HomeMy WebLinkAboutOrdinance 11645ORDINANCE NO. ~~
AN ORDINANCE SETTING FORTH AN ITEMIZED ESTIMATE OF THE
EXPENSE OF CONDUCTING EACH DEPARTMENT, DIVISION AND
OFFICE OF THE MUNICIPAL GOVERNMENT OF THE CITY OF FORT
WORTH FOR THE ENSUING FISCAL YEAR BEGINNING OCTOBER 1,
1994, AND ENDING SEPTEMBER 30, 1995, AND APPROPRIATING
MONEY FOR THE VARIOUS FUNDS AND PURPOSES OF SUCH
ESTIMATE; APPROPRIATING MONEY TO PAY INTEREST AND
PRINCIPAL SINKING FUND REQUIREMENT ON ALL OUTSTANDING
GENERAL INDEBTEDNESS; PROVIDING FOR PUBLIC HEARINGS UPON
THIS ORDINANCE BEFORE THE ENTIRE CITY COUNCIL SITTING AS
A COMMITTEE OF THE WHOLE; AND PROVIDING A SAVINGS CLAUSE
FOR THE REPEAL OF ALL ORDINANCES AND APPROPRIATIONS IN
CONFLICT WITH THE PROVISIONS OF THIS ORDINANCE; AND FOR
THE PUBLICATION AND FINAL PASSAGE THEREOF.
BE .IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF FORT WORTH,
TEXAS:
SECTION 1.
That the appropriation for the ensuing fiscal year beginning
October 1, 1994, and ending September 30, 1995, for the different
departments and purposes of the City of Fort Worth be fixed and
determined as follows.:
I. GENERAL FUND
1. Mayor and City Council $ 330,685
2. City Manager 1,881,792
3. Housing 11,500
4. Development 2,649,094
5. Human Relations 198,396
6. Employment and Training 6,663
7. Internal Audit 598,395
8. City Secretary 346,402
9. Law 1,864,254
10. Fiscal Services 3,582,431
11. Personnel 1,481,683
12. Risk Management 752,836
13. Transportation and Public Works 21,273,479
14. City Services 2,085,569
15. Planning and Growth Management 670,292
16. Public Events and Facilities 3,609,261
17. Police 66,392,552
18. Fire 36,002,328
19. Municipal Court 4,019,592
20. Public Health 5,512,667
21. Environmental Management 1,025,969
22. Parks and Community Services 12,912,238
23. Zoo 2,474,400
24. Library 6,989,130
25. Non-Departmental 13,976,076
26. Debt Service 51,689,800
GENERAL FUND TOTAL $242,337,484
II. CIVIL SERVICE STAFFING
Police Department:
Civil service staffing for the Police Department on October 1,
1994, will consist of 1,062 authorized positions as follows: 715
officers, 174 detectives, 113 sergeants, 43 lieutenants, 12
captains and 5 deputy chiefs.
Fire Department:
Civil service staffing for the Fire Department on October 1,
1994, will consist of 654 authorized positions as follows: 307
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firefighters, 157 engineers, 97 lieutenants, 71 captains, 18
battalion chiefs and 4 deputy chiefs.
III. CULTURE AND TOURISM FUND
The Culture and Tourism Fund shall be provided with such
revenue as may be secured from the Hotel/Motel Occupancy Tax and
other sources as shown by other ordinances heretofore passed, and
such money shall be used to meet the requirements of Culture and
Tourism Fund as provided in the budget of the City Manager, which
includes a total Culture and Tourism Fund appropriation of
$3,295,000.
IV. TEMPORARY LABOR FUND
The Temporary Labor Fund shall be provided with such revenue
as may be secured from the in-house charges to City departments for
the provision of temporary labor and other such sources as shown by
other ordinances heretofore passed, and such money shall be used to
meet the requirements of the Temporary Labor Fund as provided in
the budget of the City Manager, which includes a total Temporary
Labor Fund appropriation of $1,142,214.
V. MUNICIPAL GOLF COURSE FUND
The Municipal Golf Course Fund shall be provided with such
revenue as may be secured from the Pecan Valley, Rockwood, Z. Boaz,
Meadowbrook and Sycamore Creek Golf Courses and other sources as
shown by other ordinances heretofore passed, and such money shall
be used to meet the requirements of the Municipal Golf Course Fund
as provided in the budget of the City Manager, which includes a
total Municipal Golf Course Fund appropriation of $3,556,837.
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VI. AIRPORTS FUND
The Airports Fund shall be provided with such revenue as may
be secured from the various sources included in the budget of the
City Manager, and such money shall be used to meet the requirements
of the Airports Fund as provided in the budget of the City Manager,
which includes a total Airports Fund appropriation of $2,246,860.
VII. WATER AND SEWER FUND
The Water and Sewer Fund shall be provided with such revenue
as may be secured from the sale of water, sewer services and other
sources as shown by other ordinances heretofore passed, and such
money shall be used to meet the requirements of the Water and Sewer
Fund as provided in the budget of the City Manager, which includes
a total appropriation for the Water and Sewer Fund of $135, 628, 329.
VIII. MUNICIPAL PARKING FACILITIES FUND
The Municipal Parking Facilities Fund shall be provided with
such revenues as may be secured from commercial off-street parking
to employees and citizens and commercial office space leases in the
Municipal Parking Garage and other sources as shown by other
ordinances heretofore passed, and such money shall be used to meet
the requirements of the Municipal Parking Facilities Fund as
provided in the budget of the City Manager, which includes a total
Municipal Parking Facilities Fund appropriation of $240,967.
IX. OFFICE SERVICES FUND
The Office Services Fund shall be provided with such revenue
as may be secured from the in-house charges to City departments for
the provision of microfilming and office copying services, printing
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and graphics services, plus other in-house functions such as the
messenger and mail services, and other sources as shown by other
ordinances heretofore passed, and such money shall be used to meet
the requirements of the Office Services Fund as provided in the
budget of the City Manager, which includes a total Office Services
Fund appropriation of $1,549,857.
X. EQUIPMENT SERVICES FUND
The Equipment Services Fund shall be provided with such
revenue as may be secured from charges for the performance of
maintenance and operations functions at the City's six service
centers plus on-site maintenance work performed at the City's
landfills, and other sources as shown by other ordinances hereto
fore passed, and such money shall be used to meet the requirements
of the Equipment Services Fund as provided in the budget of the
City Manager, which includes a total Equipment Services fund
appropriation of $11,182,378.
XI. SOLID WASTE FUND
The Solid Waste Fund shall be provided with such revenue as
may be secured from the collection of municipal solid waste and
other sources as shown by other ordinances heretofore passed, and
such money shall be used to meet the requirements of the Solid
Waste Fund as provided in the budget of the City Manager, which
includes a total appropriation for the Solid Waste Fund of
$17,379,056.
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XII. INFORMATION SYSTEMS FUND
The Information Systems Fund shall be provided with such
revenue as may be secured from in-house transfers from City depart-
ments for the provision of basic telephone line service, mainte-
nance of telephone lines and instruments, lease/purchase of
telephone instruments and other equipment, support in the operation
and maintenance of personal computers, design, fabrication,
procument, installation and maintenance of electronic equipment,
maintenance of the new trunk system and other sources as shown by
other ordinances heretofore passed, and such money shall be used to
meet the requirements of the Information Systems Fund as provided
in the budget of the City Manager, which includes a total
Information Systems Fund appropriation of $6,332,160.
XIII. LAKE WORTH TRUST FUND
The Lake Worth -Trust Fund shall be provided with such revenues
as may be secured from sales and leases of Lake Worth properties
and other sources as shown in the budget of the City Manager, and
such money shall be used to meet requirements of the Lake Worth
Trust Fund as provided in the budget of the City Manager, which
includes a total Lake Worth Trust Fund appropriation of $605,459.
XIV. CABLE COMMUNICATIONS OFFICE
The Cable Communications Office shall be provided with such
revenue as may be secured from the various sources included in the
budget of the City Manager, and such money shall be used to meet
the requirements of the that office as provided in the budget of
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the City Manager, which includes a total Cable Communications
Office appropriation of $740,147.
XV. RAILTRAN FUND
The Railtran Fund shall be provided with such revenues as may
be secured from revenue of DFW Railtran and other sources as shown
in the budget of the City Manager, and such money shall be used to
meet requirements of the Railtran Fund as provided in the budget of
the City Manager, which includes a total Railtran Fund
appropriation of $274,044.
XVI. PROPERTY AND CASUALTY INSURANCE
The Property and Casualty Insurance Fund shall be provided
with such revenue as may be secured from the City contributions
from each operating fund and from the various sources included in
the budget of the City Manager, and such money shall be used to
meet the requirements of the Property and Casualty Insurance Fund
as provided in the budget of the City Manager, which includes a
total Property and Casualty Insurance Fund appropriation of
$4,083,824.
XVII. WORKERS' COMPENSATION INSURANCE FUND
The Workers' Compensation Insurance Fund shall be provided
with such revenue as may be secured from the City contributions
from each operating department and from the various sources
included in the budget of the City Manager, and such money shall be
used to meet the requirements of the Workers' Compensation
Insurance Fund as provided in the budget of the City Manager, which
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includes a total Workers' Compensation Insurance Fund appropriation
of $7,343,114..
XVIII. HEALTH INSURANCE FUND
The Health Insurance Fund shall be provided with such revenue
as may be secured from the City contributions from each operating
department, from contributions from employees and retirees, and
from the various sources included in the budget of the City
Manager, and such money shall be used to meet the requirements of
the Health Insurance Fund as provided in the budget of the City
Manager, which includes a total Health .Insurance Fund appropriation
of $25,154,974.
XVIX. UNEMPLOYMENT COMPENSATION INSURANCE FUND
The Unemployment Compensation Insurance Fund shall be provided
with such revenue as may be secured from the City contributions
from each operating department and from the various sources
included in the budget of the City Manager, and such money shall be
used to meet the requirements of the Unemployment Compensation
Insurance Fund as provided in the budget of the City Manager, which
includes a total Unemployment Compensation Insurance Fund
appropriation of $994,759.
XX. ENGINEERING DEPARTMENT FUND
The Engineering Department Fund shall be provided with such
revenue as may be secured from the in-house charges to City
departments for the provision of engineering services and other
such sources as shown by other ordinances heretofore passed, and
such money shall be used to meet the requirements of that
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department as provided in the budget of the City Manager, which
includes a total Engineering Department Fund appropriation of
$5,292,924.
XXI. ENVIRONMENTAL MANAGEMENT FUND
The Environmental Management Fund shall be provided with such
revenue as may be secured from the City's environmental protection
fee and other such sources as may become available from
environmental projects, and such money shall be used to meet the
requirements of the Environmental Management Fund as provided in
the budget of the City Manager, which includes a total
Environmental Management Fund appropriation of $770,000.
XXiI. AWARDED ASSETS FUND
'The Award Assets Fund shall be provided with such revenues as
may be secured by the Police Department under state and federal
laws authorizing the forfeiture of certain property involved in the
commission of criminal offenses, and such money shall be used for
law enforcement purposes in accordance with the restrictions in
such forfeiture laws, and as provided in the budget of the City
Manager, which includes a total Awarded Assets Fund appropriation
of $910, 635.
SECTION 2.
That the distribution and division of the above named
appropriations be made in accordance with the budget of
expenditures submitted by the City Manager and as revised by the
City Council in accordance with the provisions of the City Charter
and adopted by the City Council, which budget is made a part of
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this ordinance by reference thereto and shall be considered in
connection with the expenditures of the above appropriations.
SECTION 3.
That on Tuesday, August 9, 1994, the City Manager presented to
the City Council his budget estimate; that the City Council of the
City of Fort Worth shall sit as a committee of the whole in the
Council Chamber at the City Hall in the City of Fort Worth on the
16th day of August, A.D. 1994, at 10:00 o'clock A.M., to hear any
complaints, suggestions or observations that any citizen, taxpayer
or party interested may desire to make with reference to any or all
of the provisions of this ordinance; and that such committee shall
continue its deliberations from time to time and day to day until
the public has been given a full opportunity to be heard.
SECTION 4.
That following the commencement of the public hearings for
which provision has been made in the preceding section, this
ordinance shall be published two times, one of which publications
shall not be less than ten (10) days before the second reading and
final passage of the ordinance, in the official newspaper of the
City of Fort Worth, which newspaper is one of general circulation
in said City.
SECTION 5.
That this ordinance shall not be presented for final passage
until ten (10) full days have elapsed after its publication, as
provided by the Charter of said City.
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SECTION 6.
That should any part, portion, section or part of a section of
this ordinance be declared invalid or inoperative or void for any
reason by a court of competent jurisdiction, such decision, opinion
or judgment shall in no way affect the remaining portions, parts,
sections or parts of sections of this ordinance, which provisions
shall be, remain and continue to be in full force and effect.
SECTION 7.
That all ordinances and appropriations for which provisions
have heretofore been made are hereby expressly repealed if in
conflict with the provisions of this. ordinance.
SECTION 8.
That this ordinance shall take effect and be in full force and
effect from and after the date of its passage and publication as
required by the Charter of the- City of Fort Worth, and it is so
ordained.
APPROVED AS TO FORM ND LEGALITY:
City Atgtor Z I
Date: 1 I t
ADOPTED • ~1- C~ 1 ~~
EFFECTIVE: ~1-- ~P - ~~
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