HomeMy WebLinkAbout81-09 OrdinanceRECORD OF ORDINANCES
Dayton Legal Blank, Inc.
81 -09
Ordinance No. Passed
20
AN ORDINANCE AMENDING THE ANNUAL
APPROPRIATIONS ORDINANCE FOR THE
FISCAL YEAR ENDING DECEMBER 31, 2009
WHEREAS, Section 5705.40 of the Ohio Revised Code allows for supplemental
appropriations to be made provided sufficient resources are available; and
WHEREAS, the Ohio Revised Code requires when necessary, amendments to the annual
appropriations ordinance be made in order that appropriations are not over expended.
NOW, TH�FREFORE, BE IT ORDAINED by the Council of the City of Dublin, State,
of Ohio, �_ of the elected members concurring that:
Section 1 . There be appropriated from the unappropriated balance in the General
Obligation Debt Service Fund the amount of $212,000 to account 310 - 0210- 790 -2601 for
debt issuance costs associated with the 2009 refunding bond issues.
Section 2 . There be appropriated from the unappropriated balance in the COIC
Improvement Fund the amount of $231,650. Of the total, $107,700 to account 448 -0314-
780 -2349 for design fees related to the COIC roadway projects, $27,750 to account 448-
0314- 780 -2510 for right -of -way acquisition costs, and $96,200 to account 448- 0314 -790-
2601 for debt issuance costs associated with the 2009 bond issue for the relocation of
Industrial Parkway and SR 161 improvement projects.
Section 3 . There be appropriated from the unappropriated balance in the Dublin
Methodist Hospital TIF Fund the amount of $40,000 to account 453- 0314 - 780 -2551 for
construction costs related to the widening of Avery Road from Shier Rings Road to
Tuswell Drive.
Section 4 . There be appropriated from the unappropriated balance in the Water Tower
Construction Fund the amount of $20,100 to account 612 -1330- 790 -2601 for bond
issuance costs associated with the 2009 bond issue for the Darree Fields water storage
tank.
Section 5 . There be appropriated from the unappropriated balance in the Sewer
Construction Fund the amount of $22,080 to account 623 - 1320 - 790 -2601 for bond
issuance costs associated with the 2009 bond issue for the sanitary sewer lining project.
Section 6 . The public hearing be waived to provide immediate funding authorization
for the referenced accounts.
Section 7 . This Ordinance shall take effect and be in force in accordance with Section
4.04(a) of the Dublin City Charter.
Passed this r 7 - 01— day of 1�ee 2009
Mayor - Presiding Officer
ATTEST:
Clerk of Council
1 hereby certify that copies of this Ordinance/
Resolution were posted in the City of Dublin
in accordance with Section 4.12(a) of the
Revised Charter of the City of Dublin.
Ohio
Office of the City Manager
5200 Emerald Parkway • Dublin, OH 43017
CITY OF DUBLIN Phone: 614- 410 -4400 • Fax: 614- 410 -4490
To: Members of Dublin City Council
From: Terry Foegler, City Manager
Date: December 3, 2009
Initiated By: Marsha I. Grigsby, Deputy City Manager/ Director of Finance
Memo
Re: Ordinance No. 81 -09, An Ordinance Amending the Annual Appropriations
for the Fiscal Year Ending December 31, 2009.
Summary
Ordinance No. 81 -09 provides for additional funding authorization in the General Obligation Debt
Service Fund and several capital project funds.
Sections 1, 2, 4 and 5 provide funding authorization for debt issuance costs related to the recent bond
issues. The issuance costs were paid by Stifel Nicolaus, Senior Underwriter, from the bond proceeds.
The fees are required to be recorded as expenditures and, as a result, require that funding be
appropriated. The expenditures are off -set by corresponding revenue from the bond proceeds.
The request for the General Obligation Debt Service Fund in Section 1 relates to the costs associated
with the existing debt that was refunded or refinanced. The requests in Sections 2, 4 and 5 relate to the
"new money" debt issued for the relocation of Industrial Parkway and SR 161 improvement projects,
the construction of the Darree Fields water storage tank and the lining of various sanitary sewer lines.
The total issuance costs of $350,090 are less than one percent of the total $37,170,000 in bonds issued.
The issuance costs include the fees for the financial advisor, the underwriters, bond counsel, reviews by
the rating agencies, bond registrar and escrow fees, and miscellaneous expenses such as printing of the
preliminary and final official statements.
We have not yet received the final pricing book from Stifel Nicolaus; however, we have attached a
copy of the "Savings" recap for the debt that was refinanced. As reflected on the recap, the net present
value saving totaled $1,875,374 with the actual annual savings totaling $2,195,858 when comparing the
existing (prior) debt service obligations to the new (refunding) debt service obligations.
In addition to debt issuance costs, Section 2 provides for additional funding authority for design
services and right -of -way acquisition costs related to the COIC roadway projects. The acquisition of the
right -of -way was previously approved by Ordinance No. 79 -08. The majority of the additional design
fees related to plan revisions needed as a result of receiving grant funding from the American Recovery
and Reinvestment Act.
Section 3 provides additional funding authority for construction costs associated with the widening of
Avery Road from Shier Rings Road to Tuswell Drive.
Recommendation
Staff recommends the public hearing be waived and Ordinance No. 81 -09 be passed at the December 7,
2009 Council meeting.