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HomeMy WebLinkAboutOrdinance 10134,~, ~, v g _ ~~+, O RDINANCIE N O ~~~~~ AN ORDINANCE APPROPRIATING $180,000 00 TO THE GENERAL FUND, FUND O1, TRANSPORTATION AND PUBLIC WORKS DEPARTMENT ACCOUNT NO 20-80-03 FROM THE UNDESIGNATED, UNRESERVED GENERAL FUND, FUND BALANCE THEREBY INCREASING THE APPROPRIATIONS TO THE GENERAL FUND, FUND O1, TRANSPORTATION AND PUBLIC WORKS DEPARTMENT, ACCOUNT NO 20-80-03 BY THE SAME AMOUNT FOR THE PURPOSE OF REIMBURING THE STREET IMPROVEMENT FUND 30 FOR EXPENDITURES INCURRED IN REPLACING CURBS AND GUTTERS, PROVIDING FOR A SEVERABILTTY CLAUSE, MAKING THIS ORDINANCE CUMULATIVE OF PRIOR ORDINANCES AND REPEALING ALL PRIOR ORDINANCES IN CONFLICT HEREWITH, PROVIDING FOR ENGROSSMENT AND ENROLLMENT; AND PROVIDING AN EFFECTIVE DATE. BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF FORT WORTH, TEXAS: SECTION 1. That in addition to those amounts allocated to the various City departments for the Fiscal Year 1987-88 and in the Budget of the City Manager, there shall also be appropriated $180,000 from the Undesignated, Unreserved General Fund, Fund Balance to the General Fund, Fund O1, Transportation and Public Works Department, Account No 20-80-03, thereby increasing appropriations in the General Fund, Fund O1, by the same amount for the purpose of reimbursing Street Improvement Fund 30 for. expenditures incurred in replacing curbs and gutters SECTION 2 Should any portion, section or part of a section of this ordinance be declared invalid, inoperative or void for any reason by a court of competent jurisdiction, such decision, opinion or judgement shall in no way impair the remaining ,portions, sections, or parts of sections of this ordinance, which said remaining provisions shall be and remain in full force and effect. SECTION 3 That this ordinance shall be cumulative of Ordinance No 9926 and all other ordinances and appropriations amending the same except in those instances where the provisions of this ordinance are in direct conflict with such other ordinances and appropriations, in which instance said conflicting provisions of said prior ordinances and appropriations are hereby expressly repealed SECTION 4 The City Secretary of the City of :Fort Worth is hereby directed to engross and enroll this ordinance by copying the caption and effective date into the minutes of the C i t y Council and by filing this ordinance in the ordinance records of the City of Fort Worth. SECTION 5 This ordinance shall take effect and be in full force and effect from and after the date of its passage, and it is so ordained. A PROVED AS TO FOR D LEGALITY: City Attorney Date ~ _ ~_~ _ ~ ~ _ Adopted ~x~~,~ Effective ____ ~~~ :~ MASTER FILE 1; `L./Z~~ ®~ JL ~LDU IL. ~®U ILOIL~ ~~i.N~'LrL~ ArcouNTlNa z 7RANSPOfiTATIGEdjPU'~LIC W .~' :.~~~ n®'n° /rn~il/l 11 ®~~~~~~ ~®~D~~~~~~~,~®~ NATER AGhtINIS:RA'riufd ?I HNANCEā€¢ L DATE REFERENCE suB.lECT SUPPLEMENTAL APPROPRIATION F.OR PAGE NUMBER GENERAL FUND, TRANSPORTATION AND PUBLI 1 6-28-88 G-7623 WORKS > of_----__ RECOMMENDATION: It is recommended that the City Councilā€¢ 1. Adopt the attached supplemental appropriation ordinance appropriating $180,000 from the Undesignated, Unreserved General Fund, Fund Balance to the Transportation and Public Works Department, Account No. 20-80-03. 2. Approve the transfer of $180,000 from the General Fund, Transportation and Public Works Department, Account No. 20-80-03 the Street Improvement Fund 30, Account No. 033901-00, Curb and Gutters. Background~ During the 1984/1985 fiscal year the City of Fort Worth and the Fort Worth Transit Authority (F.W.T.A.) camE~ to a mutual agreement that the City would pay for certain street improvements. With the understanding that once the repairs were made, F.W.T.A. would apply for reimbursement from the Federal Government and then repay those expenditures made by the City. These expenditures were accumulated in the Street Improvement Fund 30, project number 033901-00, Curb and Gui;ters During the 1985/1986 fiscal year, these monies were reimbursed by the F.T.W A and deposited in the General Fund as revenue. This deposit should have been made to the Street Improvement Fund In 1986/1987 this money was appropriated in the General Fund O1, Transportation Works Department on M&C G-6940, however, the transf er between the General Fund and the Street Improvement Fund 30, which then should have occurred, was never made. A supplemental appropriation is now required so that these funds might be transferred to Fund 30 and made available for needed street expenditures Financing Upon adoption of the supplemental appropriation sufficient funds will be available in General Fund O1, -transportation and Public Works Department, Account No. 20-80-03 to finance the recommended transfer to the Street Improvement Fund 30 This expenditure will be made from Index Code 239442. The General Fund Unreserved Undesignated Fund Balance will be $16,571,128 after this transfer AF`~BOVED BY C~~~ ~~U'~C~ mdl R~ ~ -- _ SUBMITTED FOR IHt CITY MANAGER'S DISPOSITION BY COUNCIL. ~~~. PROCESSED BY OFFICEBY David IVOr ^ APPROVED /J _I ,I / J / / ORIGINATING ! ^ OTHER (DESCRIBE) li C~ e A,4,I~j } L ! Z 7 DEPARTMENT HEAD- A V Bai 1 i ff =C--ITY SEC-RETA~RY= FOR ADDITIONAL INFO AT ON ~ Larson 8330 /' :..I Adopted Ord~narrce No /~ q .S,BC.f6tD.I~ of:~li3 ~xoA~wo>:t~,~~rex CONTACT . .