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HomeMy WebLinkAbout21- Finance CITY OF SAN BERNA"INO REQUEST FOB' COUNCIC4ACTION u� =rom: BARBARA PACHON, DIRECTOR OF FINANCE Subject: 1994/95 CONTINUING APPROPRIA',TiON AND ENCUMBRANCE CARRYOVERS ' )ept: FINANCE )ate: NOVEMBER 2, 1995 synopsis of Previous Council action: Annual approval of carryovers from prior year's budget to current operating budget. lecommended motion: That the report of proposed 1994/95 Continuing Appropriation and Encumbrance carryovers as submitted by the Director of Finance be approved. y Signature ;ontact person: Barbara Pachon, Director of Finance Phone: ext. 5242 supporting data attached: Ward: =UNDING REQUIREMENTS: Amount: Source:_(Acct. No.) (Acct. Description) Finance: :ouncil Notes: '5-0262 Agenda Item No. �� CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION STAFF REPORT The purpose of this report is to submit to Council the FY 1994-95 Continuing Appropriation and Encumbrance report and to receive approval to carryover these items into FY 1995-96. All items included on the Continuing Appropriation -and Encumbrance report were originally included in the FY 1994-95 approved budget, but were not actually expended during the fiscal year. Since these items were budgeted in FY 1994-95 and not expended, the funds remain available but can not be expended until they are moved into the new fiscal year. Traditionally, these carryovers consist of various capital items and items specific to particular projects that were not completed by the end of the fiscal year. An item is placed on the Encumbrance report if a purchase order has been issued to a specific vendor for the item. Usually items on an Encumbrance report indicate that there is a back order, a long delivery time period, or the item or service has been received but the department has not submitted final approval to Finance to make payment. An item is placed on the Continuing Appropriations report when a purchase order has not been issued yet or the project covers multi fiscal years. A purchase order is only issued after an appropriate vendor has been identified and the department is ready to begin the project. When the Council gives approval for a project, all funds needed for the project are budgeted. Whatever part of a project is not completed by the end of the fiscal year, the funds are requested to be carried over to continue the project in the next fiscal year. The Continuing Appropriation and Encumbrance carryovers are not prepared in concurrence with the FY 1995-96 budget due to additional time needed for the receipt and processing of FY 1994-95 vendor invoices. Finance received and paid FY 1994-95 vendor invoices through the month of August. This fact, in conjunction with normal year end close procedures, delays the compilation of carryovers until October. CITY OF SAN BERNARDINO Continuing Appropriations From FY95 to 'FY96 ACCOUNT DESCRIPTION AMOUNT 001-000-4670-0000 Revenue-EDA Rental Housing (529,400) 001-XXX-5XXX-0000 Rental Housing Program 606,200 001-014-5133-0000 Human Relations - Training 500 001-015-5505-0000 Mayor-Late Nite Hoops 48 000 001-173-5702-0000 Plan/Build-Sierra System Computer 19, 000 001-176-5011-0000 Plan/Build-Rio Vista Salaries 28, 100 001-176-5505-0000 Plan/Build-Abandon Sign Program 26, 600 001-203-5011-0000 Fire-Rio Vista-Salaries 28, 100 001-206-5111-0000 Emergency Search & Rescue supplies 4, 900 001-381-5193-0000 Park/Recreation-Grant Matching Funds 49 000 0 GENERAL FUND 282,000 124-234-5112-0000 Small Tools and Equipment 2,200 ANIMAL CONTROL FUND 2,200 126-369-5504-1402 Mill/Pepper-Meridian Widening 108, 000 126-369-5504-1520 Resurface Various Streets 420, 300 126-369-5504-1724 Mill/I St-H St Widen to 64' 49, 000 126-369-5504-1786 Widen Kendall @ Devils Cy Crk 1,800 126-369-5504-7001 Foothill Dr/Little Sand Creek 76 200 126-369-5504-7003 Rancho Ave Improvements 27 600 r GAS TAX FUND 682,900 129-367-5504-1521 Resurface City/Major Arteries 497,500 129-367-5504-1727 Congestion Mgmt Model 110, 600 129-367-5504-1729 Rialto/SFRR Gate Crossing 134, 000 1/2 CENT SALES TAX FUND 742,100 131-372-5504-1384 E St/6th-10th Upgrade Signals 46, 500 131-372-5504-1536 E St/34th St install signal 45 500 STATE SB 300 FUND 92,000 132-371-5505-1783 Rehab Sewer Manholes 189,700 SEWER MAINTENANCE FUND 189,700 241-361-5710-0000 Unappropriated Funds Ward 3 9, 000 241-361-5711-0000 Unappropriated Funds Ward 4 14, 100 241-361-5712-0000 Unappropriated Funds Ward 5 4, 000 241-361-5713-0000 Unappropriated Funds Ward 6 15,300 241-261-5714-0000 Unappropriated Funds Ward 7 11,800 241-361-5706-1731 Various Projects 6, 200 241-361-5706-1732 Refurbish Ballfields 12,400 241-361-5706-1734 Irrigation All Parks 800 241-361-5706-1735 Tables @ Perris Hill Park 2, 100 November 8, 1995 CONTINUING APPROPRIATIONS Page I CITY OF SAN BERNARDINO Continuing Appropriations From FY95 to FY96 ACCOUNT DESCRIPTION AMOUNT 241-361-5706-1736 5-Shultis Park Trash Container 500 241-361-5706-1737 Asbestos Removal Var City Parks 400 241-361-5706-1738 5-Blair Park Furnishings, Etc. 1, 600 241-361-5706-1739 Seccombe Lake Fishing Stocking 3 , 000 241-361-5706-1740 4 & 7-Speicher Parking Lot 1, 600 241-361-5706-1741 6-Boys & Girls Club Scrubber 3 , 000 241-361-5706-1742 1-Scoreboard & Rec Equipment 200 241-361-5706-1744 5-Benches LittleField/Schultis 1,500 241-361-5706-1745 2-Water Slide Perris Hill Park 1, 000 241-361-5706-1771 6-Shirrells Pk Water Fountain 1,500 PARK E%TENSION FUND 90,000 242-362-5504-1519 Box Culvert N H St 169, 300 242-362-5504-1537 Waterman/Gilbert Left Turn 34,800 242-362-5504-1746 Signal Kendall @ New Pine 116, 000 242-362-5504-1748 Rialto/SFRR Separation 196, 000 242-362-5504-1749 Highland/Del Rosa Channel 27, 500 242-362-5504-1750 E St Grade Crossing #2U-1. 0 98, 000 242-362-5504-1894 Guardrail-Palm (Aka Alabama) 38, 000 242-362-5504-1993 Tippecanoe/Del Rosa Connector 3, 649,700 242-362-5502-1996 Orange Show Road Extension 2, 320, 300 242-362-5504-7002 Sn Bdno Ave/Mt View-Richardson 250, 000 242-362-5504-7029 Pine Ave Realignment 131,800 CONSTRUCTION FUND 7,031,400 243-363-5504-1751 Lytle Creek Picnic Area 30, 000 243-363-5504-1752 Sierra Park Improvements 25, 000 243-363-5504-1753 Guadalupe Field 243-363-5504-1755 Wildwood Park-Rehab Restroom 3, 800 243-363-5504-1756 Tot Lots Play Equipment 20, 000 243-363-5504-1757 Wildwood Picnic Area 3, 000 25, 000 243-363-5504-1758 Palm Field Pkg Lot Rehab 243-363-5504-1759 Harrison Canyon Park 5, 000 18,900 243-363-5504-1777 Patton Park Development 528,900 243-363-5504-1804 Rio Vista Park Development 243-363-5504-1823 Buckboard Park 14,800 243-363-5504-1837 Nunez Park Development 200, 900 243-363-5504-1863 Blair Park Jog/Walk Course 71, 000 58,400 243-363-5504-1864 Rehab Security Lights 268, 600 243-363-5504-1925 Blair Park Development 243-363-5504-1941 Park Furnishings-City Wide 6, 300 243-363-5504-1944 A1Guhin Park Development 4,800 243-363-5504-1945 Seccombe Park Development 14,200 54,800 PARK CONSTRUCTION FUND 1,353,400 245-365-5504-1296 Line Extension Engineering 4, 700 245-365-5504-1514 Sewer Main Orange Show Road 383 , 600 November 8, 1995 CONTINUING APPROPRIATIONS Page 2 CITY OF SAN BERNARDINO 0 Continuing Appropriations From PY95 to FY96 ACCOUNT DESCRIPTION AMOUNT 245-365-5504-1526 Interceptor-Mill/I to 5th/J 1,840, 600 245-365-5504-1527 Interceptor-Mill/L to Med Ctr 837, 000 245-365-5504-1528 Interceptor-Med Ctr/6th-16th 208, 800 245-365-5504-1529 Interceptor-Med Ctr/16th-27th 376, 000 245-365-5504-1762 Cajon/Little League-Devore 1,846, 800 245-365-5504-1926 City's Share of Sewer Extensions 632, 700 SEWER LINE CONSTRUCTION FUND 6,130,200 246-366-5504-1518 Pavement Lynwood Drive 227, 000 246-366-5504-1760 Highland/Victoria Traffic Signal 99 900 246-366-5504-1905 Victoria/Highland 130, 000 INDIAN BINGO SETTLEMENT FUND 456,900 248-368-5504-1294 Storm Drain Improvement 600 248-368-5504-1531 Kendall/Little Mtn Dr 25, 000 248-368-5504-1532 Kendall/H St Extend Pipe Ca 31, 600 248-368-5504-1761 Bailey Creek-Belmont to Ohio 2,434, 400 248-368-5504-1763 Vernon/Baseline-Lytle Creek 3 ,848,700 248-368-5504-1765 Ohio Ave/Olive to Bailey Creek 99600 248-368-5504-1882 North Verdemont Elem School 43 ,800 248-368-5504-7030 Strom Drain I St Santa Fe Project 471, 000 STORM DRAIN CONSTRUCTION FUND 6,954,700 250-370-5504-1501 Tippecanoe I-10/Hospitality 17,200 250-370-5504-1535 Kendall/H St Traffic Signal 62 900 250-370-5504-1701 Kendall/Little Mtn Dr Left Turn 61, 000 250-370-5504-1710 Mill/Macy Traffic Signal 120, 000 250-370-5504-1711 Waterman/Gilbert-16th Interconnect 7,500 250-370-5504-1716 Baseline/Perris-Massachusetts 7,500 250-370-5504-1766 Little Mtn Dr/48th St 97,500 250-370-5504-1767 Mill/Lena 10, 000 250-370-5504-1911 Signals Mill St & Meridian Ave 20,400 TRAFFIC SYSTEMS CONSTRUCTION FUND 404,000 TOTAL ALL FUNDS 24,411,500 November 8, 1995 CONTINUING APPROPRIATIONS Page 3 CITY OF SAN BERNARDINO Encumbrances Carry Over From.FY95 to FY96 ACCOUNT DESCRIPTION AMOUNT 001-051-5502-0000 Other Professional services 6, 400 001-051-5702-0000 Computer Equipment 60, 000 001-092-5702-0000 Computer Equipment 95, 900 001-176-5702-0000 Computer Equipment 1, 600 001-177-5702-0000 Computer Equipment 1, 600 001-213-5702-0000 Computer Equipment 10, 500 001-224-5502-0000 Prof Contractual Services 6, 000 001-321-5702-0000 Computer Equipment 2, 000 001-322-5704-0000 Miscellaneous Equipment 7, 900 001-403-5704-0000 Miscellaneous Equipment 10, 000 GENERAL FUND 201,900 108-271-5702-0000 Computer Equipment 48, 000 ASSET SEIZURE FUND 48,000 110-352-5701-0000 Motor Vehicles 13 , 800 110-352-5703-0000 Communications Equipment 5,400 PARKING DISTRICT FUND 19,200 111-241-5704-0000 Miscellaneous Equipment 3 , 800 RIDE SHARING FUND 3,800 124-234-5701-0000 Motor Vehicles 74, 000 ANIMAL CONTROL FUND 74,000 127-411-5505-0000 Other Professional Services 4, 300 127-412-5505-0000 Other Professional Services 19, 900 127-413-5112-0000 Small Tools & Equipment 25, 100 127-413-5704-0000 Miscellaneous Equipment 13 , 300 127-415-5505-0000 Other Professional Services 17, 000 REFUSE FUND 79, 600 635-341-5701-0000 Motor Vehicles 249, 300 MOTOR POOL FUND 249,300 TOTAL ALL FUNDS 675,800 November 2, 1995 FY95 ENCUMBRANCES CARRY OVER Page 1