HomeMy WebLinkAbout13-25 Q1 2025 Additional Appropriation Ordinance County-City Building Phone 311 inside City limits
227 W Jefferson Blvd Suite,1200 N SQUTII. Email 311@southbendin.gov
South Bend,IN 46601 C4 -- j� Website Southbendin.gov
James Mueller,Mayor U \��
Filed in Clerk's Office
PEACE
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�� 1865 Bianca Tirado
City Clerk, South Bend, IN
City of South Bend
Department of Administration &Finance
Division of Human Resources
February 19,2025
Canneth Lee,President
City of South Bend Common Council
227 W.Jefferson Boulevard,4th Floor
South Bend,Indiana 46601
RE:Q1 2025 Additional Appropriation Ordinance
Dear President Lee,
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 2025,we plan to propose adjustments during four time periods—March,
June, September 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 February 20,2025,with 2nd reading,public
hearing and 3rd reading scheduled for March 10th,2025.
Thank you for your attention to this request. If you should have any questions,please feel to contact
me at 574-235-9822.
Regards,
/if 111A.:
Kyle Willis
City Controller
Filed in Clerk's Office
BILL NO. 13-25
Bianca Tirado
City Clerk, South Bend, IN
ORDINANCE NO.
AN ORDINANCE OF THE COMMON COUNCIL OF THE CITY OF SOUTH BEND,
INDIANA,APPROPRIATING ADDITIONAL FUNDS FOR CERTAIN DEPARTMENTAL
AND CITY SERVICES OPERATIONS FOR THE YEAR 2025 OF$1,464,798 FROM THE
GENERAL FUND (#101), $535,028 FROM THE PARKS AND RECREATION FUND (#201),
$5,000 FROM THE GIFT,DONATION, BEQUEST FUND (#217), $655,000 FROM THE
LAW ENFORCEMENT CONTINUING EDUCATION FUND (#220), $54,198 FROM THE
CENTRAL SERVICES FUND (#222),$489,000 FROM THE IT/INNOVATION/311 CALL
CENTER FUND (#279), $350,000 FROM THE FIRE DEPARTMENT CAPITAL FUND
(#287), $9,425,000 FROM THE LOCAL INCOME TAX—ECONOMIC DEVELOPMENT
FUND (#408), $250,000 FROM THE SEWAGE WORKS OPERATIONS FUND (#641),AND
$82,500 FROM THE UNEMPLOYMENT COMPENSATION FUND (#713).
STATEMENT OF PURPOSE AND INTENT
By Ordinance No. 11150-24 on October 7, 2024, the Common Council adopted the City's
2025 operating and capital budgets, which included expenditures for various City operations. It is
now necessary to appropriate additional funds for operational and capital expenditures necessary for
the City to affect the provision of services to its residents, 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 2025 and set apart
within the following designated funds for expenditures as follows:
Fund Fund Name Amount
101 General Fund $1,464,798
201 Parks & Recreation 535,028
217 Gift,Donation,Bequest 5,000
220 Law Enforcement Continuing Education 655,000
222 Central Services 54,198
279 IT/Innovation/311 Call Center 489,000
287 Fire Department Capital 350,000
408 Local Income Tax- Economic Development 9,425,000
641 Sewage Works Operations 250,000
713 Unemployment Compensation 82,500
Total $13,310,524
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.
Canneth Lee, Common Council President
Attest:
Bianca Tirado, City Clerk
Presented by me to the Mayor of the City of South Bend, Indiana, on the day of
, 2025 at o'clock m.
Bianca Tirado, City Clerk
Approved and signed by me on the day of , 2025 at
o'clock . m.
James Mueller, Mayor, City of South Bend, Indiana
Filed in Clerk's Office
City of South Bend,Indiana
Q12025 Budget Adjuetmeots-Additional Appropriations
(increase or decrease in total fund expenditure.(
Bianca Tirado
Accounts hind Department Division Account City Clerk, South Bend, IN gadget Adjustment
y -• Unanticipated Expanses
201-11-205-231-139300- Parks&Recreation Venues Parks 4.Arts Development&Promotion Services&Charges-Other-Grants&Subsidies _ $ 3,000
201-11-201-201-445000- Parks&Recreation Venues Parks&Arts Park Maintenance Capital Outlay-Machinery&Equip-Motor Equipment $ 97,028
Rationale: Appropriate Central Services 2024 Auction Proceeds
220-08-08048544 001- Law Enforcement Continuing Education Police Department Police Department Capital Outlay-Machinery&Equip-Police Equipment $ 655,000
Rationale Appropriates grant proceeds to purchase a finger print machine,bomb robot,
and safely equipment for firearms.
408-11-206-273-444000-110RLPGRANT-PROJ000013401 Loral Income Tax-Economic Development Venues Parks&Arta _Park ProjMn&Capital _Capital Outlay-Imps Other Than Bldgs-land improvement $ 7,00,000
201-11-201-201444000- Parks&Recreation Venues Parks&Arts Park Maintenance Capital Outlay-Impv Other Than Bldgu-Land Improvement $ 135,000
201-11-201-21-444000- Parks&Recreation Venues Parks&Arts Park Maintenance Capital Outlay-lmpv Other Than Bldgs-laud Improvement $ 75,000
201-11-201-20144.5003- Parks&Recreation Venues Parks&Arts _Park Maintenance _Capital Outlay-Machinery&Equip-Park Equipment $ 150,000
201-11-201-2111445003- Parks&Recreation Venues Parks&Arts Park Maintenance Capital Outlay-Machinery&Equip-Park Equipment $ 75,000
Rationale Appropriate funds for Kennedy Park ORLP Grant Project
222-04.403454410002- Central Services Administration&Finance Central Services Personnel-Salaries&Wages-Teamster Wages $ 26,418
222-04-903-454410009- Central Services Administration&Finance Central Services _Personnel-Salaries&Wages-Extra&Overtime $ 1,000
2 22-0 4 4 03 45 44110 01- Central Services Administration&Finance Central Services Personnet-Employee Benefits-FICA Regular $ 2,141
222-04403-454411004- Central Services Administration&Finance -Central Services _Personnel-Employee Benefits-PERP Regular $ 3,134
222-09403454-411005- Central Services Administration&Finance Central Services Personnel-Employee Benefits-PER!Union $ 420
222-04-403454411007- Central Service. Administration&Finance Central Services Personnel-Employee Benefits-Unemployment Comp $ 66
222-04-403-454411008- Central Services Administration&Finance Central Services Personnel-Employee Benefits-Health Insurance $ 8,480
222-04-403459411009- Central Services Administration&Finance Central Services Personnel-Employee Benefits-Life lnsurame $ 120
222-04403-454411014- Central Services Administration&Finance Central Services _Personnel-Employee Benefits-Parental Leave $ 181
222-04-403.54411201- Central Services Adminiotration&Finance Central Services _Personnel-Employee Benefits-Tool Allowance $ 800
222-04 4 03 45 4411203- Central Services Administration&Finance Central Services Personnel-Employee Benefits-Job Readiness Allow. $ 213
Rationale: New ITE-Building Maintenance for New City Hall(6 Months/
101-04-402-044410001- General Pund Administration&Finance _Human Rights _Personnel-Saloum&Wages-Salaried Wages $ 11,651
101-04-402-044411001- General Fund Administration&Finance Human Rights _Personnel-Employee Benefits-PICA Regular $ 891
101-04402-044411004- General Fund Administration&Finance Human Rights Personnel-Employee Benefit.-PER!Regular $ 1,305
101-04.42-044-411007- General Fund Administration&Finance _Human Rights Personnel-Employee Benefits-Unemployment Comp $ 13
101-04402-044.411014- General Fund Administration&Finance ,Human Rights Personnel-Employee Benefit.-Parental Leave $ 38
Rationale: Promotion of staff to investigator I/Intake Coordinator H
Services222-0 4-40 3 450 410 00 2- Central ServiServices (Administration&Finance I
Central Services I
Personnel-Salaries&Wages-Teamster Wages $ 9792
222-04-403450410001- Central Services I Adminiotralion&Finance Central ServicesPersonnel-Salaries&Wages-Salaried Wages $ 711
222-04-403450411001- Central Services Administration&Finance 'Central Services Personnel-Employee Benefits-FICA Regular $ 1,041
222-04403450411005- Central Services _Administration&Finance 'Central Services I Personnel-Employee Benefits-PERF Union $ 139
222-04403450-611007- Central Services Administration&Finance Central Services Personnel-Employee Benefits-Unemployment Comp $ 11
222-04403450411014- Central Services Administration&Finance Central Services Personnel-Employee Benefits-Parental Leave $ 31
Rationale: Promotion of(21 Mechanics from a III to IV
279-07-071-071436004- IT/Innovation/311 Call Center Innovation&Technology 'Information Technology 'Services&Charges-Repair&Maint-Computer Equip R&M B 15,000
279-07-071-071422006- IT/Innovation/311 Call Center Innovation&Technology 'Information Technology 'Supplies-Operating-Computer Supplies&Equipment $ 138,500
279-87-071-071431009- IT/Innovation/311 Call Center Innovation&Technology -,Information Technology Services&Charges-Professional-Computer&Technology $ 335,500
Rationale: Evolve Security Hardware for New CityHal/Camems/Garagee '
713-04406-406413003- Unemployment Compensation Administration&Finance 'Health Insurance and Benefits Personnel-Other Personnel-Recruitment Expenses $ 2,500
713-04-406.406.413111- Unemployment Compensation I Administration&Finance ,Health Insurance and Benefits Personnel-Other Personnel-Claims/Unemployment $ 80,000
Rationale: Additional Funds needed to cover 2025 Expenses , 1TI
101-06.602407435001- General Fund I Public Works ,Streets&Sewers Services&Charges-Utility Service.-Electric $ 1,400,000
Rationale: 2025 Budget-switched from Fund 404 in 2023 to Fund 101 I I
I I
101-06-600-500431000- General Fund 'Public Works I Engineering Services&Charges-Professional-Other Professional Svcs $ 30,900
Rationale: 2024 Property Damage Settlement-Deposit 9/24 '
11- I
101-02-020-020433003- General Fund t City Clerk's Office I City Clerk's Office Services&Charges-Printing&Ad-Promotional $ 10,000
101-02-020-020-021003- General Fund 'City Clerk's Office ,City Clerk@ Office Supplies-Office-Law Hooka $ 10.0110
Rationale: Appropriation of additional funds for sponsorships and law books I '
287-09-090-09844002- Fire Department Capital I Fire Department _I Fire Department Capital Outlay-Machinery&Equip-Fire Equipment S 350,000
Purchase a used fire engine due to a reserve fire engine being damaged I
Rationale: extensively.
City of South Bend,Indiana
Q12025 Budget Adjustment-Additional Appropriations
(increase or decrease in total fond expenditures)
Account a Fund Department Division Account Budget Adjustment
641-06-602-509-439016— Sewage Works Operations Public Works Streets&Sewers Services&Charges-Other-lateral 5 250,000.00
Rationale: Increased demand for Sewer Lateral Connection Program
408-04-040040-631000—CITYHALLSECURIIY Loral Income Tax-Economic Development Administration&Finance General City Services&Charges-Professional-Other Professional Svcs S 150,000
Rationale: City Hall Security coin for half of the year
400-04040-040443001—PROI00000362 Local tins Tax-Economic Development Administration&Finance Genial City Capital Outlay-Buildings-Building Impmvemenb S 375,000.00
Rationale: Exterior/Interior Renovations&Staff Training Room
40004440.040445000—CITYHALLPIIRNITURE Local Income Tax-Economic Development Administration&Pittance General City Capital Outlay-Machinery&Equip-Other Equipment S 1,300,000.00
Rationale: City Hall-Estimation for furnishing offices
409-10-101-130436001— Local Income Tax-Economic Development Community Investment Community Investment Services&Charges-Repairs&Maim-Building R&M 5 100,000.00
Rationale: Expenses for City-owned properties and maimeance
217-04402-044-433003— Gift,Donation,Bequest Administration Sr Finance Human Rights Services&Charges-Printing&Ad-Promotional 5 5,000.00
Rationale: Appropriate funds for promotional senior.
Total Additional Appropriations 5 13,310524