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HomeMy WebLinkAbout4.05 BdgtCarryoversCITY CLERK File # 1:115131bl- AGENDA STATEMENT CITY COUNCIL MEETING DATE: October 15, 2002 SUBJECT: Budget Carryovers from Fiscal Year 2001-2002 to Fiscal Year 2002-2003 (Report Prepared By: Carole Perry, Administrative Services Director and Fred Marsh, Finance Manager) ATTACHMENTS: Budget Change Forms RECOMMENDATION: iApprove the Budget Changes FINANCIAL STATE N See Report. Reducing the amount appropriated to Reserves as discussed below can cover the adjustments required. DESCRIPTION: As part of the process of reviewing the Preliminary Financial Reports for Fiscal Year 2001-2002, Staff noted several Capital Projects Budget line items, originally anticipated for completion in Fiscal Year 2001-2002, now scheduled for completion in Fiscal Year 2002-2003. These Capital Projects Budget items are outlined on the following pages. The proposed budget adjustments for these specific capital projects do not result in an increase in the total expenditures, as originally reported in the City's adopted Capital Improvement Program for 2002-2007. Funds that were budgeted in Fiscal Year 2001-2002 were not expended, due to project delays. Those amounts will be carried over to fund the project costs now anticipated during Fiscal Year 2002-2003. In order for Staff to be able to fully fund these projects in Fiscal Year 2002-2003, it is recommended that Council approve the attached budget change forms for the amounts noted on the following pages. ------------------------------------------------------------------------------------------------------------- pe COPIES TO: ITEM NO. CADocuments and Settings\carolep\Local Settingffemporary Internet Files\OLK23\agenda budget carryovers.doc Y Department or Capital Name of Budget or Project Capital Project 93192 Geographic Information System 94226 Freeway Art / Dublin Blvd / Amador Valley Blvd 94250 Sidewalk Safety Repair 94255 Sidewalk ReconsmaOJon Amador Valley Blvd / Dublin Blvd 94956 Street Banner Art Project 96080 Utilities Undergrounding 96585 Annual Slurry Seal Program TOTAL PROPOSED FOR GENERAL FUND GAS TAX FUND 96580 Annual Street Overlay 96585 Annual Slurry Seal Program TOTAL PROPOSED FOR GAS TAX FUND ISTEA FUND 96564 Traffic Signal Upgrade Estimated Actual Expense FY 2001-2002 STATE TRANSPORTATiON IMPROVEMENTS FUND 96920 Dublin Blvd Widening / Village Parkway to Sierra Court TRANSPORTATION FUND FOR CLEAN AIR 96772 Alamo Canal Bike Path TRAFFIC IMPACT FEE FUND 96380 1-580 / San Ramon Rd Improvements 96563 Traffic Signal / Dougherty & Willow TOTAL PROPOSED FOR TRAFFIC IMPACT FEE FUND SURIDTAL Actual 2001-2002 $ 10,752 $ 7,685 $ 111,373 $ 92,663 $ 76,038 $ 18,250 Amount of Carryover $ 3,067 $ 18,710 $ 65,512 $ 10,526 $ 10,284 $ 7,966 $ 26,663 $ 24,163 $ 2,500 $ 19,803 $ 18,486 $ 1,317 $ 7,300 $ 3,415 $ 3,885 $ 1,630,121 $ 110,000 $11,000 $1,228,324 $ 1,140,223 $ 67,638 $621 $930,287 $125,249 $197,835 $16,984 $190,894 $209,747 $19,981 $47,971 $ 489,898 $ 42,362 $532,260 $10,379 $298,037 $65,646 $11,912 $2,366 $14,278 $968,571 Department Estimated or Capital Name of Budget or Actual Expense Project Capital Project FY 2001-2002 PUBLIC FACILITY IMPACT FEE FUND 94500 Public Facilities Fee Study $ 10,000 95600 Emerald Glen Park $ 81,050 95851 Fallon Sports Park $ 4,500 TOTAL PROPOSED FOR PUBLIC FACII,ITY IMPACT FEE FUND FIRE IMPACT FEE FUND 93510 ~d Park Fire Station $ 93511 Fallon Fire Station $ TOTAL PROPOSED FOR FIRE IMPACT FEE FUND PARK DEDICATION FUND 95830 Dublin Sports Grounds Renovation TOTAL PROPOSED FOR ALL FUNDS 2001-2002 Amount of Carryover $ 5,203 $ 4,797 $ 46,906 $ 34,144 $ 2,573 $ 1,928 294,750 $ 289,661 307,539 $ 290,638 $94,135 $76,111 $40,869 $ 5,089 $ 16,901 $21,990 $18,024 $1,049,454 RECOMMENDATION: In order for Staff to be able to fully fund these projects in Fiscal Year 2002-2003, staff is recommending that City Council approve the appropriation adjustments as described above. CITY OF DUBLIN BUDGET CHANGE FORM - FISCAL YEAR 2002-2003 CHANGE FORM # New Appropriations (City Council Approval Required): Budget Transfers: __X__ From Unappropriated Reserves From Budgeted Contingent Reserve (1080-799.000) (If Other than General Fund, Fund No - ' Within Same Department Activity From New Revenues Between De')artments ~ ~ Council A aired) Name: Name: General Fund - Geographic information $3,067 System- Contract Services Account #: Account #: 001.93192.740.000 Name: Name: General Fund - Freeway Art / Dublin $18,710 Blvd / AVB Account #: Account #: 001.94226.750.050 Name: Name: General Fund - Sidewalk Safety Repair $10,526 - Improvements Account #: Account #: 001.94250.750.050 Name: Name: General Fund - Sidewalk Construction - $7,966 AVB & Dublin Blvd Account #: Account#: 001.94255.750.050 Name: .................... ~qame: General Fund - Street Banner Art $2,500 Project - Improvements Account #: Account #: 001.94956.750.050 Name: .................. Name: General Fund - U~iliti~s ...................... Under#rounding - Improvements Account #: Account #: 001.96080.750.050 Name: '" '~ame: General Fund - Annual Slurry Seal $3,885 Program - Salaries Full Time Account #: Account #: 001.96585.701.001 City Manager: Date: Signature ASD/Fin Mgr /""i~~tk..-}r~x..~'x~. Date: Signature REASON FOR BUDGET CHANGE ENTRY: To adjust budgeted amounts for Fiscal Year 2002-2003 for the uncompleted portion of projects originally scheduled for completion in Fiscal Year 2001-2002 (Page 1 of 3) Mayor: Date: Signature Posted By: Date: G:L4 UDITIFY ~OO l-O21tafrlbudg~t change - carryowr part l.doc Signature CITY OF DUBLIN BUDGET CHANGE FORM - FISCAL YEAR 2002-2003 CHANGE FORM # New Appropriations (City Council Approval Required): Budget Transfers: From Unappropriated Reserves From Budgeted Contingent Reserve (1080-799.000) (If Other than General Fund, Fund No - Within Same Department Activity From New Revenues Between Council uired) Name: Name: Gas Tax Fund - Annual Street Overlay- $489,898 Improvements Account #: Account #: 206.96580.750.050 Name: Name: Gas Tax Fund - Annual Slurry Seal $42,362 Program - Improvements Account #: Account #:. 206.96585.750.050 Name: Name: ISTEA Fund - Traffic Signal Upgrade - $10,379 Engineering Design Account #: Account #: 210.96564.740.078 Name: Name: Dublin Blvd Wi~tening / Village $298,037 Parkway to Sierra Court - Improvements Account #: Account #: 219.96920.750.050 Name: .......... Name: TRCA Fu~t / Alamo Canal Bike Path / $65,646 Improvements Account #: Account #: 221.96772.750.050 Name: Name:' Tra~'~"'I'~npact Fee Fund / 1580 San $11,912 Ramon Rd Improvements / Engineering Design Account #: Account #: 300.96380.740.078 Name: ...... Name: Traffic Impact Fee Fund / Traffi~"§'i~nal $2,366 Dougherty & Willow / Engineering Design Account #: Account #: 300.96563.740.078 City Manager: Date: Signature ASD/Fin Mgr r~.~ ~ Date: Signature REASON FOR BUDGET CHANGE ENTRY: To adjust budgeted amounts for Fiscal Year 2002-2003 for the uncompleted portion of projects originally scheduled for completion in Fiscal Year 2001-2002 (Page 2 of 3) Mayor: Date: Signature Posted By: Date: G: ~4 UDIT~FY 2001-021cafrlbudget change - carryover part 2,doc Signature CITY OF DUBLIN BUDGET CHANGE FORM - FISCAL YEAR 2002-2003 CHANGE FORM # New Appropriations (City Council Approval Required): Budget Transfers: From Unappropriated Reserves From Budgeted Contingent Reserve (1080-799.000) (If Other than General Fund, Fund No - Within Same Department Activity From New Revenues Between Council Approval Required) Name: Name: Public Facility Impact Fee Fund - $4,797 Public Facility Fee Study -Contract Services General Account #: Account #: 310.94500.740.000 Name: Name: Public Facility Impact Fee Fund - $34,144 Emerald Glen Park - Engineering Design Account #: Account #: 310.95600.740.078 Name: Name: Public Facility Impact Fee Fund - $1,928 Fallon Sports Park - Engineering Design Account #: Account #: 310.95851.740.078 Name: Name: Fire Impact Fee Fund -Emerald Park $5,089 Fire Station - Engineering Design Account #: Account #: 320.93510.740.078 Name: Name: Fire. Impact Fee Fund - Fallon Fire ~16,901 Station - Printing Account #: · = Account #: 320.93511.716.000 Name: Name: Park Dedication Fund - Dublin Sports ~1~,024 Grounds Renovation - Engineering Testing Account #: Account #: 315.95830.740.077 City Manager: Date: Signature ASD/Fin Mgr ¥~._~T~ 'v%._~.~.~,/~ Date: Signature REASON FOR BUDGET CHANGE ENTRY: To adjust budgeted amounts for Fiscal Year 2002-2003 for the uncompleted portion of projects originally scheduled for completion in Fiscal Year 2001-2002 (Page 3 of 3) Mayor: Date: Signature Posted By: Date: G.'~A UDIT~FY 2001.021cafrlbudget change - carryover part 3.doc Signature