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2011-17 1 RESOLUTION NO. 2011- 17 A RESOLUTION OF THE CITY OF GRAND TERRACE,CALIFORNIA, ADOPTING A BUDGET FOR FISCAL YEAR 2011-12 WHEREAS,the City of Grand Terrace is a general law city incorporated under the laws of the State of California; and WHEREAS,the City of Grand Terrace operates on a fiscal calendar year beginning on July I'of each year and ending on June 3&of the next year; and WHEREAS,the City of Grand Terrace wishes to adopt a budget for the fiscal year 2011-12 for expenditures based on estimated revenues and available fund balance reserves; and WHEREAS, staff has presented an operating and capital budget containing the General Fund, Special Revenue Funds and Capital Funds to meet the needs of the citizens of the City of Grand Terrace; and WHEREAS, on April 12, 2011, the City of Grand Terrace and the Community Redevelopment Agency entered into a loan agreement acknowledging that the City owes the Community Redevelopment Agency of Grand Terrace $3,388,091 and desires to make annual payments to the Agency subject to available funds of the City in each fiscal year. No payment is due in fiscal year 2011-12 and the next payment is due July 1, 2012; and NOW THEREFORE,the City Council of the City of Grand Terrace does hereby resolve, declare, determine, and order as follows: Section 1. The budget for Fiscal Year 2011-12, a copy of which has been filed in the City Clerk's office, is hereby adopted with projected beginning General Fund Balance reserves of$163,373, including designated funds, total General Fund expenditures of$4,599,208 including transfers-out,to be funded by estimated revenues of$4,889,971 including transfers-in. Special Revenue Fund budget is adopted with beginning Special Revenue Fund Balance reserves of$2,999,702, including designated funds, total Special Revenue Fund expenditures of$2,760,301 including transfers-out, to be funded by estimated revenues of$2,341,408including transfers-in. Capital Projects Fund budget is adopted with beginning Capital Projects Fund Balance deficit of$_0. including designated funds,total Capital Projects Fund expenditures of$922,820including transfers-out,to be ( funded by estimated revenues of$922,820 including transfers-in. 2 A summary of the City Budget by fund is referenced in"Exhibit A" Section 2. City Council authorizes the City Manager to make budget adjustments to the adopted budget to reallocate appropriations between departmental activities. Only the City Council, by motion and affirmative majority vote, by minute action or by resolution, may make increases and decreases in estimated fund revenues and fund appropriations. Section 3. No payment will be made in FY 2011-12 on the loan due from the City to the Community Redevelopment Agency. PASSED, APPROVED, AND ADOPTED this 28' day of June, 2011. Attest: City Clerk Mayor ( City of Grand Terrace 1, BRENDA MESA, City Clerk of the City of Grand Terrace, do hereby certify that Resolution No.2011-17 was introduced and adopted at a regular meeting of the City Council of the City of Grand Terrace held on the 28th day of June, 2011, by the following vote: AYES: Council Members Sandoval, McNaboe and Hays; Mayor Pro Tern Garcia; Mayor Stanckiewitz NOES: None ABSENT: None ABSTAIN: None Brenda Mesa, City Clerk 1 RESOLUTION NO. 2011-17 A RESOLUTION OF THE CITY OF GRAND TERRACE,CALIFORNIA, ADOPTING A BUDGET FOR FISCAL YEAR 2011-12 "EXHIBIT X' FY 2011-12 Estimated Revenues and Expenditures and CHANGES IN AV/ILABLE FUND BALANCE R=SERVE -FY 2011-2012- Fund Beginning Revenue Expend. Reservations Ending Fund and Available Balance Designations Fund Balance General Fund 163,373 4,889,971 (4,599,208) 0 454,136 Total 163,373 4,889,971 (4,599,208) 0 454,136 General Fund Special Rev Funds Street Fund 752,411 7,000 (202,611) 0 556,800 Storm Drain 64,919 350 0 0 65,269 Park Fund 218,791 7,100 (17,716) 0 208,175 AB3229 COPS 0 0 0 0 0 Air Quality Fund 55,666 14,250 0 0 69,916 Gas Tax Fund 92,147 405,860 (403,346) 0 94,661 Traffic Safety (40,624) 70,000 (52,313) 0 (22,937) Facilities Dev 206,343 200 (0) 0 206,543 Measure ) 84,251 216,913 (286,704) 0 14,460 Waste Water 1,583,611 1,495,300 (1,674,278) 0 1,384,633 CDBG 0 110,100 (110100) 0 0 LLMD 2,187 14,335 (13,233) 0 3,289 Subtotal Spec 2,999,702 2.341,408 (2,760,301 0 2,580,809 Rev Capital Funds Bike Lane Fund 0 0 0 0 0 Streetlmprov 0 828,732 (828,732) 0 0 Barton Bridge 0 94,088 (94,088) 0 0 Subtotal 0 922,820 (922,820) 0 0 CapFunds Total 3163,075 8,154,199 (8282,329) 0 3034945 CHANGES IN DES GNATED FUND BALANCE DESERVE - FY 2011-2012 - Fund Beginning Revenue Expend. Reservations Ending Fund and Available Balance Designations Fund Balance Special Rev Funds Waste Water 682,760 0 0 0 682,760 lkw Total 682,760 0 0 0) 682,760