HomeMy WebLinkAboutOrdinance 095-15RECORD OF ORDINANCES
Dayton Legal Blank, Inc.
Ordinance No. 95 -15 Passed
Form No. 30043
20
AN ORDINANCE TO ESTABLISH APPROPRIATIONS BASED ON'
THE 2015 OPERATING BUDGET OF THE CITY OF DUBLIN, STATE
OF OHIO, FOR THE FISCAL YEAR ENDING DECEMBER 31, 2016
WHEREAS, City Council has adopted the 2016 Operating Budget; and
WHEREAS, prior to the expenditure of money, funds are required to be appropriated;
and
WHEREAS, Section 5705.38 of the Ohio Revised Code requires that on or about the first
day of each fiscal year, an annual appropriation measure is to be passed.
NOW, THEREFORE, BE IT ORDAINED by the Council of the City of Dublin, State of
Ohio, _ _ -1 of its elected members concurring, that:
Section 1. There be appropriated from the GENERAL FUND:
101 -1110 OFFICE OF CITY MANAGER
Personal Services
9881085
Other Expenses
Other Expenses
373,305
1,415, 580
101 -1211 PROCUREMENT
1,361,390
101 -1119 OFFICE OF THE CITY MANAGER -
129, 900
MISCELLANEOUS
18,030,000
Other Expenses
873,990
873,990
101 -1120 HUMAN RESOURCES
Personal Services
x,,330,450
Other Expenses
775,775
2,106, 225
101 -1130 COMMUNITY RELATIONS
Personal Services
948,615
Other Expenses
917,250
x.,865,865
101 -1140 LEGAL SERVICF.S
Other Expenses
11750,000
1,750,000
101 -1210 FINANCE - OFFICE of the DIRECTOR
Personal Services
1,274,180
Other Expenses
141,400
1,415, 580
101 -1211 PROCUREMENT
Other Expenses
129,900
129, 900
101 -1217 TRANSFERS
18,030,000
101 -1219 FINANCE - MISCELLANEOUS
Other Expenses 577,850
101 -1230 TAXATION
Personal Services 677,585
Other Expenses 216081045
18/030/000
577,850
3,285,630
RECORD OF ORDINANCES
Dayton Legal Blank, Inc.
Ordinance No. 95 -15
Form No. 30043
Passed Page 2 of 7 , 2Q
101 -1310 PUBLIC SERVICE — OFFICE of the DIRECTOR
756,735
83,530
2, 000
8421265
701/595
2, 593, 590
000
3, 296,185
898,835
2, 673, 225
500
3,572,560
2,816,375
633,960
16,400
3,466,735
350,000
350,000
1,475,725
258,600
500
1,734,825
2,005,755
417,150
2,422,905
566,850
94,070
660,920
9, 700
25, 250
34,950
606, 205
14,150
620,355
4, 766,135
2,079,880
302,950
7,148, 965
294, 625
4,910
299,535
459, 600
4,735,615
5,195,215
Personal Services
Other Expenses
Capital Outlay
101 -1311
SOLID WASTE MANAGEMENT
Personal Services
Other Expenses
Capital Outlay
101 -1321
FLEET MANAGEMENT
Personal Services
Other Expenses
Capital Outlay
101 -1330
ENGINEERING
Personal Services
Other Expenses
Capital Outlay
101 -1339
ENGINEERING — MISCELLANEOUS
Other Expenses
101 -1340
BUILDING STANDARDS
Personal Services
Other Expenses
Capital Outlay
101 -1410
PLANNING
Personal Services
Other Expenses
101 -1510
CITY COUNCIL
Personal Services
Other Expenses
101 -1520
BOARDS and COMMISSIONS
Personal Services
Other Expenses
101 -1610
PARKS & RECREATION — OFFICE OF THE
DIRECTOR
Personal Services
Other Expenses
101 -1620
PARKS OPERATIONS
Personal Services
Other Expenses
Capital Outlay
101 -1710
DEVELOPMENT — OFFICE OF THE DIRECTOR
Personal Services
Other Expenses
101 -1720
ECONOMIC DEVELOPMENT
Personal Services
Other Expenses
756,735
83,530
2, 000
8421265
701/595
2, 593, 590
000
3, 296,185
898,835
2, 673, 225
500
3,572,560
2,816,375
633,960
16,400
3,466,735
350,000
350,000
1,475,725
258,600
500
1,734,825
2,005,755
417,150
2,422,905
566,850
94,070
660,920
9, 700
25, 250
34,950
606, 205
14,150
620,355
4, 766,135
2,079,880
302,950
7,148, 965
294, 625
4,910
299,535
459, 600
4,735,615
5,195,215
RECORD OF ORDINANCES
Dayton Legal Blank, Inc.
Ordinance No. 95 -15
101 -1920 INFORMATION TECHNOLOGY
Form No. 30043
Passed Page 3 of 7 , 20
Personal Services
116921570
69r368f320
Other Expenses
3,180,660
STREET MAINTENANCE AND REPAIR FUND:
Capital Outlay
1,000
210 -1320 STREET and UTILITIES OPERATIONS
4,874,230
101 -1930 COURT SERVICES
Other Expenses
Personal Services
3071760
Capital Outlay
Other Expenses
1121185
3,518,800
419,945
101 -1931 RECORDS MANAGEMENT
Personal Services
Personal Services
114,350
Other Expenses
Other Expenses
42,600
Capital Outlay
111000
156,950
101 -1940 FACILITIES MANAGEMENT
364, 500
STATE HIGHWAY IMPROVEMENT FUND:
Personal Services
1,395,385
211 -1330 ENGINEERING
Other Expenses
1,132,170
Other Expenses
Capital Outlay
859000
Capital Outlay
70,000
2,612,555
101 -2010 VOLUNTEER SERVICES
92,000
211 -0314 TRANSFERS
Personal Services
222,595
Other Expenses
401200
CEMETERY FUND:
PTA`
GENERAL FUND TOTAL
69r368f320
Section 2. There be appropriated from the following SPECIAL REVENUE
FUNDS:
STREET MAINTENANCE AND REPAIR FUND:
210 -1320 STREET and UTILITIES OPERATIONS
Personal Services
2,256,450
Other Expenses
1,260,850
Capital Outlay
1,500
3,518,800
210 -1330 ENGINEERING
Personal Services
4,500
Other Expenses
349,000
Capital Outlay
111000
364, 500
STATE HIGHWAY IMPROVEMENT FUND:
211 -1330 ENGINEERING
Other Expenses
22,000
Capital Outlay
70,000
92,000
211 -0314 TRANSFERS
25,000
25, 000
CEMETERY FUND:
212 -1621 CEMETERY MAINTENANCE
Personal Services
142,075
Other Expenses
20,800
Capital Outlay
149010
1 • iii
Dayton Legal Blank, Inc.
Ordinance No..
95 -15
RECORD OF ORDINANCES
Form No. 30043
Passed Pa g e 4 of 7 20
RECREATION FUND:
213 -1630 RECREATION SERVICES
Personal Services
Other Expenses
Capital Outlay
213 -1631 COMMUNITY RECREATION CENTER
Personal Services
Other Expenses
Capital Outlay
213 -1940 COMMUNITY RECREATION CENTER
FACILITIES
Personal Services
Other Expenses
Capital Outlay
SAFETY FUND:
214 -1820 POLICE
116621650
963,160
12, 000
2,587,395
1,320,175
80,500
818,360
559,995
195,000
216371810
•:: 1 1
11573,355
10,809,650
559,485
26,000
11,395, 1.35
2, 218, 065
711700
2, 289, 765
6091640
307,025
761400
2,400,000
641485
75,800
451000
9931065
2,400,000
185, 285
697,375
2,424,660
34,500
3,156,535
31000
3,000
730,280
162,300
892,580
24,000
24, 000
Personal Services
Other Expenses
Capital Outlay
214 -1821
COMMUNICATIONS
Personal Services
Other Expenses
SWIMMING
POOL FUND:
215 -1630
RECREATION
Personal Services
Other Expenses
Capital Outlay
PERMISSIVE TAX FUND:
216 -1330
ENGINEERING
Capital Outlay
HOTEL /MOTEL TAX FUND:
217 -1110
PARKS & RECREATION
Personal Services
Other Expenses
Capital Outlay
217 -1130
EVENTS ADMINISTRATION
Personal Services
Other Expenses
Capital Outlay
217 -1220
ACCOUNTING and AUDITING
Other Expenses
217 -1230
TAXATION
Other Expenses
Transfers
217 -1320
STREET and UTILITIES OPERATIONS
Other Expenses
217 -1620
PARKS OPERATIONS
116621650
963,160
12, 000
2,587,395
1,320,175
80,500
818,360
559,995
195,000
216371810
•:: 1 1
11573,355
10,809,650
559,485
26,000
11,395, 1.35
2, 218, 065
711700
2, 289, 765
6091640
307,025
761400
2,400,000
641485
75,800
451000
9931065
2,400,000
185, 285
697,375
2,424,660
34,500
3,156,535
31000
3,000
730,280
162,300
892,580
24,000
24, 000
RECORD OF ORDINANCES
Dayton Legal Blank, Inc. _ Form No. 30043
Ordinance No. 95 -15 Passed Page 5 of 7 20
Other Expenses
26,600
26,600
217 -1820 POLICE
Other Expenses
261000
26, 000
MAYOR'S COURT COMPUTER FUND:
221 -1930 COURT SERVICES
Other Expenses
19,490
19,490
ACCRUED LEAVE RESERVE FUND:
222 -1210 FINANCE
Personal Services
350,000
350,000
WIRELESS 9 -1 -1 FUND:
223 -1820 SAFETY
Transfers
80,000
801000
Section 3. There be appropriated from the following DEBT SERVICE FUNDS:
GENERAL OBLIGATION DEBT SERVICE FUND:
310 -0210 FINANCE
Other Expenses 1297359710
12,735,710
SPECIAL ASSSESMENT DEBT SERVICE FUNDS:
FINANCE
321 -0210 Transfers 0
322 -0210 Other Expenses 129,200
129/200
Section 4. There be appropriated from the following CAPITAL PROJECTS FUNDS:
CAPITAL IMPROVEMENTS TAX FUND:
CAPITAL OUTLAY
401 -0221 Other Expenses 381500
401 -0314 Capital Outlay 21,397500
Transfers 4,132,000
PARKLAND ACQUISITION FUND:
FINANCE
402 -0210 Capital Outlay 403,300
402 -0221 Other Expenses 10,000
402 -0314 Transfers 236,700
Section 5. There be appropriated from the following ENTERPRISE FUNDS:
WATER FUND:
FINANCE
610 -1210 Other Expenses 296, 200
25,568,000
111
2961200
RECORD OF ORDINANCES
Dayton Legal Blank, Inc.
Ordinance No. 95 -15
Form No. 30043
Passed Page 6 of 7 , 20
610 -1320 STREET and UTILITIES OPERATIONS
Personal Services
165,385
Other Expenses
277,400
Capital Outlay
1,000
443,785
610 -1330 ENGINEERING
Personal Services
23,630
Other Expenses
189,650
Capital Outlay
9951000
If 208, 280
SEWER FUND:
FINANCE
620 -1210 Other Expenses
198579805
1 ,857,805
620 -1320 STREET and UTILITIES OPERATIONS
Personal Services
826,645
Other Expenses
287,410
Capital Outlay
26,000
1,140,055
620 -1330 ENGINEERING
Personal Services
161,390
Other Expenses
129,750
Capital Outlay
460,000
751,140
MERCHANDISING FUND:
630 -1130 COMMUNITY RELATIONS:
Other Expenses 5,000
Section 6. There be appropriated from the following INTERNAL SERVICE FUNDS:
EMPLOYEE BENEFITS SELF - INSURANCE FUND:
HUMAN RESOURCES
701 -1120 Personal Services 148,160
Other Expenses 64926,745
WORKERS' COMPENSATION SELF - INSURANCE FUND:
703-1120 HUMAN RESOURCES
Other Expenses
268,950
Section 7. There be appropriated from the following FIDUCIARY FUNDS:
803 -0210 Unclaimed Monies
804 -0211 Convention and Visitor's Bureau Fund
805 -0210 Agency Fund
807 -1210 Central Ohio Interoperable Radio System
TOTAL APPROPRIATIONS FOR ALL
FUNDS
51000
7,074,905
268,950
25,795
7651000
803,000
507,400
$157,816 f420
Section 8. The Director of Finance is hereby authorized to issue payments from the
City Treasury against any of the foregoing appropriations upon receiving proper
documentation, approved by the officer(s) authorized by law to approve the same;
provided that no payment shall be paid for salaries or wages except to persons employed
by authority of and in accordance with law or ordinance; and provided that appropriations
within a work unit which is exceeded, can be offset by savings within another
Dayton Legal Blank, Inc.
Ordinance No. 95 -15
RECORD OF ORDINANCES
Form No. 30043
Passed Page 7 of 7 . 20
appropriations for the same work unit. Any internal amendments made within a work
unit will be approved by the City Manager. Appropriations are based on the 2016
Operating Budget, which has been reviewed and adopted by separate Ordinance by City
Council and which documents shall serve as the basis for determining the legality of an
expenditure.
Section 9. The Director of Finance is hereby authorized to reflect these appropriations
in the new financial software, which may result in an appropriation to a different
fund /department /division number as otherwise listed in this appropriation.
Section 10. This ordinance shall take effect and be in force on January 1, 2016.
C� /Ykk�
Passed this day of � � 201 5.
ayor -Presiding O icer
ATTEST:
i
Clerk of Council
Members of Dublin City Council
Fromi: Dana L. McDaniel, City Manage
Date: December 3, 2015
Ini"U"ated By,x Angel L. Mumma, Director of Finance
Re.,, Ordinance No. 95-15- Establishing Appropriations Based on the 2016 Operating
Budget of the City of Dublin for the Fiscal Year Ending December 31, 2016
Ordinance 95-15 appropriates funds for 2016 based on the 2016 Operating Budget. The 2016
appropriations have been modified based on the budget requests authorized by City Council during
the budget workshops.
Staff recommends that City Council dispense with the public hearing and approve Ordinance 95-15
at the December 7, 2015 City Council meeting.