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HomeMy WebLinkAboutCC Resolution 14718 (City-Wide Budget Amendments FY2018-19)RESOLUTION NO. 14718 RESOLUTION OF THE SAN RAFAEL CITY COUNCIL ADOPTING AMENDMENTS TO THE CITY OF SAN RAFAEL BUDGET FOR FISCAL YEAR 2018-2019 FOR THE PURPOSE OF CONFIRMING AUTHORIZED APPROPRIATIONS AND TRANSFERS WHEREAS, the City Council approved Resolution 14525 adopting the fiscal year 2018-2019 budget; and WHEREAS, the City Council approved Resolution 14617 amending the fiscal year 2018-2019 budget, and took other actions during the year to authorize spending ; and WHEREAS, as part of the fiscal year-end closing process, staff has reviewed and analyzed actual revenues, expenditures and transfers through June 30, 2019, has identified a need for additional budget adjustments, and has submitted its analysis and recommendations in a report to the City Council; and WHEREAS, after examination, deliberation and due consideration, the City Council has approved the same report and recommendations; NOW, THEREFORE, BE IT RESOLVED, by the San Rafael City Council that Resolution 14525 for fiscal year 2018-2019 is further amended to authorize the following adjustments to resources and appropriations, which are reflected in the Consolidated Funds Schedule (Exhibit I attached hereto and incorporated herein by reference): Fund Amount General Fund – 001 resources $520,000 General Fund – 001 appropriations $520,000 Safety Grants - 281 $246,369 Building Maintenance - 603 $400,000 Community Services - 222 $60,660 Essential Facilities Fund - 420 $120,000 Police Youth Services - 230 $38,615 Measure G – Cannabis – 216 $126,000 Total Other Funds resources $991,644 Safety Grants - 281 $236,224 PT San Pedro Assessment - 409 $5,000 Childcare Preschool Grant - 260 $6,300 Gas Tax - 206 $400,000 Falkirk; Arts Program - 276 $11,011 Recreation Fiduciary - 711 $23,850 Falkirk Revolving - 211 $25,799 Asset Seizure - 202 $38,615 Measure G – Cannabis – 216 $50,000 Total Other Funds appropriations $796,799 I, LINDSAY LARA, Clerk of the City of San Rafael, hereby certify that the foregoing resolution was duly and regularly introduced and adopted at a special meeting of the Council of said City on Monday, the 19th of August 2019, by the following vote, to wit: AYES: COUNCILMEMBERS: Bushey, Gamblin & Mayor Pro Tem Colin NOES: COUNCILMEMBERS: None ABSENT: COUNCILMEMBERS: McCullough & Mayor Phillips LINDSAY LARA, City Clerk EXHIBIT I Consolidated Funds Schedule Figure 1 General Fund Adopted Budget FY 2018-19 Approved Changes Current Budget Proposed Changes Revised Budget Revenues 78,503,000 - 78,503,000 120,000 78,623,000 Transfers in 1,686,911 2,234,450 3,921,361 400,000 4,321,361 FY18-19 Resources 80,189,911 2,234,450 82,424,361 520,000 82,944,361 FY17-18 P.O. reserve - 38,537 38,537 - 38,537 Total Resources 80,189,911 2,272,987 82,462,898 520,000 82,982,898 Expenditures 75,188,636 1,982,241 77,170,877 368,381 77,539,258 P.O. Rollover - 38,537 38,537 - 38,537 Operating Transfer out 1,850,000 252,209 2,102,209 31,619 2,133,828 Capital Transfer out (from Measure E to SREF)4,025,000 - 4,025,000 120,000 4,145,000 Total Appropriations 81,063,636 2,272,987 83,336,623 520,000 83,856,623 Net Results (873,725) - (873,725) - (873,725) Figure 2 Other Funds Adopted Budget FY 2018-19 Approved Changes Current Budget Proposed Changes Revised Budget Revenues 77,092,045 4,455,000 81,547,045 740,750 82,287,795 Transfers in 5,975,000 4,122,120 10,097,120 250,894 10,348,014 FY18-19 Sources 83,067,045 8,577,120 91,644,165 991,644 92,635,809 FY17-18 Rollover 12,691,572 12,691,572 12,691,572 Total Resources 83,067,045 21,268,692 104,335,737 991,644 105,327,381 Expenditures 86,703,091 37,922,620 124,625,711 297,524 124,923,235 Transfer out 1,786,911 6,104,361 7,891,272 499,275 8,390,547 Total Appropriations 88,490,002 44,026,981 132,516,983 796,799 133,313,782 Net Results (5,422,957) (22,758,289) (28,181,246) 194,845 (27,986,401) Figure 3 All Funds Adopted Budget FY 2018-19 Approved Changes Current Budget Proposed Changes Revised Budget General Fund 81,063,636 2,272,987 83,336,623 520,000 83,856,623 Other Funds 88,490,002 44,026,981 132,516,983 796,799 133,313,782 Total Expenditures and transfers 169,553,638 40,195,607 209,749,245 1,316,799 211,066,044