File #: RES 20-0016    Version: 1
Type: Resolution Status: Passed
File created: 3/9/2020 In control: City Council
On agenda: 3/17/2020 Final action: 3/17/2020
Title: #20-16 - Amending the 2020 City of Valdez Budget by Appropriating $6.29MM of Excess Funds Carried Forward from 2019, by Re-allocating $12.5MM of Prior Project Appropriations to Council Approved Capital and Major Maintenance Projects, and by Recognizing $795K of Previously Unbudgeted Revenue
Sponsors: City Council
Attachments: 1. #20-16 AMENDING THE 2020 CITY BUDGET BY APPROPRIATING $6.29MM OF EXCESS FUNDS CARRIED FORWARD FROM 2019, BY RE-ALLOCATING $12.5MM OF PRIOR PROJECT APPROPRIATIONS TO COUNCIL APPROVED CAPITAL AND MAJOR MAINT, 2. Resolution #20-16 Attachment A
ITEM TITLE:
title
#20-16 - Amending the 2020 City of Valdez Budget by Appropriating $6.29MM of Excess Funds Carried Forward from 2019, by Re-allocating $12.5MM of Prior Project Appropriations to Council Approved Capital and Major Maintenance Projects, and by Recognizing $795K of Previously Unbudgeted Revenue

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SUBMITTED BY: Brian Carlson, Finance Director

FISCAL NOTES:
Expenditure Required: $5.13MM
Unencumbered Balance: $6.29MM
Funding Source: General Fund unassigned balance; 2019 actual revenues exceeding budgeted revenues, and 2019 budgeted expenses exceeding actual expenses

RECOMMENDATION:
rec
approve
end
SUMMARY STATEMENT:
This resolution formalizes design and construction projects appropriations as an amendment to the 2020 budget, plus three requests for appropriations to fund operations. It reflects:
* Council approval of continuation of select existing projects
* Council approval of twenty-four new projects, not previously appropriated
* New revenues to fund approved Providence/Valdez projects: $795k
* Recognition of $6.29MM carried forward from 2019
o $5.13MM Appropriated to projects and operations
o $1.16MM Returned to General Fund Balance
* Management requests for appropriations to fund:
o Operations: $419K (not pertaining to projects). Consists of:
* $100,596 to Council Contingency Reserve, to replenish recent uses of this contingency (Parks programming, Grace Jang Solutions)
* $250,000 Tech Reserve, to partially replenish funds used for off-schedule system rebuild following ransomware attack. Insurance claim and related proceeds are pending.
* $68,675 CSO / Prince William Sound College, to fully reimburse for dual-credit program costs in excess of prior-years budgets.
o Major Maintenance project contingency: $480K
* This request brings the overall Major Maintenance project contingency to $500K. Combined with CIP project contingency of $500K, this equals 2.5% of the current projects balance of $40MM
o Pavement Management Phase I addi...

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