HomeMy WebLinkAboutOrdinance 24413-09-2020 Ordinance No. 24413-09-2020
AN ORDINANCE RATIFYING A DECREASE IN APPROPRIATIONS IN THE NON-
DEPARTMENTAL PORTION OF THE GENERAL FUND IN THE AMOUNT OF
$4,152,706.00 AND AN INCREASE IN APPROPRIATIONS IN THE ECONOMIC
DEVELOPMENT DEPARTMENT PORTION OF THE GENERAL FUND IN THE SAME AMOUNT TO
ADDRESS AN ADDITIONAL CONTRACTUAL PAYMENT; ADJUSTING APPROPRIATIONS IN THE
PARK AND RECREATION DEPARTMENT PORTION OF THE GENERAL FUND BY DECREASING
THE ALLOCATION IN THE PARK AND RECREATION DEPARTMENT IN AN AMOUNT UP TO
$362,000.00 AND INCREASING
THE ALLOCATION IN THE TRANSFER TO BOTANIC GARDEN ACCOUNT BY THE SAME AMOUNT
FOR THE PURPOSE OF TRANSFERRING OPERATING SAVINGS TO THE BOTANIC GARDEN
SPECIAL REVENUE FUND; PROVIDING FOR A SEVERABILITY CLAUSE; MAKING THIS
ORDINANCE CUMULATIVE OF PRIOR ORDINANCES; REPEALING ALL ORDINANCES IN
CONFLICT HEREWITH; AND PROVIDING AN EFFECTIVE DATE.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF FORT WORTH,TEXAS:
SECTION 1.
That the budget of the City of Fort Worth for Fiscal Year 2019- 2020, as enacted by Ordinance
23835-09-2019, as amended, is hereby further amended to:
1. Ratify a decrease in appropriations in Non-Departmental portion of the General Fund in
the amount of $4,152,706.00 and an increase in appropriations in the Economic Development Department
portion of the General Fund in the same amount to address an additional contractual payment; and
2. Adjust appropriations in the Park and Recreation Department portion of the General Fund
by decreasing the allocation to the Park and Recreation Department in an amount up to $362,000.00 and
increasing the allocation in the Transfer to Botanic Garden account by the same amount for the purpose
of transferring operating savings to the Botanic Garden Special Revenue Fund.
SECTION 2.
That 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 judgment 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. 23835-09-2019 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.
This ordinance shall take effect upon adoption.
APPROVED AS TO FORM AND LEGALITY: CITY SECRETARY
J trong(Sep 25,2020 10: DT) for Ronald P.Gonzales(Sep 25,2020 1 1:00CDT)
John B. Strong Mary J. Kayser \� RT
Senior Assistant City Attorney '
V• :O
ADOPTED AND EFFECTIVE: September 22, 2020 Z
City of Fort Worth, Texas
Mayor and Council Communication
DATE: 09/22/20 M&C FILE NUMBER: M&C 20-0677
LOG NAME: 03FY2020 WINDUP
SUBJECT
(ALL)Enact Fiscal Year 2020 Year End Budget Adjustments by Reallocating Resources,Operating Surpluses,and Available Current-Year
Revenues and Available Fund Balance and Net Position to Offset Projected Shortfalls, Fund Departmental Capital Projects and Outlays and
Authorize All Associated Transfers and Adopt Ordinances
RECOMMENDATION:
It is recommended that the City Council:
1. Adopt the attached ordinance making the following fiscal year 2020 year-end adjustments in the General Fund:
1. Ratifying a decrease in appropriations in the Non-Departmental portion of the General Fund in the amount of$4,152,706.00,
recognizing operational savings to address projected shortfalls,and an increase in appropriations in the Economic Development
Department portion of the General Fund in the same amount to address an additional contractual payment,which adjustments were
made utilizing delegated authority but are noted here for transparency;
2. Adopt the attached ordinance adjusting appropriations in the Park and Recreation Department portion of the General Fund by
decreasing the allocation to the Park and Recreation Department in an amount up to$362,000 and increasing the allocation in the
Transfer to Botanic Garden account by the same amount for the purpose of transferring operating savings to the Botanic Garden
Special Revenue Fund;
2. Adopt the attached appropriation ordinance decreasing receipts and appropriations in the amount of$79,000 from General Capital Projects
Fund(City Project No.P00110)for the purpose of reversing the transfer to revert funds to operating,and reallocate that amount from a
transfer to capital to a transfer to the Botanic Garden Special Revenue Fund;
3. Adopt the attached appropriation ordinance decreasing estimated receipts in the amount up to$1,549,000.00, decreasing appropriations in
the amount up to$846,000.00,and increasing in the use of fund balance in the amount up to$703,000.00 in the Botanic Gardens Special
Revenue Fund;
4. Adopt the attached appropriation ordinance decreasing estimated receipts in the amount of$3,100,000.00,decreasing appropriations in
the amount of$1,197,000.00,and increasing the use of net position in the amount of$1,903,000.00 in the Municipal Parking Fund;
5. Adopt the attached appropriation ordinance decreasing estimated receipts in the amount of$2,430,000.00,decreasing appropriations in
the amount of$1,782,000.00,and increasing in the use of fund balance in the amount of$648,000.00 in Fleet&Equipment Service Fund;
6. Adopt the attached appropriation ordinance increasing receipts and appropriations in Water&Sewer Fund in the amount of$17,000.00 for
additional cost of issuance;
7. Adopt the attached ordinance adjusting appropriations in the Water&Sewer Fund by decreasing the allocation in the General Operating and
Maintenance accounts in an amount up to$9,030,000.00 and increasing the allocation in the Transfer to Water/Sewer Capital account by the
same amount for the purpose of transferring operating savings to fund future projects(City Project No. UNSPEC);
8. Adopt the attached appropriation ordinance increasing estimated receipts and appropriations in the Specially Funded Projects Fund in the
amount of$120,000.00,for the Fort Worth Public Art Collection Management programmable project(City Project No. P00056);and
9. Authorize all necessary transfers to affect the appropriations identified above.
DISCUSSION:
The purpose of this Mayor and Council Communication(M&C)is to take actions to bring various funds into balance to facilitate year-end closing.
Those actions can generally be described as(1)adjusting funding among General Fund departments;(2)decreasing receipts and
appropriations in funds especially impacted by pandemic-caused revenue reductions(Botanic Garden Special Revenue Fund,Municipal Parking
Fund,and Fleet b and Equipment Services Fund);and appropriating fund balance/net position to support the reduced appropriation amount;(3)
reallocating and transferring Water Department operating savings for future capital;and(4)adjusting Public Art appropriations to reflect the
correct fund for such appropriations.
The City's annual operating budget is formally enacted into law by City Council action adopting an appropriation ordinance that establishes
spending limits for each departments and fund's operation.In the past,Staff has waited until the completion of the Comprehensive Annual
Financial Report(CAFR)to affect the settlement of General Fund departments.The current practice is to manage this process during the current
fiscal year and allocate net savings to meet one-time needs or to address items that have arisen during the fiscal year.
General Fund(delegated authority with inclusion of recommendation 1)
The City Manager is authorized by the budget ordinance to move certain appropriated monies from Non-Departmental to other departments,as
needed,under delegated authority.The Non-Departmental budget in the General Fund includes allocations based on the Fund's anticipated
need for separation leave costs for General Fund employees,contractual costs,election costs and tuition reimbursement costs for Fiscal Year
2020. These allocations can be distributed to individual departments as they have specific expenses in these areas.For FY2020,the City
Manager made allocations and transfers totaling$5,320,706.00 as follows:
Department Amount Explanation
City Manager's Office $ 843,000.00 contractual obligations
Diversity&Inclusion $ 300,000.00 educational training and contracts
Economic Development $4,152,706.00 contractual obligations for economic
agreements
Human Resources $ 25,000.00 separation leave cost
Included in the General Fund adjustments is funding related to an Economic Development payment to Facebook. Under the delegated authority
section of the adopted budget ordinance,the City Manager or his designee has authority both to(i)reallocate among categories of expenditures
within a department and(ii)take portions of Non-Departmental appropriations for items such as separation pay and other contractual services
from Non-Departmental to a department-specific use as specific needs arise. Making the payment to Facebook required use of both of these
aspects of delegated authority. First within the appropriation for the Non-Departmental Department,funds were reallocated from separation pay,
which was projecting a savings,to other contractual. Then the increased other contractual amount was allocated to an Economic Development
project to support the Facebook payment. Although this payment was arguably wholly within the scope of delegated authority,staff has included
the adjustments in the ordinance in order to have enhanced transparency given the greater level of complexity.
There is also a proposed transfer of up to$362,000.00 from operational savings in the Park&Recreation Department to subsidize the Botanic
Gardens Special Revenue Fund.
All of the above changes related to the General Fund are outlined in a separate chart:See Attachment A.
Botanic Garden Special Revenue Fund(recommendation 2&3)
The Botanic Garden Special Revenue Fund is projected to be under budget but have a deficit of$703,000.00 from revenue loss due to COVID-19.
The deficit will be covered by the use of fund balance,transfer from the General Capital Projects Fund,and General Fund subsidy.
Municipal Parking Fund(recommendation 4)
The Municipal Parking Fund is projected to be below their expense budget;however will have a remaining deficit of$1,903,000.00 from the
significant revenue loss due to COVID-19.This deficit will be covered by the use of net position.
Fleet&Equipment Service Fund(recommendation 5)
The Fleet&Equipment Service fund is projected to be under budget;however will have a remaining deficit of$648,000.00 due to lower
departmental activities attributed to COVID-19.The deficit will be covered by the use of net position.
Water&Sewer Fund(recommendation 6& 7)
The Water&Sewer fund incurred additional bond issuance cost from the WSS revenue bond 2020A, but had offsetting revenues to cover this cost
in the amount of$17,000.00.
The Water and Sewer fund will move$9,030,000.00 of General Operating and Maintenance appropriations to the Transfer and Other Category in
order to re-allocate savings from operating to the Water and Sewer Capital Project fund to fund ongoing capital improvement projects.
Specially Funded Projects Fund(recommendation 8)
A collection management fee is distributed from Water as a transfer per the City's agreement of funding for Fort Worth Public Art(FWPA).This
transfer was appropriated in the adoption of the FY2020 budget as being received by the Planning&Development department of the General
Fund.The correct recipient is the Specially Funded Projects Fund(39007)programmable project for FWPA Collection Management.Thus,a
correcting appropriation is needed to increase appropriations by$120,000.00 in the Specially Funded Projects Fund(39007)as a transfer into
programmable project P00056 FWPA Collection Management. (M&C 20-0204).
A Form 1295 is not required because:This M&C does not request approval of a contract with a business entity.
FISCAL INFORMATION t CERTIFICATION:
The Director of Finance certifies that upon the approval of the above recommendations and adoption of the attached ordinances,funds will be
available in the current operating budget,as appropriated,of the General Fund, Botanic Gardens Fund,Municipal Parking Fund, Fleet&
Equipment Service Fund,the Water&Sewer Fund and in the Specially Funded Projects Fund.
Submitted for City Manager's Office by: Fernando Costa 8180
Originating Business Unit Head• Mark McAvoy 6222
Additional Information Contact: Lorraine Coleman 8542