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Resolution 4899 - 2003-2004 Budget AmendmentsRESOLUTION NO. 4899 A RESOLUTION TO AMEND THE ANNUAL APPROPRIATIONS OF THE CITY OF KALISPELL, MONTANA, AS SET FORTH IN THE 2003-2004 BUDGET ADOPTED BY THE CITY COUNCIL. WHEREAS, on August 4, 2003, the City Council adopted Resolution 4813 adopting the annual appropriations of the City of Kalispell for fiscal year 2003-2004; and WHEREAS, in the budget adopted by the City of Kalispell for the 2003-2004 fiscal year, certain detailed and itemized estimates of expenditures have proven inaccurate in the operation of said Funds for the 2003-2004 fiscal year; and WHEREAS, at a public hearing held on June 21, 2004, the City Council did consider all objections made to said budget amendments. NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF KALISPELL AS FOLLOWS: SECTION I. Amendments to the 2003-2004 fiscal budgets are as follows: Increasing the appropriations and expenditures for the Pool Construction Fund in the amount of $73,193.07 to appropriate remaining funds, recognize interest earnings and correction of the cash carryover. Add to line item 4102-437-460445-950. 2. Increasing the appropriations and expenditures for the Westside TIF District to record costs associated with the Teletech project in the amount of $329,927. Add to line item 2188-480-470230-358. 3. Increasing the appropriations and expenditures for the Gas Tax Fund in the amount of $6,973 to pay the City match for the MACI Grant costs for sidewalk construction. Gas Tax line item 2420-421-430240-823 (transfer out) is an operating transfer. This increases the revenue (transfer in) for the MACI Grant Fund and increases the appropriation for line item 2825-421-430240-950 by $6,973. 4. Increasing the appropriations and expenditures for the General Fund Fire Department for an operating transfer of $40,000 to the Fire Hall Construction Fund 4150. Money previously designated for fire hall construction to be placed in a Capital Project Fund. Increases line item 1000-416-420200-858. Recognize revenue in Fund 4150, the capital project fund for the same amount. 5. Increasing the appropriations and expenditures for Fund 3188 Westside TIE Debt Service to recognize revenue and expenditures related to the pay down of the Stream debt service and the reduction of the bond reserve. Add to revenue $1,528,444 and expense 3188-000-490700-610 for $1,270,026 and 3188-000- 490700-820 for $500,000. 6. Increasing the appropriations and expenditures for the Cultural Arts Fund budget by $5,167 for pass thru grants for the Glacier Orchestra, Hockaday and NW MT Historical Society. All were under appropriated. Add to line items 2927-400- 460452,4,6-354. 7. Increasing the appropriations and expenditures for Fund 2360 worker's compensation insurance by $20,000 due to receiving a smaller reimbursement from MMIA as in previous years. Increasing the appropriations and expenditures for the Ambulance Fund for overtime by $40,000 and retirement for $4,300. 9. Increasing the appropriations and expenditures for the Tri-City Planning Office by $33,200. Due to a significant increase in development activity an additional planner was hired mid -year. Line item increases are $30,000 for wages and benefits, $1,800 for office supplies, $1,000 for postage, $400 for liability insurance. Increased application fees have been received to cover expenses. SECTION II. That on June 21, 2004 at 7:00 o'clock P.M., the City Council authorized and directed the Finance Director to increase the appropriations. PASSED AND APPROVED BY THE CITY COUNCIL AND SIGNED BY THE MAYOR OF THE CITY OF KALISPELL, THIS 21ST DAY OF JUNE, 2004. Pamela B. Ken edy Mayor �-- ATTEST: t Z/l AV Theresa White City Clerk