HomeMy WebLinkAboutORDINANCE 2885 N.C.S. 04/08/2024 L/VI.UJIylI CI IVCIVFlC ILi.L,)41 IJ'4 V-V lJ4J-4rJ0-JVMO-V.741 U"u IVOIf
EFFECTIVE DATE ORDINANCE NO. 2885 N.C.S.
OF ORDINANCE
May 8, 2024
Introduced by: Mike Healy Seconded by: Brian Barnacle
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF PETALUMA AMENDING
ORDINANCE NO. 2872 N.C.S. TO CHANGE SPECIAL REVENUE TRUST AND DEBT FUNDS
APPROPRIATIONS FOR THE OPERATION OF THE CITY OF PETALUMA FROM JULY 1, 2023,
TO JUNE 30, 2024
WHEREAS, on June 5, 2023, Council approved the second reading of the Fiscal Year 2023- 2024 City
Appropriations Ordinances; and
WHEREAS, in accordance with Petaluma City Charter Section 60, City Council may amend an annual
appropriation ordinance; and
WHEREAS, a duly noticed public meeting was held on March 18, 2024 to consider information presented
by staff and receive public comment regarding amending ordinance No. 2872 N.C.S. to change internal special
revenue, trust and debt appropriations for the operation of the City of Petaluma from July 1, 2023 to June 30,
2024; and
WHEREAS, the recommended ordinance amendment will further City Council goals and improve the City
of Petaluma; and
WHEREAS, environmental analysis for compliance with the California Environmental Quality Act(CEQA)
was already completed with each adjustment, transfer, and encumbrance and this action is exempt from CEQA
because it is not a project which has a potential for resulting in either a direct physical change in the environment,
or a reasonably foreseeable indirect physical change in the environment, pursuant to CEQA Guideline section
15378, because this action merely amends the City's annual appropriations ordinance in accordance with Section
60 of the Petaluma City Charter.
NOW THEREFORE BE IT ORDAINED by the City Council of the City of Petaluma, as follows:
Section 1. Findings The above recitals are declared to be true and correct and are incorporated into this resolution
as findings of the City Council.
Section 2. Exemptions from CEO A Environmental analysis for compliance with the California Environmental
Quality Act (CEQA) was already completed with each adjustment, transfer, and encumbrance and this action is
exempt from CEQA because it is not a project which has a potential for resulting in either a direct physical change
in the environment, or a reasonably foreseeable indirect physical change in the environment, pursuant to CEQA
Guideline section 15378, because this action merely amends the City's annual appropriations ordinance in
accordance with Section 60 of the Petaluma City Charter.
Ordinance No. 2885 N.C.S. Page 1
UUUU01 II GI IwwupC IU. UJLI I 1 Uk'U IUD ftI
Section 3. Amendment Ordinance No. 2872 N.C.S. is hereby amended for the fiscal year beginning on July 1,
2023 and ending on June 30, 2024 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 4. Appropriations Finding 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, 2024.
Section 5. Repeal of Ordinances in Conflict All ordinances or parts of ordinances in conflict herewith are hereby
repealed.
Section 6. 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 4. Posting/Publishing of Notice 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.
INTRODUCED and ordered published and posted this 18th day of March 2024.
ADOPTED this 8th day of April 2024 by the following vote:
Ayes: McDonnell, Barnacle, Cader Thompson, Healy, Nau, Pocekay, Shribbs
Noes: None
Abstain: None
Absent: None
DocuSigned by:
104» o �o
K evin Me onnell, Mayor
ATTEST: APPROVED S,TO FORM:
OxuSigned by:
Caitlin Corley, City Clerk Eric Danly, Cit Attorney
Ordinance No. 2885 N.C.S. Page 2
L/UI.U,DlylI GI IVCIUI./C IU.UJLI IJ4U-l.li'1J-4 f-JO-yVh10-V�4 I Uk'U IUOI to
EXHIBIT A
Detailed FY23124 Mid-Year Budget Adjustments
account sinng project string
Ref fund name Revenue Expenditures Amount Fund group fund cost ctr object Type (if applicable) reasion purpose
A Housing in Lieu 500;000 (500000)Special Revenue 2130 21300 54130 Mid Pen Housing-Washington Commons
Housing in Lieu 900,000 (900 000)Special Revenue 2130 21300 54130 Danco for the Wridian at Corona Satan Affordat
- 1,400000 (1400000)
B Parks CAP 200 000 200,000 CAP 3140 31400 49910 F c14502317A9910 Kenilworth Park Revitalization Plan
Measure M Parks 200 000 (200.000)Special Revenue 2170 21700 69910
200 000 200 000 200 000
C Building 19,000 (19,000) Enterprise 6300 63200 51110 Permit Technician 1!4th of FY24 Present,
Building 6,000 (6,000)Enterprise 6300 63200 52110
Building 3 000 (3000)Enterprise 6300 63200 52310
- 28.000 (28.000)
D General Government CAP 193 000 193,000 CIP 3110 31100 49920 F e11502028 General Plan CDBG grant funding for Sea
CDBG 193 000 193,000 Special Revenue 2221 22210 44310
CDBG 193.000 (193,000)Special Revenue 2221 22210 69920
386.000 193,000 193 000
E Transit 4465760 (446,760)Enterprise fund 6500 65100 62210 Computer-Aided Dispatch-Automatic Vel-
Transit 41.600 (41.600)Enterprise fund 6500 65100 54250 System support for FY24
- 488,360 (488.360)
F Police Grants 225,000 225,000 Special Revenue 2250 22500 44420 F G22503074 Office of Traffic Safety Grant Award(OTS)
Police Grants 84.473 (84.473) 2250 22500 51.152- E G22503074
Police Grants 2.583 (21583) 2250 22500 56530 G22503074
Police Grants 125,000 (125,000) 2250 22500 62220 G22503074 Hybrid Ford Police Interceptor, Harley Day
Police Grants 12-944 (12,944) 2250 22500 53020 G22503074
225,000 225 000 -
G Facilities CIP 625.000 (625.000)CAP 3110 31100 54151 E c 16201304-30600 Community Center Repairs-Roof Gutter 8
Airport CIP 342,639 (342,639)GP 6190 61999 54151 E c61502110-3600 Completed Aircraft Parking Apron Rehabil
Airport GP 494 360 494,360 CIP 6190 61999 49920 F c61502110-44310
Airport 462,625 (462,625)Enterprise 6100 61100 69920 E g61001046-69920
Airport 31,735 (31.735) Enterprise 6100 61100 69910
Airport 462 625 462,625 Enterprise 6100 61100 44310 F g6100104644310
Facilities CIP 219,000 (219,000)CIP 3110 31100 54110 E c11202433-30300 Fire Station 1 Seismic Retrofit&Improver
Facilities CIP 219 000 219,000 CAP 3110 31100 49910 F c 11202433-02152
Gty Facilities Impact Fee 219 000 (219,000)Special Revenue 2152 21520 69910
Facilities CIP 58,000 (58,000)GP 3110 31100 54151 E c11202328-30600 Fire Stations 3 Remodel
Facilities CIP 57 000 57,000 CIP 3110 31100 49910 F c 11202328-02 152
City Facilities Impact Fee 57,000 (57,000) Special Revenue 2152 21520 69910
Facilities CIP 195 000 (195,000)CAP 3110 31100 54110 E el 120213230300 Otywide Facilities Audit&Energy Prograi
Facilities CIP 101 906 (101.906)CIP 3110 31100 69930 F c 1 1 20201 9-02 1 52 Council Chambers Upgrades-completed
Oty Facilities Impact Fee 101 906 101,906 Special Revenue 2152 21520 49930
Facilities CIP 109 000 (109,000)CIP 3110 31100 54151 E el1202038 30600 27 Howard Improvements
Facilities CIP 109 000 109.000 CIP 3110 31100 49910 F el1202038-02152
Oty Facilities Impact Fee 109.000 (109;000)Special Revenue 2152 21520 69910
Ordinance No. 2885 N.C.S. Page 3
UUl.U.7I y II GI IVCIuptl IU. UJG I IJYV-l..lJ'+J'4rJD-JUMO-V y41 ul�V IUD IM
Detailed FY 23124 Mid-Year Budget Adjustments
account string project string
Ref fund name Revenue Expenditures amount Fund group fund cost ctr object Type (if applicable) revision purpose
G(cont.Parks CIP 2,361,000 (2,361,000)CIP 3140 31400 54151 E c14501607-30600 Petaluma Community Baseball Field
Parks CIP 241,000 (241,000)CIP 3140 31400 54151 E c14502318-30600 Parks Access Improvements.Reso No 21
Parks CIP 79,000 (79,000)CIP 3140 31400 54151 E c00400205-30600 Playground Replacements Reso No 2023
Parks CIP 30,000 30,000 CIP 3140 31400 49910 F c00400205-02710
Measure M Parks 30,000 (30,000)Special Revenue 2710 27100 69910
Public Works CIP 1,302,000 (1,302,000)CIP 3160 31600 54151 E c16102432-30600 Pavement Restoration and Reconstructior
Public Works CIP 1,302,000 1.302,000 CIP 3160 31600 49910 F c16102432-04600
Infrastructure Bond-Measure U Sales Tax 1.302,000 (1,302,000)Special Revenue 4600 46100 69910
Public Works CIP 1.866,000 (1,866,000)CIP 3160 31600 54151 E c16102147-30600 North McDowell Boulevard Complete Strel
Public Works CIP 1,737,000 1,737,000 CIP 3160 31600 49910 F c16102147-04600
Infrastructure Bond-Measure U Sales Tax 3,053,000 (3,053,000)Special Revenue 4600 46100 69910
Traffic Mitigation IF (155,000) 155,000 Special Revenue 2160 21600 69910
Streets Maintenance (1,161,000) 1,161,000 Special Revenue 2411 24110 69910
Public Works CIP 1,659,000 (1,659,000)CIP 3160 31600 54151 E c16401824-30300 Caulfield Bridge Crosstown Connector
Public Works CIP 1,097,000 1,097,000 CIP 3110 31100 49910 F 06401824-02160
Traffic Mitigation IF 1,097,000 (1,097,000)Special Revenue 2160 21600 69910
Public Works CIP 90,000 (90,000)CIP 3160 31600 54110 E e16502134-30300 Active Transportation Plan&Wayfinding
Public Works CIP 19,000 19,000 CIP 3160 31600 49910 F e16502134-02160
Public Works CIP 38.000 38,000 CIP 3160 31600 49910 F e16502134-02411
Traffic Mitigation IF 19,000 (19,000)Special Revenue 2160 21600 69910
Streets Maintenance 38.000 (38,000)Special Revenue 2411 24110 69910
Waste Water CIP 2,330,000 (2,330,000)CIP 6690 66999 54151 E e66502451-30600 Oxidation Pond Dredge
Waste Water CIP 2,330,000 2,330,000 CIP 6690 66999 49910 F e66502451-66100
Waste Water Capital 2,330,000 (2,330,000)Utilities 6600 66100 69910
Waste Water CIP 165,000 (165.000)CIP 6690 66999 54151 E c66402451-30300 Sewer Main Replacement-1st and F StrE
Waste Water CIP 165,000 165.000 CIP 6690 66999 49910 F c66402451-66100
Waste Water Capital 165,000 (165,000)Utilities 6600 66100 69910
8,161,891 19,340.905 (11,179.014)
H Airport CIP (220,000) 220,000 CIP 6190 61999 54151 E c61502117-30600 Safety Zone Improvements by Drainage CI
Airport CIP (221,000) (221,000)CIP 6190 61999 49910 F c61502117-06100
Airport (221,000) 221,000 Enterprise 6100 61100 69910
Facilities CIP (190,000) 190,000 CIP 3110 31100 54151 E c11202018-30600 Emergency Power Backup City Hall and F
Facilities CIP (250,000) 250,000 CIP 3110 31100 54110 E el1202345-30300 Seismic Analysis City Facilities Assessrr
Facilities CIP (250,000) (250.000)CIP 3110 31100 49920 F e11202345-02221
CDBG (250,000) 250,000 Special Revenue 2221 22210 69920
CDBG (250,000) (250,000)Special Revenue 2221 22210 44*
Facilities CIP (1,110.000) 1,110,000 CIP 3110 31100 54151 E c11502224-30600 Public Library New Fire Suppression Syst
Facilities CIP (628,000) (628,000)CIP 3110 31100 49920 F c11502224-02210
General Government Grants (628,000) (628.000)Special Revenue 2210 22100 44210 g22101150-
General Government Grants (628,000) 628,000 Special Revenue 2160 21600 69920
Facilities CIP (363,000) 363,000 CIP 3110 31100 54151 E c11202121-30600 Petaluma Library ADA Improvements
Facilities CIP (102,000) (102,000)CIP 3110 31100 49910 F c11202121-02152
Facilities CIP (289.000) (289,000)CIP 3110 31100 49920 F c11202121-02210
City Facilities Impact Fee (102,000) 102,000 Special Revenue 2152 21520 69910
General Government Grants (289,000) 289,000 Special Revenue 2210 22100 69920
General Government Grants (289,000) (289,000)Special Revenue 2210 22100 44210 g22101150-
Ordinance No. 2885 N.C.S. Page 4
L)U"u'Di I I CI IVCIuptC IU. UJG I I J4 V-lJ lJ4J-'-FrJO-7VM0-V y'i I 011u I VOI/1
Detailed FY 23124 Mid-Year Budget Adjustments
account string Jproject string
Ref fund name Revenue Expenditures amount Fund group fund cost ctr object Type (it appbcable) recision purpose
"cant)Facilities CIP (369 000) 369,000 CAP 3110 31100 54151 E c11202429-30600 Petaluma Public Library HVAC Replacem
Facilities CIP (193.000) (193,000)CIP 3110 31100 49920 F c11202121-02210
General Government Grants (193;000) 193:000 Special Revenue 2210 22100 69920 g22101150-
Public Works CAP (193 000) (193,000)Special Revenue 2210 22100 44210 g22101150-
Facilities CIP (418,000) 418 000 GP 3110 31100 54151 E c11202430-30600 Petaluma Public Library Roof Replacemer
Facilities CIP (418,000) (418 000)GP 3110 31100 49910 F c11202430-02152
Gty Facilities Impact Fee (418,000) 418,000 Special Revenue 2152 21520 69910
Facilities CIP (731 000) 731 000 CIP 3110 31100 54151 E c11202223-30600 HVAC&Energy Efficiency Upgrades
Facilities CIP (440 000) (440 000)GP 3110 31100 49910 F cl1202223-02152
City Facilities Impact Fee (440 000) 440,000 Special Revenue 2152 21520 69910
Facilities CIP (450,000) 450 000 CAP 3110 31100 54110 E cl1 202431-30 300 Fire Station No 4/Public Safety Building
Facilities CIP (250.000) (250,000)CIP 3110 31100 49910 F c11202431-02152
City Facilities Impact Fee (250 000) 250,000 Special Revenue 2152 21520 69910
Parks CIP (3;932 000) 3,932,000 CIP 3140 31400 54151 E c14402010-30600 Turning Basin Docks
Parks CAP (406 000) 406,000 CIP 3140 31400 54151 E c14502320-30600 Swim Center Pool Replastenng
Parks CIP (405 000) 405.000 CAP 3140 31400 54151 E c14502114-30600 Lynch Creek Trail/Crosstown Connector
Parks CIP (283 000) (283;000)CIP 3140 31400 49910 F c14502114-02160
Traffic Mitigation IF (283 000) 283,000 Special Revenue 2160 21600 69910
Parks CIP (833 000) 833 000 CIP 3140 31400 54151 E c14502317-30600 Kenilworth Park Revitalization Plan
Parks CIP (162 000) (162.000)CIP 3140 31400 49920 F c14502317-02240
Pants Grants (162.000) 162,000 Special Revenue 2240 22400 69920
Parks Grants (162,000) (162.000)Special Revenue 2240 22400 4`
Parks GP (213,000) 213,000 CAP 3140 31400 54151 E c14502012-30600 Shollenberger Amphitheater&Kiosk Impn
Parks CIP (213;000) (213000)CIP 3140 31400 49920 F c14502012-02240
Parks Grants (213;000) 213,000 Special Revenue 2240 22400 69920
Parks Grants (213 000) (213,000)Special Revenue 2240 22400 44210
Parks CIP (1,211,000) 1 211,000 CAP 3140 31400 54151 E c14402215-30600 Lucchesi Skate Park
Parks CIP (650 000) (650,000)CIP 3140 31400 49910 F c14402215-02142
Parkland Impact Fees (650.000) 650,000 Special Revenue 2142 21420 69910
Public Works CIP (3,257,000) 3,257,000 GP 3160 31600 54151 E c16102248-30600 Pavement Restoration&Reconstruction-,
Public Works CIP (336,000) 336,000 CAP 3160 31600 54151 E c16102032-30600 Pedestrian Improvements Citywide
Public Works CIP (253,000) (253,000)GP 3160 31600 49910 F 06102032-02160
Public Works CIP (94.000) (94,000)CAP 3160 31600 49910 F c16102032-02411
Traffic Mitigation IF (253:000) 253,000 Special Revenue 2160 21600 69910
Streets Maintenance (94,000) 94;000 Special Revenue 2411 24110 69910
Public Works CIP (164.000) 164,000 CAP 3160 31600 54151 E c16402252-30600 Pedestrian Bridge Renovations
Public Works CIP (53 000) (53,000) CIP 3160 31600 49910 F c16402252-02160
Public Works CIP (134 000) (134,000)CIP 3160 31600 49910 F c16402252-02411
Traffic Mitigation IF (53,000) 51000 Special Revenue 2160 21600 69910
Streets Maintenance (1344000) 134,000 Special Revenue 2411 24110 69910
Public Works GP (235,000) 235,000 GP 3160 31600 54110 E c16102251-30300 D Street Improvements
Public Works CIP (195;000) 195.000 CIP 3160 31600 54151 E c16502357-30600 Street Light Repairs and Upgrades-Cltyw
Public Works CAP (195 000) (195:000)GP 3160 31600 49910 F cl6502357-02411
Streets Maintenance (195,000) 195;000 Special Revenue 2411 24110 69910
Ordinance No. 2885 N.C.S. Page 5
UVI.UJIyfI CI IV CIUfitC IU.UJL I IJ4V-lJ l-.4 J-'-Ff JD-yUF10-U.7Y IUI.,U IU01t-%
Detailed FY 23124 Nlid-Year Budget Adjustments
account string project stung
Ref fund name Revenue Expenditures amount Fund group fund cost Or object Type (if applicable) reaswn purpose
H(cont)Public Worts OP (595 000) 595000 CIP 3160 31600 54151 E cl650141230600 LED Streetlight Retrofits Facility Lighting
Public Works CAP (448,000) 448,000 CIP 3160 31600 54151 E c1650243030600 Downtown Public Restroom
Public Works CAP (422 000) 422 000 CAP 3160 31600 54151 E c16402141-30600 1st and F Street Budge Replacement-Pt
Public Works a (39 000) (39,000) CIP 3160 31600 49910 F c16402141-02160
Public Works CAP (294,000) (294:000)CIP 3160 31600 49910 F c16402141-02411
Traffic Mrbgation IF (39,000) 39,000 Special Revenue 2160 21600 69910
Streets Maintenance (294 000) 294;000 Special Revenue 2411 24110 69910
Public Works CIP (223 000) 223000 CIP 3160 31600 54151 E c16502429-30600 Downtown Beautification
Public Works CAP (1,011.000) 1,011 000 CAP 3160 31600 54110 E c1650202230300 Trestle Rehabilitation
Surface Water CAP (639,000) 639,000 CAP 3160 31600 54151 E c16501931-30600 Storm Drain Trash Capture Deuce Pilot
Surface Water GP (656,000) (656;000)CAP 3160 31600 49910 F c16501931-02152
Storm Drainage IF (656 000) 656 000 Special Revenue 2152 21520 69910
Surface Water CAP (779,000) 779 000 CAP 3160 31600 54151 E c16502254-30600 Wilson Stormwater Pump Station&Outfa
Surface Water aP (779.000) (779000)CIP 3160 31600 49910 F c16502254-02152
Storm Drainage IF (779 000) 779 000 Special Revenue 2152 21520 69910
Surface Water CIP (576 000) 576,000 CIP 3160 31600 54151 E c1630225530600 960 Lakeville Drainage Improvements
Surface Water CAP (576,000) (576,000)CIP 3160 31600 49910 F c1630225530600
Stone Drainage IF (576,000) 576:000 Special Revenue 2152 21520 69910
Surface Water CAP (2,367,000) 2,3672000 GP 3160 31600 54151 E c16301518-30600 Old Corona Road Water Cluality blitigatior
Surface Water CIP (17259 000) (1,259:000)CAP 3160 31600 49910 F c1630151844220
Public Works Grants (1,259,000) 1.259M0 Special Revenue 2260 22600 69910
Public Works Grants (1,259 000) (1,259,000)Special Revenue 2260 22600 44210
Transit CIP (150,000) 150,000 CIP 6590 65999 54151 E c652 02 4 1 5-3 0 6 00 Transit Facility Renovation
Transit CIP (150 000) (150,000)CIP 6590 65999 49920 F c65202415-65150
Transit Capital (150,000) 150,000 Enterprise 6500 65100 69920
Transit CIP (191 000) 181,000 GP 6590 65999 54151 E c65502212-30600 Transit Facility Fence and Gate Improvem
Transit CIP (111,000) (111,000)GP 6590 65999 49920 F c65502212-05150
Transit CIP (70 000) (70.000)GP 6590 65999 49920 F c65502212-05200
Transit Capital (181,000) 181,000 Enterprise 6500 65100 69920
Recycled Water CIP (3,432.000) 3,432.000 CIP 6690 66999 54151 E c66501936-30600 Agricultural Recycled Water System Expi
Recycled Water CIP (878;000) (878,000)CIP 6690 66999 49910 F c66501936-66100
Recycled Water CIP (2,456,000) (2,456,000)CIP 6690 66999 44210 F c66501936-04220
Wastewater Capital (878,000) 878,000 Utilities 6600 66100 69910
WasteWater CIP (228:000) 228,000 CIP 6690 66999 54151 E c66501518-30600 CNG Fueling Station at Ellis Creek
WasteWater CIP (517 000) (517 000)CIP 6690 66999 49910 F c66501518-06100
WasteWater Capital (517,000) 517 000 Utilities 6600 66100 69910
WasteWater CIP (160;000) 160,000 CIP 6690 66999 54110 E c66402 1 44-30 3 00 Corp Yard blaster Plan
WasteWater CIP (332,000) (3327000)aP 6690 66999 49910 F c66402144-06100
WasteWater Capital (192 000) 192 000 Utilities 6600 66100 69910
Ordinance No. 2885 N.C.S. Page 6
L UL,U,Dlyl I CI IVCIVj1C IU. LJJL I I I UI..0 I UV I N
Detailed FY 23124 N§d-Year Budget Adjustments
account string project string
Ref fund name Reeenue Expendltutes amount Fund group fund cost ctr object Type (if appUcable) retitsion purpose
Htcont)Water Capital (140,000) 140 000 Utilities 6700 67100 69910
Wastewater CIP (483,000) 483,000 GP 6690 66999 54151 E c6650183830600 Ellis Creek Outfall Replacement
WasteWater CIP (483 000) (483,000)GP 6690 66999 49910 F c66501838-66100
Wastewater Capital (483.000) 483,000 Utilities 6600 66100 69910
Wastewater CIP (1,180,000) 1,180,000 GP 6690 66999 54151 E c6640224530600 Sewer Main Replacement-Payran and h1i
WasteWater CIP (1,180 000) (17180;000)GP 6690 66999 49910 F c66402245-66100
WasteWater Capital (1,180,000) 1,180,000 Utilities 6600 66100 69910
WasteWater CIP (2;818;000) 22818,000 GP 6690 66999 54151 E c6650203230600 PIPS Forcemain Replacement
WasteWater CIP (2;818,000) (2;818,000)GP 6690 66999 49910 F c66502032-66100
WasteWater Capital (2,818,000) 2,818,000 Utilities 6600 66100 69910
WasteWater CIP (2.130;000) 2,130;000 GP 6690 66999 54151 E c66 5 0 1 84 0-30 6 00 Chemical System Upgrade at Ellis Creek
WasteWater CIP (2 088:000) (2,088 000)GP 6690 66999 49910 F c66501840-66100
WasteWater Capital (2088,000) 2,088 000 Utilities 6600 66100 69910
WasteWater CIP (305:000) 305,000 CIP 6690 66999 54110 E C66501930-30300 PIPS Upgrade and Pump Replacement
WasteWater CIP (306 000) (306 000)GP 6690 66999 49910 F C6650 1 9 3 0-66 1 00
WasteWater Capital (306,000) 306:000 Utilities 6600 66100 69910
WasteWater CIP (1,535,000) 1,535,000 GP 6690 66999 54151 E c66402348-30600 Sewer Main Replacement-Howard Street
WasteWater CIP (1,535 000) (1,535,000)GP 6690 66999 49910 F c66402348-66100
WasteWater Capital (1,535 000) 1,535 000 Utilities 6600 66100 69910
WasteWater CIP (573,00(0) 573.000 GP 6690 66999 54151 E c66402350-30600 Sewer Main Replacement-D Street
WasteWater CIP (571000) (573,000)CIP 6690 66999 49910 F c66402350-66100
WasteWater Capital (573,000) 573.000 Utilities 6600 66100 69910
WasteWater CIP (330;000) 330.000 GP 6690 66999 54110 E c66501003-30600 Manhole Rehabilitation
WasteWater CIP (330,000) (330;000)GP 6690 66999 49910 F c66501003-66100
WasteWater Capital (330;000) 330 000 Utilities 6600 66100 69910
WasteWater CIP (430 000) 430,000 CIP 6690 66999 54110 E e66502350-30300 Ellis Creek Water Recycling Facility Ene
WasteWater CIP (430 000) (430,000)CIP 6690 66999 49910 F e66502350-66100
WasteWater Capital (430.000) 430,000 Utilities 6600 66100 69910
Water GP (6,503,000) 6,503,000 GP 6790 67999 54151 E e67502242-30600 Advanced Metering Infrastructure(AMI)
Water CIP (1,604 000) (1,6047000)CIP 6790 67999 49910 F e6 7 502242-6 7 100
Waste Water GP (1 604,000) (1;604 000)GP 6690 66999 49910 F e67502242-66100
Water CIP (3,295 000) (3;295;000)CIP 6790 67999 44210 F e67502242A4210
WasteWater Capital (1 604,000) 1;604,000 Utilities 6600 66100 69910
Water Capital (1,604 000) 1,604;000 6700 67100 69910
Water GP (808.000) 808,000 GP 6790 67999 54151 E c67502326-30600 Water Main Replacement Howard Street
Water GP (802 000) (802,000)GP 6790 67999 49910 F c67502326-30600
Water Capital (802,000) 802,000 Utilities 6700 67100 69910
Water GP (903,000) 903,000 CIP 6790 67999 54151 E c6750232830600 Hardin Tank Recoating
Water CIP (832:000) (832,000)GP 6790 67999 49910 F c67502328-67100
Water Capital (832;000) 832;000 Utilities 6700 67100 69910
Water CIP (1,514,000) 1:514,000 GP 6790 67999 54151 E c6750222530600 Water Main Replacement-Payran and Me
Water GP (1,514 000) (1,514 000)CIP 6790 67999 49910 F c67502225-67100
Water Capital (1,514:000) 1;514:000 Utilities 6700 67100 69910
Water GP (264,000) 264,000 GP 6790 67999 54140 E c67502330-30300 Water Seruces Replacement St Francis z
Water CIP (263,000) (263,000)GP 6790 67999 49910 F c6750233037100
Water Capital (263 000) 263,000 Utilities 6700 67100 69910
(35 596,000) (73 126,000) 37:530 000
Ordinance No. 2885 N.C.S. Page 7
UUL,U,D1 1I CI IVCIUpV IU.UJLI IJ4U-lJ l.4J-4rJD-7VM0-U y'4 I VlJU I UOf^
Detailed FY 23124 N5d-Year Budget Adjustments
account string protect string
Ref fund name Revenue Expenditures Amount Fund group fund cost ctr object Type (if applicable) reusion purpose
I Public Works GP 39,017 39,017 CIP 3160 31600 49910 F c1610160149910 Petaluma Blvd South Road Diet Extensioi
Traffic Mitigation IF 39,017 (39,017) Special Revenue 2160 21600 69910
39,017 39 017
J General Fund-Fire 531,776 531,776 General Fund 1100 13100 45010 Fire strike team reimbursements for overti
General Fund-Fire 531,776 (531,776)General Fund 1100 13500 51210
531.776 531,776
K Vehicle Replacement Fund 53,547 (53:547)Internal Serwcefund 7500 75100 62220 Monarch MK-V Electric Utility Tractor Re
Vehicle Replacement Fund 53,547 53,547 Internal Service fund 7500 75100 49920
Parks and Recreation Grants 53,547 (53,547)Special Revenue 2240 22400 69920
Parks and Recreation Grants 53,547 53,547 Special Revenue 2240 22400 44120
107.094 107,094
L Transit (1,850,000) 1,850,000 Enterprise Fund 6500 65200 62220 Carryforward to FY 24125 for Electric Bus!
Transit (1,751,200) (1,751,200) 6500 65200 44312
(1,751;200) (1,850,000) 98,800
M General Fund (180:000) 180,000 General Fund 1100 11100 69910 Carryforward to FY 24125 Fare Free Public
Transit (180.000) (180,000)Enterprise 6500 65100 49910
(180,000) (180,000)
NET CHANGE TO FUND BALANCES (27,876.422) (52,602.848) 24,726,426
Ordinance No. 2885 N.C.S. Page 8