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HomeMy WebLinkAboutT6-85 .i A- f Ordinance No. T6-85 AN ORDINANCE AMENDING THE 1985 BUDGET BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF ELGIN, ILLINOIS; Section I. That the 1985 budget of the City of Elgin adopted in lieu of an appropriation ordinance be and is hereby amended in accordance with the following schedule: CITY OF ELGIN SUMMARY OF BUDGET AMENDMENTS FOR THE YEAR 1985 APPROVED AMENDED 1 985 1985 INCREASE FUND AND DEPARTMENT BUDGET BUDGET (DECREASE) GENERAL FUND Oil Mayor and City Council $ 96,730 $ 96,730 $ - 012 Office of the City Manager 150,745 150,745 - r 013 Purchasing and Research 90, 130 90, 130 - 014 Personnel & Admin. Services 126,065 126,065 - 015 Legal Department 183,690 183,690 - 018 Human Relations Commission 42,090 42,090 - 019 Boards and Commissions 55,200 55,200 - 020 Finance Department 731 ,040 731 ,040 - 030 Department of Buildings 311 ,655 311 ,655 - 040 Planning Department 314, 140 314, 140 - 050 Police Department 5,364, 185 5,364, 185 - 059 Civil Defense Division 4,485 4,485 - 060 Fire Department 3,274,350 3,274,350 - 061 Bureau of Inspection Services 431 ,680 431 ,680 - 071 Public Works Administration 113, 155 113, 155 - 072 Engineering Division 430, 105 430, 105 - 074 Electrical Division 490,410 490,410 - 075 Sanitation Division 826,270 826,270 - 076 Streets Division 879,745 879,745 - 077 Sewers Division 289,030 289,030 - 079 Construction Division 108,985 108,985 - 081 Parks & Recreation Admin. 80,675 80,675 - 082 Recreation Division 323, 110 323, 110 - 087 Mall Coordinator 43,955 43,955 - 088 Parks Maintenance 718, 195 718, 195 - 089 Hemmens Auditorium 237,760 237,760 - 190 Non-Departmental 1 , 120,260 1 ,255,260 135,000 "'' Total - General Fund $16,837,840 $16,972,840 $ 135,000 _* 4, CITY OF ELGIN SUMMARY OF BUDGET AMENDMENTS Al, FOR THE YEAR 1985 APPROVED AMENDED 1 985 1 985 INCREASE FUND AND DEPARTMENT BUDGET BUDGET (DECREASE) SPECIAL REVENUE 200 Public Benefits Fund $ 299,025 $ 299,025 $ - 210 Road and Bridge Fund 224,000 224,000 - 230 Community Development Grant 1 ,903,415 1 ,903,415 - 240 Spring St. Parking District 217, 110 217, 110 - 270 Federal Revenue Sharing Fund 731 ,380 731 ,380 - 280 I.M.R.F. Fund 1 ,471 ,990 1 ,471 ,990 - 290 Motor Fuel Tax Fund 1 ,213,290 1 ,213,290 - Total - Special Revenue $ 6,060,210 $ 6,060,210 $ - DEBT SERVICE 300 Corporate Bond Fund $ 2,075,870 $ 2,075,870 $ - CAPITAL IMPROVEMENTS 340 Park Development Fund $ 230,000 $ 380,000 $ 150,000 350 Downtown Redevelopment Fund 55,235 55,235 360 Cap. mprv. - Special Projects - 135,000 135,000 375 Cap. mprv. - Otter Creek 795,000 795,000 - 377 Cap. mprv. - Old Main 1 1 ,065 68,000 56,935 378 Cap. mprv. - Tyler Creek 168,790 168,790 - 380 Cap. mprv. - 1983 Bond Issue 15,000 22,000 7,000 381 Cap. mprv. - 1984 Bond Issue 726,795 726,795 - 382 Cap. mprv. - 1985 Bond Issue 1 , 125,000 4,300,000 3, 175,000 383 Cap. mprv. - SSA #4 Bond Issue - 1 ,500,000 1 ,500,000 385 Capital Improvement Fund _ 1 ,480,460 1 ,480,460 - Total - Capital Improvements $ 4,607,345 $ 9,631 ,280 $5,023,935 MUNICIPAL ENTERPRISE 400 Water Operating Fund $ 5,399,040 $ 5,399,040 $ - 410 Water Improvement Fund 553,000 553,000 - 450 Parking Operating Fund 173,910 173,910 - 455 Spring St. Parking Operating 116,010 117,610 1 ,600 500 Cemetery Operating Fund 265,025 265,025 - 540 Golf Operating Fund 474,510 474,510 - 543 Golf Improvement Fund 65,200 65,200 - 570 Transportation Operating Fund I ,893,690 1 ,893,690 - Total - Municipal Enterprise $ 8,940,385 $ 8,941 ,985 $ 1 ,600 TRUST AND AGENCY 600 Police Pension Fund $ 1 ,679,700 $ 1 ,679,700 $ - 610 Fire Pension Fund 1 ,792,500 1 ,792,500 - Total - Trust and Agency $ 3,472,200 $ 3,472,200 $ - CITY OF ELGIN SUMMARY OF BUDGET AMENDMENTS FOR THE YEAR 1985 APPROVED AMENDED 1985 1985 INCREASE FUND AND DEPARTMENT BUDGET BUDGET (DECREASE) INTERNAL SERVICE 630 Risk Management Fund $ 1 ,835,945 $ 1 ,835,945 $ - 700 Municipal Garage - Ann St. 417,015 417,015 - 705 Municipal Garage - Crystal St. 534,725 534,725 - Tata! - Internal Service $ 2,787,685 $ 2,787,685 $ - TOTAL GROSS EXPENDITURES $44,781 ,535 $49,942,070 $5, 160,535 LESS INTERFUND TRANSFERS 5,930,800 6, 165,800 235,000 NET EXPENDITURES $38,850,735 $43,776,270 $4 92525,535 r r 11 CITY OF ELGIN BUDGET AMENDMENTS FOR THE YEAR 1985 I APPROVED AMENDED 1 985 1985 INCREASE FUND AND DEPARTMENT BUDGET BUDGET (DECREASE) 010 GENERAL FUND Means of Financing: 463 State Income Tax $1 ,265,000 $1 ,300,000 $ 35,000 6643 Transfer from Risk Mgt. Fund - 100,000 100 000 $1 ,265,000 $1 ,400,000 135 000 Expenditures: 913 Transfer to Improvement Fund $ 581 500 $ 716,500 1.25.02.1 340 PARK DEVELOPMENT FUND Means of Financing: 680 Donations $ 100,000 $ 50,000 $ (50,000) 688 Royalties - 200,000 200,000 $ 100,000 $ 250,000, $ 150,000 Expenditures: 990 New Construction $ 230,000 $ 380,000 $ 150,000 360 CAPITAL IMPROVEMENT - SPECIAL PROJECTS Means of Financing: 6695 Transfer From General Fund $ - $ 135,000 $ 135,000 Expenditures: 955 Contingencies $ - L135.,022. 1_121,2E4 377 OLD MAIN FUND Means of Financing: Unencumbered Cash $ 10,765 $ 37, 140 $ 26,375 6804 Museum Donations - 30 560 30,560 $ 10,765 67 700 $ 56,935, Expenditures 990 New Construction $ I I ,065 $ 68,000 $ 561 935 380 CAPITAL IMPROVEMENT - 1983 BOND ISSUE Means of Financing: 672 Investment Income $ 10,000 $ 17,000 $ 7,000 Expenditures: 990 New Construction $ 15,000 22 000 $ 7,000 382 CAPITAL IMPROVEMENT - 1985 BOND ISSUE Means of Financing: 696 Sale of Bonds $1 , 125,000 $4,300,000 $3, 175,000 Expenditures: 990 New Construction $1 , 125,000 $4,300,000 $3,_175_000 J - CITY OF ELGIN BUDGET AMENDMENTS FOR THE YEAR 1985 APPROVED AMENDED 1985 1985 INCREASE FUND AND DEPARTMENT BUDGET BUDGET (DECREASE) 383 CAPITAL IMPROVEMENT - S.S.A. #4 BOND ISSUE Means of Financing: 696 Sale of Bonds $ - $I ,500,000 111.52.0.6000 Expenditures: 990 New Construction $ - $1 ,500,000 $1 ,500,000 455 SPRING ST. PARKING OPERATING FUND Means of Financing: 584 Parking - Non-Metered Lots $ 60,300 $ 61 ,900 $ 1 ,600 Expenditures: 850 Repair and Maintenance Services $ 34,560 $ 36, 160 $ 1 ,600 630 RISK MANAGEMENT FUND Expenditures: 9191 Transfer to General Fund $ - $ 100,000 $ 100,000 955 Contingencies 126, 175 26, 175 ( 100,000) $ 126, 175 l 26 75 $ - Section 2. That this ordinance shall be in full force and effect from and after its passage. s/ Richard L. Verbic Richard L. Verbic, Mayor Presented: December 23, 1985 Passed: December 23 , 1985 Vote: Yeas 7 Nays 0 Recorded: Published: Attest: s/ Marie Yearman Marie Yearman, City Clerk r