Loading...
HomeMy WebLinkAboutResolution 2017-0006CITY OF WHEAT RIDGE, COLORADO RESOLUTION NO. 06 Series of 2017 TITLE: A RESOLUTION AMENDING THE FISCAL YEAR 2016 CAPITAL INVESTMENT PROGRAM (CIP) BUDGET TO REFLECT THE APPROVAL OF A DECREASED APPROPRIATION FOR $2,813,633 WHEREAS, City Council approved the 2016 CIP Budget authorizing expenditures in the total amount of $5,879,821; and WHEREAS, the 2016 adjusted budget includes expenditures in the total amount of $8,324,587; and WHEREAS, budgeted expenditures cannot exceed budgeted revenues; and WHEREAS, approval of Resolution No.06-2017 amends the 2016 CIP budget and decreases the funding appropriated for the following: Misc. Drainage Improvements projects, Clear Creek Master Plan update, Clear Creek CLMOR and LOMR, Minor Street Improvements projects, 32"d and Youngfield improvements, Kipling pedestrian improvements, Bike/pedestrian master plan, Gold Line station street project, Wadsworth EA design and construction, and preventative street maintenance as shown in Exhibit A: NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Wheat Ridge, Colorado, as follows: A. The City of Wheat Ridge Fiscal Year 2016 Budget be amended accordingly to recognize decreased funding in the following line item accounts: a. Misc. Drainage Improvement projects line item account #30-302-800- 833 to $190,000 b. Clear Creek Master Plan Update line item account #30-302-800-837 to $0 c. Clear Creek CLMOR and LOMR line item account #30-302-800-838 to $13,000 d. Minor Street Improvements projects line item account #30-303-800-840 to $0 e. 32"d and Youngfield improvements line item account #30-303-800-841 to $86,662 f. Kipling pedestrian improvements line item account #30-303-800-842 to $482,213 g. Bike/pedestrian master plan line item account #30-303-800-853 to $36,718 h. Gold Line station street project line item account #30-303-800-860 to $981,355 i. Wadsworth EA design and construction line item account #30-303-800- 865 to $1,000,000 j. Preventative street maintenance line item account #30-303-800-884 to $2,300,000 DONE AND RESOLVED this 13th day of March ATTEST: ' nelle Shaver, City Clerk Exhibit A: 2016 CIP Year End Budget Amendment REVENUES 2016 2016 2016 ADJUSTED ACTUAL AMENDMENT 30-580-00-589 Beginning Fund Balance $643,332 $781,976 $781,976 30-500-00-508 Lodger's Tax $275,000 $275,960 $275,960 30-520-11-539 Grant -RTD Gold Line Station $380,228 $499,660 $680,228 30-520-03-539 Grant-COOT-Wadsworth $0 $.0 $0 30-520-09-539 Grant -Wadsworth PEL $0 $0 $0 30-520-12-539 Grant -Wadsworth Widening (FED) $1,200,000 $214,527 $214,527 30-520-10-539 COOT Grant-Bus Benches $0 $0 $0 30-520-08-539 Grant -Kipling Trail $599,000 $992,706 $992,706 30-550-00-551 Public Improvement Fee $0 $5,000 $5,000 30-580-00-581 Interest $10,000 $27,570 $27,570 30-580-00-588 Misc. Revenue $0 $65,081 $65,081 30-590-00-591 Transfer from General Fund $2,965,785 $2,965,785 $2,965,785 TOTAL REVENUE $5,430,013 $5,046,289 $5,228,857 TOTAL AVAILABLE FUNDS $6,073,345 $5,828,285 $6,008,832 EXPENDITURES 2016 2016 2016 ADJUSTED ACTUAL AMENDMENT DPW DRAINAGE 30-302-800-831 Maple Grove Reservoir $10,000 $0 $10,000 30-302-800-833 Misc. Drainage Improvements Projects $352,391 $186,518 $190,000 30-302-800-836 Sloans Lake MOP & FHAD Update $17,000 $17,000 $17,000 30-302-800-837 Clear Creek Master Plan Update $50,000 $0 $0 30-302-800-838 Clear Creek CLOMR and LOMR $50,000 $13,000 $13,000 TOTAL DRAINAGE $479,391 $216,518 $230,000 DPWSTREETS L.- 30-303-800-840 Minor Street Improvements Projects $350,000 $0 $0 30-303-800-841 32nd & Youngfield improvements $209,842 $86,662 $86,662 30-303-800-842 Kipling pedestrian improvements $1,333,382 $467,718 $482,213 30-303-800-851 Public Improvement Projects, Dev. Related $100,000 $0 $100,000 30-303-800-852 Bike/Pedestrian Improvements $22,804 $5,830 $22,804 30-303-800-853 Bike/Pedestrian Master Plan $60,000 $36,718 $36,718 30-303-800-860 Gold Line station street project $1,507,073 $981,355 $981,355 30-303-800-861 ADA Transition Plan $95,993 $18,038 $95,993 30-303-800-865 Wadsworth EA Design and Construction $1,500,000 $901,452 $1,000,000 30-303-800-884 Preventative Maintenance Projects $2,490,893 $2,107,867 $2,300,000 TOTAL STREETS $7,669,987 $4,605,639 $5,105,745 DPWTRAFFIC '-30-304-800-844 Neighborhood Traffic Management Projects $49,582 $12,564 $49,582 TOTAL TRAFFIC $49,582 $12,564 $49,582 DPW FACILITIES l____.. 30-305-800-811 New Shop Funding $0 $0 $0 TOTAL DPW FACILITIES $0 $0 PARKS & RECREATION CAPITAL PROJECTS 30-603-800-864 Parking Lots and Drives Improvements $0 $0 $0 TOTAL PARKS & RECREATION $0 $0 ECONOMIC DEVELOPMENT L__ 30-610-700-724 Gateway Signage Program $62,627 $12,627 $62,627 TOTAL ECONOMIC DEVELOPMENT $62,627 $12,627 $62,627 MUNICIPAL CAPITAL PROJECTS l_ 30-610-800-801 Land Acquisition $0 $0 $0 30-610-800-811 City Hall Improvements/Maintenance $63,000 $0 $63,000 30-610-800-814 Emergency Warning System $0 $0 $0 30-610-800-872 Aerial Photography/GIS Updates $0 $0 $0 30-610-800-873 PD Evidence Climate Control $0 $0 $0 TOTAL MUNICIPAL $63,000 $0 $63,000 UTILITY UNDERGROUNDING EXPENDITURES 30-306-800-802 Easements and ROW $0 $0 $0 TOTAL UNDERGROUND/NG $0 $0 $0 Transfers 30-902-890-891 General Fund $0 $0 $0 TOTAL TRANSFERS $0 $0 $0 TOTAL EXPENDIT\IRES $8,324,587 $4,847,349 $5,510,954 IENDING FUND BALANCE -$2,251,242 $980,918 $497,878