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0915A ORDINANCE NO. 91.5-A OFFICIAL AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF SOUTHLAKE, TEXAS, REVISING BUDGET FIGURES FOR FISCAL YEAR 2008 BEGINNING OCTOBER 1, 2007, AND TERMINATING SEPTEMBER 30, 2008, AND MAKING APPROPRIATIONS FOR EACH DEPARTMENT, PROJECT AND ACCOUNT; REPEALING CONFLICTING ORDINANCES; PROVIDING A SAVINGS AND SEVERABILITY CLAUSE; AND DECLARING AN EFFECTIVE DATE. WHEREAS, the City Manager has prepared a revision of certain figures in the 2008 budget which was approved by City Council with Ordinance No. 915 on September 18, 2007, and submitted same to the City Council; and, WHEREAS, a copy of said amendment is attached hereto as Exhibit "A" and incorporated herein for all purposes; and WHEREAS, the City Council has studied the Budget Amendment and has determined that the Budget Amendment attached hereto is in the best interest of the City. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SOUTHLAKE, TEXAS: Section 1. That all of the above premises are found to be true and correct and are incorporated into the body of this Ordinance as if copied in their entirety. Section 2. That the revised figures, prepared and submitted by the City Manager for the 2008 budget, be, and the same are hereby, in all things, approved and appropriated, and any necessary transfers between accounts and departments are hereby authorized, approved, and appropriated. Section 3. That the Budget Amendment attached hereto as Exhibit "A" and incorporated herein for all purposes is adopted for the Fiscal Year beginning October 1, 2007, and ending September 30, 2008; and there is hereby appropriated from the funds indicated such projects, operations, activities, purchases and other expenditures as proposed in the Budget Amendment. Section 4. That the City Manager has determined that there are revenues available for appropriation in excess of those estimated in the 2008 approved budget. Section 5. That any and all ordinances, resolutions, rules, regulations, policies or provisions in conflict with the provisions of this Ordinance are hereby repealed and rescinded to the extent of conflict herewith. Section 6. If any section, article, paragraph, sentence, clause, phrase or word in this Ordinance, or application thereto any person or circumstances is held invalid or unconstitutional by a Court of competent jurisdiction, such holding shall not affect the validity of the remaining portions of this Ordinance; and the City Council hereby declares it would have passed such remaining portions of this Ordinance despite such invalidity, which remaining portions shall remain in full force and effect. Section 7. That the necessity of adopting and approving a proposed budget for the next fiscal year as required by the laws of the State of Texas requires that this Ordinance shall take effect immediately from and after its passage, and it is accordingly so ordained. n PASSED AND APPROVED on first reading this Ise' day of 2008. i Andy Wambsganss, Mayor ATTEST: % GjO~TF~L ° O 1 Lori Payne i t- = S Cn City Secretary = v o GO ,10 OOOSOeoe°°°e PASSED AND APPROVEVY0 econd reading this day of , 2008. qz~ TyLAl Andy Wambsganss, Mayor ATTEST: 0~0~ ~F n ° O 00 1~ O VVVVVVV~~'/i' Lori Payne ° City Secreta ,,iii °OO•osooo°c° `,O~ APPROV D AS O FORM: titan City Attomey Date: -71 / /bP Adopted: G) -15-1 Effective: Ll- UTILITY FUND 2008 Budget Amendment 0548 PM 03/26/08 $ Increase/ 2008 2008 (Decrease) % Increase/ Adopted Amended Adopted -Decrease REVENUES Miscellaneous $106;000 $106,000 $0 0.0% Interest Income 300,000. 300,000 $0 0.0% Water Sales-residential 10;500,000^ 10,500,000 $0 0.0% Water Sales-commercial 3,100,000 3,100,000 $0 0.0% Sewer Sales 3,900,000 3,900,000 $0 0.0% Sanitation Sales 1;156;161 1,156,163 $0 0.0% Other utility charges 289.750. 289,750 $0 0.0% Total Revenues $19,351,913 $19,351,913 $0 0.0% EXPENSES Debt Service 5,358,229 5,358,229 0 0.0% Utility Billing 402,347; ` 419;847 17,500 4.3% Water _10,655,015 10,655,015 0 0.0% Wastewater 2;052,761 21052,761 131,624 6.4% Sanitation 837;834 837,834 0 0.0% Total Expenses $19,306;186 $19,323,686 $149,124 0.8% Net Revenues $2$ 2 42 Transfers In $0' $0. Developers Contributions $50,000 $50,000 Transfers Out 388038 (388,038) Total Other Sources (Uses) (8338.0381 ` ($338.038) Net Change In WIC Components Beginning working capital .$6,536,885' $6,535,885 Ending fund balance 6.243.573 , 6.226.073 No. of days working capital 11'8 118 SPDC - OPERATING FUND Parks/Recreation 2008 Budget Amendment 05:48 PM 03/26/08 $ Increase/ 2008 2008 (Decrease) % Increase/ Adopted . Amended Adopted -Decrease REVENUES Sales Tax $4,499,250 $4;499,250 $0 0.0% Rental Income 153,816 153,816. $0 0.0% Interest 250.000 250.000' $0 0.0% Total Revenues $4,903,066 $4,903,066 $0 0.0% EXPENDITURES Personnel $70,835 $70,835 $0 0.0% Operations $50,000 $57,500 $7,500 15.0% Capital $70,70 0. 128165 $57,465 81.3% Total Expenditures $191,535 $256,500 $64,965 33.9% Net Revenues 4.711.531 46,566 ($64.9651 Transfers Out (4,308,854) (4,308,854) 0 Proceeds from C.O. Sale 0 0 Total Other Sources (Uses) 1$4.308.854) ($4.308.8541 Beginning Fund Balance $7;741,560: $7,741;560 Ending Fund Balance $8.144.237 $8.079.27 GENERAL FUND Recycling 2008 Budget Amendment 05:48 PM 03/26/08 $ Increase/ 2008 2008 (Decrease) % Increase/ Adopted • Amended Adopted -Decrease REVENUES Recycling Recovery $6;000 $6;000 $0 0.0% Interest 3,000 3;000 $0 0.0% Total Revenues $9,000 $9,000 $0 0.0% EXPENDITURES Special Projects $12;000 $12,000 0 0.0% Recycling Supplies 0 0 0 100.0% Capital b 12,500 12,500 0.0% Total Expenditures $12;000 $24,500 $12,500 0.0% Net Revenues ($3.0001 ($15.5001 (512.500) Transfer to other funds M U Total Other Sources/(Uses) $Q $Q Beginning Fund Balance $73,498 $73,498 Ending Fund Balance $ SPECIAL REVENUE FUND Library Donations 2008 Budget Amendment 05:48 PM 03/26/08 $ Increase/ 2008 2008 (Decrease) % Increase/ Adopted , Amended . Adopted -Decrease REVENUES Donations $2;000; $9,500 $7,500 375.0% Interest 50 50 0 0.0% Total Revenues $2,050 $9,550 $7,500 365.9% EXPENDITURES Special Projects $2,000 $2,000 0 0.0% Library supplies 0 6,432 6,432 100.0% Capital 0 968 968 0.0% Total Expenditures $21000 $9,400 $7,400 370.0% Net Revenues $ Q Sim VM Transfer to other funds _0 5,. Total Other Sources/(Uses) $Q $Q Beginning Fund Balance $2,556 $2,556 Ending Fund Balance, $52.706 VEHICLE REPLACEMENT 2008 Budget Amendment 05:48 PM 03/26/08 $ Increase/ .2008 2008 (Decrease) o Increase/ Adopted Amended Adopted -Decrease REVENUES Miscellaneous $50,000 $50;000 $0 0.0% Interest Income $40,00 0 40000 0 0.0% Total Revenues $90,000 $90,000 $0 EXPENDITURES Capital 955500 °$1,113,364 157,864 16.5% Total Expenditures $955,500 $1,113,364. $157,864 16.5% Net Revenues 1$865:500) 01`.023.3641 Transfers In-General Fund 460,000, 460,000 $0 Transfers Out -Debt Service 0 0 $0 Total Other Sources (Uses) $ Beginning Fund Balance $1,681,,208 $1,;681,208 Prior period adjustment 0 0 Ending Fund Balance $1 INVOICE Preview Star-Telegram Customer ID: CIT57 400 W.7TH STREET Invoice Number: 295697301 FORT WORTH,TX 76102 —_� (817)390-7761 < �C y -- - Invoice Date: 4/4/2008 1�1 Federal Tax ID 22-3148254 Terms: Net due in 21 days APR 1 7 2008 Due Date: 4/30/2008 Bill To: MI- PO Number: NO PO CITY OF SOUTHLAKE 1400 MAIN ST Order Number 29569730 STE 440 Sales Rep: 073 SOUTHLAKE, TX 76092-7604 Description: ORDINANCE NO. 9 Attn Attn: ACCOUNTS PAYABLE Publication Date: 4/4/2008 Description Location Col Depth Linage MU Rate Amount ORDINANCE s ' ORDINANCE NO Make given I3580 1 50 50 LINE $0.81 $40.50 ofy the It Cityoun of Te xas, exas, Sales Discount RECEIVED ($5.00) Misc Fee Legal Notices $5.00 ' that a public hearing will be held on April 15,2008,at 5:00 p.m. p APR „� or immediately fol- i- i 1 lowing the Work - "" 'Session, during the Regular City Council Net Amount: $40.50 meeting to be held in Hall, e 1400 City Council OFFICE OF CITY SECRETARY Chambers of Town Street,, Southlake Texas. Purpose o� the public hearing is to consider the sec- ond reading of the following ordinance: AN ORDINANCE OF THE CITY COUNCIL CHRIS?Y L.HOLLANO OF- THE CITY OF tl�� ~�'; SOUTHLAKE, TEX- l•i *l MY COMMISSION EXPIRES AS REVISING BUD- GET FIGURES FOR 4 ..,°;i,.,�. . July 31,2008 , FISCAL YEAR 2008 oiaii, BEGINNING OCTO- . THE STATE OF- TRMII'JATI EN SEP E - �F * County of Tarrant TEMBER 30, 2008, AND MAKING AP- PROPRIATIONS FOR EACH DEPART- Before me,a Not AMNDT, APROJECT CCOUNT•id County and State,this day personally appeared Deborah Baylor,Bid and Legal Coordinator for the Star- Telegram,publisl- REPEALING CON- m, Inc.at Fort Worth,in Tarrant County,Texas;and who,after being duly sworn,did depose and say that the attached clipping NANCIES PROOVID-:s published in th above named paper on the listed dates: BIDS&LEGAL DEPT. STAR TELEGRAM (817)390-7501 ING A SAVINGS AND SEVERABILITY . CLAUSE,' AND DE- p�� EF- FCLARECTIVE AN %,i, . "' DATE. Slgned City of Southlake — Lory Payne SUBSCRIBED AP City secretary -E ME,THIS Monday,Apr' 07, 0 . • �► Notary Public 14-t/ Thank You For Your Payment Remit To: Star-Telegram Customer ID: CIT57 P.O. BOX 901051 Customer Name: CITY OF SOUTHLAKE FORT WORTH, TX 76101-2051 Invoice Number: 295697301 Invoice Amount: $40.50 • PO Number: NO PO Amount Enclosed: $ I INVOICE Preview Star-Telegram Customer ID: C1T57 400 W.7TH STREET Invoice Number: 296290271 FORT WORTH,TX 76102 RECEIVED (817)390-7761 Invoice Date: 4/20/2008 Federal Tax ID 22-3148254 Terms: Net due in 21 days MAY - Due Date: 4/30/2008 Bill To: PO Number: PD W/CC CITY OF SOUTHLAKE OFFICE OF C11Y SECRETARY Order Number: 29629027 1400 MAIN ST STE 440 Sales Rep: 073 SOUTHLAKE, TX 76092-7604 Description: CITY OF SOUTHLA Attn BOBBIE ..MONTGOMERY Publication Dates: 4/18/2008 -4/20/2008 Descripti+ Location Col Depth Linage MU; Rate Amount __C g_O_F icE CITY OF SOUTHL ORDINANCE NO I3580 1 38 38 LINE $0.45 $34.28 NO. 915-A AN ORDINANCE OF THE CITY COUNCIL Sales Discount OF THE CITY OOF ($8.50) SOUTHLAS, REVISING BUD- GET FIGURES FOR SCAL2008 Misc Fee BEGINNINGAR OCTO- $5.00 BER 1, 2007, AND TERMINATING SEP- TEMBER 30, 2008, AND MAKING AP- PROPRIATIONS FOR EACH DEPART- MENT, PROJECT Net Amount: $30.78 AND ACCOUNT; REPEALING CON- FLICTING ORDI- NANCES; PROVID- ING A SAVINGS AND SEVERABILITY CLAUSE; AND DE- CLARING AN EF- FECTIVE DATE. PASSED AND AP- NM - PROVED THIS THE �r • 15th DAY OF APRIL 2008. DURING R THE CHRISTY L.HOLLAND REGUCOUNCIL MEETING. I I� M1�COMMISSION EXPIRES MAYOR: Andy ��� . �� July 31,2008 Wambsyanss • , ATTEST: Lori Payne,' THE STATE OF TE City Secretary�- County of Tarrant Before me,a Notary Public in and for said County and State,this day personally appeared Deborah Baylor,Bid and Legal Coordinator for the Star- Telegram,published by the Star-Telegram,Inc.at Fort Worth,in Tarrant County,Texas;and who,after being duly sworn,did depose and say that the attached clipping of an advertisement was published in th ove named paper on the listed dates:BIDS&LEGAL DEPT. STAR TELEGRAM (817)390-7501 Signed SUBSCRIBED AND SWORN TO BEFORE ME,THIS Tuesday, pril 8. ZejNotary Publi Thank You For Your Payment Remit To: Star-Telegram Customer ID: CIT57 P.O. BOX 901051 Customer Name: CITY OF SOUTHLAKE FORT WORTH, TX 76101-2051 Invoice Number: 296290271 Invoice Amount: $30.78 PO Number: PD W/CC Amount Enclosed: $