the City Recorder, which amendments shall be available for public inspection. SECTION 5. Effective Date. This Ordinance shall take effect on its first publication. Passed by the City Council of Salt Lake City, Utah, this 13th day of December , 1988. SALT LAKE CITY COUNCIL By CHAIRPERSON ATTEST: APPROVED AS TO FORM S-It Like City Attomey's OffiCe t Date c By CI ::`, R -RDER I 4' Approved by the Mayor this 13th day of December 1988. MAYOR ATTEST: CI.'Y R E r l FMN:cc SEAL BILL 81 of 1988 Published: December 21 , 1988 -3- 1989 Budget Amendment /2 December 13, 1988 ---^-----------^^--------^--^----------------------------^----------------^-^---------------^-^-^-----^-----------------^-------^----^---^------^-----------^-------^-------------^---page 1 of 1 I-------^-------^------------------^-^-^MAJOR FUND CLASSIFICATIONS-----------------------------------I INTERNAL CAPITAL SPECIAL SOURCE EXPLANATION AGENCY/ GENERAL ENTERPRISE SERVICE IMPROVEMENT GRANT REVENUE OTHER PROJECT OR DEPARTMENT OF OF DEPARTMENT FUND FUNDS FUNDS FUND FUNDS FUNDS FUNDS FUND CLASS TOTALS FUNDS AMENDMENT REQUEST ------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------ Administrative Services 887,308 Fleet Fund To appropriate fund balance to Replacement Balance cover the cost of vehicles ordered in the previous fiscal year but paid for in the current fiscal year. 102,803 Information Fund To appropriate fund balance to Management Sery Balance cover the carryover cost of data lines installed in the current fiscal year which were budgeted for in the previous fiscal year. Also, to appropriate for . emergency back-up up batteries which have failed. 990,111 Community and 255,972 RDA Loans and Program To appropriate program income Economic Grants Income from Redevelopment loans Development back to the loans and grants program. 1,675,000 Canterbury Apt. HUD Section To appropriate loan proceeds to 103 loan purchase the Canterbury Apts. 27,619 Capitol Hill Program To appropriate program income Revolving Loan Income from the Cap. Hill loan Fund (11th Yr.) fund back to the loan fund. 500,000 Ben Albert Apt. HUD Sec'y To appropriate grant proceeds Discretionary to be used in conjunction Grant with SLC Housing Develpment Corp. funds to purchase the Ben Albert Apt. Building. 2,458,591 Finance 9,424,410 Golf Course Bond To appropriate bond proceeds to Bonds Proceeds construct golf courses, and i (Municipal Bldg estalish necessary reserve, i Authority) issuance, and capitlized interest accounts. 9,424,410 Parks -500,000 Golf Course Bond To remove appropriation of golf Construction Proceeds course bond proceeds which will be appropriated in the Municipal Building Auth. Fund instead of the Golf Course Fund. ----------------------------- -------------------------------------------------------------^--------------------------------------------------------------------------------page 2 of 3 I----------------------------------MAJOR FUND CLASSIFICATIONS-----------------------------------I INTERNAL CAPITAL SPECIAL SOURCE EXPLANATION AGENCY/ GENERAL ENTERPRISE SERVICE IMPROVEMENT GRANT REVENUE OTHER PROJECT OR DEPARTMENT OF OF DEPARTMENT FUND FUNDS FUNDS FUND FUNDS FUNDS FUNDS FUND CLASS TOTALS FUNDS AMENDMENT REQUEST -------------------------------------------------------------------------------------------------------------------------------------------------------------------------^-------------------.'- Park's (Cont'd) 150,000 North Point, HUD 103 To appropriate loan proceeds to Guadalupe, and Loan/ Prior construct the N. Point Pa-k Elk Parks Year CDBG (150,000) and transfer remainder of allocation of Guadalupe Park design which is completed to fund needed improvements at the Peoples Freeway area Elc's Park. (11,805) -350,000 Police 274,411 I.N.F. Treaty Defense To appropriate funds reimbursed Security Nuclear by the DNA for overtime Agency spent in providing security for the Russian inspection team associated with the I.N.F. Treaty. 274,411 Public Utilities 8,122,400 Water and Sewer Retained To approriate retained earnings Earnings/ to cover payment of carry- Transfers/ over project purchases of Interfund last fiscal year, Loan/ Water (3,853,400), and for Sales additional projects to be paid for in the current fiscal year, (1,217,000). transfers of reservoir and supply line fees to cover the cost of new con- struction projects, (252,000), and to cover the cost of additional water purchased from Metropolitan Water District and power costs associated with the dry fall, (1,300,000) and to appropriate an interfund loan from sewer to water to create a fund to purchase watershed property an1J water rights as recommended under the SL City Canyon Watershed Management Plan. (1.500,000) 8,122,400 ---------------------------------------------- ------------------page 3 of 3 I---------------------------------------MAJOR FUND CLASSIFICATIONS-----------------------------------I INTERNAL CAPITAL SPECIAL SOURCE EXPLANATION AGENCY/ reENERAL ENTERPRISE SERVICE IMPROVEMENT GRANT REVENUE OTHER PROJECT OR DEPARTMENT OF OF DEPARTMENT -^ FUND -^--^--- FUNDS -----^-^^^FUNDS ---------^FUND -^^----^^-FUNDS -- FUNDS FUNDS FUND CLASS - TOTALS --FUNDS- AMENDMENT REQUEST _----___--_---__-----_______- ___-___ grant Public vlorks - 18,295 Safer Sidewalk/ UDOT To appropriate state ran` funds California Ave. for the Redwood Road 10th- 13th North Safer Sidewalks project.(10,500) and refund from other projects completed to California Avenue for additional needs (7,795) 18,295 Non-Departmental -35,946 35,946 Slippage NA Transfer CDBG prior year slippage allocated all to CIP slippage to CDBG operating fund slippage. 0 Grand Totals 274.411 7,622,400 10,414,521 132,349 2,494,537 0 0 20,938,218 ::: ......... .......... ....... ......... ...... ...... ......... dLNLxaL Pums AMLMDLD •UDOiT lUMMARY fr 1986_89 sL6•.•9 s9a6.•9 ADOPTED COUNCIL AMLMOLD BUDOLT ADJUSTMENTS BUDOCT RESOURCE! ---------- Revenue T.:. P r::e rty Tax.. 524,741.909 $0 $24.742.909 S el.s • uw Ta:ee 19.686.000 0 19.688.000 t r.nehlse Taxas 15.389.560 0 15.389.560 Total Taxes 59,619,469 0 59.619.469 Other Current Revenue: Licenses a Permits 4,335.282 0 4.335,282 Fines a Forfeitures 3.313.060 O 3.313.060 Interest 2.486.500 0 2,486.500 Charg ■ For Services 1.835.395 O 1,835.395 Feder:ei Revenue Sharing 0 0 0 State Beer/Liquor Tax 480.000 0 480.000 Intergovernmental Revenue 1.974.600 274.411 2.249.011 P:rking Meter Collections 1,300.000 0 1.300.000 2 nterfund Reimbursement 3.496.655 0 3.496.655 Other Revenue 251.285 0 251.285 """'--- Total Other Current Revenue 19.472.777 274.411 19.747.188 other Sources ------------- Bond Reserves 424.240 0 424,240 Transfer In From Other Funds 0 0 0 Fund Balance (Reserves) 0 0 0 ___- Total Other Source. 424.240 0 424,240 -""-"' """"" "-""'-- TOTAL RESOURCES $79,716,486 $274.411 $79.990.897 .......... .......... .......... USES Expenditures ------------ Administrative Services $2.995,747 $0 92.995.747 Attorney 1.121.503 0 1.121.503 City Council 563.628 0 563.628 Community and Economic Dev. 3,256.433 0 3.256.433 Finance 3.886.546 0 3.886.546 Fire 15.966.089 0 15.966.089 Mayor 1.878.298 0 1.878.298 Non Departmental 3.794.258 0 3.794.258 Perk. 5,300.794 0 5.300.794 Police 20.148.791 274.411 20.423,202 Public work. 14.010.341 0 14.010.341 Total Expenditure. 72.922.428 274.411 73.196.839 Other Uses Interfund Transfer.: Street Lighting Fund 102.668 0 102.668 Capital Projects Fund 4.462.890 0 4.462.890 Refu.e Collection Fund 289.000 0 289.000 Fleet Replacement Fund 1,909.500 0 1.909.500 Demolition fund 15,000 0 15.000 weed Abatement Fund 15.000 0 15.000 Approp. To fund Balance Total Other uses 6.794.OS6 0 6.794.056 TOTAL USES $79.716.466 8274.411 $79.990.897 .......... .......... .......... CAPITAL PROJECTS FUND BUDGET SUMMARY FY 1988-89 1988-89 1908-89 PROJECT COUNCIL AMENDED REVENUES BUDGET ADJUSTMENTS BUDGET ----------- ___________ ------- Community Development $lock Grant ( COBB) $1,696.600 1.696.600 Federal Agency Loan Proceeds 0 150.000 160.000 UDOT and Federal Highway Admin. 1.200.000 18,295 1.218.295 Salt Lake County 1.100.000 1.100.000 Misc. Private/InterAgency/Federal Grants 966.000 966.000 Transfer In from General Fund 4.462.890 4,462,890 Redevelopment Agency 1.660.000 1.660.000 Fund Balance (Surplus Property Account) 800.000 800,000 Special Assessment Taxes 1,000.000 1.000.000 Central Fire Dispatch 50.000 50.000 ----------- ------------------..__- TOTAL RESOURCES $12,934.490 $168.295 $13.102.785 ........... ........... ........... PROJECT EXPENDITURES __-----_____________ PUBLIC WORKS DEPARTMENT Street Improvements Sidewalk, Curb 6 Gutter: SID 820.000 820,000 Sidewalk, Curb $Gutter Emergency Repairs 200,000 200.000 Local Street SID 165.000 166,000 California Avenue 50,000 7.795 57.195 900 W. 900-2100 S. 1.300.000 1.300.000 Railroad Safety Project 250.000 250.000 400 S. Viaduct Emerg. Repair 1.850.000 1.850.000 Traffic Safety Ngmt. 100.000 100.000 900 West Folsom Ave.-300 S. 600.000 600.000 CBO Beautification 1,500,000 1.600,000 Main Street Bus Bays 220,000 220,000 Windsor-Dooley Blk. Redesign 150.000 160.000 Peoples Freeway St. Imp. 300.000 300.000 E. Central St. Imp. 525,000 525.000 E. Central St. Design 25.000 26.000 W. Capital St. Design 20,000 20.000 N. Temple Parking Lot 135.000 135.000 Safer Sidewalks 0 10.500 10.500 __________ -------- Total Street Improvements 8.210.000 18.295 8.228.295 Drainage Improvements Avenues Cross Drain 30,000 30,000 N. E. Central Design 10.000 10.000 W. Temple Storm Drain 675,000 575,000 ---------- __________ ---------- Total Drainage Improvements 615.000 0 615.000 Public Buildings and Other Facilities City-County Landfill 1,100.000 1.100.000 Misc. Facilities Repairs 211,600 211.600 Earthquake Hazard Improv. 150.000 150,000 Fire Station /4 a i 10 Plan. 100.000 100.000 Fire Station 010 Const. 415,000 416.000 Street Light Replace account 80.000 80.000 CDBG Public Bldg. Projects 130.000 130,000 ""---- ---------- Total Public Bldg. 6 Other Fat. 2,186.600 0 2.186.600 Total Public Works $11,011,600 16.295 11.029.895 PARKS DEVELOPMENT Riverside Park Parking 106,290 106.290 Liberty Park Pool Design 30,000 30.000 Sunnyside Park Rec. Center 160.000 160.000 Urban Forestry Program 50.000 50,000 S. Central Mini Park 90.000 90.000 Athletic Park Construction 90.000 90.000 Jordan Park Irrigation 20,000 20,000 Victory Tennis Crt. Redesign 7.500 7.500 N. Point Park 0 150.000 160.000 Total Parks -^^ -^-^- 643.790 ^150.000 693,790 MAYOR City-County Bldg. Rehab. 1,140.000 0 1.140.000 ---------- __________ ---------- Total Mayor 1.140,000 0 1.140.000 PERCENT FOR ART 13.100 0 13,100 ---------- __________ __________ 13.100 0 13.104 NON-01PARTHCNTAL Contingency 226.000 0 nG.000 ..-._._.- ........... Total Non-departmental 226.000 0 226,000 ^ TOTAL USES $12.234.490 $168.296 $11.102,766 ........... .......... .......... COMMUNITY DEVELOPMENT BLOCK GRANT 14TH YEAR OPERATING FUND BUDGET SUMMARY FY 1988-89 ADOPTED COUNCIL AMENDED RESOURCES BUDGET ADJUSTMENTS BUDGET ------------- ___________ ---_-_ 1988 (14th Year) Entitlement $2,099,400 0 $2,099,400 Program Income 0 255,972 255,972 ---------- ---------- TOTAL RESOURCES $2,099.400 $255.972 $2,355,372 .......... .......... .......... PROJECTS. DEVELOPMENT SERVICES Capital Program and Planning: Assist Inc./Emergency Home Repair 200,000 200,000 NHS Housing Revolving Loan Fund 75,000 75,000 New Hope Cultural Center 11,900 11,900 Westside Emergency Food Pantry 24,000 24,000 Housing Outreach Rental Program 29,000 29,000 New Women Family Shelter 175,000 175,000 Administration/Planning 382,000 382,000 Security Lock Program 30,000 30,000 Neighborhood Atty. Program 5,000 5,000 Operation of Existing Womens Shelter 25,000 25.000 Operation New Men/Family Shelter 38,500 38,500 Crime Prevention 70.000 70.000 Capitol West Bays 6 Girls Club 28.500 28,500 Rape Crisis Center 25,000 25,000 Alliance House Rehab. 30,000 30,000 YWCA Mechanical System Impr. 15,000 15,000 Neighborhood Self-Help Grants 25,000 25,000 Salt Lake City Housing Resource Board 3.000 3,000 ---------- ---------- Total Capital Program and Planning 1,191,900 1,191,900 Redevelopment Agency: Housing Rehabilitation 700,000 255,972 955.972 -------- .._---_---- Total Redevelopment Agency 700,000 255,972 955,972 Building and Housing Services: Operation Paintbrush 35,000 35,000 Cleaning 8 Securing Vacant Properties 20.000 20,000 Total Building and Housing Services 55.000 55,000 Planning 8 Zoning: Environmental Assessments Required By HUD 7,800 7,800 Salt Lake Historic Survey 26.000 26,000 S. L. Community Progress Survey 7,000 7,000 S. L. Community Progress Survey Publication 4,500 4,500 ---------- ----- Total Planning R Zoning 45.300 45.300 Total Development Serves 1,992.200 NON-DEPARTMENTAL Community Development Operating Contingency 107,200 107,200 ---------- ---------- Total Contingency 107,200 ---------- ---------- ---- TOTAL ALL PROJECTS $2,099.400 255.972 2,355.372 .......... .......... .......... SALT4 �AM,` ,CITY,CORPORATION' DEPARTMENT OF DEVELOPMENT SERVICES ROSEMARY DAVIS Capital Planning and Programming DIRECTOR 324 SOUTH STATE STREET, ROOM 240 SALT LAKE CITY, UTAH 84111 535-7902 October 31, 1988 TO: Steve Fawcett Budget Manager RE: DECEMBER 13 , 1988 BUDGET OPENING Recommendation: That you approve, include and transmit the requested budget amendments to the Mayor and Salt Lake City Council for their consideration on December 13 , 1988. Current Recommended Project Budget Budget Change Source 14TH YEAR CDBG RDA Loans and $280,000 $ 535,972 $ 255,972 Program Grants Income (9601901) Canterbury Apts -0- $1, 675 , 000 $1, 675,000 HUD Sec- Acquisition tion 108 Loan 14TH YEAR (1988-89) CIP North Point -0- $ 150,000 $ 150,000 HUD Sec- Community Park tion 108 (CDBG) Loan Safer. Sidewalk -0- $ 10 , 500 $ 10,500 UDOT Redwood Road PRIOR YEARS CDBG 13th Year CIP Slippage $ 35, 946 -0- ($35,946) N/A Steve Fawcett 10/31/88 December 13 , 1988 Budget Opening Page 2 PRIOR YEARS CDBG 13th YEAR CONTINUED CDBG Operating -0- $ 35 , 946 $ 35,946 CIP Slippage Slippage 11TH YEAR CDBG Capital Hill $ 20,436 $ 48 ,055 $ 27,619 Program Revolving Loan FD Income (9601661) LOTH YEAR CDBG Guadalupe Park $ 16,634 $ 4,829 $ (11,805) Project Design (carryover) (carrover) Closed (83-85052) Peoples Freeway -0- $ 11,805 $ 11, 805 Guadalupe Elks Park Park Recap PRIOR YEAR CIP 1986-87 California Ave $440, 243 $ 448,038 $ 7,795 UDOT (83-87048) DISCRETIONARY GRANTS CURRENT YEAR Secretary' s -0- $ 500 ,000 $ 500,000 Federal Discretionary Grant 14th YEAR CDBG: Discussion: The recommended budget amendment for the RDA reflects program income generated by repayment of rehab loans. The program income is being amended into the current year total budget of Rehab Loans and Grants. w � Steve Fawcett 10/31/88 December 13, 1988 Budget Opening Page 3 A section 108 Loan application is being requested to the Department of Housing and Urban Development for $1,675,000 to purchase the Canterbury Apartments and $150,000 to improve the Northpoint Community Park a Capital Improvement project. Federal regulation governing these funds stipulate that they be incorporated into the current year CDBG budget. This requires the City to amend the 14th Year CDBG budget showing an infusion of $1825,000 as well as the programmed expenditure of those funds. The amendment process is completed prior to the receipt of the funds since CDBG monies require public involvement in qualifying and prioritizing CDBG expenditures. Repayment of the Section 108 Loan will come from rent receipts from the Canterbury Apartments and from a $300,000 allocation of CDBG funds each year for approximately six years. The $300,000 CDBG allocation will be part of the housing program expenditures for the 15th Year and in subsequent years until principal and interest are repaid. An agreement between Salt Lake City Corporation and UDOT is currently being processed. The agreement specifies that UDOT will provide $10,500 in State "Safer Sidewalk" fund§ to the City to construct sidewalks on the west side of Redwood Road - 10th North to 13th North. The City's match of $3,500.00 is currently budgeted. It is requested the Capital Improvement budget is increased by $10,500. PRIOR YEARS CDBG 13th YEAR CDBG The change in the slippage accounts corrects an error in budgeting made early in 1988. The remaining budgets were all accrued from CDBG operating funds. Therefore, we request that the budget amendment be done in order to correct the respective fund balances. llth YEAR CDBG The recommended budget amendment for the Capitol Hill Revolving Fund reflects program income generated by repayment of housing renovation loans. LOTH YEAR CDBG The Parks Department has a remaining budget in 6th and 7th Year Peoples Freeway project. Parks would like to take the sum of those remaining budgets, totaling $28,195, together with the proposed $11,805 from the closed out loth Year Guadalupe Park and put Steve Fawcett 10/31/88 December 13 , 1988 Budget Opening Page 4 restrooms at Elks Park. Currently there are no restrooms at this park. Therefore the City Fire Station receives many requests for use. It is hoped the new restrooms will alleviate this condition. PRIOR YEARS CIP 1986-87 Refund monies have been received from UDOT for overpayment on projects that required match money from the City. It is requested the budget for the California Avenue project be increased. DISCRETIONARY GRANTS After a meeting in Washington with Congressional staff, HUD representatives, and Salt Lake City officials on June 28th, the City was invited to submit an application request for a Secretary's Discretionary grant of $500, 000. The grant will be used to supplement funds held by the Salt Lake City Housing Development Corporation to acquire units for low/moderate income elderly people. There is high confidence that Salt Lake City will be awarded this grant. The grant leveraged with local funds, will purchase the Ben Albert Apartment Building. If you have any questions, please call Joe Reno. Sincerely, Rosemary Davis Director JR/Sh<Br> cc: Craig Peterson Max Peterson File MISCELLANEOUS GRANT SPECIAL REVENUE FUND AMENDED BUDGET SUMMARY FY 1988-89 1988-89 1988-89 ADOPTED COUNCIL AMENDED BUDGET ADJUSTMENTS BUDGET ----------- ----------- ----------- RESOURCES State/County EMS Grant $63,000 $0 $63,000 Fed/County Homeless Grant 66,000 0 66,000 SL County CDBG Grant 6,840 0 6.840 H.U.D. Rental Rehab. Grant 295,000 0 295,000 H.U.D. Secretary Grant 0 500,000 500,000 H,U,D, Section 103 Loan 0 1,675,000 1,675,000 ----------- ----------- ----------- TOTAL SOURCES $430,840 $2,175,000 $2,605,840 EXPENDITURES ------------ Charges and Services $430,840 $0 $430,840 Housing Development Corp. 0 2,175,000 2,175,000 ----------- ----------- ----------- TOTAL EXPENDITURES $430,840 $2,175,000 $2,605,840 ----------- ----------- ----------- FLEET MANAGEMENT • INTERNAL SERVICE FUND BUDGET SUMMARY FY 1988-89 GAAP BUDGETARY BASIS BASIS 1988-89 1988-89 1988-89 ADOPTED COUNCIL AMENDED AMENDED BUDGET ADJUSTMENTS BUDGET BUDGET ___________ ___________ ___________ _______---- OPERATING REVENUES: Charges for Services $4,883,030 $0 $4,883,030 $4,883.030 Other Revenues 0 0 0 0 ___________ ___________ ___________ ___________ TOTAL OPERATING REVENUES 4,883.030 0 4.883.030 4,883.030 ___________ ___________ ___________ ----------- OPERA ING EXPENSE: Personal Servicec 1,903,546 0 1,903,546 1,903,546 C ompeneeted Absence Allowance 0 0 0 5.000 Materials 6 Supplies 2,122,271 0 2,122,271 2.122,271 Data Processing Bervicec 55,945 0 55,945 55,945 Utilities 106.872 0 106,872 106.872 Towing 31,225 0 31,225 31,225 Contractual Services 85'000 0 85,000 85,000 Insurance, Worker's Comp, And 0 Unemployment Premiums 142,133 0 142,133 142,133 Administrative Fees to O.F. 224,000 0 224.000 224.000 other charges G Services 138,601 0 138.601 138,601 Contingencies 23.539 0 23,539 23.539 Non-Vehicle Depreciation 0 0 0 25,000 ___________ ___________ ___________ ___________ TOTAL OPERATING EXPENSES 4,833,132 0 4.833.132 4.863.132 ___________ ___________ ___________ ----------- NET OPERATING INCOME 49,898 0 49,898 19,896 ___________ ___________ ___________ ___________ OTHER SOURCES (USES): Charges For Repleeement 1,935,000 0 1.935,000 1,935.000 Interest Income (Expense) 10.102 0 10,102 10.102 Sale of Vehicles 400.000 0 400.000 Vehicle Depraclatlon 0 0 0 -1,775,000 Debt Service-Principal 0 0 0 Debt service-interest 0 0 0 cnpitel Outlay-Maintenance -60.000 0 -60.000 Capital Outlay-Vehicles -2,885,000 0 -2.885,000 Prior Period Obligations 0 0 0 Transfers to Other Funds 400,000 0 400,000 Transfers To General Fund -400,000 0 -400,000 ________ ___________ ___________ ___________ TOTAL OTHER SOURCES (USES) -599,898 0 -599.898 170,102 1 LF Appropriation of Fund Balance -550,000 -887.308 -1,437.308 Change in Retained Earnings $190,000 F Beginning Fund Balance (Deficit) 743,281 887.308 1.630,589 Le ___________ ___________ ___________ Ending Fund Balance (Deficit) $193.281 $0 $193.281 MUNICIPAL BUILDING AUTHORITY i INTERNAL SERVICE FUND BUDGET SUMMARY FY 1988-89 GAAP BUDGETARY BASIS BASIS --------------------------------------- ---------- 1988-89 1988-89 1988-89 ADOPTED COUNCIL AMENDED AMENDED BUDGET ADJUSTMENTS BUDGET BUDGET ---------- ---------- ---------- ---------- OPERATING REVENUES: Charges for Services Garbage Trucks & Cans $639,000 $0 $639.000 $639,000 Street Lights-City 244,083 0 244,083 244,083 Street Lights-SID 125,000 0 125,000 125,000 Telephone System 338,000 0 338,000 338,000 Public Safety Building 360,000 0 360,000 360,000 ---------- ---------- ---------- ---------- TOTAL OPERATING RFEVENUES 1.706,083 0 1,706,083 1,706,083 ---------- ---------- ---------- ---------- OPERATING EXPENSES: Depreciation: Garbage Trucks & Cans 0 0 0 467,000 Street Lights 0 0 0 471,000 Telephone System 0 0 0 277,000 Public Safety Building 0 0 0 150,000 ---------- ---------- ---------- ---------- TOTAL OPERATING EXPENSES 0 0 0 1,365,000 ---------- ---------- ---------- ---------- NET OPERATING INCOME 1,706,083 0 1,706,083 341,083 ---------- ---------- ---------- ---------- OTHER SOURCES (USES): Bond Proceeds 0 9,424,410 9,424.410 Interest Income (Expense) 125,000 0 125,000 125,000 Bonding Expenses/Other Uses 0 -1,698,885 -1,698,885 Debt Service-Principal -2.210.809 0 -2,210,809 Debt Service-Interest -604,964 0 -604,964 -604,964 Trustee Fees/Issuance Costs -10,000 0 -10,000 -10,000 Capital Outlay: 0 Garbage Trucks & Cans -104,364 0 -104,364 Street Lights 0 0 0 Telephone System -204,888 0 -204,888 Public Safety Building -6,000,000 0. -6,000,000 0 -7,725,525 -7,725,525 Transfer to General Fund 0 0 0 ---------- ---------- ---------- ---------- TOTAL OTHER SOURCES (USES) -9,010,025 0 -9,010,025 -489;964 ---------- ---------- ---------- ---------- Appropriation to Fund Balance Appropriation of Fund Balance -7,303,942 -7,303.942 Change in Retained Earnings ($148,881) Beginning Fund Balance (Deficit) 9,664,042 0 9,664,042 ---------- ---------- ---------- Ending Fund Balance (Deficit) $2,360,100 $0 $2,360,100 Note: Fund balance is defined as cash and investments, less accounts payable. WATER UTILITY ENTERPRISE FUND BUDGET SUMMARY FY 1988-89 GAAP BUDGETARY BASIS ------------------------------- ---- ----------- 1988-89 1988-89 1988-89 ADOPTED COUNCIL AMENDED AMENDED BUDGET ADJUSTMENTS BUDGET BUDGET ----------- ----------- ----------- ---- ----- OPERATING REVENUES: Sales & Charges for Services $14,700,000 $1,300,000 $16,000,000 $14,700,000 Rate Increase for Watershed Plan 250,000 0 250,000 250,000 Sales & Charges For Services Rate Increase 3,100,000 0 3,100,000 3,100,000 Other Revenue 1,004,000 0 1,004,000 1,004,000 ----------- ----------- ----------- ----------- TOTAL OPERATING REVENUES 19,054,000 1,300.000 20,354,000 19,054,000 ----------- ----------- ----------- ----------- OPERATING EXPENSES: Water Supply 1,574,398 1,000,000 2,574,398 1,574,398 Water Power & Pumping 1,525,656 300,000 1,825,656 1,525,656 Water Treatment 2,745,028 0 2,745,028 2,745,028 Water Distribution 3,611,483 0 3,611,483 3,611,483 Water Support Services 1,455,916 0 19455,916 1,455,916 Water Customer Services 1,954,514 0 1,954,514 1,954,514 Administration 1,430,692 0 1,430,692 1,430,692 Depreciation & Amortization 0 0 0 1,900,000 ----------- --------- ----------- ----- ---- TOTAL OPERATING EXPENSES 14,297,687 1,300,000 15,597,687 16,197.687 ----------- ----------- ----------- ----------- NET OPERATING INCOME 4,756,313 0 4,756,313 2,856,313 ----------- ----------- ----------- ----------- OTHER SOURCES (USES): Interest Income (Expense) 625,000 0 625,000 625,000 Transfer from Reservoir & Supply Line Fees 434,600 252,000 686,600 Other Contributions/Loans 235,000 1,500,000 1,735,000 Capital Outlay -5,306.113 -4,611,400 -9,917,513 Bond Principle -1,043,800 0 -1,043,800 Bond Interest Expense -1,701,000 250,000 -1,451,000 -1,701,000 ----------- ----------- ----------- ----------- TOTAL OTHER SOURCES (USES) -6,756,313 -2,609,400 -9,365,713 -1,076,000 ----------- ----^------ ----------- ----------- Appropriation to Fund Balance Appropriation of Fund Balance ^2,000,000 -3,109,400 -5,109,400 Change in Retained Earnings $1,780,313 Beginning Fund Balance (Deficit) 4,466,742 3,109,400 7,576,142 ---- --- ----------- ----------- Ending Fund Balance (Deficit) $2,466,742 $0 $2,466,742 ----------- ----------- ----------- ----------- ----------- ----------- Note: Fund balance is defined as cash and investments, less accounts payable, accrued payroll, contract retainage, and restricted accounts. • i PUBLIC UTILITIES WATER UTILITY FUND PROJECT DETAIL FOR PROPOSED BUDGET AMENDMENT FISCAL YEAR 1988-89 1988-89 1988-89 DEPARTMENT / PROJECT CAPITAL PROPOSED AMENDED PUBLIC UTILITIES IMPROVEMENT AMENDMENT BUDGET TOTAL ------------------------------------------------------------- BUDGETED CAPITAL IMPROVEMENTS 62ND SOUTH PUMP STATION 200,000 200,000 GLADIOLA TO CALIFORNIA 0 2100 SOUTH EAST FROM 3700 TO 0 3400 WEST THEN NORTH 1,430,000 1,430,000 NORTH TEMPLE 2200 WEST TO 3300 W 620,000 200,000 820,000 AFFLECK PARK WATER SYSTEM 8,000 81000 700 WEST 1300 TO 2100 SOUTH 250,000 250,000 1300 WEST ILLINOIS TO MEAD 36,000 36,000 CATHRINE ST 1000 NORTH/GOODWIN 28,000 28,000 2500 SOUTH 800 TO 900 WEST 33,000 33,000 EASTWOOD DRIVE 25,000 25,000 WARR ROAD 38,000 38,000 2700 EAST NORA DR. TO NILA WAY 75,000 75,000 PUBLIC WORK PROJECTS 102,000 102,000 FIRE HYDRANT REPLACEMENT 30,000 30,000 VALVES 15,000 15,000 DONATED LINES 100,000 100,000 VARIOUS WATER LINES 93,557 93,557 SMALL METER PROGRAM 75,000 470,000 545,000 NEW SERVICES 135,000 135,000 SERVICE LINE REPLACEMENT 400,000 400,000 LARGE METER REPPAACEMENT 450,000 80,000 530,000 CARRYOVER PROJECTS 1400 WEST GLENROSE DRIVE 33,000 33,000 FORT DOUGLAS LINE 3,200 3,200 LAND (ST. MARY°S RESERVOIR) 20,000 20,000 HANDICAP RAMP - OFFICE BUILDING 10,000 10,000 NEFF°S CANYON STRAINER 22,000 22,000 LOUISE AVE 60,000 60,000 900 EAST 4800 SOUTH WELL 25,000 25,000 1200 EAST 4800 SOUTH WELL 15,000 15,000 CAPISTRANO DRIVE 22,000 22,000 1500 WEST GOODWIN AVE TO WEST TEMPLE 22,000 22,000 FAYETTE AVE MAIN TO WEST TEMPLE 22,000 22,000 900 EAST 3500 TO 3900 SOUTH 140,000 140,000 CAMMILE DRIVE 4200 TO 4500 SOUTH 75,000 75,000 MANSFIELD AVE - GREEN STREET 97,000 97,000 2100 SOUTH AND GLADIOLA 2,000 2,000 1300 EAST & U STREET 2,000 2,000 CALIFORNIA AVE & REDWOOD ROAD 840,000 840,000 PUBLIC UTILITIES WATER UTILITY FUND PROJECT DETAIL FOR PROPOSED BUDGET AMENDMENT FISCAL YEAR 1988-89 1988-89 1988-89 DEPARTMENT / PROJECT CAPITAL PROPOSED AMENDED PUBLIC UTILITIES IMPROVEMENT AMENDMENT BUDGET TOTAL ----------------------------------------------------------------------------- PROPOSED NEW PROJECTS -------------------------------- 900 WEST 2300 TO 2500 SOUTH 150,000 150,000 REPLACEMENT OF RESERVOIR COVER FOR BASKIN RESERVOIR 300,000 300,000 PERRY HOLLOW LINE FROM BROCKLAND DR TO NORTH BONNEVILLE DR 80,000 80,000 TOTAL CAPITAL IMPROVEMENTS 4,143,557 2,690,200 6,833,757 CAPITAL OUTLAY ------------------------------- LAND PURCHASES 250,000 1,250,000 1,500,000 CULVERTS FLUMES & BRIDGES 31,200 31,200 AUTOMOBILES 600,000 342,478 942,478 FIELD MAINTENANCE 3,600 3,600 PUMPING EQUIPMENT 14,845 6,002 20,847 TEL'EMETERING & COMPUTOR EUIP 0 95,000 95,000 TREATMENT PLANT EQUIPMENT 56,426 56,426 OFFICE EQUIPMENT 28,180 28,180 OTHER EQUIPMENT 178,305 227,720 406,025 TOTAL CAPITAL OUTLAY 1,162,556 1,921,200 3,083,756 --------------------------------------------- TOTAL CAPITAL IMPROVEMENT FUND 5,306,113 4,611,400 9,917,513 SEWER UTILITY ENTERPRISE FUND BUDGET SUMMARY FY 1988-89 GAAP BUDGETARY BASIS 1988-89 1988-89 1988-89 ADOPTED COUNCIL AMENDED AMENDED BUDGET ADJUSTMENTS BUDGET BUDGET OPERATING REVENUES: Sales & Charges for Services: Old Rate $5,358,500 $0 $5,358,500 $5,358,500 1981 Rate Increase 954,300 0 954,300 954,300 201 Rate Increase 4,136,000 0 4,136,000 4,136,000 Other Revenue 1,669,100 0 1,669,100 1,669,100 ----------- ----------- ----------- --............--- TOTAL OPERATING REVENUES 12,117,900 0 12,117.900 12,117,900 OPERATING EXPENSES: Pumping 258,159 0 258,159 258,159 Collection 1,169,157 ' 0 1,169,157 1,169,157 Reclamation 3,122,668 0 3,122,668 3,122,668 Customer Service & Collection 840,132 0 840,132 840,132 General Administrative 708,994 0 708,994 708,994 Depreciation 0 0 0 1,600,000 TOTAL OPERATING EXPENSES 6,099,110 0 6,099,110 7,699,110 NET OPERATING INCOME 6,018,790 0 6,018,790 4,418,790 OTHER SOURCES (USES): Interest Income (Expense) 1,200,000 0 1,200,000 1,200,000 Capital Outlay -14,238,616 -1,961,000 -16,199,616 Bond Principle -253,100 0 -253,100 Bond Interest -448,200 0 -448,200 -448,200 Loan to Water Fund 0 -1,500,000 -1,500,000 TOTAL OTHER SOURCES (USES) -13,739,916 -3,461,000 -17,200,916 751,800 Appropriation to Fund Balance Appropriation of Fund Balance -7,721,126 -3,461,000 -11,182,126 Change in Retained Earnings $5,170,590 Beginning Fund Balance (Deficit) 17,898,592 3,461,000 21,359,592 Ending Fund Balance (Deficit) $10,177,466 $0 $10,177,466 Note: Fund balance is defined as cash and investments, less accounts payable, accrued payroll, contract retainage, and restricted accounts. PUBLIC UTILITIES SEWER UTILITY FUND PROJECT DETAIL FOR PROPOSED BUDGET AMENDMENT FISCAL YEAR 1988-89 1988-89 1988-89 DEPARTMENT / PROJECT CAPITAL PROPOSED AMENDED PUBLIC UTILITIES IMPROVEMENT AMENDMENT BUDGET LIFT STATION 1805 INDEPENDENCE 20,000 20,000 UPGRADE LIFT STATION 4130 SOUTH AND CENTENNIAL PARK 50,000 50,000 UPGRADE LIFT STATION 595 NORTH 4800 WEST 50,000 50,000 NEW LIFT STATION NORTHWEST QUADRANT 500,000 500,000 LIFT STATION 5300 WEST AND NORTH TEMPLE 50,000 50,000 NEW LIFT STATION 350 NORTH 4800 WEST 50,000 50,000 METAL STORAGE BUILDING 150,000 150,000 TRICKLING FILTERS/SOLIDS CONTACT PROJECT #49-Q-5--47 1,050,000 610,000 1,660,000 SPARE PARTS, MOTOR FOR INFLUENT PUMPS 125,000 125,000 IMPROVE RAG DEWATERING SYSTEM 50,000 50,000 COVER MAIN PLANT GRIT CHANNELS 50,000 50,000 PRIMARY SLUDGE PUMPS 40,000 40,000 MODIFY GREASE COLLECTION AND PIPING SYSTEM 50,000 50,000 SERVICE WATER FILTRATION AND CHLORINATION CONTROL 80,000 80,000 INFLUENT PUMP CHLORINE BLDG. 20,000 20,000 SLUDGE TRANSFER PUMPS 20,000 20,000 MODIFICATIONS TO DIGESTERS #2 101000 10,000 DRYING BEDS UPGRADE AND EQUIPMENT BUILDING 2,245,000 2,245,000 WETLANDS DEVELOPMENT 300,000 300,000 LIQUEFACTION STUDY BY SOILS EXPERT 50,000 50,000 FILTER PUMP IMPROVEMENTS 100,000 MAINT,LAB,&STRHOUSE BLDG REHAB 530,000 530,000 SITE CURBING 15,000 15,000 SEAL CONCRET FLOORS 20,000 20,000 DIGESTER VENTILATION SYSTEM 25,000 25,000 ASBESTOS REMOVAL & REINSULATION 25,000 25,000 INFLUENT GATE MODIFICATIONS 25,000 25,000 0 & M MANUAL CH2MHILL ENGINEERS 100,000 100,000 1700 NORTH WEST OF REDWOOD 175,000 175,000 300 WEST 442 TO 500 NORTH 35,000 35,000 WEST TEMPLE 1080 TO 1180 SOUTH 45,000 45,000 MAIN STREET 200 TO 300 NORTH 45,000 45,000 500 NORTH 240 TO 295 WEST 35,000 35,000 600 WEST 700 TO 800 SOUTH 60,000 60,000 600 SOUTH 1000 WEST TO 1100 WEST 75,000 75,000 600 SOUTH 1100 WEST TO 1170 WEST 50,000 50,000 EMERY STREET 700 SOUTH TO 1100 S 75,000 75,000 1700 NORTH WEST OF REDWOOD ROAD 175,000 175,000 PUBLIC UTILITIES SEWER UTILITY FUND PROJECT DETAIL FOR PROPOSED BUDGET AMENDMENT FISCAL YEAR 1988-89 1988-89 1988-89 DEPARTMENT / PROJECT CAPITAL PROPOSED AMENDED PUBLIC UTILITIES IMPROVEMENT AMENDMENT BUDGET 800 SOUTH 400 WEST TO WEST 90,000 90,000 VARIOUS LINES 100,000 100,000 5600 WEST 2600 SOUTH 21000,000 2,000,000 NORTH TEMPLE TRUNK LINES 1,050,000 1,050,000 3500 WEST 1800 SOUTH TO 5TH S 2,000,000 2,000,000 NORTH TEMPLE LINE TO STATION 1,500,000 1,500,000 CARRYOVER PROJECTS ------------------------ VARIABLE SPEED DRIVE FOR TRICKLING FILTER PUMPS 100,000 100,000 900 WEST 600 SOUTH,700 NORTH 11000,000 11000,000 NEW ADMIN & LAB BLDG 50,000 50,000 1300 WEST 235 SOUTH TO 300 SOUTH 35,000 35,000 --------------------------- 13,310,000 1,795,000 15,005,000 CAPITAL OUTLAY ------------------------------- AUTOMOBILES AND TRUCKS 273,000 23,500 296,500 FIELD MAINTENANCE EQUIPMENT 196,000 196,000 TELEMETERING AND COMPUTOR EQUIP 20,000 20,000 OFFICE EQUIPMENT 35,400 18,200 53,600 OTHER EQUIPMENT 404,216 124,300 528,516 TOTAL CAPITAL OUTLAY 928,616 166,000 1,094,616 TOTAL CAPITAL IMPROVEMENTS 14,238,616 1,961,000 16,099,616