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HomeMy WebLinkAboutRes1999-162 I I I Sponsored by: Janke CITY OF SEWARD, ALASKA RESOLUTION 99-162 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE CAPITAL BUDGET FOR CALENDAR YEAR 2000 NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: Section 1. The Capital Budget for Calendar Year 2000 which is attached hereto and made a part hereof by reference, is HEREBY ADOPTED. Section 2. This resolution shall take effect January 1, 2000. PASSED AND APPROVED by the City Council of the City of Seward, Alaska, this 22nd day of November, 1999. THE CITY OF SEWARD, ALASKA r, '-. (rs..{/l ~ \ Edgar Blatchford, Mayor AYES: NOES: ABSENT: ABSTAIN: Blatchford, Brossow, Calhoon, Clark, Orr, Shafer None King None ATTEST: ~7~~'.~<, Patrick Reilly / City Clerk "',.......,, (City S~~~ ?!.?~.~.;~#..,4! .:0 c} ...b~OA~!.:Y() ~ ~ ..'S; - ""'c.('~. ~ ~ :~- -+- ~\ ~ - : \ - : . i SEAL i. 5 : ~ I == . . --- - ~ ..~ ~. ~ .... ~...~4'a- 1 \,~.~-:.a!" ~ 'So", ~h:.....,..: b."v..' "", (t- OF flt,.V ~".... ......."",' I CITY OF SEWARD CAPITAL BUDGET EXPENDITURES FISCAL YEAR 2000 CAPITAL ACQUISITION FUND Fire Hall roof Ballaine Blvd. recondition - General Fund $4,062; Water/Sewer $76,840) Bear Drive recondition Marathon Drive recondition City-wide telephone system Total General Fund projects: ELECTRIC ENTERPRISE FUND New backup generator and building, and modernization of controls Replace Ft. Raymond substation battery building Total Electric Enterprise Fund projects: I WATER AND SEWER ENTERPRISE FUND Water Projects - Chlorination room on well house #2 Build new well #6 Water line extension from Gateway to Forest Acres, Phase I (engineering) Sewer Projects - Backup generator and building at lift station #3 Sewer lines for Forest Acres development, Phase I (engineering) Total Water and Sewer Enterprise Fund projects: I 40,000 80,902 40,000 29,000 __~QQO $22L90~ 600,000 50,00~ _S650,OOjl 35,000 175,000 _ __ 15,000 225,000 90,000 15,000 _ 105,000 ~ JIl33jl,(lOO --- CITY OF SEWARD CAPITAL ACQUISITION FUND Operating and Residual Equity Transfer Budget Fiscal Year 2000 Six-Month FYOO Budget Budget Operating Transfers from Other Funds General Fund - Sidewalks at various locations 40,000 0 General Fund - Fire station roof repair 60,000 40,000 General Fund - Bear Drive recondition 0 40,000 General Fund - Marathon Drive recondition 0 29,000 General Fund - City-wide telephone system 0 38,000 General Fund - BalIaine Blvd. recondition 0 4,O6~ --- Subtotal: 100,000 151,062 Water & Sewer Enterprise Fund-BalIaine Blvd. recondition 0 ~6,842_ (a) Total Operating Transfers from Other Funds 100,000 227,902 Operating Transfers to Other Funds 0 0 -~-- Residual Equity Transfers In (Out) 0 0 ----~ - Net Transfers-In (Out) $100,000 $227,902 (a) In the Six-Month Budget, the Water and Sewer Enterprise Fund began repaying $1,603,350 to the General Fund for debt that was written off by the General Fund in FY90. The intention was that the first payment of $76,840 would be paid directly to the General Fund, but in subsequent budget years, the Water and Sewer Fund would make this payment to the Capital Acquition Fund so that these monies not be used to fund ongoing General Fund operating costs. In the FYOO Budget, the $76,840 is being transferred to the Capital Acquisition Fund and is earmarked to pay a portion of the Ballaine Boulevard recondition.