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Res 1998-37 OCI RESOLUTION NO. 37 — 1998 PS A RESOLUTION AUTHORIZING CHANGES IN APPROPRIATIONS FOR THE GENERAL FUND, SPECIAL REVENUE FUNDS AND CAPITAL IMPROVEMENT FUND FOR THE FOURTH QUARTER OF 1997. WHEREAS, the City of Fridley has involved itself in initiatives that provide for future charges and modifications that will allow for a better delivery of services, and WHEREAS, the City of Fridley had not incorporated these and other necessary changes into the adopted budget for 1997. NOW, THEREFORE, BE IT RESOLVED that the General Fund, Special Revenue Funds and Capital Improvement Fund budgets for the following divisions be amended as follows: GENERAL FUND REVENUE ADJUSTMENTS ASSESSING 322 MAAO-POSTAGE REIMBURSEMENT SALE OF MDT UNITS 9,000 CITY OF BLAINE & RAMSEY REIMBURSEMENT - POLICE 1,222 STATE OF MN-BULLET PROOF VEST DONATION - POLICE 400 MINCO-CRIME PREVENTION DONATIONS - POLICE 1,600 DARE PROGRAM DONATIONS DONATION - FIRE 200 LIONS CLUB DONATION II NATION - FIRE 30 MINNEGASCO DONATION NATION - FIRE 400 MINCO-FIRE PREVENTION MATERIALS NATION - FIRE 75 DONATION-HAZMAT TRAILER DONATION - RECREATION 125 LIONS CLUB-SENIOR HOLIDAY DINNER DONATION - RECREATION 4,565 LIONS CLUB-SENIOR TRANSPORTATION DONATION - NATURE CENTER 100 BARNA GUZY-HALLOWEEN CELEBRATION DONATION - NATURE CENTER 1,200 DONATIONS FOR HALLOWEEN CELEBRATION DONATION - NATURE CENTER 1,000 FMC/UNITED DEFENSE DONATION DONATION - PARKS 1,000 DONALD SAVELKOUL-REPAIR "DUNES" LICENSES-ALL OTHER 969 ELIMINATE NEGATIVE VARIANCE STATE AID-FIRE INS PREM TAX 21,512 STATE OF MN-FIRE AID CHARGES FOR SERVICES-PUBLIC 29,000 CURFEW VIOLATION DROP OFF SAFETY TOTAL REVENUE ADJUSTMENTS $72,720 GENERAL FUND CONTINUED APPROPRIATION ADJUSTMENTS MAYOR/COUNCIL PERSONAL SERVICES 613 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (613) ELIMINATE NEGATIVE VARIANCE CITY MANAGER PERSONAL SERVICES (3,019) ATTORNEY EXP-TELECOMMUNICATIONS SUPPLIES/CHARGES 3,019 ATTORNEY EXP-TELECOMMUNICATIONS IIISUPPLIES/CHARGES 21,209 ATTORNEY EXP-TELECOMMUNICATIONS OOOS Page 2—Resolution No. 37- 1998 II[RSONNEL PERSONAL SERVICES 1,477 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (1,477) ELIMINATE NEGATIVE VARIANCE LEGAL SUPPLIES/CHARGES 17,735 ELIMINATE NEGATIVE VARIANCE ELECTIONS SUPPLIES/CHARGES 38 ELIMINATE NEGATIVE VARIANCE ACCOUNTING PERSONAL SERVICES (15,828) COST FOR ACCT POSITION CHG'D TO CLERK'S DEPT. PERSONAL SERVICES (23,135) CONTRACT SERVICES FOR PERSONNEL SHORTAGE SUPPLIES/CHARGES 23,135 CONTRACT SERVICES FOR PERSONNEL SHORTAGE ASSESSING SUPPLIES/CHARGES 322 MAAO-POSTAGE REIMBURSEMENT PERSONAL SERVICES 663 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (663) ELIMINATE NEGATIVE VARIANCE MIS PERSONAL SERVICES (29,113) CONTRACT SERVICES FOR PERSONNEL SHORTAGE SUPPLIES/CHARGES 29,113 CONTRACT SERVICES FOR PERSONNEL SHORTAGE CITY CLERK PERSONAL SERVICES 15,828 COST FOR ACCT POSITION CHG'D TO CLERK'S DEPT. SUPPLIES/CHARGES 931 ELIMINATE NEGATIVE VARIANCE IIIOLICE PERSONAL SERVICES 21,166 OVERTIME REIMBURSEMENT SUPPLIES/CHARGES 200 LIONS CLUB DONATION SUPPLIES/CHARGES 1,222 DONATION-BULLET PROOF VEST SUPPLIES/CHARGES 1,600 DARE PROGRAM DONATIONS SUPPLIES/CHARGES 400 DONATION-MINCO, CRIME PREVENTION PERSONAL SERVICES 39,891 BACKPAY FOR CONTRACT SETTLEMENT SUPPLIES/CHARGES 23,849 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES 9,281 ELIMINATE NEGATIVE VARIANCE CAPITAL OUTLAY (9,281) ELIMINATE NEGATIVE VARIANCE FIRE SUPPLIES/CHARGES 400 MINCO-FIRE PREVENTION METERIALS SUPPLIES/CHARGES 30 MENNEAGSCO DONATION PERSONAL SERVICES 21,512 OFFSET IN INCR IN STATE OF MN FIRE AID-PD TO RELIEF PERSONAL SERVICES 648 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (648) ELIMINATE NEGATIVE VARIANCE RENTAL INSPECTIONS PERSONAL SERVICES 2,560 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (2,560) ELIMINATE NEGATIVE VARIANCE CIVIL DEFENSE SUPPLIES/CHARGES 2,221 SIREN REPAIR MUN. CENTER SUPPLIES/CHARGES 525 TELEPHONE SYSTEM TERMINAL PERSONAL SERVICES (1,862) ELIMINATE NEGATIVE VARIANCE I SUPPLIES/CHARGES 1,862 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES 10,257 REPIPING REPAIRS/HTG/AIR REPAIRS 00087 Page 3 —Resolution No. 37- 1998 III GINEERING CAPITAL OUTLAY 138 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (138) ELIMINATE NEGATIVE VARIANCE P.WORKS/PARKS SUPPLIES/CHARGES 1,000 DONALD SAVELKOUL-REPAIR "DUNES" PERSONAL SERVICES (536) ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES 536 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES 9,517 INSTALL NEW LIGHT POLE/SIGNAL MAINTENANCE RECREATION SUPPLIES/CHARGES 125 LIONS CLUB-SENIOR HOLIDAY DINNER SUPPLIES/CHARGES 1,394 LIONS CLUB-SENIOR TRANSPORTATION PERSONAL SERVICES (15,022) ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES 15,022 ELIMINATE NEGATIVE VARIANCE NATURE CTR SUPPLIES/CHARGES 1,200 DONATIONS FOR HALLOWEEN CELEBRATION SUPPLIES/CHARGES 100 DONATIONS FOR HALLOWEEN CELEBRATION CAPITAL OUTLAY 1,113 FMC/UNITED DEFENSE DONATION PERSONAL SERVICES 37 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (150) ELIMINATE NEGATIVE VARIANCE PLANNING SUPPLIES/CHARGES 560 GRAVEL DRIVEWAY EXPENSES PERSONAL SERVICES 1,255 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (1,255) ELIMINATE NEGATIVE VARIANCE INSPECTION PERSONAL SERVICES 6,264 ELIMINATE NEGATIVE VARIANCE SUPPLIES/CHARGES (6,264) ELIMINATE NEGATIVE VARIANCE EMERGENCY RESERVE (560) GRAVEL DRIVEWAY EXPENSES Balance (525) TELEPHONE SYSTEM TERMINAL $100,000-9,043-13,408=$77,549 (21,209) CITY MGR-ATT'Y EXP- TELECOMMUNICATIONS (46,906) POLICE - BACKPAY FOR CONTRACT SETTLEMENT (2,221) SIREN REPAIR (6,128) REPIPING REPAIRS/AIR REPAIRS(BAL $4,129) TOTAL APPROPRIATION $100,855 ADJUSTMENTS SPECIAL REVENUE FUNDS CABLE TV FUND REVENUE ADJUSTMENTS LICENSES 10,305 ELIMINATE NEGATIVE VARIANCES INTEREST EARNINGS (911) ELIMINATE NEGATIVE VARIANCES TOTAL REVENUE ADJUSTMENTS $9,394 eoo 8 Page 4-Resolution No. 37- 1998 III PPROPRIATION ADJUSTMENTS PERSONAL SERVICES 2,258 FULL TIME EMPLOYEE BENEFITS SUPPLIES/CHARGES (1,227) ELIMINATE NEGATIVE VARIANCES SUPPLIES/CHARGES 50,612 TELECOMMUNICATIONS ENGINEERING CAPITAL OUTLAY 5,004 CAMERA SYSTEM TOTAL APPROPRIATION $56,647 ADJUSTMENTS GRANT MANAGEMENT FUND REVENUE ADJUSTMENTS INTERGOVERNMENTAL 147,211 UNBUDGETED ACTIVITY CAPITAL OUTLAY 5,000 UNBUDGETED ACTIVITY TOTAL REVENUE ADJUSTMENTS $152,211 APPROPRIATION ADJUSTMENTS PERSONAL SERVICES 35,703 UNBUDGETED ACTIVITY PERSONAL SERVICES 122,022 REALLOCATE BUDGET SUPPLIES/CHARGES (122,022) REALLOCATE BUDGET SUPPLIES/CHARGES 8,701 UNBUDGETED ACTIVITY CAPITAL OUTLAY 111,112 UNBUDGETED ACTIVITY TOTAL APPROPRIATION $155,516 ADJUSTMENT S SOLID WASTE ABATEMENT FUND IIIEVENUE ADJUSTMENTS CHARGES FOR SERVICES $59,917 RECYCLING CENTER APPROPRIATION ADJUSTMENTS PERSONAL SERVICES 19,908 RECYCLING CENTER SUPPLIES/CHARGES 38,944 RECYCLING CENTER CAPITAL OUTLAY $1,065 RECYCLING CENTER-SCALE TOTAL APPROPRIATION $59,917 ADJUSTMENTS HRA REIMBURSEMENT FUND REVENUE ADJUSTMENTS INTERGOVERNMENTAL $16,521 UNBUDGETED ACTIVITY APPROPRIATION ADJUSTMENTS SUPPLIES/CHARGES $16,798 UNBUDGETED ACTIVITY DRUG/GAMBLING FORFEITURE FUND REVENUE ADJUSTMENTS FINES AND FORFEITS $1,090 UNBUDGETED ACTIVITY APPROPRIATION ADJUSTMENTS SUPPLIES/CHARGES 155 UNBUDGETED ACTIVITY HOUSING REVITALIZATION APPROPRIATION ADJUSTMENTS SUPPLIES/CHARGES $5,801 UNBUDGETED ACTIVITY IIIHEMICAL ASSESS. TEAM EVENUE ADJUSTMENTS INTERGOVERNMENTAL $37,630 UNBUDGETED ACTIVITY 00059 Page 5—Resolution No. 37- 1998 IIIP PROPRIATION ADJUSTMENTS PERSONAL SERVICES 9,338 SUPPLIES/CHARGES $41,121 UNBUDGETED ACTIVITY TOTAL APPROPRIATION $50,459 ADJUSTMENTS C.E.C. DONATIONS(F.C.C.) REVENUE ADJUSTMENTS DONATIONS $192,192 UNBUDGETED ACTIVITY APPROPRIATION ADJUSTMENTS SUPPLIES/CHARGES 8,977 UNBUDGETED ACTIVITY CAPITAL OUTLAY 43,356 UNBUDGETED ACTIVITY TOTAL APPROPRIATION $52,333 ADJUSTMENTS CAPITAL PROJECT FUNDS CAPITAL IMPROVEMENT FUND APPROPRIATION ADJUSTMENTS GENERAL SUPPLIES/CHARGES 75 DONATION-HAZMAT TRAILER CAPITAL OUTLAY 58,182 TRAINING TOWER STREETS OTHER FINANCING USES 7,573 TRANSFER TO FUND 501 CURB CONSTR I OTHER FINANCING USES 12,680 TRANSFER TO FUND 503 DRIVEWAY CONSTR OTHER FINANCING USES 119,225 TRANSFER TO FUND 555 1996 STREET CONSTR OTHER FINANCING USES 32,128 TRANSFER TO FUND 556 1997 STREET CONSTR OTHER FINANCING USES 3,740 TRANSFER TO FUND 353 SPECIAL ASSESSMENT OTHER FINANCING USES 745 TRANSFER TO FUND 383 SPECIAL ASSESSMENT OTHER FINANCING USES 923 TRANSFER TO FUND 603 SPECIAL ASSESSMENT TOTAL STREETS $235,271 PARKS OTHER FINANCING USES $2,200 TRANSFER TO FUND 354 SPECIAL ASSESSMENT CAPITAL OUTLAY 510 TRAC-LOADER 2,710 PASSED AND ADOPTED BY THE CITY COUNCIL OF THE CITY OF FRIDLEY THIS 8TH DAY OF JUNE, 1998. a yAWL/ cY J. 0 EN O MAYOR TTEST: I L... 1LL Q . 01,,, 4_ WILLIAM A. CHAMPA — CITYLERK