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REQUEST FOR CITY COUNCIL AGENDA ITEM <br />Appropriation <br />Agenda Date Requested: December13, 2021 <br />001-GeneralFund/ <br />Requested By:Shelley Wolny, Asst. Director <br />002 Utility Fund <br />Source of Funds: <br />001-7078-535-4011 <br />Department: <br />Finance <br />002-7084-533-2007 <br />ReportResolutionOrdinance <br />002-7084-532-2007 <br />Account Number: <br />$0 <br />Amount Budgeted: <br />Exhibits:Ordinance, Exhibits A & B and Detail <br />$158,155 <br />Amount Requested: <br />Information(Exhibit C) <br />Budgeted Item:YesNo <br />SUMMARY& RECOMMENDATION <br />The City of La Porte City Council adopted the Fiscal Year 2021-22Budget on <br />September 13, 2021. Due to a grave public necessity and to meet an unusual and <br />unforeseen condition that could not have been included in the original budget, staff is <br />requesting a budget amendment for FY 2021-22in the amount of $58,000for increased <br />costs for liquid chlorine and $100,155 for repairs to the Seabreeze pier. <br />The Summary of Funds, which is shown below, represents the original adopted budget, <br />the amendments which Council previously approved to the FY 2021-22Budget. <br />(*denotes funds with current changes) <br />FY 2022Proposed FY <br />FY 2022Revised 2022 <br />Original BudgetAmended <br />Budget(N/A)Budget <br />General Fund $ 59,219,618$ 59,219,618$ 59,319,773* <br />Grant Fund11,869,02311,869,02311,869,023 <br />Street Maintenance Sales Tax 1,703,0001,703,0001,703,000 <br />Fund <br />Emergency Services District 1,495,4631,495,4631,495,463 <br />Sales Tax Fund <br />Hotel/Motel Occupancy Tax1,032,6821,032,6821,032,682 <br />Economic Development 3,087,7713,087,7713,087,771 <br />Corporation <br />Tax Increment Reinvestment 3,642,9803,642,9803,642,980 <br />Zone <br />Utility9,360,0329,360,0329,418,032* <br />Airport 109,721109,721109,721 <br />La Porte Area Water Authority1,778,9791,778,9791,778,979 <br /> <br />