HomeMy WebLinkAbout2019-35RESOLUTION 2019-35
AMENDING THE BUDGET
FOR THE TOWN OF PULASKI, VIRGINIA,
FOR THE FISCAL YEAR BEGINNING
JULY 1, 2019 AND ENDING JUNE 30, 2020
WHEREAS, after the adoption of the budget for Fiscal Year 2019-2020, it has become
necessary to amend the budget; and
WHEREAS, the original budget appropriations were adopted May 7, 2019, amended
appropriations and reasons for the amendments to the budget are listed in Attachment
A, affixed hereto and expressly made part of this resolution;
NOW THEREFORE, be it RESOLVED by the Town Council of the Town of Pulaski,
Virginia sitting in regular session this 15th day of October 2019, that:
Section 1. The proposed budget be amended and hereby is approved as the budget for
the Town of Pulaski, Virginia, for the fiscal year beginning July 1, 2019 and ending June
30, 2020, in accordance with Section 15.2-2507, of the Code of Virginia 1950, as
amended.
Section 2. In conjunction with the approval of said budget and capital improvements
program, the following appropriations be and hereby are approved for the fiscal year as
shown in Attachment B, affixed hereto and expressly made part of this resolution.
This resolution is effective upon adoption and is adopted this 15th day of October
2019 by recorded vote of the Town Council as follows:
Lane R. Penn -Aye
Brooks R. Dawson -Aye
Gregory C. East -Aye
ATTEST:
David N. Quesenberry
Clerk of Council
Joseph K. Goodman -Aye
G. Tyler Clontz -Aye
James A. Radcliffe -Aye
1-I:f:11, DEAN, FeffidliffiRTANX
David L. Cla
Mayor
r
Attachment A
FY 2019-2020
Proposed Budget Amendment 1
Part 1. General Fund
Amount of
Amended
Amended
Fund
Amendment
Revenues
Expenditures
Fund Department
Line Item
Number
Account Title
$ 3,905,606.60
Adopted
Budget
Amount of
Amendment
Amended Budget Notes
Amount
Water Capital Outlay
Fund
Department
Line Item
Account Title
$ 1,776,606.60
Adopted
Amount of
Budget with Notes
$
2129,000.00
$ 1,776,606.60
Number
Revenues
Budget
Amendment
Amendment
General
Downtown Revitalization
108680.7532
Construction Assistance
$
-
$ 616,656.23
$ 616,656.23 Required by CDBG to account for 100% grant funds in FY
General
Police
105148.5806
Narcotics -Return from DCJS
$
-
$ 32,985.65
$ 32,985.65 Grant bank account - rollover PY ending balance
General
Police
105143.5459
Naloxone Grant
$
2,129,000.00
$ 5,680.00
$ 5,680.00 Grant bank account - rollover PY ending balance
General
Police
105143.5458
Federal Assets Retuned
$
-
$ 30,922.99
$ 30,922.99 Grant bank account - Federally Siezed Funds
General
Police
105148.5465
Community Policing
$
-
$ 18,691.83
$ 18,691.83 Grant bank account - rollover PY ending balance
General
Police
105148.5811
C.L.R. Drug Task Force
$
$ 10,788.87
$ 10,788.87 Grant bank account - rollover PY ending balance
General
Police
105148.5466
Police Seizure
$
$ 3,530.75
$ 3,530.75 Grant bank account - rollover PY ending balance
General
Capital Outlay
106716.7214
Vehicles - Administration
$
$ 25,000.00
$ 25,000.00 Town Managers Office vehicle
Total Amendment - General Fund Expenditures
$
9,607,647.83
744 256.32
10 351 904.15
Revenues
Fund
Department
Line Item
Account Title
Adopted
Amount of
Budget with Notes
Number
Budget
Amendment
Amendment
General
Transfer from Other Funds
103080.5109
Appropriated Fund Balance
$
$ 127,600.09
$ 127,600.09
General
State Categorical Aid
103051.2453
CDBG Downtown Revitalizailon Program
$
$ 616,656.23
$ 616,656.23 Required by CDBG to account for 100% of grant funds in FY
Total Amendment - General Fund Revenues
9 607 647.83
744 256.32
10 351 904.15
Part 2. Water Fund
Expenditures
Amount of
Amended
Amended
Fund
Amendment
Revenues
Expenditures
Fund Department
Line Item
Number
Account Title
$ 3,905,606.60
Adopted
Budget
Amount of
Amendment
Amended Budget Notes
Amount
Water Capital Outlay
206716.7605
Brookmont HAAS Construction
$
-
$ 1,776,606.60
$ 1,776,606.60 Brookmont Project (CIP) funded by VDH Grant
Total Amendment - Water Fund Expenditures
$ 17,676,907.75
$
2129,000.00
$ 1,776,606.60
$ 3,905,606.60
Revenues
Fund Department
Line Item
Number
Account Title
Adopted
Budget
Amount of
Amendment
Budget with Notes
Amendment
Water State Categorical Aid
203051.2420
VDH Planning Grant- Brookmont
$
-
$ 1,776,606.60
$ 1,776,606.60 VDH Grant Funding Appropriation
Total Amendment - Water Fund Revenues
$
2,129,000.00
$ 1,776,606.60
$ 3,905,606.60
Summary of Budget Amendments
Ir
Amount of
Amended
Amended
Fund
Amendment
Revenues
Expenditures
Water
$ 1,776,606.60
$ 3,905,606.60
$ 3,905,606.60
Sewer
$ -
$ 3,419,397.00
$ 3,419,397.00
General
$ 744,256.32
$ 10,351904.15
$ 10,351904.15
Total
$ 2,520,862.92
$ 17,676,907.75
$ 17,676,907.75
Ir
FY 2019-2020 Budget Attachment B
Proposed Budget Amendment Revised Budget
GENERAL FUND REVENUES
Total Property Taxes $
Total Local Taxes $
Total Permits $
Total Fines & Forfeitures $
Total Recreational Charges $
Total State Non -Cat Aid $
Total State Categorical Aid $
Total Federal Aid $
Total Misc Revenue $
Total Rental Property $
Total Transfer from Other Funds $
Total Recovered Costs $
Total Other Financing Sources $
TOTAL REVENUES $
GENERAL FUND EXPENSES
2,781,405.00
$
$
- 2,781,405.00
3,229,000.00
52,703.20
$
3,229,000.00
20,800.00
$
$
20,800.00
46,500.00
$
$
46,500.00
18,700.00
8,409.00
$
18,700.00
13,500.00
$
$
- 13,500.00
2,399,593.00
$
$
616,656.23 3,016,249.23
175,000.00
171,418.21
$
- 175,000.00
169,656.00
$
$
- 169,656.00
16,748.00
$
$
- 16,748.00
382,913.00
325,243.00
$
127,600.09 510,513.09
235,600.83
$
$
- 235,600.83
118,232.00
$
$
- 118,232.00
9,607,647.83
526,145.00
$
744,256.32 $ 10,351,904.15
Total Town Council
$
52,703.20
$
52,703.20
Total Clerk of Council
$
72,787.56
$
72,787.56
Total Mayor
$
8,409.00
$
8,409.00
Total Town Manager
$
332,571.57
$
-
332,571.57
Total Community Development
$
171,418.21
$
171,418.21
Total Finance
$
594,808.85
$
594,808.85
Total Administrative Services
$
325,243.00
$
325,243.00
Total Engineering
$
250,443.86
$
250,443.86
Total Contributions
$
526,145.00
$
-
526,145.00
Total IT Department
$
149,000.00
$
-
149,000.00
Total Police
$
2,492,858.61
$
102,600.09
2,595,458.70
Total Fire
$
858,966.33
$
-
858,966.33
Total Building Inspections
$
195,985.94
$
195,985.94
Total Street - Ineligible
$
236,794.72
$
236,794.72
Total Streets - Eligible
$
1,444,524.19
$
1,444,524.19
Total Refuse Disposal
$
3,300.00
$
-
3,300.00
Total General Properties
$
378,487.85
$
-
378,487.85
Total Cemeteries
$
13,014.00
$
13,014.00
Total Parks
$
-
$
-
-
Total Gatewood
$
23,500.00
$
23,500.00
Total Senior Center
$
91,056.24
$
91,056.24
Total Motor Vehicle Maint.
$
130,370.70
$
130,370.70
Total Debt Service
$
705,125.00
$
-
705,125.00
Total Transfers
$
7,500.00
$
-
7,500.00
Total Capital Outlay
$
385,906.00
$
25,000.00
410,906.00
Total Train Station
$
12,200.00
$
-
12,200.00
Total Museum
$
30,664.79
$
30,664.79
Total Town -Wide Projects
$
113,863.21
$
-
113,863.21
Total Downtown Rev.
$
-
$
616,656.23
616,656.23
TOTAL EXPENSES
$
9,607,647.83
$
744,256.32
10,351,904.15
WATER FUND REVENUES
Total State Categorical Aid
$
-
$
1,776,606.60 1,776,606.60
Total Miscellaneous Revenue
$
5,500.00
$
5,500.00
Total Transfers from Other Depts
$
7,500.00
$
7,500.00
Total Utility Connections
$
1,926,000.00
$
1,926,000.00
Total Debt Proceeds
$
190,000.00
$
- 190,000.00
TOTAL REVENUES
$
2,129,000.00
$
1,776,606.60 $ 3,905,606.60
WATER FUND EXPENSES
Total Debt Service
$
218,986.00
$
- 218,986.00
Total Transfers
$
180,920.00
$
180,920.00
Total Capital Outlay
$
213,000.00
$
1,776,606.60 1,989,606.60
Total Water Trans. & Distribution
$
513,159.98
$
- 513,159.98
Total Filter Plant
$
960,309.71
$
- 960,309.71
Total Other Financing
$
42,624.31
$
- 42,624.31
TOTAL EXPENSES
$
2,129,000.00
$
1,776,606.60 $ 3,905,606.60
SEWER FUND REVENUES
SEWER FUND EXPENSES
Total Federal Aid
$
-
$
- -
Total Misc. Revenue
$
11,000.00
$
- 11,000.00
Total Recovered Costs
$
26,157.00
$
- 26,157.00
Total Utility Connections
$
3,382,240.00
$
- 3,382,240.00
TOTAL REVENUES
$
3,419,397.00
$
- $ 3,419,397.00
Total Debt Service
$
733,929.00
$
- 733,929.00
Total Transfers
$
201,993.00
$
- 201,993.00
Total Capital Outlay
$
130,000.00
$
- 130,000.00
Total Sewer Collection
$
249,414.93
$
- 249,414.93
Total Peppers Ferry
$
2,070,896.00
$
- 2,070,896.00
Total Other Financing
$
33,164.07
$
- 33,164.07
TOTAL EXPENSES
$
3,419,397.00
$
- $ 3,419,397.00