HomeMy Public PortalAboutOrdinance 08-2021ORDINANCE 08-2021
AMENDING THE CITY OF HOPKINSVILLE, KENTUCKY, ANNUAL BUDGET
FOR FISCAL YEAR JULY 1, 2020 THROUGH JUNE 30, 2021 BY
ESTIMATING REVENUES AND RESOURCES AND APPROPRIATING FUNDS
FOR THE OPERATION OF CITY GOVERNMENT
SUMMARY
SECTION ONE
By summary, Section One of Ordinance 31-2020 adopting the annual
budget for Fiscal Year 2020-2021 is amended as follows:
REVENUES
General Fund $ 40,488,045
Municipal Road Aid Fund $ 583,000
Prior Year $ [565,520] 675,520
Total Revenues $ [41,636,56a-] 41 665
General Fund
Municipal Road Aid Fund
Total Expenses
Surplus
EXPENSES
$ [39,9 2-3] 39166,
$ 633,000
$ [3 9-9-423] 39,799,823.
$ 1,946,742
FUND TRANSFERS
From General Fund $ 50,000
to Municipal Road Aid Fund $ 50,000
Ordinance 08-2021 Summary
Prepared by City Clerk's Office
Page 1 of 2
The full text of this Ordinance is on file in the office of the undersigned City
Clerk of the City of Hopkinsville at 715 South Virginia Street, Hopkinsville,
Kentucky, where it is available for public inspection between the hours of 8:00
a.m. to 4:30 p.m., Monday through Friday.
ORDINANCE 08-2021 SUMMARY
AMEND FY 20-21 OPERATIONAL BUDGET
PUBLICLY READ AND PASSED FIRST TIME: Aril 6, 2021
PUBLICLY READ AND PASSED SECOND TIME: April 20, 2021
APPROVED:
Wendell A. L
Mayor
ATTEST:
.3now
Christine M. Fletcher, MMC
City Clerk
I, H. Douglas Willen, hereby certify I am an Attorney licensed to practice
law in the Commonwealth of Kentucky, my office is located at 317 West
Ninth Street, Hopkinsville, Kentucky 42240. 1 further certify the foregoing
Summary of Ordinance 08-2021, of the City of Hopkinsville, Kentucky, was
prepared in accordance with the requirements of KRS 83A.060(9), and is a
true and accurate summary of the contents of said Ordinance.
Ordinance
was published in the Kentucky New Era
on ouglas Willen
As Certified By rT
Ordinance 08-2021 Summary
Prepared by City Clerk's Office
Page 2 of 2
ORDINANCE 08-2021
AMENDING THE CITY OF HOPKINSVILLE, KENTUCKY, ANNUAL BUDGET FOR FISCAL YEAR JULY
1, 2020 THROUGH JUNE 30, 2021 BY ESTIMATING REVENUES AND RESOURCES AND
APPROPRIATING FUNDS FOR THE OPERATION OF CITY GOVERNMENT
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF
HOPKINSVILLE, KENTUCKY AS FOLLOWS:
SECTION ONE
That Section One of Ordinance 05-2021 amending the annual budget for the fiscal year beginning
July 1, 2020 and ending June 30, 2021 is amended as follows:
PROJECTED
REVENUE
FY 20-21
GENERAL FUND #10
Property Tax Revenue
4,875,000
Auto Property Tax
400,000
Property Tax Interest & Penalty
40,000
Property Tax Delinquent
40,000
Property Taxes (State)
50,000
Auto Property Tax (State)
40,000
Payment In Lieu of Taxes
120,000
PILOT (HES)
60,000
PILOT (PRECC)
40,000
Bank Deposits Tax
205,000
Payroll Taxes
15,912,576
Payroll Tax Interest & Penalty
25,000
Business Licenses
1,700,000
Business License Interest & Penalty
30,000
Insurance Premium Taxes
4,800,493
Liquor & Beer Licenses
30,000
Telecommunications Tax (State)
215,000
Gas Franchise (Atmos)
170,000
Police Department
32,000
Animal License Fee
750
Fire Department
600
Service Center
6,000
Court Revenue
32,000
Litter Abatement
19,000
Severance Tax
10,000
Probation & Parole Rental
127,400
Old First City Bank Rental
37,140
Warehouse Rental
3,600
Interest Income
155,250
Credit Card Processing Fees
1,500
Sale of Used Equipment
25,000
Transient Room Tax
850,000
Bldg. Permit Fees
125,000
PILOT (H W EA)
235,000
PILOT (Solid Waste)
420,000
Storm Water Utility Reimbursement
10,200
Miscellaneous Income
20,000
School Resource Officer Reimbursement
282,640
Housing Authority Reimbursement
46,534
Police Prisoner Pickup
15,000
Circuit Court Clerk Fees
20,000
ECC Board Labor Reimbursement
1,327,397
Ambulance Board Labor Reimbursement
2,374,213
ECC Utility Reimbursement
16,500
County Reimbursement - Weather Spotters
4,000
HCC Conference Center TIF -Bond Repayment
35,191
CVB Reimbursement -Bond Repayment
40,613
County Reimbursement - Thompson Thrift Bond
45,815
Ordinance 08-2021
Prepared by Finance; Edited by City Clerk's Office
Page 1 of 5
PROJECTED
REVENUE
FY 20-21
AMENDED
HCC Conference Center WINS -Bond Repayment
ECC Management Reimbursement
County Reimbursement- Parks & Rec
County Reimbursement - Marketing Coordinator
Parks & Rec. Facility Rentals, Gym, Thomas St.
Facility Rentals, Herb Hays Pavilion, Ruff Park
Facility Rentals, Gates Pavilion, Tie Breaker Park
Facility Rentals, Ballfields, Tie Breaker Park
Facility Rentals, Troy Sowell Pavilion, DeBow RC
Facility Rental, 2nd Street Center Bldg.
Leagues Income, Softball
Leagues Income, Volleyball
Leagues Income, Other
Tournaments Income
Vending Income
Concession Income - Tie Breaker Park
Pennyrile Senior Games Income
Summer Adventure Day Camp Income
International Festival Income
Christmas Holiday Parade & Events Income
Miscellaneous Program Income
Turf - Soccer
Turf - Football
Turf- Lacrosse
Turf- Baseball
Turf - Softball
Court - Basketball
Court - Volleyball
Court - Other
Court - FutsaI
Open Play/Annual Memberships
Summer Camps
Concession Commissions
Vending Income
Facility Rentals
Sponsorships
Tournament Income
Cages -Batting
Cages -Golf
Merchandise Sales
Miscellaneous Programs
Riverside Receipts
Cave Springs Receipts
Fort Campbell - Salt Contract
Fort Campbell - Pavement Markings
Fort Campbell - Street Signs
Covid-19 Relief Fund - State of Kentucky
Transfers from Capital Fund
Subtotal -General Fund $
Prior Year Revenue $
Total -General Fund $
MUNICIPAL ROAD AID # 22
Municipal Road Aid Grant
Mineral Severance Tax
Interest Income
Subtotal-M.R.A. $
Prior Year Revenue
Total -MRA $
CURRENT REVENUES: ALL FUNDS $
PRIOR YEAR REVENUES $
103,417
50,747
100,387
30,000
3,200
1,700
400
1,200
2,200
4,200
2,500
2,500
500
42,000
200
2,500
6,500
38,000
13,000
23,000
3,000
70,000
2,000
1,000
1,000
1,000
30,000
15,000
2,500
3,000
20,000
10,000
12,000
7,500
30,000
60,000
40,000
1,500
1,000
2,000
1,000
85,000
80,000
114,468
448,803
475,000
2,921,711
550,000
40,488,045
[665,]
574,000
8,500
500
583,000
0
583,000
41,071,045
[666,62
TOTAL REVENUES: ALL FUNDS $ [4,3&,5o5j
Ordinance 08-2021
Prepared by Finance; Edited by City Clerk's Office
Page 2 of 5
675.520
41 _163 565
675.520
41 746.565
PROJECTED EXPENSES
General
Municipal
General Fund
Road Aid
Activity
Fund Amended
Fund
TOTALS
GENERAL
Administration Department
1,773,274
1,773,274
Tax Department
410,891
410,891
Information Technology
1,106,467
Department
1,106,467
Legislative Department
366,910
366,910
PUBLIC SAFETY
Police Department
8,436,998
8,436,998
Emergency Communication Center
1,327,397
1,327,397
Fire Department
7,858,213
,858,213
EMS Department
1,152,464
1
1,152,464
PUBLIC WORKS
Public Works Admin
265,171
265,171
City Maintenance
2,063,830
2,063,830
Fort Campbell Contracts
962,575
962,575
Service Center
510,317
510,317
Parks & Recreation
1,016,623
1,016,623
Sportsplex
425,081
425,081
Street Municipal Road Aid Fund
633,000
633,000
MANDATED AGENCIES
Community and Development
698,985
698,985
Services
Boys & Girls Club
86,421
86,421
Airport Board
34,656
34,656
Emergency Management (DES)
48,073
48,073
Emergency Communication Center
764,246
764,246
Human Rights Commission
79,846
79,846
1 Library
307,982
307,982
Imagination Library
28,181
28,181
Pennyroyal Area Museum
36,636
36,636
War Memorial Commission
10,944
10,944
OPTIONAL AGENCIES
Pennyroyal Arts Council
28,181
28,181
Economic Development Council
166,896
166,896
Local Development Corporation
13,824
13,824
Military Affairs -Chamber of
27.360
27,360
Commerce
Minority Economic Development
23,484
23,484
Crisis Relief -Aaron McNeil House
17,422
17,422
Retired Seniors Volunteer Program
8,455
8,455
PACS -Public Transportation
91,301
91,301
PACS -Senior Center & Adult Day
21,888
21,888
Care
PACS -Public Transportation
4,560
4,560
Advertising
Conference & Convention Center
45,089
45,089
(James E. Bruce)
Jeffers Bend
9,120
9,120
Dyslexia
2,819
2,819
PASSTHROUGH
Planning Commission - Permits
125,000
125,000
Tourism Room Expense
850,000
850,000
CITY CONTRACTS
DS - 1 & 2 Family Building Code
41,222
41,222
-JDS - Renaissance (Grant Mgmt)
64,699
64,699
CDS - Grant Writer/Housing
52,502
52,502
Ordinance 08-2021
Prepared by Finance; Edited by City Clerk's Office
Page 3 of 5
TOTALS
AMENDED
CDS - CDBG Reduction
34,068
34,068
CDS - GIS (Contract)
64,699
64,699
CDS - Code Enforcement (Trash &
95,323
95,323
Weed)
LDC - Downtown Renaissance
57,600
57,600
MISCELLANEOUS
Inner -City REZ
400,000
400,000
Litter Abatement
19,000
19,000
Street Lighting
660,000
660,000
Storm Water
10,000
10,000
Project Graduation
1,000
1,000
Housing Authority
1,500
1,500
PADD Dues
16,640
16,640
Housing Incentive
25,000
25,000
Juvenile Drug Court
10,000
10,000
Health Trust Funding
150,000
150,000
Payroll Accrual -27th Pay Period
138,109
138,109
Campbell Strong
10,000
10,000
Code Enforcement From Admin-
20,000
20,000
The Lot Next Door
Donation -Penn ro !Arts Council
50.000
50.000
❑ nation-Libr
50.000
50.000
Donation -Human Rights
10.000
10.000
Commission
INSURANCE
410,000
410,000
BUILDING & PROPERTIES
171,200
171,200
DEBT SERVICE
1,958,785
1,958,785
REBATES & INCENTIVES
181,000
181,000
OTHER
Police & Fire Pension Fund
235,000
235,000
Interfund Transfer
100,000
100,000
City Grant Matching
50,000
50,000
TRANSFERS
Transfers to Capital Fund
1,436,910
1,436,910
Additional Transfer to Capital Fund
40,018
40,018
(WINS)
Transfer to Capital Fund -Aquatic
90,000
90,000
Center Improvement
Transfer to Capital Fund -Ren. Old
330,000
330,000
1' City Bank
Transfer to Capital Fund -Police
300,000
300,000
Body Cameras
Transfer to Economic Development
674,969
674,969
Fund
PROJECTED EXPENSES
[$39,06623]
$39,166,823 $ $633,000
[$39;6497823]
$39,789.823
PROJECTED REVENUE
[$41-;06,665]
$41,163,565 $583,000
[$41,63€767]$41.746.565
SURPLUS/(DEFICIT)
$1,996,742
$ (50,000)
$1,946,742
GENERAL FUND TRANSFERS
$(50,000)
$ 50,000
$ 0
Difference $1,946,742
$ 0 $1,946,742
Ordinance 08-2021
Prepared by Finance; Edited by City Clerk's Office
Page 4 of 5
SECTION TWO
If any section, subsection, sentence, clause, or phrase of this ordinance is for any reason held
unconstitutional or otherwise invalid, such infirmities shall not affect the validity of the remaining portions of
this ordinance.
SECTION THREE
Any and all existing ordinances inconsistent with this ordinance are hereby repealed.
SECTION FOUR
This ordinance shall take effect after its passage and publication according to law.
ORDINANCE 08-2021
AMEND FY 20-21 OPERATIONAL BUDGET
PUBLICLY READ AND PASSED FIRST TIME: April 6. 2021
PUBLICLY READ AND PASSED SECOND TIME: Aril 20 2021
APPROVED:
WC-ndell A. Lynch
Mayor
ATTEST: Plow M
Christine M. Fletcher, MMC
City Clerk
Ordinance 08-2021
Prepared by Finance; Edited by City Clerk's Office
Page 5 of 5
Ordinance 6k,, (Oak
was published in the Kentucky New Era
on:g1 AD dj
As Certified By 4J • fJwi r l