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HomeMy WebLinkAbout64-18 December 2018 Appropriation Ordinance- Enterprise Funds 1200N COUNTY-CITY BUILDING SpL1'H g� PHONE 574/235-9217 227 W.JEFFERSON BLVD. �� l FAX 574/235-9928 SOUTH BEND, INDIANA 46601-1830 �M •�':.::,;- i/ A: Ly" ,J x x 1865 CITY OF SOUTH BEND PETE BUTTIGIEG, MAYOR DEPARTMENT OF ADMINISTRATION AND FINANCE November 19, 2018 Mr. Tim Scott, President Filed in Clerk's Office City of South Bend Common Council 227 W. Jefferson Boulevard, 4th Floor NOV 1 9 South Bend, Indiana 46601 2018 RE: December 2018 Appropriation Ordinance— Enterprise Funds KAREEMAH FOWLER CITY CLERK,SOUTH BEND,IN Dear President Scott, -�— During the past several years, it has been the practice of the City of South Bend to request department heads, fiscal staff and city administration to conduct an extensive review of the status of compliance with the adopted city budget and propose necessary adjustments periodically throughout the year. For 2018, we plan to propose adjustments during four time periods—March, June, October and December. Based on our budget review, we are submitting the enclosed additional appropriation ordinance for your consideration. I will present this bill to the Common Council at the appropriate committee and council meetings. It is requested that this bill be filed for 1st reading on November 26, 2018 with 2nd reading, public hearing and 3rd reading scheduled for December 10, 2018. Thank you for your attention to this request. If you should have any questions, please feel to contact me at 574-235-7678. Regards, 9 Benjamin J. Dougherty Deputy City Controller EXCELLENCE ACCOUNTABILITY INNOVATION INCLUSION EMPOWERMENT ORDINANCE NO. AN ORDINANCE OF THE COMMON COUNCIL OF THE CITY OF SOUTH BEND, INDIANA, APPROPRIATING ADDITIONAL FUNDS FOR CERTAIN DEPARTMENTAL AND ENTERPRISE OPERATIONS IN 2018 OF $157,435 FROM CONSOLIDATED BUILDING FUND (#600), $190,000 FROM SOLID WASTE OPERATIONS (#610), $12,000 FROM WATER WORKS CUSTOMER DEPOSIT (#624), $8,000 FROM WATER WORKS DEBT SERVICE (#625), $10,000 FROM WATER WORKS BOND RESERVE (#626), $25,000 FROM WATER WORKS O&M RESERVE (#629), $6,600 FROM SEWAGE WORKS OPERATING (#641), AND $55,000 FROM SEWAGE WORKS O&M RESERVE (#643). STATEMENT OF PURPOSE AND INTENT The Common Council passed the City's 2018 operating and capital budgets in 2017 (Ordinance#10537-17 passed on October 23, 2017), which included expenditures for various City enterprise operations. It is now necessary to appropriate additional funds for operational expenditures necessary for the City to effect provision of services to its citizens which were not anticipated at the time the City budget was adopted. NOW, THEREFORE, BE IT ORDAINED by the Common Council of the City of South Bend, Indiana, as follows: Section I. The following amounts are hereby appropriated in fiscal year 2018 and set apart within the following designated funds for operational expenses as follows: FUND Amount Consolidated Building Fund(#600) $157,435 Filed in Clerk's Office Solid Waste Operations (#610) 190,000 Water Works Customer Deposit(#624) 12,000 NOV 19 2018 Water Works Debt Service(#625) 8,000 KAREEMAH FOWLER Water Works Bond Reserve(#626) 10,000 CITY CLERK,SOUTH BEND,IN Water Works O&M Reserve (#629) 25,000 Sewage Works Operating(#641) 6,600 Sewage Works O&M Reserve(#643) 55,000 TOTAL S464,035 Section II. This ordinance shall be in full force and effect from and after its passage by the Common Council and approval of the Mayor. Member of the Common Council Attest: City Clerk Presented by me to the Mayor of the City of South Bend, Indiana, on the day of , 2018, at o'clock . m. 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