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HomeMy WebLinkAbout09-Finance CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION From: Barbara Pachon, Director of Finance CR::::~'~L Subject: Receive and File Report on Budget Amendments Approved by the Mayor And Council On July 23,2001 Dept: Finance Date: July 30, 2001 Synopsis of Previous Council action: July 9, 2001 Mayor and Council adopted Resolution 2001-228, formalizing the adoption of the Final Budget for FY 2001-2002 and established the City's Appropriation Limit. July 23, 2001 Budget Workshop, Mayor and Council discussed and approved budget amendments. Recommended motion: Receive and File Report /fd~ry,r- Contact person: Barbara Pachon. Director of Finance Phone: ext. 5242 Supporting data attached: Yes Ward: FUNDING REQUIREMENTS: Amount: $668.500 Source: (Acct. No.) Various Deoartrnent Accounts (Acct. Descriotion) See StaffReoort Finance: ~cu~/ f?u/~ Council Notes: Agenda Item No. q K/~ /lJl STAFF REPORT SUBJECT: A report to be received and filed on all the budget amendments approved by the Mayor and Council at the Monday, July 23, 2001, budget luncheon workshop. BACKGROUND: On July 9, 2001, the Mayor and Council adopted Resolution 2001-228, formalizing the adoption of the Final Budget for FY 2001-2002 and established the City's ApEropriation Limit as required by Article XIII B of the California State Constitution. Also at the July 9 Council meeting a budget luncheon workshop was set for July 23, 2001 to discuss three outstanding items from the Mayor's list of recommended budget program change requests in addition to several Council and Citizen issues/requests. After some discussion and additional input at the July 23'd budget luncheon workshop, the following budget amendments to the FY 2001-2002 budget were approved: Program Name Curb Appeal Program Expand Graffiti Abatement CVB- Youth Sports Abatement Servs. for Code Homework Ctr._6th Ward Library Staff 2nd Ward Trees Replacement Library Software* Senior Center Capacity Demolitions Total Deoartment Code Code Non-Dept. Public Services Mayor Office Library Public Services Library Parks Code Account Number 001-077-5505 001-077-5505 001-092-5505 001-405-5111 001-011-5502 105-471-50XX 001-404-5502 105-471-5613 001-386-5505 001-071-5505 Amount Aoorooriated $ 25,000 50,000 20,000 25,000 25,000 71,100 14,900 36,000 31,500 370.000 $668,500 *Purchase of the Library software is contingent upon Library and IS Department approval after evaluating software demonstration. FINANCIAL IMPACT: The funds for the above listed budget amendments were appropriated from the budget reserve in the fund balance of the General Fund. The budget reserve per the final adopted budget was projected to be $9,829,900 at 6/30/02. With approval of additional appropriations for the budget amendments above, the budget reserve is now projected to be $668,500 less, or $9,161,400 at 6/30/02. RECOMMENDATION: Since the Mayor and Council already voted and approved the budget amendments listed in this staff report at the July 23'd budget workshop, it is recommended this report be received and filed.