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HomeMy WebLinkAbout27-Finance .. ... CITY OF SAN BERNARDINO REQUEST FOR COUNCIL ACTION From: BARBARA PACHON, DIRECTOR OF FINANCE Subj ect: 1995/96 CONTINUING APPROPRIATIONS AND ENCUMBRANCE CARRYOVERS. Dept: FINANCE ORIGINAL Date: NOVEMBER 21, 1996 Synopsis of Previous Council action: Annual approval of carryovers from prior year's budget to current budget. ADi4LN. Ollfl'rC&! 21 NOV % - tj:O""2.. . . .~ Recommended motion: That the report of proposed 1995/96 Continuing Appropriation and Encumbrance carryovers as submitted by the Director of Finance be approved. ~~~- Contact person: BARBARA PACHON, DIRECTOR OF FINANCE Phone: x - 5242 Supporting data attached: Ward: FUNDING REQUIREMENTS: Amount: Source: (Acct. No.) (Acct. Descrintion) Finance: Council Notes: J:J.PJ~/; Agenda Item No.~7 CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION STAFF REPORT The purpose of this report is to submit to Council the FY 1995-96 Continuing Appropriation and Encumbrance report and to receive approval to carryover these items into FY 1996-97. The items included on the Continuing Appropriation and Encumbrance report were not actually expended during fiscal year 1995-96. Since these items were 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 and/or contract 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. This years Continuing Appropriations report is significantly shorter than previous reports. This is due to the fact that Finance and Public Works estimated the capital project funds carryovers and this information was included in the FY 96-97 budget which was adopted. Although some of the final capital projects carryovers could vary slightly from the estimates provided in the Fy 96-97 budget, they have not been relisted in this report. If the Mayor and Common Council would like the final capital projects carryovers this information can be provided. The Continuing Appropriation and Encumbrance carryovers are not prepared in concurrence with the FY 1996-97 budget due to additional time needed for the receipt and processing of FY 1995-96 vendor invoices. Finance received and paid FY 1995-96 vendor invoices through the beginning of September. This fact, in conjunction with normal year end close procedures, delays the compilation of carryovers until November. It is recommended that the attached 1995-96 Continuing Appropriation and Encumbrance Carryovers be approved. CITY OF SAN BERNARDINO CONTINUING APPROPRIATIONS FROM FY96 TO FY97 ACCOUNT NUMBER DESCRIPTION AMOUNT 001- xxx -5xxx-0000 Rental Housing - City Clerk 83,400 001-176-5011-0000 Planning - Rio Vista 35,400 001-203-5011-0000 Fire - Rio Vista 32,300 001-322-5606-0000 Facilities - Envest Lease Jan - June '96 70,400 001-381-5193-0000 Parks - Grant Match 69,600 001-383-5505-0000 Park - Indian Summer Concerts 2,200 GENERAL FUND $ 293,300 107-261-5704-0000 Miscellaneous Equipment 11,000 CABLE TV FUND $ 11,000 527-411-5706-0000 Alterations and Renovations 11,400 REFUSE $ 11,400 635-341-5704-0000 Miscellaneous Equipment 32,000 635-341-5701-0000 Motor Vehicles 457,800 MOTOR POOL FUND $ 489,800 679-251-5702-0000 Computer Equipment 45,500 MIS $ 45,500 TOTAL ALL FUNDS CONTINUING APPROPRIATIONS $ 851,000 " ... CITY OF SAN BERNARDINO ENCUMBRANCE CARRYOVERS FROM FY96 TO FY97 ACCOUNT NUMBER DESCRIPTION AMOUNT 001-013-5704-0000 Mayor - Miscellaneous Equipment 3,900 001-033-5702-0000 City Clerk - Computer Equipment 45,700 001-092-5702-0000 General Gov. - Computer Equipment 171,200 001-121-5702-0000 Finance - Computer Equipment 1,200 001-173-5704-0000 Planning - Computer Equipment 800 001-176-5505-0000 Planning - Other Professional Services 30,200 001-213-5112-0000 Police - Small Tools and Equipment 1,200 001-215-5702-0000 Police - Computer Equipment 7,400 001-221-5111-0000 Police - Materials and Supplies 1,200 001-222-5704-0000 Police - Miscellaneous Equipment 2,600 001-301-5952-0000 Public Works - Consultant Billable to EDA 8,300 001-302-5952-1408 Public Works - Consultant Billable to Water 6,000 001-307-5111-0000 Public Works - Materials and Supplies 7,000 001-322-5706-0000 Facilities - Alterations and Renovations 11,000 001-325-5507-0000 Facilities - Contractual Services 17,300 001-402-5703-0000 Public Services - Communications Equipment 11,900 001-403-5702-0000 Public Services - Computer Equipment 700 001-403-5703-0000 Public Services - Communications Equipment 41,200 001-404-5703-0000 Public Services - Communications Equipment 15,200 001-405-5703-0000 Public Services - Communications Equipment 14,600 001-406-5505-0000 Public Services - Other Professional Services 40,000 001-406-5703-0000 Public Services - Communications Equipment 14,600 001-406-5704-0000 Public Services - Miscellaneous Equipment 4,300 GENERAL FUND $ 457,500 105-471-5111-0000 Library - Materials and Supplies $ 2,100 108-271-5702-0000 Asset Forfeiture - Computer Equipment $ 2,100 257-602-5703-0000 Street Light/Sweeping - Communications Equipment $ 16,800 527-411-5703-0000 Refuse - Communications Equipment 56,400 527-412-5701-0000 Refuse - Motor Vehicles 3,200 527-413-5505-0000 Refuse - Other Professional Services 16,300 Refuse Fund $ 75,900 635-341-5701-0000 Motor Pool - Motor Vehicles 121,900 635-341-5704-0000 Motor Pool - Miscellaneous Equipment 7,500 Motor Pool $ 129,400 679-251-5172-0000 MIS - Equipment Maintenance 34,600 679-251-5505-0000 MIS - Other Professional Services 27,800 679-251-5702-0000 MIS - Computer Equipment 24,700 679-252-5172-0000 MIS - Equipment Maintenance 46,900 MIS Fund $ 134,000 TOTAL ALL FUNDS ENCUMBRANCE CARRY OVERS $ 817,800