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RES 1990-61 - 00003949163 RESOLUTION NO. 61 - 1990 ' A RESOLUTION AUTHORIZING CHANGES IN APPROPRIATIONS FOR THE GENERAL FUND, STATE AID FUND, CABLE T.V. FUND, HRA REIMBURSEMENT FUND, CAPITAL IMPROVEMENT FUND, CIVIC CENTER REMODELING FUND AND THE FIRE BUILDINGS FUND FOR THE YEAR 1989 WHEREAS, the Government Finance Officers Association requires that all line items within divisions reflect favorable account balances in the Annual Report; and WHEREAS, the City of Fridley has involved itself in initiatives that provide for future charges and modifications that will provide for a better delivery of service, and WHEREAS, the City of Fridley had not incorporated these and other necessary changes into the adopted budget for 1989. NOW, THEREFORE, BE IT RESOLVED, that the budgets of the following divisions and funds be amended as follows: GENERALFUND IREVENUE ADJUSTMENTS INTERGOVERNMENTAL - POLICE PENSION - 15,851 POLICE INTERGOVERNMENTAL -ATAC 3,998 POLICE INTERGOVERNMENTAL -FIRE PENSION 2,178 FIRE MISC REV - DONATIONS 1,416 FIRE MISC REV - DONATIONS 3,600 FIRE FUND BALANCE 514,949 PERSONAL SERVICES TOTAL ESTIMATED REVENUE ADJUSTMENTS $541,992 APPROPRIATION ADJUSTMENTS MAYOR AND COUNCIL SUPPLIES/ CHARGES 7,000 LOAN TO HISTORICAL SOCIETY OTHER COMMISSIONS SUPPLIES/ CHARGES 4,006 POLICE EVALUATIONS CITY MANAGER PERSONAL SERVICES (4,500) SUE IRBER WENT FULL TIME PERSONAL SERVICES 13,677 UNDER BUDGETED PERSONNEL PERSONAL SERVICES (22,927) SHIRLEYS SALARY TO FINANCE PERSONNEL PERSONAL SERVICES 5,600 SUE IRBER WENT FULL TIME ' ELECTIONS PERSONAL SERVICES 1,350 SPECIAL ELECTION - SWAP SUPPLIES/CHARGES (1,350) SWAP WITH PERSONAL SERVICE FINANCE PERSONAL SERVICES 22,927 SHIRLEYS SALARY FROM C.MGR. PERSONAL SERVICES 24,624 UNDER BUDGETED PERSONNEL s Page 2 -- Resolution No. 61 - 1990 0 POLICE PERSONAL SERVICES 15,851 ADDITIONAL AMORTIZATION AID 23,000 PERSONAL SERVICES 3,998 ADDITIONAL ATAC MONEY 15,015 PERSONAL SERVICES 37,670 POLICE PENSION EXCESS 2,006 SUPPLIES/ CHARGES - 5,400 SWAP FROM FIRE (6,000) CAPITAL OUTLAY 14,309 LEKTRIEVER FIRE PERSONAL SERVICES 18,573 SHEREE'S SALARY FROM C. DER (327,413) PERSONAL SERVICES 2,178 ADDITIONAL AMORITIZATION AID $541,992 PERSONAL SERVICES 37,075 OVER TIME, LEAVE SUPPLIES/ CHARGES (2,695) SWAP TO POLICE SUPPLIES/ CHARGES 1,416 DONATIONS SUPPLIES/ CHARGES 3,600 DONATIONS CIVIL DEFENSE PERSONAL SERVICES 1,800 UNDER BUDGETED PERSONNEL PERSONAL SERVICES (18,573) SHEERE'S SALARY TO FIRE CIVIC CENTER PERSONAL SERVICES 5,562 CITY HALL REMODELING #3204 SUPPLIES/CHARGES 72,432 CITY HALL REMODELING #3203 - SUPPLIES /CHARGES 2,800 REMODELING SUPPLIES /CHARGES 7,501 TELEPHONE CONSULTANT CAPITAL OUTLAY 18,355 DICTATION EQUIPMENT CODEENFORCEMENT PLANNING ' ENGINEERING PUBLIC WORKS & PARKS NATURALIST RECREATION PERSONAL SERVICES CAPITAL OUTLAY PERSONAL SERVICES SUPPLIES/CHARGES PERSONAL SERVICES PERSONAL SERVICES SUPPLIESICHARGES SUPPLIES/CHARGES CAPITAL OUTLAY PERSONAL SERVICES SUPPLIES /CHARGES PERSONAL SERVICES SUPPLIES/CHARGES RESERVE FOR CONTINGENCY RESIDUAL EQUITY TRANSFER - PARKS CAWTALIMP. TOTAL APPROPRIATION ADJUSTMENT REVENUE ADJUSTMENTS SPECIAL REVENUE FUNDS STATE AID FUND INTERGOVERNMENTAL INTEREST ON INVESTMENTS FUND BALANCE APPROPRIATION ADJUSTMENTS OTHER FINANCING USES RESIDUAL EQUITY TRANSFERS 950 SWAP FROM PLANNING 647 MOBILE RADIO (950) SWAP TO CODE ENFORCEMENT 23,000 SUPERCYCLE, SENIOR HSG. STU 18,035 UNDER BUDGETED PERSONNEL 15,015 UNDER BUDGETED PERSONNEL 19,750 CORRIDOR MAINT 2,006 P.W. SALES TAX (2,006) SWAP TO SUPPLIES /CHARGES (6,000) SWAP WITH RECREATION 1,725 SWAP WITH RECREATION 6,350 SWAP WITH NATURALIST (1,725) SWAP WITH NATURALIST (327,413) 514,949 $541,992 846,322 34,919 1,439,377 $2,320,618 (254,137) 165 Page 3 -- Resolution No. 61 - 1990 ' APPROPRIATION ADJUSTMENTS CABLE T.V. FUND SUPPLIES/ CHARGES 600 CAPITAL OUTLAY (600) $0 HRA REIMBURSEMENT FUND REVENUE ADJUSTMENTS INTERGOVERNMENTAL $154,249 APPROPRIATION ADJUSTMENTS PERSONAL SERVICES 74,810 SUPPLIES/ CHARGES 79,439 $154,249 CAPITAL PROJECTS FUNDS CAPITAL IMPROVEMENT FUND APPROPRIATION ADJUSTMENTS CAPITAL OUTLAY (1,050,233) CAPITAL OUTLAY (260,656) OTHER FINANCING USES 1,050,233 OTHER FINANCING USES 260,656 ' $0 CIVIC CENTER REMODELING FUND REVENUE ADJUSTMENTS OTHER FINANCING SOURCES 1,050,233 FUND BALANCE 1,001,293 $2,051,526 APPROPRIATION ADJUSTMENTS , SUPPLIES/ CHARGES 76,257 CAPITAL OUTLAY 1,975,269 $2,051,526 FIRE BUILDING$ REVENUE ADJUSTMENTS INTEREST ON INVESTMENTS 423 OTHER FINANCING SOURCES 260,656 $261,079 APPROPRIATION ADJUSTMENTS CAPITAL OUTLAY 247,061 ' OTHER FINANCING USES 14,018 $261,079 Page 4 -- Resolution No. 61 - 1990 16 G ' PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 27TH DAY OF AUGUST, 1990. �� p ILLIAM J. E — MAYOR ATTEST: / / SHIRLEY Al. HAAPALA CITY CLERK �i i