HomeMy WebLinkAboutOrdinance 009-15RECORD OF ORDINANCES
Dayton Legal Blank, Inc.
Ordinance No.
09 -15
AN ORDINANCE AMENDING THE ANNUAL
APPROPRATIONS ORDINANCE FOR THE FISCAL YEAR
ENDING DECEMBER 31, 2015
WHEREAS, the Ohio Revised Code requires, when necessary, amendments to the
annual appropriations ordinance be made in order that appropriations are not over
expended;and
WHEREAS, it is necessary to amend the annual appropriations ordinance to provide
funding authorization in certain budget accounts; and
WHEREAS, it is necessary to appropriate estimated resources identified in various
capital project funds for project- related expenditures; and
WHEREAS, at the beginning of each year, it is necessary to appropriate
unencumbered balances in various funds to authorize those funds for project- related
expenditures.
NOW, THE ORE, 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
Fund the amount of $112,799 to account 101 - 1620 - 740 -2421 for the purpose of
reforestation.
Section 2 . There be appropriated from the unappropriated balance in the
Woerner - Temple TIF Fund the amount of $462,010 to account 412 - 0314 - 810 -2790 to
transfer funds to the General Obligation Debt Service Fund for the 2015 debt service
obligations on the debt issued for the Woerner - Temple Road project.
Section 3 . There be appropriated from the unappropriated balance in the Ruscilli
TIF Fund the amount of $1,038,080 to account 415 - 0314 - 810 -2790 to transfer funds
to the General Obligation Debt Service Fund for the 2015 debt service obligations on
the debt issued for the I- 270 /US 33 Interchange improvement.
Section 4 . There be appropriated from the unappropriated balance in the
Thomas /Kohler TIF Fund the amount of $155,410 to account 419 - 0314 - 810 -2790 to
transfer funds to the General Obligation Debt Service Fund for the 2015 debt service
obligations on the debt issued for the Emerald Parkway Phase 7A (Shier Rings to
Innovation) project.
Section 5 . There be appropriated from the unappropriated balance in the McKitrick
TIF Fund the amount of $731,430 to account 421 - 0314 - 810 -2790 to transfer funds to
the General Obligation Debt Service Fund for the 2015 debt service obligations due on
the debt issued for Emerald Parkway Phase 2 and Phase 8.
Section 6. There be appropriated from the unappropriated balance in the Rings
Road TIF Fund the amount of $269,360 to account 426 - 0314 - 810 -2790 to transfer
funds to the General Obligation Debt Service Fund for the 2015 debt service
obligations on the debt issued for the Rings Road widening project.
Section 7 . There be appropriated from the unappropriated balance in the
Perimeter West TIF Fund the amount of $963,350 to account 431 - 0314 - 810 -2790 to
transfer funds to the General Obligation Debt Service Fund for the 2015 debt service
obligations on the debt issued for the Perimeter Drive extension (Avery- Muirfield to
Post) project and for the debt issued for the Industrial Parkway /State Route 161
improvements.
Form No.30043_ _
Passed .20
RECORD OF ORDINANCES
Dayton Legal Blank, Inc. Form No. 30043
Passed Page 2 .20
Ordinance No.
09 -15
Section 8 . There be appropriated from the unappropriated balance in the Rive r
Ridge TIF Fund the amount of $138,330 to account 446- 0314- 810 -2790 to transfe r
funds to the General Obligation Debt Service Fund for the 2015 debt servic e
obligations on the debt issued for right -of -way acquisition necessary for the relocation
of Riverside Drive and the Riverside Drive /SR 161 roundabout.
Section 9 . There be appropriated from the unappropriated balance in the Kroger
Centre TIF Fund the amount of $300,000 to account 454 - 0314 - 810 -2790 to transfer
funds to the General Obligation Debt Service Fund for the 2015 debt service
obligations on the debt issued for Emerald Parkway Phase 8.
Section 10 . There be appropriated from the unappropriated balance in the Bridge
Street TIF Fund the amount of $256,890 to account 457 - 0314 - 810 -2790 to transfer
funds to the General Obligation Debt Service Fund for the 2015 debt service
obligations on the debt issued for right -of -way acquisition necessary for the relocation
of Riverside Drive and the Riverside Drive /SR 161 roundabout.
Section 11. The public hearing be waived to provide immediate funding
authorization for these projects and programs.
Section 12 . This ordinance shall take effect and be in force in accordance with
Section 4.04(a) of the Revised Charter.
Passed this day 015
or - Presiding Off r
ATTEST:
v
Clerk of Council
Ici of Dublin
Office of the City Manager
5200 Emerald Parkway • Dublin, OH 43017 -1090
Phone: 614 - 410 -4400 • Fax: 614 - 410 -4490 Memo
To: Members of Dublin City Council
From: Dana L. McDaniel, City Mana
Date: February 5, 2015
Initiated By: Angel L. Mumma, Director of Finance
Re: Ordinance No. 09 -15 — Amending the Annual Appropriations Ordinance for the
Fiscal Year Ending December 31, 2015
Summary
Each year an ordinance is prepared appropriating funding in various capital project funds and the
unencumbered funds from tree replacement fees. Ordinance No. 09 -15 provides for these
appropriations.
Section 1 appropriates tree replacement fees available as of January 1, 2015. The funds are
generated from payments in lieu of tree replacement and will be used to plant trees on public
property.
Sections 2 through 10 appropriate funding for the Tax Increment Financing (TIF) Funds identified.
The requests relate to the debt service obligations due on debt issued for the identified projects.
Additional appropriations may be requested throughout the year as public infrastructure
improvements identified in the TIF agreements are initiated.
Recommendation
Staff recommends Council dispense with the second reading /public hearing and adopt Ordinance
09 -15 at the February 9, 2015 City Council meeting.