HomeMy WebLinkAboutRes2010-116 Sponsored by: Oates
CITY OF SEWARD, ALASKA
RESOLUTION 2010 -116
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD,
ALASKA, AMENDING THE 2010/2011 BIENNIAL BUDGET TO REFLECT
MID -CYCLE BUDGET CHANGES, AND APPROPRIATING FUNDS
WHEREAS, the 2010/2011 Biennial Budget was passed on November 23, 2009, reflecting
the City's first biennial budget, and covering the period from January 1, 2010 through December 31,
2011; and
WHEREAS, the City intends to do a mid -cycle budget adjustment at the end of each even -
numbered year, to adjust the "off budget year" to reflect changes to the budget based on updated
revenue information, economic conditions, and other timely and relevant information impacting the
upcoming budget year; and
WHEREAS, the City budgeted an anticipated 2.0% cost of living increase for all employees
for 2011, but is downward adjusting the 2011 budget to reflect a 1.2% cost of living increase, and is
downward adjusting budgets to reflect lower - than - expected increases in health insurance costs; and
WHEREAS, this resolution adopts specific changes to the General Fund, the Motor Pool
Internal Service Fund, and all enterprise funds with the exception of the Electric Enterprise Fund,
with each specific line item change being reflected on the spreadsheet attached hereto; and
WHEREAS, the City will adopt the General Fund mill rate for 2011 in a subsequent
resolution.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE
CITY OF SEWARD, ALASKA, that:
Section 1. The General Fund 2011 Budget is hereby amended and funds are hereby
appropriated, according to the specific modifications included on the attached spreadsheet, as
follows: 1) Net revenues are increased by $101,114; 2) Net expenditures are increased by $50,123;
and 3) Transfers -out are increased by $50,000 for a total increase in the General Fund budgeted fund
balance of $991.
Section 2. The Harbor Enterprise Fund 2011 Budget is hereby amended and funds are hereby
appropriated, according to the specific modifications included on the attached spreadsheet, as
follows: 1) Revenues and Expenses remain unchanged; and 2) Transfers -in from the General Fund
are increased by $50,000 to reflect higher anticipated fish tax revenues, for a total net increase in the
Harbor Enterprise Fund budgeted net assets of $50,000.
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CITY OF SEWARD, ALASKA
RESOLUTION 2010 -116 .w
Section 3. There are no budget amendments to the Seward Marine Industrial Center 2011
Budget.
Section 4. The Water Enterprise Fund 2011 Budget is hereby amended and funds are hereby
appropriated, according to the specific modifications included on the attached spreadsheet, as
follows: 1) There are no changes to revenues or transfers; and 2) Net expenses are increased by
$220,183, for a total net decrease in budgeted net assets of $220,183.
Section 5. The Wastewater Enterprise Fund 2011 Budget is hereby amended and funds are
hereby appropriated, according to the specific modifications included on the attached spreadsheet, as
follows: 1) There are no changes to revenues; 2) Transfers -in from the Wastewater Major Repair &
Replacement Fund are increased by $170,000 with a corresponding transfer -out from the Wastewater
MRRF in the same amount, to reflect use of Wastewater MRRF funds to cover capital project costs;
and 3) Net expenses are decreased by $3,378, for a total net increase in budgeted net assets of
$3,378.
Section 6. The Parking Enterprise Fund 2011 Budget is hereby amended and funds are
hereby appropriated, according to the specific modifications included on the attached spreadsheet, as
follows: 1) There are no changes to budgeted revenues, as revenue rates are slated to return to pre - ai l
2009 levels effective January 1, 2011; 2) There are no changes to transfers; and 3) Net expenses are
decreased $9,000, for a total net decrease in budgeted net assets of $9,000.
Section 7. This resolution shall take effect immediately upon its adoption.
PASSED AND APPROVED by the City Council of the city of Seward, Alaska, this
22nd day of November, 2010.
THE CI • _ _ WARD ALASKA
/;
illard E. Dunham, Mayor
AYES: Valdatta, Smith, Keil, Shafer, Casagranda, Dunham
NOES: None
ABSENT: Bardarson
ABSTAIN: None ra ` ��•
•
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ATTE
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Jean ewis, MC • •. tf�'•Y •
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City Clerk \ •I 4►' ° ° °.rrrirrs° A4 ►• � �',
' •• F OF M�-M $t
(Seal)
City of Seward
Budget Modifications for 2011 Budget
GENERAL FUND
General Sub- Account Amount of Amount of
Fund Department Ledger Account Name Increase Decrease Notes:
5150 Police - communications 6790 Veripac maintenance agreement, Radio narrow- banding
1211 5010 Jail - salaries 2,690 Cola decrease from 2.0% to 1.2%
5070 Jail - health insurance 4,800 Health insurance decrease
1220 5010 Fire - salaries 1,780 Cola decrease from 2.0% to 1.2%
5070 Fire - health insurance 2,400 Health insurance decrease
5380 Fire - building repairs 20000 Contingent on revenue sharing receipt
1250 5010 Building inspection - salaries 635 Cola decrease from 2.0% to 1.2%
5070 Building inspection - health 800 Health insurance decrease
1310 5010 Roads - salaries 2,277 Cola decrease from 2.0% to 1.2%
5070 Roads - health 2,400 Health insurance decrease
5920 Roads - pole barn 95000 Contingent on revenue sharing receipt
1340 5010 City shop - salaries 1,509 Cola decrease from 2.0% to 1.2%
5070 City shop - health insurance 1,600 Health insurance decrease
1350 5010 Muni Bldg - salaries 852 Cola decrease from 2.0% to 1.2%
5070 Muni Bldg - health insurance 1,600 Health insurance decrease
1400 5010 P &R admin - salaries 500 Cola decrease from 2.0% to 1.2%
5070 P &R admin - health 800 Health insurance decrease
5790 P &R - conference costs 5000 Bring Parks & Rec conference back to Seward
1420 5010 P &R sports - salaries 1,384 Cola decrease from 2.0% to 1.2%
5070 P &R sports - health insur. 1,600 Health insurance decrease
1430 5010 TYC - salaries 1,275 Cola decrease from 2.0% to 1.2%
5070 TYC - health insurance 1,600 Health insurance decrease
1410 5010 Parks mtnc. - salaries 2,249 Cola decrease from 2.0% to 1.2%
5070 Parks mtnc. - health insurance 1,600 Health insurance decrease
1500 5010 Library - salaries 1,787 Cola decrease from 2.0% to 1.2%
5070 Library - health insurance 3,200 Health insurance decrease
1910 5810 Debt Service - loan to EF 110784 Repay electric for prior years' SMIC deficit coverage
250,379 105,256
Transfers:
101 0000 3071 401 Transfer -out to Harbor 50,000 (50,000)
Net revenue increase /(decrease): 196,114
Net expenditure (increase)/decrease: (145,123)
Net change in annual surplus (deficit) ' 991 1
City of Seward
Budget Modifications for 2011 Budget
GENERAL FUND
General Sub- Account Amount of Amount of
Fund Department Ledger Account Name Increase Decrease Notes:
General Fund:
Revenues:
101 0 4330 175 PILT - ASLC 9,000 Increase in PILT based on historical trend
101 0 4230 100 Taxi permits 100 Increase based on historical trend
101 0 4230 600 City business license 3,000 Increase based on historical trend
101 0 4350 130 Raw fish tax 50,000 Any increase will be offset by transfer out to Harbor
101 0 4350 140 Revenue sharing 115,000 Will be used for pole barn & fire hall repairs, if received
101 0 4410 410 Project management fees 46,004 Levee /road project overhead
101 0 4470 110 Pavilion fees 700 Increase based on historical trend
101 0 4470 120 Camping fees - dry sites 10,000 Increase based on historical trend
101 0 4470 121 Electric sites - campground 20,190 Increase based on historical trend
101 0 4490 100 Library service revenue 2,000 Increase based on passport processing
101 0 4430 150 Shop work orders 12,000 Electric fund now has their own mechanics
101 0 4690 100 Garbage contract 47,880 Alaska Waste will process their own billing
255,994 59,880
Expenditures:
101 1110 5140 Mayor & Council - travel 5,000 Increase in travel
5150 Mayor & Council - communication 2,000 Increase in communications
5690 Mayor & Council - contingency 5,000 Decrease in contingency to offset travel cost increase!
1111 5010 Legislative - salaries 172 Cola decrease from 2.0% to 1.2%
1115 5170 Legal 5,000 Cost control measures
1120 5130 CM - subscriptions 1,000 Decrease in subscriptions
5160 CM - education 3,000 Decrease in education due to completion of degree
5390 CM - contracted services 5,000 Decrease in contracted services
5460 CM - small tools /equipment 3,500 Decrease in small tools
5380 CM - maintenance 425 Increase in maintenance
5450 CM - gas /lube 300 Increase in gas /lube
5490 CM - postage /freight 400 Increase in postage
5690 CM - contingency 4,680 Increase in contingency
5010 CM - salaries 815 Cola decrease from 2.0% to 1.2%
5070 CM - health insurance 2,400 Health insurance decrease
1121 5010 MIS - salaries 1,341 Cola decrease from 2.0% to 1.2%
5070 MIS - health insurance 1,600 Health insurance decrease
1130 5010 Clerk - salaries 798 Cola decrease from 2.0% to 1.2%
5070 Clerk - health insurance 2,400 Health insurance decrease
1140 5010 Finance - salaries 3,625 Cola decrease from 2.0% to 1.2%
5070 Finance - health insurance 5,600 Health insurance decrease
1150 5010 Comm. Develop - salaries 2,025 Cola decrease from 2.0% to 1.2%
5070 Comm. Develop - health ins. 2,400 Health insurance decrease
1210 5010 Police - salaries 9,842 Cola decrease from 2.0% to 1.2%
5070 Police - health insurance 10,400 Health insurance decrease
Budget Modifications for 2011 Budget
Enterprise Funds
General Sub- Account Amount of Amount of
Fund Department Ledger Account Name Increase Decrease Notes:
Harbor Enterprise Fund:
Revenues: No Changes
Expenses: No Changes
Transfers -In:
401 0 3070 101 Transfer -from General Fund 50,000 Additional raw fish tax
Net increase in Harbor surplus: 1 $ 50,000 I
SMIC Enterprise Fund:
No changes to revenue, expense, or transfers
Water Enterprise Fund:
701 7400 5010 Water - salaries 4017 Decrease in cola from 2.0% to 1.2%
5070 Water - health insurance 800 Decrease in health insurance
5390 Water - contracted services 45000 Backup generator $45,000
5390 Water - contracted services 180000 Site control /engineering new 500K water storage tank
Net increase (decrease) in Water surplus: 1 $ (220,183)1
Wastewater Enterprise Fund:
703 7900 5010 Wastewater- salaries 1600
5070 Wastewater - health insurance 1778
703 0 3070 702 Transfer -in from Sewer MRRF 170000
702 0 3071 703 Transfer -out from Sewer MRRF 170000
Net increase (decrease) in Wastewater surplus: 1 $ 3,378 1
Parking Enterprise Fund:
403 4030 5010 Parking - salaries 9000 Personnel reduction due to automated parking machines
Net increase (decrease) in Parking surplus: 1 $ 9,000 1
Motor Pool Internal Service Fund:
102 1020 5930 Equipment - purchase of dump truck 120000 I $ (120,000)1