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028-22 - Ordinance - Amending Biennial BudgetDocuSign Envelope ID: FFAF5535-1264-4236-93A3-D2D22687A027 ORDINANCE NO. 028-22 AN ORDINANCE OF THE CITY OF PORT ORCHARD, WASHINGTON, AMENDING THE 2021-2022 BIENNIAL BUDGET AS ADOPTED BY ORDINANCE NO. 035-20, AND AMENDED BY ORDINANCE NOS. 015-21, 032-21, 050-21, 056-21, 065-21, 007-22, 011-22 and 025- 22 TO RECOGNIZE EXPENDITURES AND REVENUES NOT ANTICIPATED AT THE TIME OF THE ADOPTION OF THE 2021- 2022 BIENNIAL BUDGET; PROVIDING FOR TRANSMITTAL TO STATE; PROVIDING FOR PUBLICATION; AND SETTING AN EFFECTIVE DATE. WHEREAS, the City of Port Orchard adopted its 2021 — 2022 Biennial Budget via Ordinance No. 035-20, which was previously amended by Ordinance Nos. 015-21, 032-21, 050- 21, 056-21, 065-21, 007-22, 011-22, and 025-22; and WHEREAS, the City desires to keep current on budget amendments; and WHEREAS, it is necessary to consider adjustments to accounts and/or funds by means of appropriation adjustments that could not have been anticipated at the time of passage of the 2021— 2022 Biennial Budget; and WHEREAS, by this Ordinance the City Council amends the 2021-2022 Biennial Budget to accommodate necessary adjustments as set forth herein; and WHEREAS, the City will recognize revenue of $1,410,539 of funds allocated to the City through the American Rescue Plan Act (ARPA) for 2022 and $75,000 of grant funding provided by Dept of Commerce under the Housing Action Plan Implementation (HAPI) grant award in fund 001; and WHEREAS, the City will transfer $1,410,539 of funds allocated to the City through the American Rescue Plan Act (ARPA) from Fund 001 to Fund 433 for Sewer Capital Projects and increase expenditure authority by $75,000 for services to satisfy the Housing Action Plan Implementation (HAPI) grant award; and WHEREAS, the City will increase expenditure authority of $135,000 from Fund 001 to pay for an IT server replacement project previously approved by council and increase expenditure authority of $210,000 from Fund 001 to pay for a building inspection services previously approved by council; and WHEREAS, the City will reduce fund 001 2022 budgeted ending fund balance by $345,000 to pay for the IT server replacement and additional building inspection services previously approved by council; and DocuSign Envelope ID: FFAF5535-1264-4236-93A3-D2D22687A027 Ordinance No. 028-22 Page 2 of 5 WHEREAS, the City's budget anticipated $244,580 of a Community Development Block Grant revenue and expenses for the Lippert Sidewalk improvements to be accounted for from fund 002 and have since determined the sidewalk improvements will be a capital expense and will be re -budgeted and accounted from Fund 304 thereby reducing both revenue and expense in fund 002; and WHEREAS, the City's will increase expenditure authority to purchase Body Worn Cameras in 2022 budget in Fund 103 and reduce 2022 ending fund balance accordingly; and WHEREAS, the City's will increase expenditure authority in Fund 109 by increasing transfers out to Fund 304 for the Bay Street Pedestrian Pathway ROW acquisition project in the amount of $1,500,000 and will reduce 2022 ending fund balance accordingly; and WHEREAS, the City's will increase park impact fee revenue by $200,000, increase expenditure authority in Fund 111 by increasing transfers out to Fund 304 for the TIP 1.15 for Pottery Ave Non -Motorized improvements in the amount of $40,000 and Fund 302 for McCormick Splash Pad in the amount of $420,000 and will reduce 2022 Transportation Impact Fee ending fund balance accordingly; and WHEREAS, the City will increase revenue to Fund 302 by increasing transfers in of $420,000 from Fund 111 for the McCormick Splash Pad and increase expenditure authority for the McCormick Splash pad by $420,000; and WHEREAS, the City will increase revenue to Fund 304 by increasing transfers in of $1,500,000 from Fund 109 for the Bay Street Pedestrian Pathway Project, increasing transfers in of $40,000 from Fund 111 for TIP 1.15 Pottery Ave Non -Motorized, increasing the revenue budget by $254,350 for a CDBG monies for TIP 1.13 Lippert Sidewalk improvements, increasing the revenue budget by $650,000 for a TIB complete street grant for TIP 1.15 Pottery Ave Non - Motorized improvements for a total revenue increase of $2,444,350; and WHEREAS, the City will increase expenditure authority in Fund 304 to pay for the Bay Street Pedestrian Pathway Project ($1,500,000), TIP 1.13 Lippert Project ($254,350), TIP 1.15 Pottery Ave Non -Motorized project ($690,000) for a total expenditure increase of $2,444,350; and WHEREAS, the City desires to increase expenditure authority in Fund 421 by $49,000 to pay for expenses related to TIP 1.13 Lippert and reduce 2022 ending fund balance accordingly; and WHEREAS, the City desires to increase expenditure authority in Fund 431 by $468,000 to capture realized expenses related to on -call services, pass through services, monthly utility DocuSign Envelope ID: FFAF5535-1264-4236-93A3-D2D22687A027 Ordinance No. 028-22 Page 3 of 5 taxes, state utility taxes and the Pottery Lift Station with a reduction to 2022 ending fund balance of $468,000; and WHEREAS, the City desires to increase revenue and ending fund balance by $1,410,539 related to the transfer in from Fund 001 for the Marina Pump Station; and WHEREAS, the City desires to establish a budget for fund 632 Wastewater Treatment facility as the City is required to report on the funds activities for a revenue and expense budget of $7,931,914; and WHEREAS, the City Council has considered the proposed budget amendments and finds that amendments authorized by this Ordinance are consistent with applicable laws and financial policies, and further the public's health, safety and welfare; now, therefore, THE CITY COUNCIL OF THE CITY OF PORT ORCHARD, WASHINGTON, DO ORDAIN AS FOLLOWS: SECTION 1. The 2021-2022 Biennial Budget and enabling Ordinance No.035-20, as amended by Ordinances Nos. 15-21, 032-21, 050-21,056-21, 065-21, 007-22, 011-22 and 025-22 is hereby amended to reflect the following: DocuSign Envelope ID: FFAF5535-1264-4236-93A3-D2D22687A027 Ordinance No, 028-22 Page 4 of 5 2021-2022 Biennial Bt W7 Cunent Expense Fund 'Rewnue $ 26,069.100 $ 33,279,201 $ 35,529,201 $ 35,529,201 $ 35,62%201 s 1485539 $ 37,014,740 ,Expense $ 26,069,100 $ 33.279,201 $ 35,529,201 $ 35,629,201 $ 35,529,20, '$ 1:485:539 $ 37,014,740 -. 002 City Street '.Rewnue $ 5,131.900 $ _ 7,601.171 $ 7,601:171 $ 7,601,171 $ 7,601:171 "S (244.580) $ _ 7,356,591 - Expense $ 5,131,900 $ _. 7,601,171 $ 7,601,171 $ 7,601,171 $ 7.60117, 'S (244,580) $ 7,356,691 603 Stabilization Rewnue $ 2,300,W0$ _. 2,693,687 $ 2,693,687 $ 2,693,687 $ 2,693,687 $ $ 2,693,687 Expense $ 2 300,000 $ 2,693,687 $ 2,693,687 $ _ 2.693,687 $ 2,693,687 $ $ 2,693,687 103 Criminal Justice ':Rewnue $ 760,900 $ 869,508 $ 869,508 $ 669.508 $ 869,508 $ - $ 869,508 ,Expense $ 760,900 $ 869,508. $ 869,508 $ 869,508 $ 869,508 °5 - $ 869,508 " 104 Special Investigative Unit -Rewnue $ 102,OW $ 105,797 $ 105,797 $ _. 105,797 $ 105,797 $ - $ 106,797 Expense $ 102,000 $ 105,797 $ _ 105,797 $ 105.797 $ 105,797 $ _ - $ 105,797 ' 107 Community E%ents Revenue $ 400,000 $ 412,002 $ 412,002 $ 412,002 $ 412,002 $ $ 412,002 Expense $ 400,000 S. 412,002 $. 412,002 $..... 412,002 $ 412,002 $.. $ 412,002 108 Paths & Trails Revenue $ 12,900 $ 13,096 $ 13,096 $ 13,096 $ 13,096 $ - $ 13,096 Expense $ 12,900 $ 13,096 $ 13,096 $ 13,096 $ 13,096 $ - $ 13,096 109 Real Estate Excise Tax Revenue $ 4,854,000 $ 6,193,992 $ 6,193.992 $ 6,193,992 $ 6,193,992 $ - $ 6,193,992 Expense $ 4,854,0W $ 6,193,992 $ 6,193,992 $ 6,193,992 $ 6,193,992 $ $ 6,193,992 111 Impact Fee Rewnue $ 2,282,500 $ 4,006,467 $ 4,006,467 $ 4,006,467 $ 4,306,467 $ 200,000 . $ 4,606,467 ;Expense $ 2,282,500 $ 4,006,467 $ 4,006,467 $ 4,006,467 $ 4,306,467 $ 200.0001$ 4,606,467' 206 Bond Redemption Fund Rewnue $ 598,200 $ 598,200 $ 598,200 $ 598,200 $ 598,200 $ - $ 598,200 ,Expense $ 598,200 $ 598,200 $ 598.200 $ 598,200 $ 598,200 $ - $ 598,200 302 Capital Construction Rewnue $ 620,000 $ 3,606,707 $ 5,881,707 $ 5,881,707 $ 5,881,707 $ 420,000 $ 6,301,707 '.Expense S 620,000 $ 3.606,707 $ 5,881,707 $ 5,881,707 $ 6,881,707 $ 420,0W $ 6,301,707 304 Street Capital Projects Rewnue $ 4,328,100 $ 7,278,848 $ 7,278,848 $ 7.778,848 $ 7,903,848 $ 2,444,350 $ 10.348,198 Expense $ 4,328,100 $ 7,278.848 $ 7,278.848 $ 7,778,848 $ 7,903,846 $ 2,444,350 $ 10,348,198 411 Water - Operations Rewnue $ 8,504,400 $ 9,694.063 $ 9,694,063 $ 9.694,063 $ 9,694,063 S - $ 9,694,063 $ 8,504,400 I $ 9,694.063 $ 9,694,063 . $ 9,694,063 $ 9.694.063 $ $ 9,694,063 412 Water -Stabilization .Expense Rewnue $ 917,0W $ 950,216. $ 950,216 $ 950,216 $ 950,216 $ - $ 950,216 'Expense $ 917,0W $ 950,216 $ 950,216 $ 950,216 $ 950,216 $ - $ 950,216 413 Water -Capital Projects (Rewnue $ 6.964,200 $ 7,419,754 $ 7,419,754 $ 6,619,754 $ 6,519.754 $ - $ 6,519,754 'Expense $ 6,964,200 $ 7,419,754 $ 7.419,754 $ 6,519,764 $ 6,519,754 $ - $ 6,519,764 414 Water - Debt SeNce Rewnue $ 840,250 $ 840,250 $ 840.250 $ 840,250 $ 840.250 $ - $ 840,250 $ 840,250 $ 840,250 $ 840,250 $ 840,250 $ 840,250 $ $ 940.250 421 Storm Drainage -Operations .Expense Rewnue $ 5,076,900 $ 5,352,120 $ 5,352.120 $ 6,352,120 $ 5.352,120 S $ 5,352,120 Expense $ 5,076,900 $ 5,352.120 $ 5.352,120 $ 6,352,120 $ 5,352,120 $ - $ 5,352,120 422 Storm Drainage -Stabilization 'Rewnue $ 503,300 $ 533,931 $ 533,931 $ 533,931 $ 533,931 $ $ 533,931 Expense $ 503,300 $ 533,931 $ 633,931 $ 533,931 $ 533,931 $ $ 533,931 423 Storm Drainage -Capital Projects) Rewnue $ 30.100 $ 99,113 $ 99,113 $ 99,113 $ 99,113 $ - $ 99,113 ;Expense $ 30100 $ 99,113 $ 99,113 $ 99.113 $ 99,113 $ - $ 99,113 424 Storm Drainage -Debt Service (Rewnue $ 355.300 $ 355,300 $ 355,300 $ 355,300 $ 355,300 $ $ 355,300 ;Expense $ 355,3W $ 355.300 $ 355,300 $ 355,300 $ 355,300 $ S 355,300 431 Sewer - Operations. Rewnue $ 12,659.200 $ 13.711,301 $ 13,711,301 $ 13,711,301 $ 13.711,301 $ -. $ 13,711.301 :Expense $ 12,659,200 $ 13,711,301 $ 13,711,301 $ 13,711,301 $ 13.711,301 $ - $ _ 13,711,301 432 Sewer - Stabilization 'Rewnue $ 1,355.050 $ 1,422,016 $ 1,422,016 $ 1.422,016. $ 1,422,016 $ - $ 1,422,016' Expense $ 1,355,050 $ 1,422,016 $ 1,422,016 $ 1,422,016 $ 1.422,016 $ $ 1,422,016 433 Sewer- Capital Projects Rewnue $ 9,612,100 $ 20,566,150 $ 20.566.150 $ 21,976,689 $ 21,976,689 $ 1,410,539 $ 23,387,228 Expense $ 9,612,100 $ _ 20,566.150 $ 20.566.150 $ 21,976,689 $ 21,976,689 $ 1,410,359 $ 23,387,048 434 Sewer- Debt SeMce Rewnue $ 550,OW $ 550,000 $ 550,0W $ 550,000 $ 550,0W $ - $ 550,000 '..Expense $ 550,000 $ 650,000 $ 550,000 $ 550,0W $ 550,000 S _.- $ 550,0W 5W ER&R 'Rewnue $ 4,927,400 $ 5,271,030 $ 5,271,030 $ 5,271,030 $ 5,271,030 $ _., - $ _.. 5,271.030 .Expense $ 4,927,4W $ 5,271,030 $ 6,271,030 $ 5,271,030 $ 5.271,030 $ - $ 6,271,030 '- 632 Wastewater Treatment Facility Rewnue $ - $ _ - $ - $ - $ - S 7,931,914 $ 7,931.914 _ 'Expense $. - $ - $. - $ - $. '. $ 7,931,914 $.. 7,931,914.', Grand Total Revenuel $ 99,764,800 $ 133,423,920 1 $ 137.948,9201 $ 138,959,4591 $ 139,384,4591 $13,647,762 $ 153,032,221 Grand Total Expense 1 $ 99,764.8001 $ 133,423.920 1 $ 137,948,920 1 $ 138,959,4691 $ 139,384,459 1 $13,647,762 $ 153,032,041 SECTION 2. Transmittal. The City Clerk shall transmit a complete, certified copy of the amended budget as adopted to the state auditor and to the Association of Washington Cities per RCW 35.34.130. SECTION 3. Severability. If any section, sentence, clause or phrase of this ordinance should be held to be invalid or unconstitutional by a court of competent jurisdiction, such invalidity or unconstitutionality shall not affect the validity of constitutionality of any other section, sentence, clause or phrase of this ordinance. SECTION 4. Corrections. Upon approval of the city attorney, the city clerk and the codifiers of this ordinance are authorized to make necessary technical corrections to this ordinance, including, without limitation, the correction of clerical errors; references to other local, state, or federal laws, codes, rules, or regulations; or section/subsection numbering. DocuSign Envelope ID: FFAF5535-1264-4236-93A3-D2D22687A027 Ordinance No. 028-22 Page 5 of 5 SECTION 5. This Ordinance shall be in full force and effect five (5) days after posting and publication as required by law. A summary of this Ordinance may be published in lieu of the entire ordinance, as authorized by State Law. PASSED by the City Council of the City of Port Orchard, APPROVED by the Mayor and attested by the Clerk in authentication of such passage this 12th day of July 2022. ATTST�OCUSIgned by: UJA.UL Brandy Wallace, MMC, City Clerk APPROVED AS TO FORM: DocuSigned by: Charlotte A. Archer, City Attorney PUBLISHED: July 15, 2022 EFFECTIVE DATE: July 20, 2022 DocuSigned by: 6bt *f (�lnr M A SWti , Fr EBBB5BBEi4E ... Rob Putaansuu, Mayor SPONSOR: )pdn Clauson, Councilmember ,uti,un,........ T ORC :PAR o�po+egrm '. 0 SEAL _