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<br />REQUEST FOR CITY COUNCIL AGENDA ITEM <br /> <br />Agenda Date Requested: January 14,2008 <br />Requested By: Michael Dolby cf)--- <br /> <br />Department: Finance <br /> <br />Report: <br /> <br />Ordinance: <br /> <br />xx <br /> <br />Resolution: <br /> <br />Exhibits: Ordinance 2007-3024-D <br /> <br />Exhibits: Excerpt from FY 2008 Adopted Budget <br />& Amended Budget (Exhibit A & B) <br /> <br />Source of Funds: N/A <br /> <br />Appropriation <br /> <br />Account Number: N/A <br /> <br />Amount Budgeted: N/A <br /> <br />Amount Requested: N/A <br /> <br />Budgeted Item: YES <br /> <br />NO <br /> <br />Exhibits: Explanations / Backup for Amendment <br /> <br />SUMMARY & RECOMMENDATION <br /> <br />The City Council adopted the Fiscal Year 2007-08 Budget on August 27, 2007. <br /> <br />The Summary of Funds, which is shown below, represents the amendments which council previously approved to <br />the FY 2007-08 Budget. (*denotes funds with current changes) <br /> <br />General Fund <br />Grant Fund <br />Street Maintenance Sales Tax Fund <br />Community Investment <br />Hotel/Motel Occupancy Tax <br />La Porte Development Corporation <br />Tax Increment Reinvestment Zone <br />Utility <br />Sylvan Beach <br />Airport <br />La Porte Area Water Authority <br />Golf Course <br />Motor Pool <br />Insurance Fund <br />Technology Fund <br />General Capital Improvement <br />Utility Capital Improvement <br />Sewer Rehabilitation Capital Improvement <br />2000 General Obligation Bond Fund <br />2005 Certificate of Obligation Bond Fund <br />2006 General Obligation Bond Fund <br />2007 Certificate of Obligation Bond Fund <br />Transportation & Other Infrastructure Fund <br />General Debt Service <br />Utility Debt Service <br />La Porte Area Water Authority Debt Service <br />Total of All Funds <br /> <br />Previously <br />Original Budget Amended Budget <br /> <br />$ 30,010,812 <br />1,036,356 <br />1,004,178 <br />233,120 <br />556,540 <br />971,565 <br />1,600,185 <br />8,038,354 <br />274,158 <br />23,396 <br />1,717,760 <br />1,304,138 <br />1,529,323 <br />4,881,080 <br />1,211,065 <br />955,000 <br />935,000 <br />350,000 <br />54,465 <br />60,000 <br />49,478 <br />305,261 <br />200,000 <br />3,477,278 <br />479,105 <br />758,531 <br />$ 62,016,148 <br /> <br />$ 30,043,016 <br />1,053,296 <br />1,004,178 <br />233,120 <br />556,540 <br />971,565 <br />1,600,185 <br />8,038,354 <br />274,158 <br />23,396 <br />1,717,760 <br />1,304,138 <br />1,756,727 <br />4,881,080 <br />1,221,865 <br />971,538 <br />935,000 <br />350,000 <br />54,465 <br />60,000 <br />49,478 <br />305,261 <br />200,000 <br />3,477,278 <br />479,105 <br />758,531 <br />$ 62,320,034 <br /> <br />Proposed <br />Amended Budget <br /> <br />$ 30,044,216 * <br />1,068,648 * <br />1,004,178 <br />233,120 <br />556,540 <br />971,565 <br />1,600,185 <br />8,038,354 <br />274,158 <br />23,396 <br />1,717,760 <br />1,304,138 <br />1,756,727 <br />4,881,080 <br />1,221,865 * <br />991,538 * <br />935,000 <br />350,000 <br />54,465 <br />60,000 <br />49,478 <br />305,261 <br />200,000 <br />3,477,278 <br />479,105 <br />758,531 <br />$ 62,356,586 <br /> <br />Action ReQuired bv Council: <br />Adopt Ordinance Amending Fiscal Year 2007-08 Budget for: <br /> <br />A. $1,200 in the General Fund for a donation received from Shell Pipeline. The donation will be used for a <br />taser and taser cartridges in the Police Department Support Services Division. <br />B. $15,352 in the Grant Fund for the purchase of spring animals for various park zones and roof repair for the <br />Little Cedar Bayou Concession (Park Zone 9). The funds will come from the Park Zone Reserve <br />Accounts. <br />C. $20,000 in the General CIP Fund for the third phase of the Pond to Park project based on the agreement <br />between the City and the Fairmont Park East Homeowner's Association. <br />