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RECORD OF ORDINANCES 237
National Graphics Corp., Cols., O. ~ Form No, 2806-A
Ordinance N 0 .____~~:~~__________ P assed___n____n___ _n__ nn non _n_nn__h_ _ ____00___19 _n __. __
ANNUAL APPROPRIATIONS ORDINANCE
AN ORDINANCE TO MAKE APPROPRIATIONS FOR
CURRENT EXPENSES AND OTHER EXPENDITURES
OF THE VILLAGE OF DUBLIN, STATE OF OHIO,
DURING THE FISCAL YEAR ENDING DECEMBER,
3l. 1987.
SECTION 1.
BE IT RESOLVED by the Council for the Village of Dublin, State of Ohio
that, to provide for the current expenses and other expenditures of the
said Village of Dublin during the fiscal year ending December 3l, 1987,
the following sums be and they are hereby set aside and appropriated as
follows:
SECTION 2.
That there be appropriated from the GENERAL FUND
Program I - Security of Persons and Property
AOl-Ol-lC Street Lighting
2300 Contractual Services
2310 Utilities $50,000.00
Program II - Public Health and Welfare
AOI-02-2B 2300 Payment to County Health District 44,000.00
Program III - Leisure Time Activities
AOI-03-3B 2510 Capital Outlay (Parks) 250,000.00
Program IV - Community Environment
AOI-04-4A Community Planning and Zoning
2100 Personal Services
2110 Salaries/Wages 120,000.00
2120 Benefits 25,000.00
2300 Contractual Services
2340 Forester Services 2,000.00
2350 Zoning Code Revision 5,000.00
2400 Other Operation and Maintenance
2410 Office Supplies 4,000.00
2420 Graphics & Photography 2,500.00
Total Planning and Zoning $l58,500.00
Program V - Basic Utility Services
AOI-05-5F Refuse Collection and Disposal
2300 Contractual Services
2340 Professional Services 135,000.00
Program VI - Transportation
AOl-06-6A Street Construction and Reconstruction
2500 Capital Outlay
2550 Streets, Highways, Sidewalks 750,000,00
and Curbs
RECORD OF ORDINANCES 241
NatiMal Graphics Corp., Cebl., O. .... Form No, 2806-A
Ordinance No ._____n_uu______n____ P assed__n_____n n u_n_ ___n_nn__nnn_n _ _n__ ____19 _n --. --
Page Two
Program VII - General Government
AOl-07-7A Manager and Administrative Offices
2100 Personal Services
2110 Salaries/Wages 98,000.00
2120 Employee Benefits 23,000.00
2300 Contractual Services
2340 Professional (Legal) Services 60,000.00
234A Bond Counsel lO,OOO.OO
2370 Legal Advertising 7,500.00
2400 Other Operation and Maintenance
2410 Office Supplies 5,000.00
Total Manager and Administrative Offices 203,500.00
AOl-07-7B Legislative Activities (Council and Clerk)
2100 Personal Services
2110 Salaries/Wages 25,000.00
2120 Employee Benefits 6,000.00
2182 Crave~lTEans~ortation 1~,000.00
ounCl xpe ses ,000.00
2400 Other Operation and Maintenance
2410 Office Supplies 3,000.00
Total Legislative Activities 46,000.00
AOl-07-7C Mayor and Mayor's Court
2100 Personal Services
2110 Salaries/Wages 22,500.00
2120 Employee Benefits 6,000.00
2300 Contractual Services
2340 Prosecutor & Prisoner Boarding 8,000.00
2400 Other Operation and Maintenance
2410 Office Supplies 2,500.00
24lA Witness Fees/Refunds 1,000.00
Total Mayor and Mayor's Court 40,000.00
A01-07-7D Finance Director and Finance Clerk
2100 Personal Services
2110 Salaries/Wages 60,000.00
2120 Employee Benefits l2,500.00
2300 Contractual Services
2310 Utilities 500.00
2340 Computer Maintenance Contract 6,000.00
2400 Other Operation and Maintenance
2410 Office Supplies 5,000.00
2500 Capital Outlay
2520 Office Equipment 5,000.00
Total Finance Director and Finance Clerk 89,000.00
RECORD OF ORDINANCES 243
NatieRal Graphics COl"Jl.. CeIs.. O. ~ Form No. 2806-A
Ordinance N O._____n___________n____ P assed__n____nn_ _____ n_nn_n___n_n__n __n______19 __n_. --
Page Three
AOI-07-7E Lands and Buildings
2100 Personal Services
2110 Salaries/Wages 13,000.00
2120 Employee Benefits 4,000.00
2300 Contractual Services
2310 Utilities 25,000.00
231A Real Estate Taxes 5,000.00
2320 Communications 16,000.00
2330 Rents and Leases 1,000.00
2350 Equipment/Facilities Maint. 7,000.00
2360 Insurance 35,000.00
2400 Other Operation and Maintenance
2410 Office Supplies 5,000.00
2420 Operating Supplies 6,000.00
2430 Equipment Repairs 5,000.00
2500 Capital Outlay
2520 Office Equipment lO,OOO.OO
Total Land and Buildings 132,000.00
AOI-07-7G County Auditor's and Treasurer's Fees
2300 Contractual Services
2340 Deductions (Tax Settlement) 45,000.00
AOI-07-7I State Examiner's Fees
2300 Contractual Services
2340 Deductions (Tax Settlement) 12,000.00
AOI-07-7J Income Tax Administration
2100 Personal Services
2110 Salaries/Wages 28,000.00
2120 Employee Benefits 6,000.00
2300 Contractual Services
2320 Postage/Communications 5,000.00
2340 Computer Maintenance Contract 1,000.00
2400 Other Operation and Maintenance
2410 Office Supplies/Forms 5,000.00
Total Income Tax Administration 45,000.00
AOI-07-7T Transfers
271A To Special Assessments 20,000.00
271B To Safety Fund 625,000.00
27lC To Street Maintenance 300,000.00
2710 To Parks and Recreation 300,000.00
27lE To General Bond Retirement 505,906.00
Total Transfers 1,750,906.00
Total Program VII - General Government 2,363,406.00
SECTION 3.
That there be appropriated from the GENERAL FUND for contingencies for
purposes not otherwise provided for, to be expended in accordance with
the provisions of Section 5705.40, R.C., the sum of:
Contingencies 40,000.00
Grand Total General Fund Appropriation 3.790.906.00
RECORD OF ORDINANCES 245
NatieAal Grapbic:s Corp.. CeIs.. o. ~ Form No. 2808-A
Ordinance NO,_________n___n_____n_ P assed_n______n__ _nn____ nn__h_n__n____ _____n__19 __n_. -_
Page Four
SECTION 4.
That there by appropriated from the following SPECIAL REVENUE FUNDS.
BOl Street Construction, Maintenance, and Repair Fund
Program VI - Transportation
BOl-06-6B Street Maintenance and Repair
2100 Personal Services
2110 Salaries/Wages 220,000.00
2120 Employee Benefits 55,000.00
2140 Uniforms and Clothing 3,500.00
2300 Contractual Services
2310 Utili ties l6,000.00
2320 Communications 2,500.00
2350 Repair Contracts 9,000.00
2360 Insurance 7,000.00
2330 Rents and Leases 3,000.00
2400 Other Operation and Maintenance
2420 Operating Supplies 90,000.00
2430 Equipment Repair/Maintenance 44,000.00
2440 Tools 7,000.00
B01-06-6E Traffic Signs, Etc.
2400 Other Operation and Maintenance
2440 Signs l5,000.00
Total Street Maintenance and Repair 412 ,000.00
B02 State Highway Improvement Fund
Program VI - Transportation
B02-06-6B Street Maintenance and Repair
2400 Supplies and Materials
2430 Maintenance & Repair Supplies 5,000.00
B02-06-6E Traffic Signals, Signs, Etc.
2300 Contractual Services
2310 Utilities 3,000.00
2350 Maintenance of Equipment 5,000.00
Total State Highway Improvement Fund 13,000.00
B03 Cemetery Fund
Program II - Public Health and Welfare
B03-02-2A Cemetery
2100 Personal Services
2110 Salaries/Wages 8,000.00
2400 Other Maintenance
2430 Repair and Maintenance Supplies 5,000.00
Total for Cemetery Fund 13,000.00
RECORD OF ORDINANCES 247
NatieAal Graphics Corp., Ce18., O. .... Form No, 2806-A
Ordinance NO.________un___u__u___ P assed__ __n___ ____ ___________________________ ______ u__19 __ ___. --
Page Five
B04 Parks and Recreation Fund
Program III - Leisure Time Activities
B04-03-3A Recreation Program
2100 Personal Services
2110 Salaries/Wages 76,000.00
2120 Employee Benefits l2,000,OO
2200 Travel Transportation 2,000.00
2300 Contractual Services
2310 Utili ties 4,000.00
2320 Communications 5,000.00
2330 Rents and Leases 4,000.00
2340 Professional Services l5,000.00
2360 Insurance 5,000.00
2400 Other Maintenance and Repair
2410 Office Supplies 2,000.00
241A Recreation Supplies 4,000.00
2500 Capital Outlay
2520 Office Furniture 1,500.00
Total Recreation Program 130,500.00
B04-03-3B Parks Maintenance Program
2100 Personal Services
2110 Salaries/Wages 64,500.00
2120 Employee Benefits 8,000.00
2300 Contractual Services
2310 Utilities (Parks) 10,000.00
2350 Maintenance of Parks l3,000.00
2360 Insurance 4,000.00
2400 Other Maintenance and Repair
2420 Operating Supplies 7,000.00
2430 Vehicle Maintenance 7,000.00
2500 Capital Outlay
2520 Park Maintenance Equipment l5,000.00
Total Park Maintenance Program l28,500.00
B04-03-3F Softball and Youth Sports
2300 Contractual Services 32,000.00
B04-03-3G July Fourth
2300 Contractual Services 7,000.00
B04-03-3H Senior Citizens
2300 Contractual Services 6,500.00
B04-03-31 Contingencies
2300 Contractual Services 5,000.00
B04-03-3R Refunds
2300 Contractual Services 5,000.00
Total Parks & Recreation Fund 314,500.00
RECORD OF ORDINANCES 249
National Graphics Corp.. Cols.. O. .... Form No, 2806-A
Ordinance NO,u__mumm__m_m- P assed______n_____ _____ ____ ___________d__d_ _ __d___ d19 ----- --
Page Six
B07 Federal Revenue Sharing Fund
l Program I - Security of Persons and Property
B07-01-lA 2500 Police Equipment 10,000.00
Program III - Leisure Time Activities
B07-03-3B 2500 Park Maintenance Equipment and l5,000.00
Christmas Decorations
Program VI - Transportation
B07-06-6A 2500 Street Maintenance Equipment 35,000.00
Total Federal Revenue Sharing Fund 60,000.00
B08 Safety Fund
Program I - Security of Persons and Property
B08-01-1A Safety Fund
2100 Personal Services
2110 Salaries /Wages 530,000.00
2120 Employee Benefits 170,000.00
2140 Uniforms l7,000.00
2300 Contractual Services
2310 Utilities/Building Expenses 20,000.00
2320 Communications 40,000.00
2340 Auditor Deductions 2,000.00
2350 Schooling 11,000.00
2360 Insurance, Bonding, Physicals 20,000.00
2400 Other Maintenance and Repairs
2410 Office Supplies lO,OOO.OO
2420 Operating Supplies 5,000.00
2430 Vehicle Maintenance 35,000.00
243A Equipment Maintenance lO,OOO.OO
2500 Capital Outlay
2520 Capital Equipment 45,000.00
Total Safety Fund 915,000.00
B09 Building and Engineering Fund
Program IV - Community Environment
B09-04-4B Building and Engineering Fund
2100 Personal Services
2110 Salaries/Wages 245,000.00
2120 Employee Benefits 62,000.00
2200 Travel Transportation 6,000.00
2300 Contractual Services
2310 Utilities/Building Expenses 7,000.00
2340 Refunds 5,000.00
2350 Site Inspections l5,000.00
2360 Electrical Inspections 20,000.00
2400 Other Maintenance & Repairs
2410 Office Supplies 8,000.00
2430 Vehicle Maintenance 6,000.00
2500 Capital Outlay
2520 Office Equipment 8,000.00
Total Building and Engineering Fund 382,000.00
Total Special Revenue Funds 2,169,500.00
RECORD OF ORDINANCES 251
National Graphics Corp.. Cols.. O. ..,. Form No, 2806-A
Ordinance N 0,________________________ P assed__________ ___ _____________ _____ _ __h_ _____________19 _____. __
Page Seven
SECTION 5.
That there be appropriated from the following DEBT SERVICE FUNDS
COl General Obligation Debt Service Fund
Program III Leisure Time Activities
COl-03-3B Parkland Acquisition Notes
2610 Principal 120,000.00
2620 Interest 5,724.00
Total Program III l25,724.00
Program V - Basic Utility Services
COI-05-5A Water and Sewer Bonds
2340 Auditor Deductions/Paying Agent Fees 5,000.00
2610 Principal 162,300.00
2620 Interest 206,052.25
Total Program V 373,352.25
Progam VI - Transportation
COl-06-6A Street Improvement Bonds
2610 Principal 65,000.00
2620 Interest 110,218.75
Total Program VI l75,218.75
Program VII - Administration
COI-07-7E Municipal Building Expansion Bonds
2610 Principal 40,000.00
2620 Interest 71,000.00
Total Program VII 111 ,000.00
Total General Obligation Debt Service 785,295.00
SECTION 6.
That there be appropriated from the following ENTERPRISE FUNDS
EOl Water Fund
Program V - Basic Utility Services
EOI-05-5C Pumping
2310 Utili ties 45,000.00
2340 Refunds 5,000.00
2350 Maintenance of Equipment l5,000.00
EOI-05-5J Hydrant Maintenance and Repair
2300 Contractual Services 40,000.00
EOI-05-5T Transfers
2710 To General Obligation Debt Service 51,991. 25
EOI-05-5W Waterline Contract Payments
2300 Waterline Payback Agreement(Compuserv) 7,430.91
Total Water Fund 164,422.16
RECORD OF ORDINANCES 253
National Graphics Corp., Cols., O. ~ Form No, 2806-A
Ordinance NO._mn___n___nm_m_ P assed_n______ n__ ___n __n nn___n__nn__n __n_____19 n___. __
Page Eight
E02 Sanitary Sewer Fund
Program V - Basic Utility Services
E02-05-5C Pumping
2300 Contractual Services
2310 Utilities l7,000.00
2340 Refunds 5,000.00
2350 Pump Station Maintenance 20,000.00
E02-05-SJ Other Equipment
2300 Contractual Services 20,000.00
Total Sewer Fund 62,000.00
SECTION 7.
That there be appropriated from the TRUST AND AGENCY FUNDS
Program V - Basic Utility Services
G05-05-SW Water Tap Payback Agreements
2300 Payments to Developers 65,000.00
G05-05-SS Sewer Tap Payback Agreements
2300 Payments to Columbus/Developers 85,000.00
Total Trust and Agency Fund 150,000.00
SECTION 8.
That there be appropriated from the SPECIAL ASSESSMENTS FUND
HOl Special Assessement Bond Retirement Fund
Program v - Basic Utility Services
H01-05-SA Water and Sewer Bonds
2610 Princi pal 88,700.00
2620 Interest 79,279.00
Total Special Assessments Fund 167,979.00
TOTAL ALL APPROPRIATIONS $7,290,102.16
SECTION 9.
And the Village Finance Director is hereby authorized to draw warrants on
the Village Treasury for payments from any of the foregoing appropriation
upon receiving proper certificates and vouchers therefore, approved by th
board of officers authorized by law to approve the same, or an ordinance
or resolution of Council to make the expenditures; provided that no
warrants shall be drawn or paid for salaries or wages except to persons
employed by authority of and in accordance with law or ordinance.
Provided further that the appropriations for contingencies can only be
expended upon appeal of two thirds vote to Council for items of expense
constituting a legal obligations against the Village, and for purposes
other than those covered by the other specific appropriations herein made
RECORD OF ORDINANCES 255
National Graphics Corp., Cols., O. ... Form No, 2808-A
Ordinance No .________________mn_u P assedn _dU__ nd _hn nU ___n_U___ dnd_ _ _d__n__19 d_d_ --
Page Nine
SECTION 10.
This Ordinance shall take effect at the earliest period allowed by alw
Passed this 1.5.d day of i.f2g<,~~ , 1986.
~
Mayor - Presiding Officer
Attest:
-/4~~.~
Cl rk of Counci
I hereby c~ify that copies of this Ordinance/Reso!ut;/)n
wer~ posted '" the Village of Dublin in accordance with
Section 73~5 of the Ohio Revised Code.
JA//.4l/kJ YJ;. 7:.r4~
aerk of Council
RECORD OF ORDINANCES 257
NatieBal Graphics CGI'p.. Cels.. O. ~ Form No, 2806-A
Ordinance NO,_mm_nm_n____m_ p assednn___._nnnnn__nn_n_nn__nn_nn_n___19 _n___ --
Page Ten
CERTIFICATE
Section 5705.39, R.C. - "No appropriation measure shall become effective
until the county auditor files with the appropriating authority.... a
certificate that the total appropriations from each fund, taken together
with all other outstanding appropriations, do not exceed such official
estimate or amended official estimate. When the appropriation does not
exceed such official estimate, the county auditor shall give such
certificate forthwith upon receiving from the appropriating authority
a certified copy of the appropriation measure ... "
The State of Ohio, Franklin County, SSe
I, Frances M. Urban, Clerk of Council of the Village of Dublin in said
County, and in whose custody the Files, Journals, and Records are required
by the Laws of the State of Ohio to be kept, do hereby certify that the
foregoing Annual Appropriation Ordinance is taken and copied from the
original now on file with said Village, that the foregoing ordinance has
been compared by me with the said original and that the same is a true and
correct copy thereof.
Witness my signature, this /.j-~day ofL~ , 1986.
~W},t(~
C erk of Council of the
Village of Dublin,
Franklin, Delaware & Union Counties
State of Ohio
MEMO
TO: All Councilmembers, Village Manager, and Staff
FROM: Nan Prushing, Finance Director
SUBJECT: Annual Appropriation Ordinance
DATE: November 17, 1986
,
, Following are comments regarding selected accounts included in the above
,
Ordinance:
AOI-03-3B-2510
AOI-06-6A-2550 These were the original estimates used for the tax budget in
July. Utilizing the computer analysis of capital improvements
for 5-years, the total figure for 1987 is estimated at $936,000.00.
Since the 1987 projects have not yet been decided, these estimates
would appear to be fair projections which can be amended when the
1987 projects are determined.
AOl-04-4A-2 11 0 Includes new planner position, and two part-time positions per the
1987 Personnel Projection Report.
AOI-07-7A-2340 More billable hours due to research and potential litigation.
234A New account to track legal expenses connected to debt issuance
and other selected projects
2370 Increased for cost to advertize special assessment bond issues(2)
AOI-07-7B-2200 New account - NLC Conference expenses
AOI-07-7C-2340 Charge cost of Prosecutor/Prisoner Boarding Fees to Mayor's Court
241A New account - witness fees and refunds for Mayor's Court
AOI-07-7D-2110 Includes part=time Finance Clerk per 1987 Personnel Projections
2310 New account - phone for computer modem
AOI-07-7E-231A New account - property taxes on land acquired by Village
(Property is not exempt until 1st full year of ownership)
AO 1-0 7 - 7 J - 211 0 Includes temporary personnel during tax season per 1987 Personnel
Projections
BOI-06-6B-2110 Includes additional Maintenance Worker and promotional position
(foreman) per 1987 Personnel Projections
B04-03-3A-2110 Includes recreation program supervisor, additional playground
leader (another school site) and ice rink employees
2200 New account - Professional Education Conferences/Mileage Reimbursement
2340 Increased due to new program offerings/corresponds to increased
collection of fees.
2410 Separate office supplies from recreational program/playground supplies
24lA
2520 Furniture needed for new recreation supervisor
Page 2
B04-03-3B-2110 Includes additional full-time park maintenance worker and
part-time park maintenance employee
2350 Increased due to additional 30 acres at Avery Park
2420 Increased due to additional parkland and maintenance equipment
2430
2520 $15,000.00 is amount estimated in tax budget - balance requested
by P&R Director is to be paid with Revenue Sharing Funds
B09-04-4B-21l0 Includes new inspectors and commercial plan reviewer per 1987
Personnel Projections
2410 Increased for additional personnel and computer supplies
2520 Increased for purchase of computer for building permit information
B08-0l-lA-2110 Original extimates per tax budget. No additional personnel
included on 1987 Personnel Projections. Amounts can be
amended later given further information.
2140 Figure per Village Manager includes uniform and dry cleaning
allowance.
2350 Increased for additional training of officers
2420 Accounts split to track expenditures for vehicles, equipment,
2430 and other supplies separately
243A
2520 Original amount from tax budget - should allow for purchase of
cruisers. Other equipment items (with exception of additional
cruisers and computer equipment) included under Revenue Sharing
-
I CAPITAL EQUIPMENT
Allowance for somesmaller equipment purchases have been included in this budget.
Once all of the Capital Improvement Requests have been reveiwed, the budget can
be amended to include others that are approved.
-~
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