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HomeMy WebLinkAbout04232021 City Council Laydown - Sam HickokL y J Council Agerida St�atenient Mee6ng Date: April 26,2,021 TO: City cotmcH Through: Norm Regis, Acting City Manager tP From: Sawn Hickok, 13epully Finance Director Agenda tern: 2021 Mid -Cycle Budget Adj'ustmnls LIL,_ ICATION: The 2020/2021 Biennial Budget which covers the periodJanuary 1, 2020 through December 31, 2021 was passed December 9, 2019. Periodically, adjusirnents are made (o the budget as new data becomes available regarding revenues and/(,.,)r changing priorities and projects, "flie specific requested budget aqjustments are listed on (lie auZ.,:hed schedules with rmajor changes deSellribed below. Due to time lafrge econornic irnpaci earl' C"OVID-19, it is necessary for tile City to adJust projected revenues for 2021 as well as reduce expenses where possible, The 2020 surnmer season saw as large, rtegative impae,,J on the tourisrn and hospitalityindustry, a maJof source of revenue fbr Seward, Sales tax revenues came in $1.68 million under, budget and hotel/motel room tax came in $426,566 under budget, Administration proposes to reduce 2021 Sales tax projections by $1,34-5,983, representing as 25% reduction over 2019 sales lax actuals, Recently, President Biden signed as $1 .9 triffion COVID relief package, w1fich includes, astate and local reliefppropriatiort, Seward is projected to be allocated $579,856 which will be put directly in the General Fund, C"ouncil approved RE S 2020-086, revw ising municipal camping fees. This aefion is expected to bring in, an additional $820,000 in carnping revenue to the General Fund. Finance and administration met with department heads to discuss where budgets case d be cut,'Fhe attached Schedule A reflects cu(s agreed upon, mostly to 'rravel & Subsistence. INTENT: Th—c7intent of this resolution is to arnend the 2021 appropriate ftpnds as listed on time attachinents. Budger, as described in the narrative above, plus FISC'AL NOTE. action results in anzinticimate d de cremse in (.-ieneral Fund fund balance fbr 2021, of $68,382, Approved by Finance . .. . .. .... . ATTORNEY REVIEW: Yes No X RECOMMENDATION: Seward City Council approve Resolution 202I- , to approve the 2021 Mid -Cycle Budget Adjustments in substantial form as attached hereto. 2 2 L'U 1 E CD Ri E E Cm E E u u Vl E E pp u u 8888 8 8 8 8 8 8 0 0 C] CM 0 0 0 pp 0 0 0 0 C� C� cmV �2 .2 8 8 Iz 10 .2 2 kb E R m Lo utE �LLj ac City of Seward Mid -Cycle 2021 Budget Adjustments Schedule °B" Account Account Name DR CR General Fund 01000-0000-4000 Sales Tax 1,345,983 01000-0000-4251 Federal Grant Revenue 579,856 01000-0000-4350 Camping Fees 820,000 01000-1120-6000 Salaries 93,538 01000-1120-6102 Workers' Comp 784 01000-1120-6200 Annual leave 7,195 01000-1120-6201 Retirement 6,424 01000-1120-6202 Health Insurance 46,018 01000-1120-6100 Medicare 1,370 01000-1121-7009 Contracted Services 4,000 01000-1121-7301 Subscription & Dues 12,000 01000-1180-7009 Contracted Services 35,000 01000-1220-7302 Travel & Subsistence 1,000 01000-1221-7302 Travel & Subsistence 4,324 01000-1410-7216 Maintenance & Repair 5,000 01000-1410-7010 Engineering 15,000 01000-1411-7216 Maintenance & Repair 9,000 01000-1412-7009 Contracted Services 4,000 01000-1412-7215 Operating Supplies 2,500 01000-1412-7216 Maintenance & Repair 6,000 01000-1412-7217 Small Tools & Equipment 51000 01000-1430-7215 Operating Supplies 19,750 01000-1430-7302 Travel & Subsistence 1,500 01000-1121-7302 Travel & Subsistence 500 01000-1500-7302 Travel & Subsistence 3,500 01000-1122-7302 Travel & Subsistence 5,500 01000-1122-7216 Maintenance & Repair 1,500