HomeMy WebLinkAboutOrdinance 2533 N.C.S. 03/02/20151
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EFFECTIVE DATE ORDINANCE NO. 2533 N.C.S.
OF ORDINANCE
April 2, 2015
Introduced by Seconded by
Kathy Miller Mike Healy
AN ORDINANCE AMENDING ORDINANCE NO. 2519 N.C.S. TO
CHANGE INTERNAL SERVICE FUNDS APPROPRIATIONS FOR THE OPERATION OF THE
CITY OF PETALUMA FROM JULY 1, 2014 TO JUNE 30, 2015
BE IT ORDAINED BY THE COUNCIL OF THE CITY OF PETALUMA AS FOLLOWS:
Section 1. Ordinance No. 2519 N.C.S. is hereby amended for the fiscal year beginning on July 1,
2014 and ending on June 30, 2015 in the amounts as set forth in the attached Exhibit A,
incorporated herein by reference, and distributed to the various funds as set out in said exhibit
and shall be expended and used in accordance therewith.
Section 2. The City Council hereby finds and determines that the amount of appropriations
provided hereby does not exceed the estimated revenue, other sources and available fund
balances for the fiscal year ending June 30, 2015.
Section 3. All ordinance or parts of ordinances in conflict herewith are hereby repealed.
Section 4. Severability. If any section, subsection, sentence, clause, phrase or word of this
ordinance is for any reason held to be unconstitutional, unlawful or otherwise invalid by a court
of competent jurisdiction or preempted by state legislation, such decision or legislation shall not
affect the validity of the remaining portions of this ordinance. The City Council of the City of
Petaluma hereby declares that it would have passed and adopted this ordinance and each
and all provisions thereof irrespective of the fact that any one or more of said provisions be
declared unconstitutional, unlawful or otherwise invalid.
Section 5. The City Clerk is hereby directed to post/publish this ordinance or a synopsis of this
ordinance for the period and in the manner required by the City Charter.
Ordinance No, 2533 N.C.S.
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ADOPTED this 2nd day of March, 2015 by the following vote:
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Ayes: Albertson, Barrett, Mayor Glass,
Healy, Kearney, King, Vice Mayor Miller
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Noes: None
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Abstain: None
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Absent: None
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David Glass, Mayor
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ATTEST:
APPROWED ASS T( FORM:
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David Concop8on, Acting City Clerk
Eric W. Danly, CitAttorney
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Ordinance No. 2533 N.C.S. Page 2
EXHIBIT A
Detailed FY 14115 Mid -Year Budget Adjustments
account string
project string
Ref fund name Revenue Expenditures amount Fundgroup fund cost ctr object Type (if applicable) revision purpose
General Fund
639,701
639,701
GF
1100
11100
41110
Forecasted revenue adjustments
12,965
12,965
GF
1100
11100
41120
4,480
4,480
GF
1100
11100
41130
(809)
(809)
GF
1100
11100
41150
(216,652)
(216,652)
GF
1100
11100
41220
100,000
100,000
GF
1100
11100
41230
65,000
65,000
GF
1100
11100
41240
42,500
42,500
GF
1100
11100
41310
(30,000)
(30,000)
GF
1100
12100
42514
(75,000)
(75,000)
GF
1100
11100
42740
(60,000)
(60,000)
GF
1100
15100
42750
25,000
25,000
GF
1100
14210
43210
65,000
65,000
GF
1100
11100
44250
252,231
252,231
GF
1100
11100
44260
19,204
19,204
GF
1100
15100
44430
(12,000)
(12,000)
GF
1100
11320
45160
(44)
(44)
GF
1100
13100
45010
6,133
6,133
GF
1100
13100
45110
1,725
1,725
GF
1100
13100
45230
5,254
5,254
GF
1100
13100
45410
(150,000)
(150,000)
GF
1100
13600
45010
(25,445)
(25,445)
GF
1100
13600
46010
(10,773)
(10,773)
GF
1100
14620
45510 .
30,336
30,336
GF
1100
14800
45510
(73)
(73)
GF
1100
14900
45510
(3,225)
(3,225)
GF
1100
15100
45331
3,387
3,387
GF
1100
15100
45332
22,020
22,020
GF
1100
15100
45340
848
848
GF
1100
16100
45230
(31,000)
(31,000)
GF
1100
11100
48045,
680,763
-
680,763
Consultant to assist in updating the City's floodplain management
A Storm Drainage Utility
30,000
(30,000)
Enterprise
6800
68100
54140 E
plan which needs to be adopted by the City Council no later than
-
30,000
(30,000)
October 2015.
B Facilities CIP
25,000
(25,000)
Capital Projects
3110
31100
54110 E
Design services for Petaluma Library and Museum seismic retrofit
Facilities CIP
25,000
25,000
Capital Projects
3110
31100
49910 F
to be covered by a transfer from TOT.
TOT
25,000
(25,000)
Special Revenue
2520
25200
69910 E
25,000
50,000
(25,000)
C Fire Dept
36,000
(36,000)
GF
1100
13500
51215 E
Adjust Fire Suppression budget for overtime that will be reimbursed
General Fund
36,000
36,000
GF
1100
13100
45340 F
by CALOES.
36,000
36,000
-
a)
Exhibit A p
I o_
Detailed FY 14/15 Mid -Year Budget Adjustments
Ref fund name
Revenue
Expenditures
amount Fundgroup
E Human Resources
54110 E
23,000
(23,000) GF
General Fund
23,000
67999
23,000 GF
Workers' Compensation
67999
(23,000)
23,000 Internal Service
Workers' Compensation
49910 F
23,000
(23,000) Internal Service
69910 E
23,000
23,000
-
F Abandoned Vehicle Abatement
7,550
(7,550) Special Revenue
1,700
(1,700) Special Revenue
120
(120) Special Revenue
100
(100) Special Revenue
390
(390) Special Revenue
70
(70) Special Revenue
1,000
(1,000) Special Revenue
930
(930) Special Revenue
-
11,860
(11,860)
G Home/Begin
67,825
(67,825) Special Revenue
Housing in Lieu Impact Fees
67,825
67,825 Special Revenue
67,825
67,825
-
I Waste Water Reclamation
10,250
(10,250) Enterprise
Waste Water Reclamation
5,150
(5,150) Enterprise
Waste Water Ellis Creek Ops
23,950
(23,950) Enterprise
Waste Water Ellis Creek Ops
12,000
(12,000) Enterprise
-
51,350
(51,350)
J Waste Water Collection Syst
70,000
(70,000) Enterprise
-
70,000
(70,000)
K Water CIP
5,000
(5,000) Capital Projects
Water CIP
90,000
(90,000) Capital Projects
Water CIP
1,000
(1,000) Capital Projects
Water CIP
12,000
(12,000) Capital Projects
Water CIP
3,000
(3,000) Capital Projects
Water CIP
111,000
111,000 Capital Projects
Water Operating
111,000
(111,000) Enterprise
111,000
222,000
(111,000)
I account strinq J
fund cost ctr object Type
1100 11600 51110 E
1100 11100 49910 F
7600 76100 56420 E
7600 76100 69910 E
2310 23100 52110 E
2310 23100 52320 E
2310 23100 52330 E
2310 23100 52340 E
2310 23100 52410 E
2310 23100 52510 E
2310 23100 52520 E
2310 23100 52525 E
2222 22220 69910 E
2130 21300 49910 F
6600 66500 51110 E
6600 66500 52310 E
6600 66700 51110 E
6600 66700 52310 E
6600 66200 54140 E
6790
67999
54150 E
6790
67999
54110 E
6790
67999
54120 E
6790
67999
54140 E
6790
67999
55011 E
6790
67999
49910 F
6700
67100
69910 E
Exhibit A
project string
(if applicable) revision purpose
Unfreeze HR Specialist position to oversee and coordinate the
day-to-day Workers' Compensation activities and benefits admini-
stration. Budget adjustment to be covered by a reduction in the HR
Assistant II position to 0.6 FTE, a reduction in claims and by a transfer
from the Workers Compensation fund.
Adjustment for police officer position assigned to the Abandoned
Vehicle Abatement fund. The position budgeting process did not
accurately calculate all benefits.
Payment on the loan for Roundwalk Village to be used for programs
and services provided by the Boys & Girls Club located on the property.
U
Z
Cl)
N
O
Z
N
U
C:
D
ac
X
Operational workload at Ellis Creek has increased and treatment
processes are approaching max design capacities. An additional
Water Recycling Plant Operator II/III position is needed to reduce
overtime, meet current staffing needs and provide maximum operational
coverage during the week.
Nute Engineers to study a contingency plan for emergency repair
of the 36" force main from PIPS to the Ellis Creek Wastewater Plant.
c67501304-30100
Construction of the Petaluma Blvd. 12" Water Main Replacement
c67501304-30300
project from B St. to Kent St. is scheduled for the spring of 2016. In
c67501304-30400
order to meet that timeline, the Planning phase has been moved up
c67501304-30500
to the current fiscal year.
c67501304-30900
c67501304-66100
U
Z
Cl)
N
O
Z
N
U
C:
D
ac
X
Detailed FY 14115 Mid -Year Budget Adjustments
Ref fund name
L Waste Water CIP
Waste Water CIP
Waste Water CIP
Waste Water Operating
Revenue Exoenditures
50,000
1,000
51,000
51,000
51,000 102,000
amount Fundgroup
(50,000) Capital Projects
(1,000) Capital Projects
51,000 Capital Projects
(51,000) Enterprise
(51,000)
TOTAL 994,588 664,035 330,553
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7
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Exhibit A
account string
project string II
Irevision
fund
cost ctr
object Type
(if applicable) purpose
6690
66999
54110 E
Copeland Lift Station upgrades to pumps and controls. The need for the
6690
66999
55011 E
upgrades is significant given the station's location near the river and its
6690
66999
49910 F
limited storage. The project will bring the lift station into cohesive
6600
66100
69910 E
operation with the Ellis Creek Waste Water Treatment plant.
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04
6
7
C:
0
C
9