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HomeMy WebLinkAboutRes2008-090Sponsored by: Oates CITY OF SEWARD, ALASKA RESOLUTION 2008-090 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, APPROPRIATING FUNDS TO COVER EXCESS COSTS ASSOCIATED WITH WINTER SNOW REMOVAL, AND INCREASED COSTS ASSOCIATED WITH FUEL, UTILITIES, AND HEATING FUEL WHEREAS, the city of Seward has experienced a significant growth in costs associated with rising costs of fuel, impacting the budget for utilities, heating fuel, and gas and tube, with the magnitude of these cost increases being underestimated in the 2008 budget; and WHEREAS, mid-way through the fiscal year, it is clear that some departments will be unable to meet their budget mandate without additional resources to cover the unanticipated rise in costs; and WHEREAS, the total unanticipated impact to the General Fund of higher fuel and utility costs is $103,000, in addition to the need for $50,000 for salary and benefit costs associated with higher than normal snow removal costs; and WHEREAS, the net impact to the enterprise funds of these higher costs is as follows: 1) b... $42,000 higher cost to the Harbor Enterprise Fund; 2) $9,000 higher cost to the SMIC Enterprise Fund; and 3) $19,600 lower cost to the Electric Enterprise Fund. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA that: Section 1. The 2008 Budget is amended to authorize additional appropriations as follows (and as detailed on the attached spreadsheet): 1) $103,000 appropriation to various departments' utility and fuel line items in the General Fund from the General Fund fund balance account no. 101- 0000-3050; 2) $50,000 appropriation to the Snow and Ice department salary and benefit line items in the General Fund from the General Fund fund balance account no. 101-0000-3050; 3) $50,000 appropriation to various Harbor departments' utility and fuel line items, offsetting $8,000 in added revenue for power sales; 4) $24,000 appropriation to various SMIC departments' utility and fuel line items, offsetting $15,000 in added revenue for power sales; 5) $16,400 appropriation to various Electric departments' utility and fuel line items, offsetting $36,000 in added revenue for power sales. Section 2. This resolution shall take affect immediately upon its adoption. PASSED AND APPROVED by the City Council of the city of Seward, Alaska, this 8th day of September, 2008. CITY OF SEWARD, ALASKA RESOLUTION 2008-090 THE CITY OF SEWARD, ALASKA ~D ~ ~ l~ G'-/ L Clark Corbridge, Mayor AYES: Dunham, Valdatta, Kellar, Corbridge NOES: None ABSENT: Bardarson, Amberg, Smith ABSTAIN: None ATTEST: ~ >~ ~~~ ~ ~~~~ ohanna Dollerhide, CMC 'Assistant City Clerk (City Seal) ~~~~,er~ttr~s~~ any ~~ ~ , . ~ j i ~ '~ a~ ~.°p ~. ~. 5~~~~A1 tiS_~ 'n~i yA +G C/ Oe ~•y r9 ~'~`" s ~~ f~.} : .a,,,~~„~.. lip GR ~, k ~ '~ ~1'r~ .,i• _ Z ,.., a ',. .::.'.,; s COUNCIL AGENDA STATEMENT Meeting Date: September 8, 2008 Through: Phillip Oates, City Manager`~~ From: Kristin Erchinger, Finance Director RE: Budget Increases for Utilities, Heating Fuel, Gasoline BACKGROUND & JUSTIFICATION: Due to the magnitude of rapidly rising costs of fuel and utilities, a budget adjustment is needed to cover the underestimated cost increases in some department line items. In particular, General Fund departments are expected to need an additional appropriation of $103,000 to cover those costs through the end of the current fiscal year. In addition, due to heavy snow falls in the winter of 2007, the Snow and Ice department is in need of an increased salary and benefit appropriation of $50,000, which assumes an average level of snowfall for the remainder of this fiscal year. The enterprise funds require adjustments as follows: 1) Harbor Enterprise Fund requires an additional appropriation of $50,000, which will be offset by additional revenues of $8,000; 2) SMIC requires an additional appropriation of $24,000, which will be offset by additional revenues of $15,000; and 3) the Electric Enterprise Fund requires an additional appropriation of $16,400, but expects to increase revenue projections by $36,000. CONSISTENCY CHECK: Where applicable, this agenda statement is consistent with the Seward City Code, Charter, Comprehensive Plans, Land Use Plans, Strategic Plan and City Council Rules of Procedures. Other: FISCAL NOTE: The additional appropriations from each fund will come from available resources in each fund, and where possible, departments will attempt to curb spending for the remainder of the year to cover higher costs. RECOMMENDATION: City Council appropriate additional funds to cover the higher than expected increase in the costs of heating fuel, utilities, and gas and Tube. ~1~ BUDGET APPROPRIATION FOR UTILITIES, HEATING FUEL, GAS AND LUBE GENERAL FUND: Budget Increase Police department gas and tube 6,000 Fire department heating fuel 5,000 Fire department gas and lube 2,000 Public works utilities 28,000 Public works gas and lube 40,000 City Shop gas and tube 1,000 Municipal building utilities 2,000 Municipal building heating fuel 10,000 Parks maintenance gas and tube 5,000 Library heating fuel 4,000 $ 103,000 Snow and Ice salaries & benefits $ 50,000 Total Genera[ Fund appropriation: $ 153,000 HARBOR ENTERPRISE FUND: Harbor power sales (revenue) 8,000 Harbor float system utilities 15,000 Harbor power for resale 25,000 Harbor General heating fuel 3,500 Harbor General gas and lube 6,500 50,000 Net Harbor Enterprise Fund appropriation: $ 42,000 SMIC ENTERPRISE FUND: SM[C power sales (revenue) 15,000 SM[C General power for resale 16,000 SMIC General heating fuel 2,000 SMIC General gas and Tube 6,000 24,000 Net SMIC Enterprise Fund appropriation: $ 9,000 ELECTRIC ENTERPRISE FUND: Electric power sales 36,000 Substation utilities 5,000 Electric General heating fuel 4,000 SMIC General gas and tube 7,400 16,400 Net Electric Enterprise Fund revenues: $ (19,600) r'C~