HomeMy WebLinkAboutRes1977-013
4/4/77
JES/jes
CITY OF SEWARD, ALASKA
RESOLUTION NO. 77-13
A RESOLUTION AMENDING THE 1976-1977 FISCAL YEAR BUDGET
AS SET BY RESOLUTION NO. 949 AND AMENDED BY RESOLUTION NOS. 77-9 AND 77-12
TRANSFERRING APPROPRIATIONS WITHIN SAID BUDGET
WHEREAS, the City of Seward has been granted anti-recession funds
in the amount of $9157, to be used only to maintain basic services provided
by the municipality prior to July 1, 1976, and
WHEREAS, the funds were received in November of 1976 and must be
spent within six months of such receipt, and
WHEREAS, the administration proposes to allocate $4500 to the City
Manager's budget for salaries and $4157 to the Street Department budget for
paving;
NOW, THEREFORE BE IT RESOLVED by the City Council of the City of
Seward, Alaska, that the attached amendments shall be made to the 1976-1977
fiscal year budget for the City of Seward, as set by Resolution No. 949 and
amended by Resolution Nos. 77-9 and 77-12.
PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA,
this 11th day of April , 1977.
CITY,",OF SE,JARD, ALASKA, ~
~d 0i~
Raym~li
Vice Mayor
AYES:
NOES:
ABSENT:
GILLESPIE, HUGLI, MARTIN, MOTT, OLD OW AND VINCENT
NONE
NEVE'
ATTEST:
APPROVED AS TO FORM:
Q!h'-Sha~e~,."J...cr
City Clerk-Treasurer
HUGHES, THORSNESS, GANTZ, POWELL & BRUNDIN
Attorneys for the City of Seward, Alaska
(City Seal)
~f{J~
Randa1d H. Jarrell
r..
2/23/77
JES/ j cS
CITY OF SE\h\iW, AL'\SKA
RESOLUTION I,D. 77-9
Attachment ~ Pag~ One
Total General Fund
Total Light & Power Department
Total Hater Department
Total Estimated Revenue
General Fund:
Nayor & council
General Office Supplies
City Engil1eer
City HanaKer
City Clerk-Treasurer
Finance D~partment
Police Department
Fire Department
Street Dei,artment
City Shop
Boat Harbdr
Health, J.;,lucation & Helfare
General Sr.rvices
Municipal Building
Debt Service
Insurance Reserve
- Light & Powe( Department:
Operating Expenditures
Debt Service
Reserve
Water Departlllent:
Operating Expenditures
Debt ServJce
Reserve
Total Budget~d Expenditures;
Resolution No. 77-12
Page One
4/1/77
Resolution No. 77-13
Page One
4/4/77
REVENUES
$
1,085,065
764,000
124,096
1,973,161
$
EXPEl\TDITURES
$ 57,491
17,115
51,263
81,479
l14,600
80,213
204,729
lf6,069
161,878
42,193
103,173
22,800
71,377
41,444
34,358
24,883
$ 1,085,065
$ 570,269
77,978
115,753
$ 764,000
$ 72 ,759
27,655
23,682
$ 124,096
$ 1,,9B~161
r
CITY OF SEWARD, ALASKA
RESOLUTIO~ NO. 77-9
Attachment - Page ~/o
Resolution No. 77- 12
P age Two
4/1/77
Resolution No. 77-13
Page Two
4/4/77
2/23/77
JES/jes
"-
CITY OF Sn:,\RD
GENERAL FL~D BLDCET
REVENUE & EXPE~SE S~~~~Y
JULY 1, 1976 - JL~E 30, 1977
REVENUE
1975-76 Bud~et
$ 843,852
1976-77 Budget
$ 1,973,161
EXPENDITURES:
Hayor & Council
Office Supplies
City Nanager
City Engineer
Clerk-Treasurer
Finance Department
Police Department
Fire Department
Street Department
City Shop
Small Boat Harbor
Health, Education & Welfare
General Services
Municipal Building
Debt Service
Insurance Reserve
TOTAL
40,050 57,491
9,465 17,115
62..115 81,479
34,184 51,263
33,480 44,600
70,202 80,213
163,010 204,729
37,847 46,069
119,215 161,878
36,936 42,193
86,0% 103,173
18,400 22,800
62,073 71,377
36,094 [.1,444
35,187 - 34, 358
00 24,883
$ 843,852 $ 1,085,065
r'"
Resolution No. 77-13
2/23/77 Page Three
JES/ j es 4/4/77
CITY OF SEHARD, AL\SKA
RESOLUTION 0;0. 77-9
--
Attachment - Page Three
GENERAL FUND REVENUES
JULY 1, 1976 - JUNE 30, 1977
1975-76 Budget 1976-77 Budget
PROPERTY TA.\ES
Real Property $ 240,000 $ 360,518
Personal Property 78,004 132,085
Interest on Delinquent Taxes 2,000 2,000
Total Taxes $ 320,004 $ 494,603
REVENUE FROM STATE OF ALASKA
Business Licenses $ 15,000 $ 17,000
Liquor Licenses 13,000 13,000
Amusement Licenses 1,000 1,000
Rat" Fish Taxes 7,500 7,500
Shared Revenues 71,796 71,796
Total $ 108,296 $ 110,296
MISCELLANEOUS REVENUES
Taxi Permits $ 750 $ 750
Building Permits 3,000 3,000
Dog Licenses 750 2,000
Miscellaneous Licenses and Permits 1,000 500
Federal Anti-Recession Funds -0- 9,157
Total $ 4,050 $ 15,407
Rents & Leases $ 15,000 $ 27,000
Campground Fees 2,500 2,500
Total $ 17,500 $ 29,500
HARBOR REVENUES
City Dock $ 7,000 $ 7,000
Slip Rentals 75,000 150,000
Boat Lift Fees 15,000 15,000
Miscellaneous 15,000 15,000
Total $ 112,000 $ 187,000
Fines & Bails $ 3,000 $ 10,000
Impound Fees 1,500 1,750
Total $ 4,500 $ 11,750
PAYMENT IN LIEU OF TAXES
Electric Utility $ 14,000 $ 14,000
Water Utility 1,000 1,000
Total $ 15,000 $ 15,000
Interest Earned $ 20,000 $ 20,000
Interest on Surplus Property Sales 250 100
Garbage Contract 00 5,000
Misc. Administrative Revenue 1,500 1,500
Auto Licenses 4,000 5,000
Garbage Collections 4,000 6,000
Prisoner Care 5,000 12,400
Sub-Total $ 616,100 $ 913,556
2/23/77
JES/ j cs
CITY Of SEWARD, ALASKA
RESOLUTION NO. 77-9
Attachment - Page Four
GENERAL FUND REVE~UES
July 1, 1976 - June 30, 1977 (continued)
Resolution No. 77-13
Page Four
4/4/77
Sub-Total
1975-76 Hudli~t:.
$ 616,100
1976-77 iluuoet
:=--
$ 913 , 556
ARR-Survei11ance
Jesse Lee Interest
Nunicipa1 Building Rent
00
1,500
14,900
7,200
500
17,500
ADMINIST&\TION COSTS
Electric Utility
\Jater Utility
Total
$ 65,000
19,000
$ 84,000
$
$
$
7lI,524
19,769
94,293
Equipment Rentals & Service
Federal Shared Revenues
Hotel/Hotel Tax
Appropriated Surplus
$ 2,500
00
00
124,402
5,000
37,016
10,000
00
TOTAL
$ 843,402
$ 1.085,065
r'~--
,
Resolution No. 77-12
Page Four
4/1/77
Resolution No. 77-13
Page Five
CITY MANAGER 4/4/77 3
E-
JULY 1, 1976 .- JUNE 30, 1977
BUDGET BUDGET
1975.-76 1976-77
Salaries $ 46,1)1)1) $ 53,500
Leave Expense $ 3,148 $ 3,750
Pension Costs $ 3,913 $ 6,035
Type~rriter Nai>lt. $ 160 $ 175
H/c Insurance $ 486 $ 945
Hedica1 Insurance 1,635 2,112
FICA Expense 1,973 1,756
Fidelity Bond $ 450 $ 450
f{epairs $ 125 $ 125
Telephone $ 550 $ 825
Travel Exoense $ 3,000 $ 4,000
Dues & Publications $ 500 $ 500
~.Iateria1s $ 125 $ 125
Gas & Oil -Q- $ 36')
EquiPl!lent -0- $ 1,821
TOTAL $ 62,115 $ 81,479
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Resolution No. 77-13
Page Six
4/4/77
STREET DEPARTIffiNT E-9
JULY 1, 1976 - JUNE 30, 1977
BUDGET BUDGET
1975-76 1976-77
Salaries $ 79,OOfJ $ 80,000
Leave Expense 4,883 5,550
Pension 2,500 3,592
H/C Insurance $ 2,565 $ 4,100
Medical Insurance 2,592 4,224
FICA Expense 3,500 3,580
Repairs $ 10,000 $ 10,000
Telephone $ 400 $ 400
Travel Expense $ 250 $ 250
Dues & Publications $ 25 $ 25
Mataria-lfl . $ 8,01)0 $ 9,')00
Gas & Oil $ 4,1)()0 $ 4,501)
Tires & 13atteries $ 1,000 $ 1,500
Small Tools $ 51)0 $ 500
Equipment $ -0- $ 30,01)0
Street Paving Funds -0- 4,657
TOTAL $119,215 $161,878
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