HomeMy WebLinkAboutOrdinance 2669 N.C.S. 11/19/20181
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EFFECTIVE DATE ORDINANCE NO. 2669 N.C.S.
OF ORDINANCE
December 19, 2018
1 11
Introduced by Seconded by
Kathy Miller Dave King
AN ORDINANCE AMENDING ORDINANCE NO. 2650 N.C.S.
TO CHANGE ENTERPRISE FUNDS APPROPRIATIONS FOR THE OPERATION OF
THE CITY OF PETALUMA FROM JULY 1, 2018 TO JUNE 30, 2019
12 NOW BE IT ORDAINED BY THE COUNCIL OF THE CITY OF PETALUMA AS FOLLOWS:
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14 Section 1. Ordinance No. 2650 N.C.S. is hereby amended for the fiscal year beginning on July 1,
15 2018 and ending on June 30, 2019 in the amounts as set forth in the attached Exhibit A,
16 incorporated herein by reference, and distributed to the various funds as set out in said exhibit and
17 shall be expended and used in accordance therewith.
18
19 Section 2. The City Council hereby finds and determines that the amount of appropriations
20 provided hereby does not exceed the estimated revenue, other sources and available fund
21 balances for the fiscal year ending June 30, 2019.
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23 Section 3. All ordinance or parts of ordinances in conflict herewith are hereby repealed.
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25 Section 4. Severability. If any section, subsection, sentence, clause, phrase or word of this
26 ordinance is for any reason held to be unconstitutional, unlawful or otherwise invalid by a court of
27 competent jurisdiction or preempted by state legislation, such decision or legislation shall not
28 affect the validity of the remaining portions of this ordinance. The City Council of the City of
29 Petaluma hereby declares that it would have passed and adopted this ordinance and each and
30 all provisions thereof irrespective of the fact that any one or more of said provisions be declared
31 unconstitutional, unlawful or otherwise invalid.
32
33 Section 5. The City Clerk is hereby directed to post/publish this ordinance or a synopsis of this
34 ordinance for the period and in the manner required by the City Charter,
Ordinance No. 2669 N.C.S. Page 1
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INTRODUCED, and ordered posted/pied, this 51h day of November 2018.
ADOPTED this 19th day of November 2018, by the following vote:
Ayes:
Albertson, Barrett, Mayor Glass, Vice Mayor Healy, Kearney, King, Miller
Noes:
None
Abstain:
None
Absent:
None
ATTEST:
avid Glass, Mayor
APPROVED AS TO FORM:
Claire Cooper, City Clerk NEric Danly, Cit ttorney
Ordinance No. 2669 N.C.S.
Page 2
Detailed FYI 89 Ist Quarter Budget Adjustments justments Exhibit A
account string project string
Ref fund name Revenue Emenditures amount Fundorouo fund ; cost cir ohieci Tvne rif annlirahW re A, inn nurnns
A Transit
75,000
(75,000) Enterprise
6500
65300
62220
Replacement of two paratransit vans which hake reached the end of their useful life. Funded by TDA Grant.
75,000
75,000 Enterprise
6500
65300
44152
75,000
75,000
B Vehicle Replacement
40,850
(40,850) Internal Services
750_0,
75100
62220
Purchase replacement Detective vehicle due to engine failure.
40,850
(40,850)
C Vehicle Replacement
25,155
(25,155) Internal Services
7500
75100
62210'
Replace generator due to current generator failure.
25,155
(25,155)
E Transit Admin
- - --
(9,060)
9,060 Enterprise
6500
65100,
56410'
Transit budget adjustments to insurance prerrvums services and supplies basedon final contract
Transit City Routes
(110,659)
110,659 Enterprise
6500,
65200
54111'
with MV Transportation.
Transit Paratransit _ _
11,664
(11,664) Enterprise
6500'
65300
53020,
Transit Paratransit
(185,311)
185,311 Enterprise
6500
65300
54111
(293,366)
293,366
F Building
2,500
(2,500) Enterprise
6300
632.00
5.6550_
Increase employee education budget in Development Services for training, testing and obtaining_
2,500
(2,500)
,
CASP certification.
G General Fund - Human Resources
80,000
(80,000), General Fund_
1100
11600
54110
Classification and compensation study for all full-Ume miscellaneous classifications to be conducted by
80,000
(80,000) -
Ralph Andersen & Associates
I _ _ _ General -Fund - Human Resources
15,000
(15,000) General Fund
1100
11600'
51110
Increase HR Assistant II Confidential by 0.40 FTE to 1.00. A recent rise in recruitments warrants a need for
General Fund - Human Resources
5,000
(5,000) General _Fund
1100;
11600
521 %
more support to manage and complete recruitments_both successfully and timely. The position fill date is
-
20,000
(20,000)
Dec. 2018. The estmated annual cost for this FTE increase is $40,000.
J Airport Operating -
8,645
(8,645)' Enterprise
6100
61100
--
51110,
Resolution 2018-148 established the position allocation, classification and pay range of Airport and Marina
-- - -
Airport Operating
(5,167)
5,167 Enterprise
6100'
611001
521101
Manager and eliminated the 1.0 FTE Atrport Division Manager position._
__- - Marina Operating
12,850
(12,850)' Enterprise
6400
64100_
511101
Marina Operating
5,167
(5,167) E_nterpr_ise
6400
64100
52110;
21,495
(21,495)'
K General Fund - Police Dept _
(361,838)
361,838 General Fund
1100
15100
51499;
Grant funding for two school resource police officers. Grant Funding vi by. DOJ award.
- -- _ - - -
Police Grants
361,838
(361,838) Special Revenue
2250
22500
51499:
Police Grants
361,838
361,838 Special Revenue
2250
22500
4--"-
(361,838)
-
(361,838);
L Public Works CIP
2.0,000
201000 CIP
3160
31600
499101 F c1 6501 602-66 1 00
Budget changes to the Downtown ADA Improvements project as approved Resolution 2018-058.
Waste Water O ratio
-- pe g
20,000
(20,000): Utilities_
6600'
66100
699101
-by
Wastewater funds were approved to cover the cost of unanticipated sewer modifications.
Public Works CIP
233,000:
(233,000) CIP
3160
31600
54151, E c16501602-30600
20.000
253.000
-
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Detailed FY 18119 1st Quarter Budget Adjustments
account string
project string
Exhibit A
Ref
fund name
Revenue
Expenditures
amount Fundgroup
fund
cost ctr
object 'Type
if applicable)
revision purpose
Public Works CIP
325,000
(325,000) CIP
3160
31600
69930
Refund interfund loan posted as a transfer to the Payran UST project, e16082012
Risk
325,000
325,000 Internal Services
7400
74100
49930'
325,000
325,000
N
Transit CIP
35,000
35,000 CIP
6590
65999
44430
F
e16101719-44430
Transportation Funding for Clean Air for TFCA Signal Tirring CIP project on E. Washington and Old
Transit CIP
35,000
(35,000) CIP
6590
65999
53020,
E
e16101719-30300
-
Redwood Highway
35,000
35,000
O
Airport Operating
Po- P 9
55,570
55,570 ,Enterprise
( ) P
6100
61100
69910;
Resolution 2017-176 approved transfer of Airport Operating and Wastewater Operating funds to CIP
Wastewater Operating
_
44,190
(44,190) Utilities
6600
66100
69910
c16101303, Various Street Maintenance & Overlays, as the project included change order work at the
Street Maintenance
6.6,290
66,290 Special Revenue
2411
24110
49930
Petaluma Airport and Ellis Creek Water Treatment Plant. Street Maintenance funds to be refunded.
Public Works CIP
66,290
66,290 CIP
( )
3160
31600
69930'
E
c16101303-02411
_
Public Works CIP
99,760
99,760 CIP
3160
31600
49910
E
c16101303 -various
166,050
166,050
P
Parks CIP
12,275
(12,275) CIP
3140
31400
69930
F
c0140010402142
East Washington Park - Ph 1 completed. Refund Park Impact fees to close out.
Parkland Dev Impact Fees - 08
12,275
12,275 Special Revenue
_ 2142
21420
49930'
Wastewater CIP
85,200
(85,200) CIP
6690
66999
69930
F
c66400902-36699
Recycled Water Main Pump Station Improvements completed, Refund Waste Water funds.
Wastewater Operating
85,200
85,200 Utilities
6600
66100
49930
Wastewater CIP
67,500
(67,500) CIP
6690
66999
69930
F
c66401005-36600
Mt. View Sewer Maintenance project completed. Refund Waste Water funds.
Wastewater Operating
6.7,500_
67,500 Utilities
6600
66100
49930
Wastewater CIP
150
(150) CIP
6690
66999
69930
F
c66401107-36600
Ellis Creek Site Access Improvements project completed. Refund Waste Water funds to closeout.
Wastewater Operating
150
150 Utilities
6600
66100
49930
Wastewater CIP
22,800
(22,800) CIP
6690
66999
69930
F
c66501306-36699
Ellis Creek Headvvrks Screen Upgrade project completed. Refund Waste Water funds.
Wastewater Operating
22,800
22,800 Utilities
6600
66100
49930
Wastewater CIP
125
(125) CIP
6690
66999
69930
F
c66501501-66100
Copeland Lift Station Upgrade project completed. Refund Waste Water funds to close out.
Wastewater Operating
125
125 Utilities
6600
66100
49930'
_
Wastewater CIP
4,300
4,300 CIP
6690
66999
69930
F
c66501520-66100
Hopper St. Emergency Pumping Storage project completed. Refund Waste Water funds.
Wastewater Operating
4,300
4,300 Utilities
6600
66100
49930:.
Water CIP
12,375
(12,375) CIP
6790
67999
69930
F
c67501714-67100
Park Place Water Service Replacements project completed. Refund Water funds to close out.
Water Operating
12,375
12,375 Utilities
6700
67100
49930
204,725
204,725
-
Q
Transient Occupancy T_ ax
125
(125) Special Revenue
2520
25200
69910
Fire Station 3 Roof project completed. Additional funds needed to close out.
Facilities CIP
125
125 CIP
3110
31100
49910
F
c11201708-02520
Wastewater Operating
1,100
1,100 Utilities
6600
66100
_ 69910'
Wilm ngton Pump Station project completed. Additional funds needed to close out.
Wastewater CIP
1,1.0.0
1,100 CIP
6690
66999
499101
_F
c00501400-36999
Wastewater Operating
30
(30) Utilities
6600
66100
69910,
10th St. Sewer & Water Main Replacement project completed. Additional funds needed to close out.
Wastewater CIP
30
30 CIP
6690
66999
49910
F
c66401.00.3-36600
Wastewater Operating
2,10.0
(2,100) Utilities
6600
66100
69910'.
_
Victoria Pump Station Replacement project completed. Additional funds_ needed to close out.
Wastewater CIP
2,100
2,100 CIP
6690
66999
49910
F
c66501002-36699
Water Capital
1,900
(1,900) Utilities
6700
67100
69910
Western Avenue Water Main Extension project completed. Additional funds needed to close out.
Water CIP
1,900
1,900 CIP
6790
67999
49910
F
c67501407-36799
Water Capital
15
(15) Utilities
6700
67100
69910:
Water Service Connections project completed. Additional funds needed to close out.
Water CIP
15
15 CIP
6790
67999
49910
F
c67501408-67100
5,270
5,270
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Detailed FY 18119 1st Quarter Budget Adjustments i ExhibitA
account string project string
Ref fund name Revenue Expenditures amount Fundarouo fund cost ctr ; obiect Tvoe (if applicable) revision purpose
Enc A General Fund - Police Dept
33,215
(33,215). General Fund
1100
15100
62220
33,215
(33,215)
Enc A General Fund - Police Dept
49,000
(49,000)', General Fund
1100
15100
54110
49,000
(49,000)
Enc A General Fund - Police Dept
62,500
(62,500) General Fund
1100
15200;
62210
62,500
(62,500)
Enc E General Fund - Fire Dept
125,000
(125,000) General Fund
1100
13100
62220
125,000
(125,000)
Enc B Street Maintenance
112,000
(1 12,002L Special Revenue
2411
24110
62210
112,000
(112,000)
Enc C Street Maintenance
61,000
(61,000) Special Revenue
2411
24110
54310
61,000
(61,000)
Enc -6- water Operating
-
382,570
(382,570) Utilities
6700
67700
62210.
382,570
(382,570)
ENCUMBRANCES
825,285
(825,285)
Replace Police emergency vehicle due to collision
Encumbrance for painting Police Dept headquarters
Encumbrance for Police Radio repair and replacement project
Purchase of a Dodge Ram pickup truck to be used to respond to vegetation fires. The skid mount unit which
holds 250 gallons of water will be removed from the current vehicle and installed on the new truck.
Encumbrance for purchase of a patch paving truck as approved by Resolution 2018-092
Encumbrance for traffic signal repairs and upgrades that were delayed in FY 18
Encumbrance for the purchase of a Vector truck, approved by Resolution 2018-025, delivered in FY 2019
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