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HomeMy WebLinkAboutResolution-1978-0624 INTRODUCED BY COUNCILMEMBER LEl4MAN RESOLUTION NO. 624 Series of 1978 TITLE: BUDGET TRANSFER RESOLUTION TO PROVIDE FUNDS FOR MISCELLANEOUS COST ADJUSTMENTS AMONG THE VARIOUS DEPARTMENTS WHEREAS, there is in effect an annual General Fund, Revenue Sharing, Capital Improvements, and Special Funds Appropriation Resolution for 1978; as amended; and WHEREAS, unforeseen needs have arisen which require changes to be made in the General Fund. NOW, THEREFORE, BE IT RESOLVED that the following appropriation accounts be amended as shown below: General Fund Department and Account Current/Revised Appropriation Change Revised Appropriation Purpose 1. Police Dept. Overtime & Premium Pay 01-204-610 $ 1,500 +$500 $ 2,000 To cover cost of addi- tional overtime caused by high turnover in Dispatch Section. This cost is offset against Salaries & Wage account which is considerably under spent. Tech. Services Tech. Services Salaries & Wages 01-204-602 $154,170 -$500 $153,670 To fund above 2. Parks and Rec. Administration Overtime & Premium Pay 01-601-610 $ 475 +$100 $ 575 To cover cost of secre- tarial overtime for night Swimming Pool Advisory Committee meetings and soccer registration, (Sat.) Administration Director's Salary 01-601-601 $ 20,692 -$100 $ 20,592 To fund above Forestry Longevity Pay 01-604-603 $ 360 +$200 $ 560 To cover shortage caused by promotion of employee who is eligible for longevity pay. Forestry Salaries & Wages 01-604-602 $ 36,433 -$200 $ 36,233 To fund above Resolution No. 6?4 Introduced by Councilmember Lewman Page -2- Department and Account 3. Public Works Administration Overtime & Premium Pay 01-301-610 Salaries & Wages 01-301-602 Engineering Overtime & Premium Pay 01-302-610 Prof. & Consult. Fees 01-302-750 Office Equip. 01- 302-802 Oper. Supplies, Small tools and Minor Equip. 01-302-660 Streets Standby Pay 01-303-614 Salaries & Wages 01-303-602 Shops Other Major Equip. 01- 305-809 Current/Revised Appropriation $ 200 $ 23,546 $ 1,000 $144,500 $ 300 $ 2,050 $ 2,000 $ 61,139 -0- Oper. Supplies, Small Tools & Minor Equip. 01-305-660 $130,000 Building Maintenance Utilities 01-307-760 -0- Engineering Prof. & Consult. 01-302-750 Fees $142,700 Change +$220 -$220 +$1,800 -$1,800 +$220 -$220 +$850 -$850 +$2,000 -$2,000 +$12,000 -$12,000 Revised Appropriation $ 420 $ 23,326 $ 2,800 $142,700 $ 520 $ 1,830 $ 2,850 $ 60,289 $ 2,000 $128,000 $ 12,000 $130,700 - Purpose To cover cost of additional overtime for Director's Secretary To fund above To cover cost of addi- tional overtime due to street paving overtime. To fund above To purchase time stamp machine not previously budgeted. To fund above To cover cost of addi- tionally required stand- by pay due to storms. To fund above To purchase and install three (3) used fuel pumps to replace non-repairable or worn out equipment. To fund above To cover underbudgeted cost for telephone, gas, electric & water utility service for new City Hall. To fund above Resolution No. 624 Introduced by Councilmember Lewman Page -3- Department and Account 4. Treasurer Rentals & Leases 01-103-758 Salaries & Wages 01-103-602 5. Administrative Services Recruitment 01-115-726 Unallocated 01-608-795 Net Change Current/Revised Appropriation $ 15,000 $ 39,445 $ 1,100 $ 18,646 $795,256 Change +$2,000 -$2,000 +$3,500 -$3,500 -0- Revised Appropriation Purpose $ 17,000 To cover cost of addi- tional installation charges for computer. $ 37,445 To fund above $ 4,600 To cover cost of addi- tional recruiting expense by Personnel Office. $ 15,146 To fund above. $795,256 BE IT FURTHER RESOLVED that none of the changes above shall be construed to change the total appropriation as filed with the Division of Local Government. DONE ~~ RESC1VED this vote of ___L-_ to _12_. ATTEST: ---- .-I' , / , 'I 7 /" / /'- I //)f ( ,.{t!/G / / L:- /'c/;: II-'I/ CAROL F. HAMPF, CITY C~~~ ' 18th day of December , A.D. 1978, by a ~-J~ OLIVER V. PHILLIPS, MAYOR