Resolution 4360 - 1997 Budget Transfers1679
RESOLUTION NO.-431O
A RESOLUTION TO APPROVE A TRANSFER AMONG APPROPRIATIONS WITHIN A
GENERAL CLASSIFICATION OF EXPENDITURES AS ADOPTED BY THE CITY OF
KALISPELL BUDGET FOR 1997 FISCAL YEAR.
W I T N E S S E T H:
WHEREAS, in the budget adopted by the City of Kalispell for
the 1997 fiscal year, certain detailed and itemized estimates of
expenditures for the various departments of the City have proven
inaccurate in the operation of the City for that 1997 fiscal year
and,
WHEREAS, the overall expenditures of the City in said
classification is not in excess of the total of such estimates of
expenditures adopted in the City's budget for the 1997 fiscal year,
and, further, it does not appear that the total of the budgeted
appropriations in said classification will exceed such estimate for
the balance of the 1997 fiscal year; and
WHEREAS, under the authority granted the Council by law to
make transfers or revisions within a general budgetary
classification,
NOW THEREFORE, BE IT RESOLVED, that the following transfers
within the classification set forth in the City budget for the 1997
fiscal year should be made:
As set forth in Exhibit "A: attached hereto and by this
reference made a part hereof.
PASSED AND APPROVED BY THE CITY COUNCIL AND THE MAYOR OF THE
CITY OF KALISPELL THIS 18th DAY OF AUGUST, 1997.
ATTEST:
DA Ll-�QAK67d
Debbie Gif CMC
Clerk of Council
1000 General Fund
400 General Gov't
410560 Purchasing
410830,Personnel
460452 Hockaday
40lCity Manager
402 Mayor
403 Finance
404 City Attorney
406 Court
410 Dir Public Works
410 Traffic Signals
410 Central Garage
CITY OF KALISPELL
Budget Transfers-FY97
EXHIBIT "A"
Transfer To: Transfer From:
320
Printing
$
367.00
338
Recruitment
$
1,738.00
354
Contract Services
$
300.00
110
Salaries
$
3,206.00
312
Postage
$
3.00
335
Dues
$
109.00
345
Telephone
$
571.00
354
Contract Services
$
1,225.00
110
Salaries
$
1,496.00
155
Retirement
$
2,254.00
229
Other Supplies
$
28.00
110
Salaries
$
1,500.00
210
Office Supplies
$
164.00
322
Books
$
653.00
110
Salaries
$
1,716.00
229
Other Supplies
$
495.00
320
Printing
$
149.00
345
Telephone
$
133.00
351
Legal Fees
$
4,807.00
110
Salaries
$
3,810.00
121
Overtime
$
2,854.00
210
Office Supplies
$
435.00
216
Computer Equip.
$
55.00
331
Publication
$
307.00
335
Dues
$
155.00
121
Overtime
$
121.00
224
Janitorial Supplies
$
25.00
241
Consumable Tools
$
134.00
245
Barricade materials
$
201.00
345
Telephone
$
38.00
369
Radio Maint
$
63.00
110
Salaries
$
373.00
121
Overtime
$
1,027.00
2.10
Office Supplies
$
131.00
229
Other Supplies
$
546.00
231
Gas & Oil
$
4,728.00
238
Filters
$
282.00
344
Nat. Gas
$
416.00
354
Contract Services
$
526.00
360
Repair & Maint.
$
40.00
940
Machinery
$
49.00
page 1
1
1
T6:81
General Fund-con't.
Transfer TO:
412 City Hall
110
Salaries
$
3,420.00
216
Computer Equip.
$
253.00
224
Janitorial Supplies
$
71.00
344
Natural Gas
$
257.00
366
Build Maint
$
90.00
413 Police Dept.
110
Salaries
$
2,500.00
223
Canine Supplies
$
97.00
227
Ammo
$
8.00
228
Patrol Car Supplies
$
56.00
230
Dare Supplies
$
37.00
354
Contract Services
$
7.00
362
Equipment Maint.
$
296.00
363
Office Equip Maint.
$
199.00
369
Radio Maint
$
44.00
373
School & Travel
$
336.00
380
Training Materials
$
148.00
416 Fire
110
Salaries
$
1,000.00
112
Retirement
$
12,107.00
333
Subscriptions
$
196.00
362
Equipment Maint.
$
50.00
365
Fire Hazard Control
$
100.00
369
Radio Maint
$
75.00
373
School & Travel
$
5.00
399
Laundry Services
$
37.00
420 Building
110
Salaries
$
1,000.00
121
Overtime
$
170.00
331
Publications
$
136.00
335
Dues
$
65.00
341
Electricity
$
9.00
344
Natural Gas
$
156.00
345
Telephone
$
80.00
940
Machinery
$
1,326.00
421 Street Dept.
110
Salaries
$
150.00
229
Other Supplies
$
95.00
241
Consumable Tools
$
496.00
368
OVERLAYS -encumbered
$
36,975.00
345
Telephone
$
117.00
373
School & Travel
$
7.00
910
Land
$
2,694.00
436 Parks
110
Salaries
$
528.00
121
Overtime
$
2,944.00
213
Small Office Equip
$
448.00
229
Other Supplies
$
218.00
320
Printing
$
444.00
333
Subscriptions
$
123.00
341
Electricity
$
2,567.00
344
Natural Gas
$
585.00
345
Telephone
$
137.00
354
Contract Services
$
191.00
452
Gravel
$
1,538.00
page 2
1682
Transfer TO:
436 Parks-con't.
920
Building
$
236.00
937
Capital Improvement
$
1,205.00
436 Recreation
110
Salaries
$
1,893.00
229
Other Supplies
$
387.00
241
Consumable Tools
$
51.00
337
Advertising
$
155.00
436 Tennis/Skating
110
Salaries
$
2,412.00
337
Advertising
$
149.00
354
Contract Services
$
409.00
436 Day Camp
121
Overtime
$
1,083.00
229
Other Supplies
$
35.00
337
Advertising
$
99.00
437 Swimming Pool
121
Overtime
$
1,061.00
221
safety supplies
$
1.00
224
Janitorial Supplies
$
5.00
226
Chlorine & Chemical
$
262.00
229
Other Supplies
$
600.00
241
Consumable Tools
$
172.00
344
Nat Gas
$
3,697.00
362
Equipt Maint.
$
120.00
366
Build Maint
$
890.00
Total General $ 126,740.00
1000
General Fund
Transfer From
400
General Gov't
410600 Elections
354
Contract Services
$
3,500.00
410900
Records Adm.
352
Recodification
$
12,000.00
510300
Gen Govt
110
Merit Reserve
$
8,528.00
402
Mayor
135
Car Allowance
$
4,800.00
406
Court
213
Small Office Equip
$
950.00
354
Contract Services
$
2,530.00
363
equip maint
$
550.00
394
Jury fees
$
1,600.00
410
Traffic Signals
242
Street Signs
$
2,000.00
428
Paint
$
1,000.00
354
Contract Services
$
5,700.00
410
Central Garage
232
Parts
$
3,807.00
233
Tires
$
5,000.00
412
City Hall
341
Electricity
$
1,500.00
366
Building Maint.
$
2,000.00
413
Police Dept.
112
Retirement
$
12,000.00
416
Fire
110
Salaries
$
7,300.00
121
Overtime
$
3,700.00
420
Building
110
Salaries
$
1,800.00
421
Street Dept.
110
Salaries
$
11,067.00
121
Overtime
$
2,079.00
215
Computer Supplies
$
5,266.00
221
Safety Equip
$
1,066.00
224
Jaitorial supplies
$
97.00
341
Electricity
$
237.00
342
Water
$
108.00
354
Contract Servic%g. 3
$
15,910.00
I
1
1
. W
l 69
1
1
421 Street Dept.-con'360 Repair & maint.
369 Radio maint
436 Parks 110 Salaries
437 Swimming Pool 110 Salaries
Total General
2170 Airport Fund 510 Insurance
362 Equipt Maint.
$ 869.00
$ 276.00
$ 5,500.00
$ 4, 000.00
$ 126,740.00
Transfer
To:
$ 80.00
From:
$ 80.00
To:
2180 Tax Increment 926 Depot Park Build. $ 742.00
430551 administration356 Consultants $ 571.00
470230 Redevelopment 935 Downtown Improv. $ 53,971.00
470240 Rehab Commercial Design Grant $ 500.00
Total $ 55,784.00
470230 Redevelopment 840 Redevelopment proj
Total
2360 Comp Ins. 518 Boiler Ins.
517 Fidelity Bonds
2370_Retirement
402 Mayor 155 Retirement
403 Finance
410 Pub. Works Adm.
430264 Traffic Signals
431330 Central Garage
421 Street
510300 Other Unallocated
401 City Manager
2380 Health Insurance
411110 Attorney 153 Health
430100 Public Works
420140 Police
420400 Fire
430240 Street
421210 City Manager 153 Health
410550 Finance
420530 Building
From:
$ 55,784.00
$ 55,784.00
To:
$ 46.00 From:
$ 46.00
To:
From:
$
498.00
$
211.00
$
390.00
$
183.00
$
114.00
$
723.00
Total $ 2,119.00
$ 1,000.00
$ 1,119.00
Total $ 2,119.00
To: From:
$ 1,647.00
$ 75.00
$ 691.00
$ 660.00
$ 2,976.00
Total $ 6,049.00
Total
page 4
$
1,809.00
$
2,240.00
$
2,000.00
$
6, 049.00
11684
To:
2420 Gas Tax 344 Nat. Gas $ 262.00
471 De-Icer/Road Oil $ 3,990.00
368 Overlays -encumbered $ 109,085.00
Total $ 113,337.00
231 gas & oil
354 Contract Services
533 Equipt. Rental
452 Gravel
472 Asphalt
453 Mat: Contract Prep.
473 Curbs, Gutters
369 Radio Maint.
950 Construction
Total
To:
2500 Spec_. _St Maint 110 Salaries $ 463.00
121 Overtime $ 1,287.00
153 Health Ins. $ 3,700.00
155 Retirement $ 873.00
388 Medical Services $ 1,338.00
Total $ 7,6617
354 Contract Services
Total
2886 UDAG
To:
153
Health Ins
$
950.00
212
Rehab Expense
$
534.00
229
Other Supplies
$
51.00
339
Other Publicity
$
73.00
345
Telephone
$
113.00
353
Auditing
$
222.00
363
Offuce Equip`Maint
$
78.00
373
School & Travel
$
467.00
Total
$
2,488.00
354
Contract Services
Total
page 5
From:
1
$
22.00
$
74,243.00 '
$
2,940.00
$
777.00
$
19,007.00
$
1,880.00
$
1,080.00
$
100.00
$
13,288.00
$ 113,337.00
From:
$ 7,661.00
$ 7, 661.00
From:
$ 2,488.00
$ 2,488.00
9I= ■