HomeMy WebLinkAbout2015-12-8340ORDINANCE NO. 2015-12-8340
AN ORDINANCE REPEALING ORDINANCE 2014-6-8155 AND ADOPTING THE CITY OF PADUCAH, KENTUCKY, REVISED ANNUAL
BUDGET FOR THE FISCAL YEAR JULY 1, 2014, THROUGH JUNE 30, 2015, BY ESTIMATING REVENUES AND RESOURCES AND
APPROPRIATING FUNDS FOR THE OPERATION OF CITY GOVERNMENT.
WHEREAS, an annual budget proposal has been prepared and delivered to the City Commission; and
WHEREAS, the City Commission has reviewed such proposed budget and made the necessary modifications.
BE IT ORDAINED BY THE CITY OF PADUCAH, KENTUCKY:
SECTION 1. That the City of Paducah hereby repeals Ordinance NO. 2014-6-8155 and adopts the following estimate of revenues and resources as
the City of Paducah, Kentucky Revenue Budget for Fiscal Year 2014-2015.
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MUNICIPAL
GENERAL
FY2015
AID
DEBT
GENERAL
PROGRAM
INVESTMENT
CDBG
HOME
FUND
FUND
FUND
FUND
FUND
(01)
(03)
(04
06
08)
SOURCES.
CASH FROM FUND RESERVE
138,275
83,800
REVENUES. -
PROPERTY TAXES
6,595,300
LISC, PERMITS,
OTHER TAXES
23,140,585
592,240
4,664,150
GRANTS, CONTRIBUTIONS
866,010
237,500
FINES & FORFEITURES
102,995
38,570
PROP RENTAL & SALES
414,405
289,000
127,645
(3,370)
CHARGES FOR SERVICES
672,125
52,540
17,940
INTEREST INCOME
124,890
9,630
5,095
RECREATION, OTHER FEES
115,395
64,920
279,030
4,225,000
MISCELLANEOUS
251,880
TOTAL REVENUES
32,283,585
601,870
4,729,070
237,500
(3,370)
FUND TRANSFERS IN
549,465
800,000
315,750
4,378,605
TOTAL SOURCES
32,971,325
1,401,8701
5,044,820
1 237,500
80,430
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GENERAL
FY2015
COURT
DEBT
E911
AWARDS
SERVICE
CEP
BOND
FUND
FUND
FUND
FUND
FUND
12
13
(30)
40
42
SOURCES.
CASH FROM FUND RESERVE
105
REVENUES -
PROPERTY TAXES
LISC, PERMITS,
OTHER TAXES
629,040
581,720
GRANTS, CONTRIBUTIONS
427,975
1,618,610
FINES & FORFEITURES
38,570
PROP RENTAL & SALES
289,000
127,645
CHARGES FOR SERVICES
52,540
17,940
INTEREST INCOME
1,095
1,415
5,095
RECREATION, OTHER FEES
279,030
4,225,000
MISCELLANEOUS
TOTAL REVENUES
1,058,110
39,985
923,260
2,043,225
4,230,095
FUND TRANSFERS IN
518,525
2,200,815
4,378,605
TOTAL SOURCES
L 1,576,740
39,985
1 3,124,075
1 6,421,830
1 4,230,095
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FY2015
SOLID
CIVIC
HEALTH
AEPF/PFPF
WASTE
CENTER
RENTAL
RADIO
INS TRUST
FUND
FUND
FUND
FUND
FUND
(50)
(62)
(63
(64
SOURCES:
72
(73)
(76),(77),(84
SOURCES:
CASH FROM FUND RESERVE
8,875
1,105
11,100
REVENUES:
515
244,240
PROPERTY TAXES
REVENUES:
LISC, PERMITS,
PROPERTY TAXES
OTHER TAXES
LISC, PERMITS,
GRANTS, CONTRIBUTIONS
42,545
OTHER TAXES
FINES & FORFEITURES
PROP RENTAL & SALES
42,185
43,485
139,930
120,095
CHARGES FOR SERVICES
4,453,860
INTEREST INCOME
39,520
PROP RENTAL & SALES
120
6,175
RECREATION, OTHER FEES
3,885
156,765
CHARGES FOR SERVICES
350,715
MISCELLANEOUS
958,100
3,751,410
12,285
INTEREST INCOME
27,805
TOTAL REVENUES
4,581,995
43,485
139,930
126,270
FUND TRANSFERS IN
100
45,985
6,475
TOTAL SOURCES
4,581,995
98,345
1 147,510
137,370
FY2015
FLEET
FLEET
HEALTH
AEPF/PFPF
SERVICE
TRUST
INSUR
INS TRUST
PENSION
FUND
FUND
FUND
FUND
FUND
(70)
(71
72
(73)
(76),(77),(84
SOURCES:
CASH FROM FUND RESERVE
515
244,240
798,975
REVENUES:
PROPERTY TAXES
LISC, PERMITS,
OTHER TAXES
GRANTS, CONTRIBUTIONS
FINES & FORFEITURES
PROP RENTAL & SALES
120
753,030
156,765
CHARGES FOR SERVICES
350,715
958,100
3,751,410
12,285
INTEREST INCOME
27,805
190,380
RECREATION, OTHER FEES
570
100
MISCELLANEOUS
110
TOTAL REVENUES
350,945
780,835
958,100
3,751,980
359,530
FUND TRANSFERS IN
189,385
72,830
385,165
TOTAL SOURCES
540,330
780,835
1 1,031,445
1 3,996,220
1 1,543,670
RACity Clerk\TammyStuff\Eccel\budget 2014-2015-final-revised\Ordinance
SECTION 2. The following sums of money are hereby appropriated for Fiscal Year 2014-2015.
FY2015
GENERAL
FUND
(01)
MUNICIPAL
AID
PROGRAM
FUND
(03)
INVESTMENT
FUND
(04
CDBG
FUND
06
HOME
FUND
(08
APPROPRIATIONS:
GENERAL GOVERNMENT
1,370,230
990,120
FINANCE
967,845
PRDA
163,640
INFORMATION SYSTEMS
586,950
PLANNING
903,605
237,500
46,470
POLICE
9,036,165
17,420
159,160
FIRE
7,896,070
178,630
ENG/PUBLIC WORKS
3,908,685
1,147,955
2,138,680
PARKS SERVICES
2,843,480
224,636
CABLE AUTHORITY
82,255
HUMAN RIGHTS
40,050
ENGINEERING
1,110,250
HUMAN RESOURCES
229,225
INVESTMENT FUND
662,965
DEBT SERVICE / E911
1,576,740
2,975,605
4,225,000
SOLID WASTE OPERATION
FLEET MAINTENANCE
PENSIONS
OTHER (PJC, LEAVE ACCRUAL)
165,635
CASH CARRY FORWRD/RESRV
253,915
55,890
1,459,000
5,095
FUND TRANSFERS OUT
3,667,240
1 4,325,965
1
33,960
TOTAL APPROPRIATIONS
32,971,325
1,401,870
5,044,820
1 237,500
80,430
FY2015
E911
FUND
12
COURT
AWARDS
FUND
13
GENERAL
DEBT
SERVICE
FUND
(30)
CIP
FUND
(40)
BOND
FUND
42
APPROPRIATIONS:
GENERAL GOVERNMENT
990,120
FINANCE
PRDA
INFORMATION SYSTEMS
PLANNING
348,214
POLICE
17,420
159,160
FIRE
178,630
ENG/PUBLIC WORKS
2,138,680
PARKS SERVICES
224,636
CABLE AUTHORITY
HUMAN RIGHTS
ENGINEERING
HUMAN RESOURCES
INVESTMENT FUND
DEBT SERVICE / E911
1,576,740
2,975,605
4,225,000
SOLID WASTE OPERATION
FLEET MAINTENANCE
PENSIONS
OTHER (PJC, LEAVE ACCRUAL)
CASH CARRY FORWRD/RESRV
22,565
148,470
1,459,000
5,095
FUND TRANSFERS OUT
1
1 923,390
TOTAL APPROPRIATIONS
1,576,740
39,985
1 3,124,075
1 6,421,830
1 4,230,095
RACity Clerk\TammyStuff\Exceftudget 20142015-final-revised\Ordinance
FY2015
SOLID
WASTE
FUND
50
CNIC
CENTER
FUND
62
RENTAL
FUND
63
RADIO
FUND
(64
APPROPRIATIONS:
APPROPRIATIONS.-
PPROPRIATIONS.GENERAL
GENERAL GOVERNMENT
GENERALGOVERNMENT
FINANCE
FINANCE
47,370
PRDA
80,775
PRDA
INFORMATION SYSTEMS
PLANNING
POLICE
PLANNING
FIRE
POLICE
ENG/PUBLIC WORKS
37,830
PARKS SERVICES
98,345
ENG/PUBLIC WORKS
CABLE AUTHORITY
HUMAN RIGHTS
ENGINEERING
CABLE AUTHORITY
HUMAN RESOURCES
HUMAN RIGHTS
INVESTMENT FUND
ENGINEERING
DEBT SERVICE / E911
HUMAN RESOURCES
SOLID WASTE OPERATION
3,844,400
958,610
3,996,220
FLEET MAINTENANCE
PENSIONS
DEBT SERVICE / E911
OTHER (PJC, LEAVE ACCRUAL)
SOLID WASTE OPERATION
CASH CARRY FORWRD/RESRV
497,595
FLEET MAINTENANCE
535,495
FUND TRANSFERS OUT
1 240,000
1
109,680
90,000
TOTAL APPROPRIATIONS
1 4,581,995
98,345
147,510
137,370
FY2015
FLEET
SERVICE
FUND
70)
FLEET
TRUST
FUND
71
INSUR
FUND
72
HEALTH
INS TRUST
FUND
73)
AEPF/PFPF
PENSION
FUND
(76), 77 , 84
APPROPRIATIONS.-
PPROPRIATIONS.GENERAL
GENERALGOVERNMENT
FINANCE
691,440
80,775
PRDA
INFORMATION SYSTEMS
PLANNING
POLICE
FIRE
ENG/PUBLIC WORKS
PARKS SERVICES
CABLE AUTHORITY
HUMAN RIGHTS
ENGINEERING
HUMAN RESOURCES
958,610
3,996,220
INVESTMENT FUND
DEBT SERVICE / E911
SOLID WASTE OPERATION
FLEET MAINTENANCE
535,495
PENSIONS
1,462,895
OTHER (PJC, LEAVE ACCRUAL)
CASH CARRY FORWRD/RESRV
4,835
89,395
FUND TRANSFERS OUT
72,835
TOTAL APPROPRIATIONS
540,330
780,835
1,031,445
3,996,220
1,543,670
SECTION 3. The City Manager and Finance Director will publish a budget document which reflects the funding priorities set by the City
Commission during their budget workshops and which will be used to interpret the above appropriations on the City's website.
SECTION 4. The City does hereby adopt the following financial management policies:
A. The General Fund's minimum undesignated cash balance shall be 10% of the General Fund's budgeted expenditures. The Investment Fund's
minimum undesignated cash balance shall be 10% of the Investment Fund's budgeted expenditures. The Solid Waste Fund's minimum unreserved cash balance
shall be 10% of the Solid Waste's budgeted operating expenses. The Debt Service Fund's designated fund balance shall be sufficient to fully fund all outstanding
debt including principal and interest, but not less than $248,000.
B. The City Manager is authorized to transfer budgeted amounts between funds, departmental budget line items, projects and between divisions of
departments and between departments as shown in Section 2.
C. Funds designated as Commission contingency shall be obligated upon approval by the City Commission by municipal order.
D. Funds designated as Administrative contingency shall be obligated at the discretion of the City Manager, however, the Commission shall be
notified five calendar days prior to approval of expenditure. If any individual member of the Board of Commissioners requests Commission review of a
proposed expenditure, the City Manager must bring expenditure before the Commission for approval by municipal order.
E. City Manager shall assure that recurring revenues and resources are greater than or equal to recurring expenditures.
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F. The City Manager has the authority to enact a budget allocation program or to transfer funds to or from any departmental line item appropriation.
G. As new vehicles are acquired the City will fully fund the Fleet Trust Fund in order to replace rolling stock owned by the Fleet Trust Fund as it
achieves obsolescence. The Fleet Trust Fund shall be funded with monthly lease charges assigned to rolling stock as determined by the Finance Director or his
designee. All rolling stock is owned by the Citv's Fleet Trust Fund.
H. The City will maintain a self insurance fund called Health Insurance Trust Fund through the use of user fees as set by administrative policy.
I. The City will continue to maintain the Appointive Employees Pension Fund (AEPF) in a fully funded status through sound financial management
and/or annual General Fund transfers as designated in the budget document. The AEPF may be combined with the PFPF should it be determined, by the Finance
Director, that such a combination is administratively more effective and/or financially prudent.
J. In fiscal year 2006, the City issued a General Obligation Bond for the Police and Firefighters' Pension Fund (PFPF) bringing the fund up to an
actuarially sound bass; however, the multi-year recession starting in fiscal year 2009 reduced the funds corpus leaving a new unfunded liability. Funding is
provided in the General Fund of this ordinance to further address the PFPF unfunded liability.
K. The City will provide to all eligible employees up to a $727.00 per month credit (for the months of July - December 2014) to be applied to the
Comprehensive Health Insurance Benefit Plan (Cafeteria Plan) as directed by the employee. In January 2015, this monthly credit may be adjusted by the City
Commission as they see fit.
L. The City will maintain a special fund called Investment Fund and is considered an extension of the General Fund. The Investment Fund will be
funded with a 1/2 cent increase in the City's occupational license fee (employee payroll withholding tax). This fund is dedicated to the following expenditures
related to: economic development, neighborhood re -development, infrastructure capital investment and property tax relief.
M. The Finance Director or his designee shall place 20% of all cemetery lot sales and 5% of all crypt sales in the Oak Grove Cemetery project
(PF0048). The City Manager or his designee shall be authorized to expend funds from the Oak Grove Cemetery project for the maintenance and upkeep of Oak
Grove Cemetery infrastructure.
SECTION 5. Finance Director is responsible for maintaining current table of Estimated Revenues in Section 1 and Appropriation of Funds in
Section 2 and to provide a copy to the City Clerk.
If during the course of the year the City Commission adopts Ordinances to anticipate new revenues or to make new appropriations, the Finance
Director will update these Tables and provide a copy to the City Clerk.
SECTION 6. This ordinance shall be read on two separate days and will become effective upon publication in full pursuant to KRS Chapter 424.
ATTEST:
jam/
Tammara Sanderson, City Clerk
Introduced by the Board of Commissioners, December 15, 2015
Adopted by the Board of Commissioners, December 17, 2015
Recorded by Tammara Sanderson, City Clerk, December 17, 2015
Published by The Paducah Sun, December 19, 2015
RACity Clerk\TammyStuf Exceltbudget 20142015-final-revised\Ordinance
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