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ORDINANCE NO. 2004-6-6827
AN ORDINANCE ADOPTING THE CITY OF PADUCAH, KENTUCKY, ANNUAL BUDGET FOR THE FISCAL
YEAR JULY 1, 2004, THROUGH JUNE 30, 2005, 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. The following estimate of revenues and resources is adopted as the City of Paducah, Kentucky
Revenue Budget for Fiscal Year 2004-2005.
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MUNICIPAL
HUD
GENERAL
FY2005
HUD
AID
COURT
POLICE
DEBT
GENERAL
SMALL
PROGRAM
CDBG
HOPE
HOME
FUND
GRANTS
FUND
FUND
FUND
FUND
(01)
(02)
(03)
(06
07)
08)
SOURCES:
SOURCES:
23,600
CASH FROM FUND RESERVE
1,155,415
REVENUES:
PROPERTY TAXES
4,984,450
LISC, PERMITS,
0
750,000
449,100
OTHER TAXES
18,882,550
383,000
29,125
GRANTS, CONTRIBUTIONS
881,170
46,000
25,000
130,600
FINES & FORFEITURES
54,000
PROP RENTAL & SALES
291,600
181,205
346,500
CHARGES FOR SERVICES
572,315
1,530
1,000
INTEREST INCOME
110,000
400
RECREATION, OTHER FEES
164,500
1,800
MISCELLANEOUS
30,000
0
TOTAL REVENUES
0
181,205
924,115
26,000
29,125
795,600
TOTAL REVENUES
25,970,585
0
429,400
25,000
0
130,600
FUND TRANSFERS IN
87,545
TOTAL SOURCES
0
308,055
1,265,715
[___49,6j00-
29,125
1,284,260
TOTAL SOURCES
27,213,545
0
429,400
25,000
0
130,600
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HUD
GENERAL
FY2005
HUD
COURT
POLICE
DEBT
REVOLVING
E911
AWARDS
GRANT
SERVICE
FUND
TELCOM
FUND
FUND
FUND
FUND
(09)
11)
12)
13
(14)
(30)
SOURCES:
CASH FROM FUND RESERVE
23,600
REVENUES:
PROPERTY TAXES
LISC, PERMITS,
OTHER TAXES
750,000
449,100
GRANTS, CONTRIBUTIONS
170,785
29,125
FINES & FORFEITURES
25,000
PROP RENTAL & SALES
CHARGES FOR SERVICES
181,205
346,500
INTEREST INCOME
1,530
1,000
RECREATION, OTHER FEES
MISCELLANEOUS
1,800
TOTAL REVENUES
0
181,205
924,115
26,000
29,125
795,600
FUND TRANSFERS IN
126,850
341,600
488,660
TOTAL SOURCES
0
308,055
1,265,715
[___49,6j00-
29,125
1,284,260
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175
C(opy
FY2005
FLEET
CIP
SOLID
CIVIC
RENT &
FLEET
CIP
CONV/FRC
WASTE
CENTER
RADIO
SERVICE
FUND
FUND
FUND
FUND
FUNDS
FUND
(40)
42
50)
62
63 & 64
70
SOURCES:
CASH FROM FUND RESERVE
216,500
2,000,000
544,600
4,450
820,125
REVENUES:
PROPERTY TAXES
LISC, PERMITS,
OTHER TAXES
GRANTS, CONTRIBUTIONS
FINES & FORFEITURES
PROP RENTAL & SALES
635,205
1,000
36,000
135,075
75,000
CHARGES FOR SERVICES
1,068,500
3,415,000
8,000
101,850
380,000
INTEREST INCOME
22,000
40,000
50
2,300
100,800
RECREATION, OTHER FEES
MISCELLANEOUS
10,000
TOTAL REVENUES
0
0
3,466,000
36,050
239,225
380,000
FUND TRANSFERS IN
215,000
75,000
108,000
TOTAL SOURCES
431,500
2,000,000
4,010,600
36,050
239,225
488,000
FY2005
FLEET
HEALTH
MAINT
AEPF
PFPF
TRUST
INSURANCE
INS TRUST
TRUST
PENSION
PENSION
FUND
FUND
FUND
FUND
FUND
FUND
71
72
73
74
76
77
SOURCES:
CASH FROM FUND RESERVE
4,450
820,125
REVENUES:
PROPERTY TAXES
LISC, PERMITS,
OTHER TAXES
GRANTS, CONTRIBUTIONS
FINES & FORFEITURES
PROP RENTAL & SALES
635,205
75,000
CHARGES FOR SERVICES
1,068,500
3,542,615
8,000
189,300
INTEREST INCOME
22,000
5,300
100,800
RECREATION, OTHER FEES
MISCELLANEOUS
TOTAL REVENUES
657,205
1,068,500
3,542,615
8,000
5,300
365,100
FUND TRANSFERS IN
216,600
75,000
662,775
TOTAL SOURCES
873,805
1,068,500
3,542,615
8,000
84,750
1,848,000
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176
SECTION 2. The following sums of money are hereby appropriated for Fiscal Year 2004-2005.
FY2005
GENERAL
FUND
01
SMALL
GRANTS
(02)
MUNICIPAL
AID
PROGRAM
FUND
(03
CDBG
FUND
(06)
HOPE
FUND
(07
HOME
FUND
(08
APPROPRIATIONS.
GENERAL GOVERNMENT
1,435,380
FINANCE
762,430
INFORMATION SYSTEMS
268,965
275,825
INSPECTIONS
793,425
PLANNING
1,253,970
25,000
130,600
POLICE
7,417,360
49,600
29,125
FIRE
5,609,925
PUBLIC WORKS
4,966,015
PARKS SERVICES
1,155,445
CABLE AUTHORITY
112,990
HUMAN RIGHTS
104,395
HUMAN RESOURCES
319,575
ENGINEERING
995,685
429,400
DEBT SERVICE / E911
1,265,715
1,284,260
SOLID WASTE OPERATION
FLEET MAINTENANCE
PENSIONS
CASH CARRY FORWRD/RESRV
32,230
FUND TRANSFERS OUT
2,017,985
TOTAL APPROPRIATIONS
27,213,545
0
429,400
25,000
0
130,600
FY2005
HUD
REVOLVING
FUND
09)
TELCOM
11
E911
FUND
12)
COURT
AWARDS
FUND
13
HUD
POLICE
GRANT
FUND
14
GENERAL
DEBT
SERVICE
FUND
30
APPROPRIATIONS:
GENERAL GOVERNMENT
FINANCE
INFORMATION SYSTEMS
275,825
INSPECTION
PLANNING
POLICE
49,600
29,125
FIRE
PUBLIC WORKS
RECREATION
CABLE AUTHORITY
HUMAN RIGHTS
HUMAN RESOURCES
ENGINEERING
DEBT SERVICE / E911
1,265,715
1,284,260
SOLID WASTE OPERATION
FLEET MAINTENANCE
PENSIONS
CASH CARRY FORWRD/RESRV
32,230
FUND TRANSFERS OUT
TOTAL APPROPRIATIONS
0
308,055
1,265,715
49,600
29,125
1,284,260
F:\Jon\Excel\Budget FY2005\Budget Ordinance 2004-2005\Ordinance
FY2005
CIP
FUND
(40)
CIP
CONV/FRC
FUND
(42)
SOLID
WASTE
FUND
(50
CMC
CENTER
FUND
(62)
RENT &
RADIO
FUNDS
63 & 64
FLEET
SERVICE
FUND
70)
APPROPRIATIONS.
GENERAL GOVERNMENT
GENERAL GOVERNMENT
15,000
2,000,000
FINANCE
FINANCE
1,051,830
3,542,615
8,000
66,240
INFORMATION SYSTEMS
INFORMATION SYSTEMS
INSPECTION
INSPECTION
PLANNING
PLANNING
200,000
POLICE
POLICE
FIRE
FIRE
PUBLIC WORKS
PUBLIC WORKS
RECREATION
RECREATION
35,945
CABLE AUTHORITY
CABLE AUTHORITY
HUMAN RIGHTS
HUMAN RIGHTS
HUMAN RESOURCES
HUMAN RESOURCES
ENGINEERING
ENGINEERING
DEBT SERVICE / E911
DEBT SERVICE / E911
SOLID WASTE OPERATION
SOLID WASTE OPERATION
4,010,600
FLEET MAINTENANCE
FLEET MAINTENANCE
488,000
PENSIONS
84,750
1,848,000
CASH CARRY FORWRD/RESRV
CASH CARRY FORWRD/RESRV
16,670
105
85,440
FUND TRANSFERS OUT
FUND TRANSFERS OUT
216,500
87,545
TOTAL APPROPRIATIONS
TOTAL APPROPRIATIONS
431,500
2,000,000
4,010,600 1
36,050
239,225
488,000
FY2005
FLEET
TRUST
FUND
(71)
INSURANCE
FUND
(72
HEALTH MAINT
INS TRUST TRUST
FUND FUND
73 74
AEPF
PENSION
FUND
76
PFPF
PENSION
FUND
77
APPROPRIATIONS:
GENERAL GOVERNMENT
FINANCE
1,051,830
3,542,615
8,000
INFORMATION SYSTEMS
INSPECTION
PLANNING
POLICE
FIRE
PUBLIC WORKS
RECREATION
CABLE AUTHORITY
HUMAN RIGHTS
HUMAN RESOURCES
ENGINEERING
DEBT SERVICE / E911
SOLID WASTE OPERATION
FLEET MAINTENANCE
704,450
PENSIONS
84,750
1,848,000
CASH CARRY FORWRD/RESRV
169,355
16,670
FUND TRANSFERS OUT
TOTAL APPROPRIATIONS
873,805
1,068,500
3,542,615
8,000
84,750
1,848,000
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.
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01
Ift:3
SECTION 4. The City does hereby adopt the following financial management policies:
A. The General Fund's minimum undesignated fund balance shall be 12.5% of the General Fund's budgeted
expenditures. The Solid Waste Fund's minimum unreserved cash balance shall be 12.5% 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.
B. The City Manager is authorized to transfer budgeted amounts between departmental budget line items and
between divisions of departments; however, any transfers of funds, appropriated in Section 2, between departments must be
approved by City Commission.
C. Funds designated as Commission contingency shall be obligated only 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 seven working 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 are greater than or equal to recurring expenditures.
F. The City Manager has the authority to enact a budget allocation program or to transfer funds to or from any
departmental line item to insurance or reserve accounts.
G. As new vehicles are purchased the City will fully fund the Fleet Trust Fund in order to replace rolling stock
owned by the General Fund as it achieves obsolescence. The Fleet Trust Fund shall be funded with monthly lease charges
assigned to rolling stock. Additionally, General Fund transfers shall be made to offset the cost of initial rolling stock acquisition
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 make annual progress toward the goal of achieving fully funded status for the Appointive Employees
Pension Fund (AEPF) and the Police and Firemen's Pension Fund (PFPF) through sound financial management and/or annual
General Fund transfers as designated in the budget document.
J. The City will provide to all eligible employees a $586.50 per month credit (for the months of July - December
2004) to be applied to the Comprehensive Health Insurance Benefit Plan (Cafeteria Plan) as directed by the employee. The
monthly credit will be adjusted by an amount equal to the increase in the CPI (USDOL Bureau of Labor Statistics Consumer
Price Index - All urban consumers) during a 12 month period ending October 2004 for the months of January - June 2005.
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. r---4—
ATTEST:
---4
ATTEST:
Tammara Brock, City Clerk
Introduced by the Board of Commissioners, June 8, 2004
Adopted by the Board of Commissioners, June 22, 2004
Recorded by Tammara Brock, City Clerk, June 22, 2004
Published by The Paducah Sun, July 2, 2004
excel\budget ordinance 2004-2005
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