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HomeMy WebLinkAboutOrdinance 2246 N.C.S. 06/05/20061 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 EFFECTIVE DATE OF ORDINANCE June 5, 2006 Introduced by Pamela Torliatt ORDINANCE NO. 2246 N.C.S. Seconded by Mike O'Brien AN ORDINANCE APPROPRIATING FUNDS FOR THE OPERATION OF THE CITY OF PETALUMA GENERAL FUND FROM JULY 1, 2006 THROUGH JUNE 30, 2007 AND DECLARING THE URGENCY THEREOF, TO TAKE EFFECT IMMEDIATELY BE IT ORDAINED BY THE COUNCIL OF THE CITY OF PETALUMA AS FOLLOWS: Section 1. There is hereby appropriated for the usual and ordinary expenses of the City of Petaluma for the period of July 1, 2006 through June 30, 2007, the amounts set in the attached Exhibit A, incorporated by herein reference, and distributed to the various funds as set out in said exhibit and shall be expended and used in accordance therewith. Section 2. Changes with relation to the above appropriations between each respective department or fund may be made by resolution adopted by the City Council. The City Manager may administratively make changes within the departmental appropriations as approved, so long as the total amounts do not exceed, as a result of the change, the amounts set forth in the approved appropriation. Section 3. The City Council hereby finds and determines the amount of appropriations provided hereby does not exceed the estimated revenue, other sources and available fund balances in the amounts set in Exhibit A, which will be on file with the City Clerk for the fiscal year ending June 30, 2007. Section 4. All ordinance or parts of ordinances in conflict herewith are hereby repealed. Section 5. This ordinance is hereby declared to be necessary for the immediate preservation of the public peace, health and safety of the City of Petaluma, and shall take effect and be in force from and after its final passage by unanimous vote of the members of the City Council present at the time of its adoption. The reason for the urgency is so that the regular operations and projects, particularly those relating to the protection of public peace, health and safety, authorized to be performed may be properly scheduled over the period without delays, which would reduce the protection of the public peace, health and safety. Section 6. The City Clerk is hereby directed to post/publish this ordinance for the period and in the manner required by the City Charter. INTRODUCED, ADOPTED AND ORDERED posted/wed this 5+h day of June, 2006, by the following vote: Ordinance No. 2246 N.C.S. Page 1 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 AYES: Vice Mayor Canevaro, Mayor Glass, Harris, Healy, Nau, O'Brien, Torliatt NOES: None ABSENT: None �WavVidGlass, Mayor ATTEST: APPROVED AS TO FORM: Nancy Beliveau, Clerk Pro Tem oxtz Eric W. Danly, City Attorney Ordinance No. 2246 N.C.S. Page 2 Exhibit A CITY OF PETALUMA, CA APPROPRIATIONS BY DEPARTMENT July 1, 2006-June 30, 2007 DEPARTMENT TOTAL Legislative City Council 286,550 City Clerk 378,850 City Attorney 356,300 Executive City Manager 300,950 General Plan 221,750 Animal Services 731,550 TOT 313,550 Administrative Services Finance 368,200 Accounting Services 541,900 Trusts 2,600 Donations 110,000 Commercial Services 308,100 General Services 372,500 Human Resources 396,300 Employee Benefits 691,500 Worker's Compensation 1,516,150 Parking Enforcement 327,600 Risk Management 1,922,950 Information Technology 1,538,600 Vehicle/Equipment Replacement 450,000 Police Fire Police Operations 15,010,350 Police Facility Fees 3,200 Police Grants 319,300 Asset Seizure 50,000 Police CIP 1,129,000 Fire Operations 7,703,900 Fire Suppression Fees 3,600 Haz Mat Fines 10,000 Fire CIP 40,000 Ambulance 2,631,750 Ordinance No. 2247 N.C.S. Page 3 Exhibit A CITY OF PETALUMA, CA APPROPRIATIONS BY DEPARTMENT July 1, 2006-June 30, 2007 DEPARTMENT cont'd TOTAL Community Development Comm Development Operations 1,807,150 Community Development Enterprise Fund 1,296,000 Housing CDBG 482,400 Commercial Linkage Fees 147,900 Home/Begin 4,000,000 Housing in -Lieu Fees 1,449,350 Public Works Public Works Operations 4,874,300 Comm Facility Fees 8,000 Public Facility Fees 6,000 Traffic Mitigation Fees 76,900 Gas Tax 96,000 Street Maintenance 2,015,950 Street Reconstruction 1,000 Transit 3,739,250 Airport 1,720,800 General Government CIP 86,000 Public Works CIP 9,006,000 Parks and Recreation Parks and Rec Operations 4,072,300 Parkland Acquisition Fees 62,500 Aquatic Fac Impact Fee 900 Library Fac Impact Fee 1,400 LAD 253,650 Marina 254,450 Petaluma Community Development Commission Merged Project Area Admin 7,347,350 Merged Project Area CIP 8,820,000 Merged Project Area Debt 3,277,100 Low and Mod Income Housing 3,318,550 Water Resources and Conservation Waste Water 99,419,050 Water 13,566,300 Storm Drainage Fees 7,900 Reserved for Equity Adjustments 150,000 Transfers Out All Funds 28,402,918 Ordinance No. 2247 N.C.S. Page 4 Exhibit A CITY OF PETALUMA, CA APPROPRIATIONS BY FUND July 1, 2006-June 30, 2007 FUND TOTAL General Fund 39,024,050 Special Revenue Funds: CDBG 482,400 Home/Begin 4,000,000 Low/Mod Income Housing 3,318,550 Comm Fac Impact Fee 8,000 Library Fac Impact Fee 1,400 Public Fac Impact Fee 82,000 Fire Suppress Impact Fee 3,600 Storm Drainage Impact Fee 627,900 Housing in -Lieu Impact Fee 1,449,350 Commercial Linkage Impact Fee 147,900 Parkland Acquisition Impact Fee 357,500 Aquatic Fac Impact Fee 900 Police Fac Impact Fee 3,200 Traffic Mitigation Impact Fee 2,481,700 PCDC Grants 1,485,000 Police Grants 319,300 Public Works Grants 2,267,000 Gas Tax 1,096,000 Supplemental Law Enforcement 100,000 LAD 253,650 Asset Seizure 50,000 Abandoned Vehicle 30,000 Street Maintenance 2,015,950 Street Reconstruction 348,200 TOT 1,313,550 Haz Mat Fines 10,000 Donations 484,000 Capital Projects 17,381,000 ADA Capital Projects 1,700,000 Debt Funds 3,277,100 Redevelopment Funds 23,819,268 FUND cont'd TOTAL Enterprise Funds: Airport 1,720,800 Ambulance 2,631,750 Community Development 1,296,000 Marina 254,450 Transit 3,789,250 Waste Water 99,753,050 Water 13,926,300 Internal Service Funds: Employee Benefits 691,500 General Services 372,500 Information Technology 1,538,600 Risk 1,922,950 Vehicle/Equip Replace 450,000 Worker's Comp 1,516,150 Private Purpose Trust Funds 2,600 TOTAL FUNDS 237,804,368 Ordinance No. 2247 N.C.S. 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