Skip to main content
File #: 21-578    Version: 1 Name:
Type: Resolution Status: Agenda Ready
File created: 5/19/2021 In control: City Commission
On agenda: 6/8/2021 Final action: 12/31/2023
Title: RESOLUTION NO. 97-21 AMENDING THE FISCAL YEAR 2020-21 BUDGET ADOPTED BY RESOLUTION NO. 157-20 ON SEPTEMBER 22, 2020.
Sponsors: Finance Department
Attachments: 1. Agenda Cover Report, 2. Resolution 97-21, 3. Simple Legal Review Approval 97-21, 4. 2021 Exhibit A Budget Amendment - June 2021 PDF, 5. Budget Amendment Narrartive June 2021 PDF, 6. Budget Amendment Agenda Memo June 2021 Updated 5-28-21
Date Ver.Action ByActionResultAction DetailsMeeting DetailsVideo
No records to display.
TO: Mayor and Commissioners
FROM: John Lege, Finance Department
THROUGH: Jennifer Alvarez, Interim City Manager
DATE: June 8, 2021

Title
RESOLUTION NO. 97-21 AMENDING THE FISCAL YEAR 2020-21 BUDGET ADOPTED BY RESOLUTION NO. 157-20 ON SEPTEMBER 22, 2020.

Body
Recommended Action:
Recommendation
Motion to Approve Resolution No. 97-21 amending the Fiscal Year 2020-21 budget.

Body
Background:
The purpose of this request is to amend the adopted Fiscal Year 2020-21 budget to account for encumbrances outstanding at the end of the previous fiscal (September 30, 2020) that are automatically re-appropriated (rolled over). The encumbrances are budget amounts for goods and services for which a contract or purchase order was issued in the prior fiscal year but has not been paid prior to September 30, 2020. These encumbered budget amounts must be brought forward so that the requested good and services can be completed or received, and payment made.

This budget amendment also amends the budget as follows:

General Fund
1. Transfers $49,240 from the City Manager’s Contingency Fund in the General Fund to cover a budget shortfall for the elections held in March.
2. Transfer $50,000 from the City Manager’s Contingency Fund in the General Fund to the Insurance Fund to pay for Firefighter cancer benefits.
3. Increases revenues and expenditures in the General Fund by $15,322 to pay for Wi-Fi extenders for the CRA District.
4. Transfers $3,840,000 from the General Fund fund balance for the Urban Development Action Grant (UDAG) projects.
5. Transfers $106,432 from the City Manager’s Contingency Fund in the General Fund to pay for elevator repairs located at the Federspiel Parking Garage.


Neighborhood Services Fund
6. Carry forward revenues and expenditures in the Neighborhood Services Fund in the amount of $2,781,419 for various grants received.

General Construction Fund
7. Increases revenues and expenditures in amount of $190,393 in the General Construction Fu...

Click here for full text