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HomeMy WebLinkAboutBill No. 77-22 Q4 2022 Budget Transfer Ordinance o i l i Ifs. 1200N COUNTY-CITY BUILDING `� PHONE 574.235.9216 227 W. JEFFERSON BLVD. FAX 574.235.9928 / SOUTH BEND,INDIANA 46601-1830 )5)'. i/ / CITY OF SOUTH BEND, IN JAMES MUELLER, MAYOR DEPARTMENT OF ADMINISTRATION ANI F '`'ffice November 21,2022 NOV 2 1 2022 Ms. Sharon McBride,President Cityof South Bend Common Council L DAWN M.JONES CLERK,SOI:'` ';END,IN 227 W.Jefferson Boulevard,4th Floor South Bend,Indiana 46601 RE:Q4 2022 Budget Transfer Ordinance Dear President McBride, 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 2022,we plan to propose adjustments during four time periods—March,June, October and December. Based on our budget review,we are submitting the enclosed budget transfer 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 28,2022,with 2nd reading,public hearing and 3rd reading scheduled for December 12,2022. Thank you for your attention to this request. If you should have any questions,please feel to contact me at 574-235-9822. Regards, alwQ0ti Daniel T.Parker City Controller r City of South Bend,Indiana P Q4 2022 Budget Adjustments-Budget Transfers i (budget transfers between different cost categories(i.e.personnel,supplies,services,capital)and/or different departments/divisions within the same funtl) 1 NOV .21 2022 Account a Fund Department Division Account I Budget nAWN Ate. 101-02-020-020-410001-- General Fund City Clerk's Office City Clerk's Office Personnel-Salaries&Wages-Salaried Wage; CITY CLFRK SOU T 11ID IN 101-02-020-020-431000-- General Fund City Clerk's Office City Clerks Office Services&Charges-Professional-Other Prot !t7 Sv Rationale: Cover cost of outside professional services for the production of meeting minutes 101-04-402-044-410001— General Fund Administration&Finance Human Rights Personnel-Salaries&Wages-Salaried Wages (50,000) 101-04-402-044-433003— General Fund Administration&Finance Human Rights Services Sr Charges-Printing&Ad-Promotional 50,000 Rationale: Cover costs for 47th annual Indiana Consortium of State and Local Human Rights Conference 101-05-050-050410001— General Fund Legal Department Legal Department Personnel-Salaries&Wages-Salaried Wages (2,500) 101-05-050-050421000— General Fund Legal Department Legal Department Supplies-Office-Other Office Supplies 2,500 Rationale: Increased supply costs related to onboarding new employees(training documents,etc.)due to increased turnover. 101-06-600-500-431000— General Fund Public Works _ Engineering Services&Charges-Professional-Other Professional Svcs (14,500) 101-06-600-500-436001— General Fund Public Works _Engineering Services Sr Charges-Repairs&Maint-Building R&M (18,000) 101-06-600-500-445000— General Fund Public Works Engineering Capital Outlay-Machinery&Equip-Motor Equipment 32,500 Rationale: Re-allocate budget to cover new vehicle purchase for new inspector 101-08-080-080-411006— General Fund Police Department , Police Department Personnel-Employee Benefits-PERF Police Union (100,000) 101-08-080-080-411008— General Fund Police Department Police Department Personnel-Employee Benefits-Health Insurance (220,000) 101-08-080-080-422000— General Fund Police Department Police Department Supplies-Operating-Other Operating Supplies 320,000 Rationale: Total personnel expenditures will be less than budget. However,recruiting efforts have resulted in increasing the number of officers in the second half of the year.The addition of these officers has driven increased supply and services costs along with inflation experienced for all goods and services.This transfer funds increased costs of gas and supplies for increased officers hired in the second half of the year. This includes uniforms,equipment,and other operating supplies. 101-09-092-092-422008— General Fund Fire Department EMS Supplies-Operating-Medical/Safety Supplies 20,000 101-09-092-092-431000— General Fund Fire Department EMS Services&Charges-Professional-Other Professional Svcs (20,000) Rationale: Transfer savings in services to cover increased costs in medical supplies 201-11-203-230431000— Parks&Recreation Venues Parks Sr Arts Recreational Experiences Services&Charges-Professional-Other Professional Svcs 14,555 201-11-203-235-422000— Parks&Recreation Venues Parks&Arts Recreational Experiences Supplies-Operating-Other Operating Supplies (14,555) Rationale: Reallocate budget based on year-end budget projections 201-11-205-231-422009— Parks&Recreation Venues Parks&Arts Development&Promotion Supplies-Operating-Recreation Supplies (40,000) 201-11-205-231433003— Parks&Recreation Venues Parks&Arts Development&Promotion Services&Charges-Printing&Ad-Promotional 19,827 201-11-205-243433003— Parks&Recreation Venues Parks&Arts Development&Promotion Services&Charges-Printing&Ad-Promotional 20,173 Rationale: Reallocate budget based on year-end budget projections ii r__- City of South Bend,Indiana NOV 2 17(122 Q4 2022 Budget Adjustments-Budget Transfers IOW Y L,�-�_ (budget transfers between different cost categories(i.e.personnel,supplies,services,capital)and/or different departments/divisions within the some fund)I I UAwN M. JONES Account a Fund Department Division Account • �"?,'• Adjustment 222-04-403-457-436001— Central Services Administration&Finance Central Services Services&Charges-Repairs&Maint-Building R&M 58,500 222-04-403457-445000— Central Services Administration&Finance Central Services Capital Outlay-Machinery&Equip-Motor Equipment (58,500) Rationale: Use savings to cover lift inspections and other building maintenance activities 222-04-403-450-410002— Central Services Administration&Finance Central Services Personnel-Salaries&Wages-Teamster Wages (80,000) 222-04-403-450-436001— Central Services Administration&Finance Central Services Services&Charges-Repairs&Maint-Building R&M 80,000 Rationale: Use savings to cover lift inspections and other building maintenance activities 230-10-103-100-439010-- Code Enforcement Community Investment Neighborhoods Services&Charges-Other-Landfill (7,900) 230-10-103-105-422000— Code Enforcement Community Investment Neighborhoods Supplies-Operating-Other Operating Supplies 7,900 Rationale: Transfer to cover purchase of SBARC washer&dryer 230-10-103-100-422001— Code Enforcement Community Investment Neighborhoods Supplies-Operating-C.S.Gasoline 20,000 230-10-103-100-439010— Code Enforcement Community Investment Neighborhoods Services&Charges-Other-Landfill (25,450) 230-10-103-105-422001— Code Enforcement Community Investment Neighborhoods Supplies-Operating-CS.Gasoline 4,950 230-10-103-105-422005— Code Enforcement Community Investment Neighborhoods Supplies-Operating-Uniforms 500 Rationale: Reallocate budget to cover slight anticipated overage in gasoline costs 230-10-103-100-421000 Code Enforcement Community Investment Neighborhoods Supplies-Office-Other Office Supplies 75,000 230-10-103-100-439010 Code Enforcement Community Investment Neighborhoods Services&Charges-Other-Landfill (75,000) Rationale: Reallocate budget to cover purchase of office furniture(cubicles)for neighborhoods division 279-07-071-071-422006-- IT/Innovation/311 Call Cen Innovation&Technology Information Technology Supplies-Operating-Computer Supplies&Equipment 52,000 279-07-071-071436004-- IT/Innovation/311 Call Cen Innovation&Technology Information Technology Services&Charges-Repairs&Maint-Computer Equip R&M (52,000) Rationale: Cover cost of IT equipment,including additional security cameras at various City properties and switches and other misc hardware for Seitz Park. 600-10-060-060-410001— Consolidated Building Community Investment Building Department Personnel-Salaries&Wages-Salaried Wages (12,000) 600-10-060-060-436003— Consolidated Building Community Investment Building Department Services&Charges-Repairs&Maint-Auto Equip R&M 12,000 Rationale: Reallocate budget to cover slight anticipated overage in auto equipment repairs and maintenance 600-10-060-060-410001— Consolidated Building Community Investment Building Department Personnel-Salaries&Wages-Salaried Wages (8,500) 600-10-060-060-422001— Consolidated Building Community Investment Building Department Supplies-Operating-C.S.Gasoline 8,500 Rationale: Reallocate budget to cover slight anticipated overage in gasoline costs NOV1 r- 21 ?(t^? a City of South Bend,Indiana Q4 2022 Budget Adjustments-Budget Transfers L__— --= (budget transfers between different cost categories(i.e.personnel,supplies,services,capital)and/or different departments/divisions within the same rd) DAWN M.JONES U Y CLERK.SIIIItlTI I BEND,IN Budget Account it Fund Department Division Account Adjustment 601-11-240-461-421000- Parking Garages Venues Parks&Arts Parking Garages Supplies-Office-Other Office Supplies 15,000 601-11-240461-431000- Parking Garages Venues Parks&Arts Parking Garages Services&Charges-Professional-Other Professional Svcs (15,000) Rationale: Cover cost of purchasing supplies formerly covered by DTSB/New Flash Parking Supplies I 602-11-220-292-423001- Morris Performing Arts Cents Venues Parks&Arts Morris Performing Arts Center Supplies-Repair&Maint-Building Materials 20,000 602-11-220-292-431000- Morris Performing Arts Cents Venues Parks&Arts Morris Performing Arts Center Services&Charges-Professional-Other Professional Svcs (20,000) Rationale: Reallocate budget to account for expenses in a different manner(per new accounting system and rules for Morris Box Office Fund designed in September,2022) 620-06-604-603-422012- Water Works Operations Public Works Water Works Supplies-Operating-Water Treatment Chemicals (15,000) 620-06-604-603431015- Water Works Operations Public Works Water Works Services&Charges-Professional-Laboratory Water Testing 15,000 620-06-604-606-422001- Water Works Operations Public Works Water Works Supplies-Operating-CS.Gasoline 20,000 620-06-604-606-423007- Water Works Operations Public Works Water Works Supplies-Repair&Maint-Concrete&Asphalt 37,500 620-06-604-606439001- Water Works Operations Public Works Water Works Services&Charges-Other-Other Contractual Services (57,500) 620-06-604-608-410001- Water Works Operations Public Works Water Works Personnel-Salaries&Wages-Salaried Wages (50,000) 620-06-604-608410002- Water Works Operations Public Works Water Works Personnel-Salaries&Wages-Teamster Wages (50,000) 620-06-604-608-411004- Water Works Operations Public Works Water Works Personnel-Employee Benefits-PERF Regular (10,000) 620-06-604-608-411008- Water Works Operations Public Works Water Works Personnel-Employee Benefits-Health Insurance (40,000) 620-06-604-608421000- Water Works Operations Public Works Water Works Supplies-Office-Other Office Supplies 4,000 620-06-604-608-431000- Water Works Operations Public Works Water Works Services&Charges-Professional-Other Professional Svcs 90,000 620-06-604-608-431001- Water Works Operations Public Works Water Works Services&Charges-Professional-Legal Services 30,000 620-06-604-608-431002- Water Works Operations Public Works Water Works Services&Charges-Professional-Engineering&Architectural 20,000 620-06-604-608-437004- Water Works Operations Public Works Water Works Services&Charges-Rentals-Building Rental 6,000 Rationale: Reallocate budget based on year-end budget projections 641-06-605-515-422001- Sewage Works Operations Public Works Wastewater Supplies-Operating-C.S.Gasoline 65,000 641-06-605-515-436003- Sewage Works Operations Public Works Wastewater Services&Charges-Repairs&Maint-Auto Equip R&M (25,000) 641-06605-515439011- Sewage Works Operations Public Works Wastewater Services&Charges-Other-Waste Removal/Disposal (40,000) Rationale: Increased gasoline costs in 2022:budgeted at-$2.50 per gallon,was in excess of$4 per gallon for much of the year. 1 641-06-605-514-410001- Sewage Works Operations Public Works Wastewater Personnel-Salaries&Wages-Salaried Wages (80,000) 641-06-605-514411008- Sewage Works Operations Public Works Wastewater Personnel-Employee Benefits-Health Insurance (30,000) 641-06605-514439000- Sewage Works Operations Public Works Wastewater Services&Charges-Other-Mist Charges&Svcs 110,000 Rationale: Cover increased costs for contractual services,related to ramping up for capital projects in 2023. 670-11-230-295-423001- Century Center Operations Venues Parks&Arts Century Center Supplies-Repair&Maint-Building Materials 20,000 670-11-230-295431000- Century Center Operations Venues Parks&Arts Century Center Services&Charges-Professional-Other Professional Svcs (20,000) Rationale: Reallocate budget based on year-end budget projections Grand Total -