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2002-10D Amending FY2003 BudgetKODIAK ISLAND BOROUGH ORDINANCE NO. 2002 -10D Introduced by: Manager Carlson Requested by: Finance Director Drafted by: Finance Director Introduced: 08/21/2003 Public Hearing: 09/04/2003 Adopted: 09/04/2003 AN ORDINANCE OF THE KODIAK ISLAND BOROUGH ASSEMBLY AMENDING ORDINANCE NO. 2002 -10 KODIAK ISLAND BOROUGH FISCAL YEAR 2003 BUDGET TO REFLECT AMENDMENTS WHEREAS, the Borough Clerk's Department incurred the expense of holding an additional election; and WHEREAS, transfers to non - profits exceeded their budgets by $10,247; and WHEREAS, the budget for the Child Care Assistance Program was $18,133 higher than State funding; and WHEREAS, the Building and Grounds Fund revenues budget needs to be increased by $2,700 to match the KAMI (Kodiak Alliance for the Mentally III) grant; and WHEREAS, the actual State Coastal Management Grant was $25,950 and only $24,900 was budgeted; and WHEREAS, Fund 234, L.E.P.C. (Local Emergency Planning Committee) grant needs to be increased by $17,937 to record acceptance of a FEMA (Federal Emergency Management Agency) grant; and WHEREAS, part of the 2000F Bond Issue, EPA loan costs, and some of the bond issuance costs were not budgeted; and WHEREAS, it was decided to set up the Womens Bay community planning revision as a capital project fund; and WHEREAS, some allocated salaries in the Solid Waste Fund and Hospital Enterprise Fund had to be corrected in FY2003; NOW, THEREFORE, BE IT ORDAINED BY THE ASSEMBLY OF THE KODIAK ISLAND BOROUGH THAT: Section 1: The General Fund Revenue Budget be increased by $53,627 to increase the Borough Clerk's Department by $10,000.00, Health and Sanitation by $5,195, Culture and Recreation by $5,052, and transfers out by $33,380. Section 2: The Child Care Assistance Program be reduced by $18,133. Section 3: Increase the Building and Grounds Fund by $2,700, with the increase in the expenditure budget going to the MHC apartments department. Section 4: Increase Fund 230 Coastal Management Program by $1,050 to recognize the actual funds received. Kodiak Island Borough, Alaska Ordinance No. 2002 -10D Page 1 of 8 Fund 100 General Fund Revenues: Property Tax Boat & Motor Vehicle Tax Payment in Lieu of Taxes Severance Taxes Penalties & Int on tax Licenses and Permits Federal Shared Revenue State Revenue Sharing Municipal Assistance Raw Fish Tax Raw Fish Tax - Offshore Fish Revitalization Other State Revenue Fmes Interest Earnings Miscellaneous Use of Fund Balance Sale of Fixed Assets Transfer In Total Expenditures: Borough Assembly Borough Manager Borough Clerk Borough Attorney Finance Department Management Information Services Assessing Department Engineering/ Facilities Dept Community Development Building Official Economic Development General Administration Emergency Preparedness School District Support Health and Sanitation Culture and Recreation Transfers Out Total Fund 205 Child Care Assistance Program Revenue Expenditures Fund 208 Welfare to Work (DPA Case Management) Revenue 49,891 Expenditures DHSS Welfare to Work DOL Welfare to Work Total Fund 210 Land Sales Revenue Expenditures Kodiak Island Borough, Alaska 02 -10D (draft) Amended As of Difference Budget 06/30/03 6,953,960 6,993,616 (39,656) 101% 187,890 167,618 20,272 89% 538,000 809,933 (271,933) 151% 836,000 677,221 158,779 81% 150,000 130,946 19,054 87% 89,250 116,176 (26,926) 130% 420,030 394,131 25,899 94% 110,000 111,700 (1,700) 102% 120,000 128,514 (8,514) 107% 680,000 796,373 (116,373) 117% 60,000 44,395 15,605 74% - 362,963 (362,963) 0% 13,000 9,250 3,750 71% 800 455 345 57% 250,000 168,213 81,787 67% 42,860 36,079 6,781 84% 2,052,705 - 2,052,705 0% 5,000 - 5,000 0% 1,000,000 1,000,000 - 13,509,495 11,947,584 1,561,911 88% 156,250 150,020 6,230 96% 200,960 191,088 9,872 95% 274,938 282,180 (7,242) 103% 2,584,200 2,519,766 64,434 98% 479,748 424,507 55,241 88% 399,968 303,579 96,389 76% 247,280 220,133 27,147 89% 96,635 87,935 8,700 91% 433,806 325,858 107,948 75% 130,000 112,968 17,032 87% 124,100 58,245 65,855 47% 229,660 214,494 15,166 93% 5,500 2,369 3,131 43% 7,618,320 7,621,250 (2,930) 100% 280,900 286,095 (5,195) 102% 147,230 152,282 (5,052) 103% 100,000 100,000 - 0% 13,509,495 13,052,771 456,724 97% 540,000 458,064 81,936 85% 540,000 498,685 41,315 92% 12,825 37,066 26% 49,891 25,569 24,322 51% 49,891 25,569 24,322 51% 881,000 120,536 760,464 14% 881,000 725,114 155,886 82% Budget Amendments Revised Budget 15,247 6,969,207 187,890 538,000 836,000 150,000 89,250 420,030 110,000 120,000 38,380 718,380 60,000 13,000 800 250,000 42,860 2,052,705 5,000 1,000,000 53,627 13,563,122 156,250 200,960 10,000 284,938 To cover change in health insuranse and 2,584,200 holding an additional election. 479,748 399,968 247,280 96,635 433,806 130,000 Low by 20 to 40K 124,100 229,660 5,500 7,618,320 5,195 286,095 Tc cover over -run 5,052 152,282 Tc cover over -run 33,380 133,380 Transfer to Womens Bay planing grant 53,627 13,563,122 (18,133) 521,867 To match State funding. (18,133) 521,867 To match State funding. 49,891 49,891 49,891 881,000 881,000 To pay for over -runs in Culture and Recreation and Health and Sanitation. Also $5,000 to Clerks office to cover Health Insurance change and additional election To cover transfer to Womens Bay planing grant Ordinance No. 2002 -10D Page 3 of 8 02 -10D (draft) Amended As of Difference Budget Revised Budget 06/30/03 % Amendments Budget Fund 220 Bwldings and Grounds Revenues 1,060,050 1,065,658 (5,608) 101% 2,700 1,062,750 Match revenues to actual Kami Grant Expenditures Engineering Facilities - - - Borough Building 499,080 224,805 274,275 45% 499,080 MHC Apartments 6,000 12,861 (6,861) 2,700 8,700 Match revenues to actual Kami Grant School Buildings 527,230 330,148 197,082 63% 527,230 Parks 27,740 31,501 (3,761) 114% 27,740 Total Expenditures 1,060,050 599,315 460,735 57% 2,700 1,062,750 Fund 225 Insurance deductables Revenues 100,000 100,000 - 100,000 Expenditures 100,000 100,000 Fund 230 Coastal Management Revenues 24,900 10,289 14,611 41% 750 25,650 Increase per grant Expenditures Expenditures -CMG Regular 24,900 24,555 345 99% 750 25,650 Expenditures -CMG Special - - - - - Total Expenditures 24,900 24,555 345 99% 750 25,650 Fund 234 L.E.P.C. Revenues 20,000 10,670 9,330 53% 17,937 37,937 To record acceptance of FEMA grant Expenditures Expenditures -I.EPC 20,000 20,000 100% - 20,000 Expenditures -FEMA grant 17,937 17,937 To record acceptance of FEMA grant Total Expenditures 20,000 20,000 100% 17,937 37,937 Fund 240 Womens Bay Road Service Revenues 140,500 114,438 26,062 81% 140,500 Expenditures 140,500 82,684 57,816 59% 140,500 Fund 242 Service District No. 1 Revenues 237,550 179,629 57,921 76% 237,550 Expenditures 237,550 84,908 152,642 36% 237,550 Fund 243 Service Area No. 2 Revenues 200 41 159 0% 200 Expenditures 200 1 199 0% 200 Fund 244 Monaska Bay Road District Revenues 23,400 25,367 (1,967) 108% 23,400 Expenditures 23,400 13,565 9,835 5846 23,400 Fund 246 Bay View Road Service Area Revenues 5,470 6,011 (541) 110% 5,470 Expenditures 5,470 3,997 1,473 7346 5,470 Fund 250 Fire Protection Area No. 1 Revenues 417,930 326,468 91,462 78% 417,930 Expenditures 417,930 189,563 228,367 45% 417,930 Fund 252 Womens Bay Fire Department Revenues 97,260 89,727 7,533 92% 97,260 Expenditures 97,260 71,196 26,064 73% 97,260 Fund 254 MB Airport Fire District Revenues 16,900 16,981 (81) 100% 16,900 Expenditures 16,900 16,585 315 98% 16,900 Kodiak Island Borough, Alaska Ordinance No. 2002 -10D Page 4 of 8 02 -10D (draft) Amended As of Difference Budget Revised Budget 06/30/03 % Amendments Budget Fund 260 Woodland Acres Street Lights Revenues 9,000 377 8,623 4% 9,000 Expenditures 9,000 5,505 3,495 61% 9,000 Fund 275 Kodiak Arts Council Revenues 55,820 50,334 5,486 90% 55,820 Expenditures 55,820 53,584 2,236 96% 55,820 Fund 276 Facilities Fund Revenues 14,012,944 12,792,644 1,220,300 91% 14,012,944 Expenditures/Transfers Out: Building Insurance 622,560 622,560 - 100% 622,560 Insurance Contengency 46,083 46,083 0% (46,083) reduce transfer to fund 225 by $46,083. Debt Service 462,670 462,670 100% (75,000) 387,670 Reduce transfer to Fund 300 by $75,000 Capital Projects 53,917 53,917 - 100% - 53,917 Interest eamings not available to trans. Contengencies 12,827,714 0% 121,083 12,948,797 Total Expenditures 14,012,944 1,139,147 46,083 8% 14,012,944 Fund 277 Tourism Development Revenues 45,000 30,452 14,548 68% 45,000 Expenditures 45,000 45,000 100% 45,000 Fund 300 Debt Service Revenues 2,178,770 1,870,631 308,139 86% 124,000 2,302,770 $199,000 will have to come from Fund Bal. Expenditures $75,000 returned to Fund 276. Expenditures - School Debt 1,060,120 1,170,071 (109,951) 110% 110,000 1,170,120 EPA and 2000 F not budgeted Expenditures - Hospital Debt 1,111,880 1,123,986 (12,106) 101% 14,000 1,125,880 Bond issuance costs not budgeted Expenditures- KarlukLoans 6,770 6,759 11 100% 6,770 Expenditures -Other Debt - - - Total Expenditures 2,178,770 2,300,816 (122,046) 106% 124,000 2,302,770 Fund 310 Debt Service - Other Revenues Expenditures Kodiak Island Borough, Alaska Ordinance No. 2002 -10D Page 5 of 8 Capital Projects Fund 410 - Borough Capital Projects: 02 -10D (draft) Amended As of Difference Budget Revised Budget 06/30/03 % Amendments Budget Revenues: Interest Earnings 162,161 4,603 157,558 3% 162,161 Miscellaneous - 50 (50) #D1V /0! - Sale of 2000 Series E Taxable Bonds 1,192,870 1,192,870 - 100% 1,192,870 State Matching Grant 150,000 150,000 - 100% 150,000 Total Revenues 1,505,031 1,347,523 157,508 #DTV /0! 1,505,031 Operating Transfers In: General Fund 499,611 499,611 100% 30,380 529,991 Land Sales 50,000 50,000 100% - 50,000 Facilities Fund 545,775 545,775 100% 545,775 Debt Service - 0% Hospital - 0% Bayside Fire Department 400,000 400,000 - 100% 400,000 GIS - Funds 100, 210 20,000 20,000 100% 20,000 Transfers in 53,917 53,917 100% 53,917 Total Operating Transfers In 1,569,303 1,569,303 30,380 1,599,683 Total Revenues 3,074,334 2,916,826 157,508 95% 30,380 3,104,714 Projects: 85 Village Metals Removal 150,000 120,994 29,006 81% 150,000 105 Anton Larsen Dock 140,000 139,580 420 100% 140,000 114 State Airport Improvements 11,000 60 10,940 1% - 11,000 117 Helipad Striping 3,000 3,000 0% (3,000) - 130 East Elementary Doorways 4,200 - 4,200 0% - 4,200 133 Red Cross Building Repairs 12,000 11,153 847 93% 12,000 146 BMX Bike Trail 55,000 49,278 5,722 90% 55,000 159 Borough Parks 26,500 27,106 (606) 102% 26,500 173 Bayside classroom equipment 75,000 48,199 26,801 64% 75,000 174 Bayside Storage Addition & Engine Bay 400,000 20 399,980 0% 400,000 182 State Fair & Rodeo Water Project 25,000 24,024 976 96% 25,000 00102 Bayside Underground Electrical 22,000 - 22,000 0% 22,000 00105 Matching School Repair FY -00 54,330 54,330 - 100% 54,330 00106 MIS Study 30,000 29,983 17 100% 30,000 01101 Matching School Repair FY -01 53,742 53,742 - 100% 53,742 01105 K}IS Roof Repair /2000F Series 968,106 771,737 196,369 80% 968,106 02109 Matching School Repairl FY -01 53,345 53,596 (251) 100% 53,345 02110 GIS Project 20,000 20,276 (276) 101% 20,000 03100 Weatherproof HS Penthouse walls 50,000 - 50,000 0% 50,000 03101 IRMA Cricket installation and cleaning 80,000 78,880 1,120 99% 80,000 03102 KHS asbestos abatement & carpet installation 100,000 - 100,000 0% 100,000 03103 East & Main elementary paint 50,000 969 49,031 2% 50,000 03104 Refinish wooden gym floors 60,000 55,691 4,309 93% 60,000 03105 Northstar School road/parking lot design 50,000 22,795 27,205 46% 50,000 03106 KHS emergency generator 50,000 - 50,000 0% 50,000 03108 Borough Building additional parking 50,000 - 50,000 0% 50,000 03107 IRMA roof cleaning and repair 20,000 20,000 - 100% 20,000 03109 Borough Building air handling penthouse 10,000 - 10,000 0% 10,000 03110 Borough Building emergency generator 20,000 2,353 17,647 12% 20,000 03111 Borough Building security doors 8,000 - 8,000 0% 8,000 03117 School Repair/Matching Grant 53,917 52,423 1,494 97% 53,917 WB Conan Plan Revision - 0% 33,380 33,380 Transfer from CD. See C 2002 -27 Baler Oil/Water Wastewater Building engineering 0% Baler Oil/Water Wastewater Building construction - - - 0% 400 Undesignated 369,194 18,324 350,870 5% 369,194 Transfer Out 100 - - - 0% - - TotalBoroughProjects 3,074,334 1,655,515 1,418,819 54% 30,380 3,104,714 Kodiak Island Borough, Alaska Ordinance No. 2002 -10D Page 6 of 8 02 -10D (draft) Amended As of Difference Budget Revised Budget 06/30/03 % Amendments Budget Fund 430 -State Capital Grant Projects: Revenues: Clean Water Grant -DEC 50,000 50,000 0% 50,000 Loan Proceeds - Karluk Clean Water Project 350,000 350,000 0% 350,000 KIB Waste Management Implementation 1,741,400 24,243 1,717,157 1% 1,741,400 Anton Larsen Bay Boat Ram 400,000 882 399,118 0% 400,000 Department of Agriculture - 0% - Oil Spill Response Equipment 400,000 400,000 0% 400,000 School Repair 377,972 14,447 363,525 4% 377,972 03114 CLAP Grant 189,985 189,985 0% 189,985 Tide Gate 10,000 10,000 0% 10,000 Chiniak Grant 20,000 4,000 16,000 20% 20,000 Hospital needs assessment 54,000 - 54,000 0% - 54,000 ADF &G, fish research 200,000 2,176 197,824 1% 200,000 Total Revenues 3,793,357 45,749 3,747,608 0 3,793,357 Projects: 142 Clean Water Fund/Karluk Planning 50,000 23,192 26,808 46% 50,000 164 KIB Waste Management Implementation 1,741,400 330,367 1,411,033 19% 1,741,400 169 Clean Water Fund/Karluk Construction 350,000 89,189 260,811 25% 350,000 177 Anton Larsen Bay Boat Ram 400,000 566,475 (166,475) 142% 400,000 184 Oil Spill Response Equipment 400,000 399,411 589 100% 400,000 00100 High School Repair FY00 126,770 80,714 46,056 64% 126,770 00104 Tide Gate 10,000 8,904 1,096 89% 10,000 01100 High School Repair FY 01 125,398 125,398 - 100% 125,398 02107 ADF &G Research Study 200,000 64,991 135,010 32% 200,000 03114 CIAP Grant 189,985 20,008 169,977 11% 189,985 03115 Hospital needs assessment 54,000 - 54,000 0% 54,000 Paid through fund 540 03116 School Repair 125,804 110,762 15,042 88% 125,804 03118 Chiniak Multi-use Grant 20,000 3,895 16,105 19% 20,000 Total Expenditures 3,793,357 1,823,305 1,970,052 7 3,793,357 Kodiak Island Borough, Alaska Ordinance No. 2002 -10D Page 7 of 8 Amended Budget Fund 490 Enterprise Funds Capital Projects Landfill Closeout/Leachate Treatment 3,000,000 Hospital 740,000 Total Revenues 3,740,000 165 Landfill Closeout/Leachate Treatment 03112 Hospital access and parking, Phase I& E 03113 Specialty Clinic roof repair /replacement Total Expenditures Fund 530 Solid Waste Collection/Disposal Revenues Waste Collection Waste Disposal Total Expenditures Fund 540 Hospital Enterprise Fund Revenues: State Shared Revenues Interest Earnings Fuller Trust Proceeds Providence Hospital Lease Kodiak Island Health Care Foundation Gain on sale of assets Revenues fromHospital Operations Other Financing Sources Use of Retained Earnings Total Revenues Expenditures and Transfers: Expenditures Total Expenditures Fund 560 - Telephone 911 Service Revenues Expenditures Kodiak Island Borough, Alaska 3,000,000 700,000 40,000 3,740,000 2,812,990 2,875,901 (62,911) 102% 1,286,730 1,526,260 2,812,990 Fund 555 - Kodiak Fisheries Research Center Revenues 1,983,843 Expenditures Research Facility 1,950,051 Dorm Facility 33,792 1,983,843 02 -10D (draft) As of Difference 06/30/03 (100,000) 3,100,000 -3% 740,000 0% (100,000) 3,840,000 (0) 2,242,193 757,807 75% 4,417 695,583 1% 60,112 (20,112) 150% 2,242,193 1,497,807 60% 1,314,814 (28,084) 102% 1,193,980 332,280 78% 2,508,795 304,195 89% 40,000 48,857 (8,857) 122% 655 (655) 60,000 56,428 3,572 94% 720,000 720,000 - 100% 70,000 70,000 0% - (21,478) 21,478 200,000 200,000 0% 598,540 598,537 3 100% 1,688,540 1,403,000 285,540 83% 1,688,540 1,627,781 60,759 96% 1,688,540 1,627,781 60,759 96% 2,008,194 (24,351) 101% 1,667,953 282,098 86% 22,223 11,569 66% 1,690,176 293,667 85% 69,000 68,003 997 99% 69,000 70,500 (1,500) 102% Budget Amendments 12,000 2,824,990 To match budgeted allocated salaries. 5,000 7 000 12,000 Revised Budget 3,000,000 740,000 3,740,000 3,000,000 700,000 40,000 3,740,000 1,291,730 1,533,260 2,824,990 40,000 60,000 720,000 70,000 5,000 205,000 To match budgeted allocated salaries. 598,540 5,000 1,693,540 5,000 1,693,540 Budgeted in 100 105 allocated salaries. 5,000 1,693,540 1,983,843 1,950,051 33,792 1,983,843 69,000 69,000 Budgeted in 100 105 allocated salaries. Budgeted in 100 105 $SKallocated salaries. and $2K in 100 140 not budgeted in 530 Ordinance No. 2002 -10D Page 8 of 8 Section 5: Increase the LEPC budget by $17,937 to reflect the FEMA grant. Section 6: Increase the Debt Service Fund by $124,000, with $110,000 going to school debt and $14,000 going to hospital debt. This will be funded by a use of Fund Balance. Section 7: In Fund 530, Solid Waste Collection /Disposal interest earnings will be increased by $12,000 to pay for allocated salaries. Section 8: In Fund 540, Hospital Enterprise Fund, a $5,000 use of retained earnings will be used to pay for allocated salaries. ATTEST: ADOPTED BY THE ASSEMBLY OF THE KODIAK ISLAND BOROUGH THIS FOURTH DAY OF SEPTEMBER, 2003 KODIAK ISLAND BOROUGH Gabrielle LeDoux, Borough Mayor udith A. Nielsen, C, Borough Clerk Kodiak Island Borough, Alaska Ordinance No. 2002 -10D Page 2 of 8