Loading...
2000-10A Amending FY2001 BudgetKODIAK ISLAND BOROUGH ORDINANCE NO. 2000 -10A Introduced by: Manager Jensen Requested by: Manager Jensen Drafted by: Finance Director Introduced: 09/21/2000 Public Hearing: 10/19/2000 Amended: 10/19/2000 Adopted: 10/19/2000 AN ORDINANCE OF THE KODIAK ISLAND BOROUGH ASSEMBLY AMENDING ORDINANCE NO. 2000-10 FISCAL YEAR 2001 BUDGET TO REFLECT AMENDMENTS WHEREAS, the General Fund has been decreased to cover the cash deficit in the Mental Health Fund as the Mental Health Fund is no longer an active fund due to the lease with Providence; and WHEREAS, the School District Support has been increased overall with two adjustments, one to decrease the Mental Health Contract from $390,000 to $381,345, and the second to increase the in -kind services for Management Information Services. The adjustments will bring the total In -Kind School District Support to $703,990, equaling the amount in Resolution No. 2000 -17; and WHEREAS, the State of Alaska, Department of Education & Early Development has increased the Child Care Assistance Grant for Fiscal year 2001; and WHEREAS, the Department of Health & Social Services, Division of Public Assistance has decreased the Welfare to Work Grant due to part of the funding going to the Kodiak Area Native Association for Fiscal Year 2001; and WHEREAS, the U.S. Department of Labor, Employment and Training Administration has extended the Welfare to Work Competitive Grant program with the remaining grant balance until June 30, 2001; and WHEREAS, the State of Alaska, Department of Community and Economic Development, Municipal and Regional Assistance Division, Alaska Coastal Management Program, has increased the grant for Fiscal Year 2001; and WHEREAS, the State of Alaska, Department of Military and Veterans Affairs, Division of Emergency Services, Local Emergency Planning Committee, has decreased the grant for Fiscal Year 2001; and WHEREAS, the Peterson Addition Matching Grant, Borough Capital Project #128, is adjusted to reflect actual expenses; and WHEREAS, the Computer Software Acquisition, Borough Capital Project #145, has been decreased to move funds to the MIS Study, Borough Capital Project #00106, as the project will cost more than expected; and Kodiak Island Borough, Alaska Ordinance No. 2000 -10A Page 1 of 3 WHEREAS, the Bayside Storage Addition and Engine Bay, Borough Capital Project #174, is increased for additional work; and WHEREAS, the High School Roof Repair, Borough Capital Project #00101 is being redistributed to account for Matching funds for the State of Alaska Capital Project Matching Grant Awards, Borough Capital Projects #00105 and #01101, for Fiscal years 2000, and 2001; and WHEREAS, the State of Alaska, Department of Community and Economic Development, Community & Business Development Division, has awarded a Capital Project Matching Grant Award, State Capital Project #01100, for Fiscal year 2001; and WHEREAS, the State of Alaska, Department of Community and Economic Development, Community & Business Development Division, Capital Project Matching Grant Award, State Capital Project #00100, is being adjusted to reflect matching funds in Borough Capital Projects for Fiscal year 2001; and WHEREAS, raw fish tax is $103,770 more than originally budgeted; NOW, THEREFORE, BE IT ORDAINED BY THE ASSEMBLY OF THE KODIAK ISLAND BOROUGH THAT: Section 1: Section 2: Section 3: Section 4: Section 5: Section 6: Section 7: This ordinance is not of a general and permanent nature and shall not become a part of the Kodiak Island Code of Ordinances. The Borough fiscal year 2001 budget is amended to decrease the General Fund, Fund 100 in the amount of $323,150.00 and move the amount to the Mental Health Fund, Fund 200, to cover the Mental Health Fund cash deficit and close out this fund due to the lease agreement. The Borough fiscal year 2001 budget is amended to increase the General Fund, Fund 100 in the amount of $6,500.00 for School District Support by decreasing the Mental Health Contract amount by $8,655.00 and increasing the Management Information Services In -Kind Services by $15,155.00. These adjustments will bring the In -Kind School District Support to $703,990.00 equaling the amount in resolution No. 2000 -17. The Borough fiscal year 2001 budget is amended to increase the Child Care Assistance Grant, Fund 205, in the amount of $40,049.00. The Borough fiscal year 2001 budget is amended to decrease the Welfare to Work, DHSS Grant, Fund 208, in the amount of $106,000.00. The Borough fiscal year 2001 budget is amended to increase the Welfare to Work, DOL Grant, Fund 208, in the amount of $13,453.00. The Borough fiscal year 2001 budget is amended to increase the Coastal Management Grant, Fund 230, in the amount of $940.00. Kodiak Island Borough, Alaska Ordinance No. 2000 -10A Page 2 of 3 Section 8: The Borough fiscal year 2001 budget is amended to decrease the Local Emergency Planning Committee Grant, Fund 234, in the amount of $10,500.00. Section 10: The Borough fiscal year 2001 budget is amended to decrease the Peterson Addition Matching Grant, Fund 410, Borough Project #128, in the amount of $100,000.00. Section 11: The Borough fiscal year 2001 budget is amended to decrease the Computer Software Acquisition Project, Fund 410, Borough Capital Project #145, in the amount of $10,000 and move that amount to the MIS Study, Borough Capital Project #00106, Fund 410. Section 12: The Borough fiscal year 2001 budget is amended to increase the Bayside Storage Addition and Engine Bay, Fund 410, Borough Project #174, in the amount of $75,000.00. Section 13: The Borough fiscal year 2001 budget is amended to decrease the High School Roof Repair, Fund 410, Borough Project #00101, in the amount of $108,072.00 and redistribute funds to the Matching School Repair FY -00, Borough Project #00105, in the amount of $54,330, and the Matching School Repair FY -01, Borough Project #01101, in the amount of $53,742.00. Section 14: The Borough fiscal year 2001 budget is amended to increase the High School Roof Repair FY -01, Fund 430, State Capital Project #01100, in the amount of $125,398.00. Section 15: The Borough fiscal year 2001 budget is amended to decrease the High School Roof Repair FY -00, Fund 430, State Capital Project #00100, in the amount of $54,330.00 to account for the amount in the Borough Capital Project Fund 410. Section 16: The budget line item for Raw Fish tax is increased by $103,770 to $923,770 and use of Fund Balance is reduced by $103,770. ATTEST: ADOPTED BY THE ASSEMBLY OF THE KODIAK ISLAND BOROUGH THIS NINETEENTH DAY OF OCTOBER, 2000. J j h A. Nielsen, CM Borough Clerk Kodiak Island Borough, Alaska K ISLAND B GH Gar L. Steve; :orough Mayor Ordinance No. 2000 -10A Page 3 of 3 00 -10A Ammended As of Difference Budget Revised Budget 08/31/00 % Amendments Budget Fund 100 General Fund Revenues: Property Tax 6,796,870 6,918,746 (121,876) 102% - 6,796,870 Boat & Motor Vehicle Tax 198,000 7,935 190,065 4% 198,000 Payment in Lieu of Taxes 478,000 - 478,000 0% 478,000 Severance Taxes 955,620 15,461 940,159 2% 955,620 Penalties & Int on tax 160,000 23,516 136,484 15% 160,000 Licenses and Permits 81,150 16,816 64,334 21% 81,150 Federal Shared Revenue 350,200 - 350,200 0% 350,200 State Revenue Sharing 106,640 - 106,640 0% - 106,640 Municipal Assistance 108,670 110,760 (2,090) 102% - 108,670 Raw Fish Tax 820,000 - 820,000 0% 103,770 923,770 Raw Fish Tax - Offshore 45,000 45,000 0% - 45,000 Other State Revenue 24,000 24,000 0% 24,000 Fines 2,300 - 2,300 0% 2,300 Interest Earnings 250,600 3,109 247,491 1% 250,600 Miscellaneous 15,840 5,391 10,449 34% - 15,840 Use of Fund Balance 122,520 - 122,520 0% 219,380 341,900 Sale of Fixed Assets 2,000 2,000 0% 2,000 Transfer In - Total 10,517,410 7,101,734 3,415,676 68% 323,150 10,840,560 Expenditures: Borough Assembly 142,000 5,474 136,526 4% 142,000 Borough Manager 175,990 22,544 153,446 13% 175,990 Borough Clerk 260,450 31,557 228,893 12% 260,450 Borough Attorney 161,000 57,295 103,705 36% 161,000 Finance Department 381,680 85,694 295,986 22% 381,680 Management Information Services 401,560 99,030 302,530 25% (6,500) 395,060 Assessing Department 307,460 42,332 265,128 14% 307,460 Engineering/ Facilities Dept 131,700 23,255 108,445 18% 131,700 Community Development 400,280 58,249 342,031 15% 400,280 Building Official 112,500 50 112,450 0% - 112,500 Economic Development 49,000 - 49,000 0% 49,000 General Administration 284,290 102,070 182,220 36% - 284,290 Emergency Prepardness 5,500 557 4,943 10% - 5,500 School District Support 6,813,520 123,208 6,690,312 2% 6,500 6,820,020 Health and Sanitation 720,566 75,785 644,781 11% - 720,566 Culture and Recreation 160,914 96,125 64,789 60% - 160,914 Transfers Out 9,000 - 9,000 0% 323,150 332,150 Total 10,517,410 823,225 9,694,185 8% 323,150 10,840,560 Fund 200 Mental Health Revenue - 323,150 323,150 Expenditures - 646 (646) 323,150 323,150 Fund 205 Child Care Assistance Program Revenue 500,000 500,000 0% 40,049 540,049 Expenditures 500,000 52,833 447,167 11% 40,049 540,049 Fund 208 Welfare to Work (DPA Case Management) Revenue 309,830 37,230 272,600 12% (92,547) 217,283 Expenditures DHSS Welfare to Work 215,500 3,206 212,294 1% (106,000) 109,500 DOL Welfare to Work 94,330 1,347 92,983 1% 13,453 107,783 Total 309,830 4,553 305,277 I% (92,547) 217,283 Fund 210 Land Sales Revenue 156,800 47,620 109,180 30% 156,800 Expenditures 156,800 9,335 147,465 6% 156,800 Page 1 Fund 220 Buildings and Grounds Revenues 472,770 15,719 457,051 3% - 472,770 Expenditures Engineering Facilities 275 (275) Borough Building 328,220 37,878 290,342 12% 328,220 MHC Apartments - 1,486 (1,486) School Buildings 114,000 82,441 31,559 72% - 114,000 Parks 30,550 2,958 27,592 10% 30,550 Total Expenditures 472,770 125,038 347,732 26% 472,770 Fund 230 Coastal Management Revenues Expenditures Expenditures -CMG Regular Expenditures -CMG Special Total Expenditures Fund 234 LEPC Program Revenues Expenditures Fund 242 Service District No. 1 Revenues Expenditures Fund 243 Service Area No. 2 Revenues Expenditures Fund 244 Monaska Bay Road District Revenues Expenditures Fund 246 Bay View Road Service Area Revenues Expenditures Fund 254 MB Airport Fire District Revenues Expenditures Ammended As of Difference Budget Revised Budget 08/31/00 % Amendments Budget 25,000 25,000 25,000 00 -10A 25,000 0% 940 25,940 85 24,915 0% 940 25,940 85 24,915 0% 940 25,940 30,000 27,551 2,449 92% (10,500) 19,500 30,000 10,376 19,624 35% (10,500) 19,500 Fund 240 Womens Bay Road Service Revenues 103,440 101,991 1,449 99% 103,440 Expenditures 103,440 1,302 102,138 1% 103,440 151,150 125,334 25,816 83% 151,150 151,150 752 150,398 0% 151,150 200 19 181 0% 200 200 1 199 0% - 200 23,400 22,578 822 96% 23,400 23,400 86 23,314 0% 23,400 5,470 5,046 424 92% 5,470 5,470 19 5,451 0% 5,470 Fund 250 Fire Protection Area No. 1 Revenues 272,500 284,994 (12,494) 105% 272,500 Expenditures 272,500 24,569 247,931 9% 272,500 Fund 252 Womens Bay Fire Department Revenues 60,720 56,149 4,571 92% 60,720 Expenditures 60,720 8,653 52,067 14% 60,720 28,010 14,159 13,851 51% - 28,010 28,010 95 27,915 0% 28,010 Page 2 Ammended As of Difference Budget Revised Budget 08/31/00 % Amendments Budget Fund 260 Woodland Acres Street Lights Revenues 9,000 218 8,782 2% - 9,000 Expenditures 9,000 468 8,532 5% 9,000 Fund 275 Kodiak Arts Council Revenues 51,720 8,513 43,207 16% 51,720 Expenditures 51,720 8,808 42,912 17% 51,720 Fund 276 Facilities Fund Revenues 5,029,142 11,991 5,017,151 0% Expenditures /Transfers Out: 5,029,142 5,029,142 0% Fund 277 Tourism Development Revenues Expenditures Fund 300 Debt Service Revenues 2,830,740 16,378 2,814,362 1% - 2,830,740 Expenditures Expenditures - School Debt 2,050,060 1,373,817 676,243 67% - 2,050,060 Expenditures - Hospital Debt 780,680 174,486 606,194 22% - 780,680 Expenditures -Other Debt - - - - Total Expenditures 2,830,740 1,548,303 1,282,437 55% 2,830,740 Fund 310 Debt Service - Other Revenues Expenditures 42,900 - 42,900 0% - 42,900 42,900 17 42,883 0% 42,900 9,000 9,000 00 -10A 9,000 0% 9,000 0% 5,029,142 5,029,142 9,000 9,000 Capital Projects Fund 410 - Borough Capital Projects: 00 -10A Ammended As of Difference Budget 08/31/00 Revenues: Interest Earnings 674,822 29,400 645,422 4% (25,000) 649,822 Total Revenues 674,822 29,400 645,422 4% (25,000) 649,822 Operating Transfers In: General Fund 1,448,880 1,428,880 20,000 99% 1,448,880 Facilities Fund 496,640 496,640 100% 496,640 Debt Service 68,248 68,248 0% 68,248 Bayside Fire Department 400,000 400,000 - 100% 400,000 Total Operating Transfers In - - - Total Revenues 2,413,768 2,325,520 88,248 96% 2,413,768 Total Revenues 3,088,590 733,670 1 (25,000) 3,063,590 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% - 1 1,000 117 Heliopad Striping 3,000 - 3,000 0% - 3,000 121 New Ambulance Purchase 24,000 - 24,000 0% - 24,000 128 Peterson Addition (Match) 1,269,450 1,169,450 100,000 92% (100,000) 1,169,450 130 East Elementary Doorways 4,200 4,200 0% - 4,200 133 Red Cross Building Reparis 12,000 6,778 5,222 56% - 12,000 145 Computer Software Acquisition 590,000 465,747 124,253 79% (10,000) 580,000 146 BMX Bike Trail 55,000 49,278 5,722 90% - 55,000 152 High School Roof Replacement Design 72,800 6,633 66,167 9% 72,800 159 Borough Parks 26,500 10,231 16,269 39% - 26,500 172 Nixon Ranch Road Project 23,000 1,531 21,469 7% - 23,000 173 Bayside classroom equipment 75,000 48,199 26,801 64% - 75,000 174 Bayside Storage Addition & Engine Bay 325,000 20 324,980 0% 75,000 400,000 182 State Fair & Rodeo Water Project 25,000 11,806 13,194 47% - 25,000 183 School Freezer Relocation 40,000 31,869 8,131 80% - 40,000 00101 High School Roof Repair 200,640 200,640 0% (108,072) 92,568 00102 Bayside Underground Electrical 22,000 22,000 0% - 22,000 00106 MIS Study 20,000 20,000 0% 10,000 30,000 00105 Matching School Repair FY -00 - 0% 54,330 54,330 01101 Matching School Repair FY -01 - 0% 53,742 53,742 Transfer to Fund 420 0% - - Total Borough Projects 3,088,590 2,062,176 1,026,414 67% (25,000) 3,063,590 ° /U Budget Revised Amendments Budget 00 -10A Ammended As of Difference Budget Revised Budget 08/31/00 % Amendments Budget Fund 430 - State Capital Grant Projects: Revenues: Clean Water Grant -DEC 50,000 23,190 26,810 46% 50,000 Loan Proceeds - Karluk Clean Water Project 350,000 82,083 267,917 23% 350,000 KIB Waste Management Implementation 1,585,800 1,585,800 0% - 1,585,800 Landfill Closeout/Lechate Treatment 3,000,000 1,861,348 1,138,652 62% 3,000,000 Anton Larsen Bay Boat Ramp 400,000 40,101 359,899 10% - 400,000 Department of Agriculture 20,000 - 20,000 0% 20,000 Oil Spill Response Equipment 400,000 400,000 - 100% - 400,000 School Repair & Upgrade FY -00 181,100 25,354 155,746 14% (54,330) 126,770 School Repair & Upgrade FY -01 - - 0% 125,398 125,398 Interest Earnings 0% Operating Transfers in: - 0% General Fund 0% Total Revenues 5,986,900 2,432,077 3,554,823 41% 71,068 6,057,968 Projects: 142 Clean Water Fund /Karluk Planning 50,000 23,192 26,808 46% 50,000 164 KIB Waste Management Implementation 1,585,800 26,435 1,559,365 2% 1,585,800 165 Landfill Closeout /Lechate Treatment 3,000,000 1,946,797 1,053,203 65% 3,000,000 169 Clean Water Fund /Karluk Construction 350,000 89,189 260,811 25% 350,000 177 Anton Larsen Bay Boat Ramp 400,000 45,541 354,459 11% 400,000 178 Karluk Clinic - 0% 184 Oil Spill Response Equipment 400,000 400,000 0% 400,000 00100 High School Repair FY00 181,100 - 181,100 0% (54,330) 126,770 00103 Island Lake Creek Fish Passage 10,000 10,000 0% 10,000 00104 Tide Gates 10,000 10,000 0% 10,000 01100 High School Repair FY 01 - - 0% 125,398 125,398 Total Expenditures 5,986,900 2,131,153 3,855,747 36% 71,068 6,057,968 Fund 530 Solid Waste Collection /Disposal Revenues 2,523,808 444,630 2,079,178 18% 2,523,808 Waste Collection 1,1 19,100 116,254 1,002,846 10% 1,119,100 Waste Disposal 1,404,708 149,261 1,255,447 11% 1,404,708 Total Expenditures 2,523,808 265,515 2,258,293 11% 2,523,808 Fund 540 Hospital Enterprise Fund Revenues: State Shared Revenues 40,000 - 40,000 0% 40,000 Interest Earnings 15,000 280 14,720 2% 15,000 Fuller Trust Proceeds 60,000 - 60,000 0% - 60,000 Providence Hospital Lease 720,000 120,000 600,000 17% 720,000 Kodiak Island Health Care Foundation - - - Gain on sale of assets 2,300 2,300 0% 2,300 Revenues from Hospital Operations 240,000 240,000 0% - 240,000 Other Financing Sources 598,540 598,540 0% 598,540 Increase in Retained Earnings - - - Total Revenues 1,675,840 120,280 1,555,560 7% 1,675,840 Expenditures and Transfers: Expenditures 1,675,840 32,188 1,643,652 2% 1,675,840 Total Expenditures 1,675,840 32,188 1,643,652 2% 1,675,840 00 -10A Ammended As of Difference Budget Revised Budget 08/31/00 % Amendments Budget Fund 555 - Kodiak Fisheries Research Center Revenues 1,949,720 1,949,720 0% 1,949,720 Expenditures Research Facility 1,920,270 76,252 1,844,018 4% 1,920,270 Dorm Facility 29,450 1,929 27,521 7% 29,450 1,949,720 78,181 1,871,539 0% 1,949,720 Fund 560 - Telephone 911 Service Revenues 80,000 80,000 0% Expenditures 80,000 80,000 0% 80,000 80,000