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HomeMy Public PortalAboutResolutions-2016-012RESOLUTION NO. 2016-012 A RESOLUTION APPROVING THE CITY OF TIFFIN BUDGET AMENDMENT FOR FISCAL YEAR 2015-2016 Whereas, the City Council of the City of Tiffin, Iowa is responsible to approve and certify an annual operating budget, and; Whereas, the City Council is required to stay within the budgetary requirements set forth by the Department of Management with the State of Iowa, and; Whereas, the City Council does hereby acknowledge the necessity for a budget amendment to stay within the State's requirements, and; Whereas, the City Council of the City of Tiffin hereby acknowledges the attached Budget Amendment Sheet to be accurate and final, Now, therefore be it resolved by the City Council of the City of Tiffin, Iowa, that effective upon receipt of this resolution by the State of Iowa Department of Management and the Johnson County Auditor, that the fiscal year 2015-2016 budget amendment for the City of Tiffin be approved. On the 2nd day of February, 2016, at a regular meeting of the Tiffin City Council, Tiffin, Iowa, Councilperson Upton introduced Resolution No. 2016-012, A RESOLUTION APPROVING THE CITY OF TIFFIN BUDGET AMENDMENT FOR FISCAL YEAR 2015-2016 and made a motion for approval. Motion seconded by Councilperson Bartels. Ayes: Bartels, Ryan, Upton, Havens, Kahler Nays: None. Absent: None. Whereupon Five Council members were present and voted approval and Mayor Berner declared that the Resolution No. 2016-007, A RESOLUTION APPROVING THE CITY OF TIFFIN BUDGET AMENDMENT FOR FISCAL YEAR 2015-2016 to be adopted and signified his approval of the same by affixing his signature thereto. Passed by the City Council on the 2nd day of February, 2016. City of Tiffin Steven L. Berner, Mayor ATTEST: Doug Idt ity Administrator/Clerk NOTICE OF PUBLIC HEARING AMENDMENT OF CURRENT CITY BUDGET Form 653.C1 The City Council of Tiffin in JOHNSON County, Iowa will meet at City Hall, 300 Railroad Street, Tiffin, Iowa at 7:00 p.m. on 2/2/2016 (hour) (Date) ,for the purpose of amending the current budget of the city for the fiscal year ending June 30, 2016 (year) by changing estimates of revenue and expenditure appropriations in the following programs for the reasons given. Additional detail is available at the city clerk's office showing revenues and expenditures by fund type and by activity. Explanation of increases or decreases in revenue estimates, appropriations, or available cash: There will be no increase in tax levies to be paid in the current fiscal year named above. Any increase in expenditures set out above will be met from the increased non -property tax revenues and cash balan no budgeted or considered in this current budget. This will provide for a balancedbud t. Doug Boldt Ci Cler na ce Officer Total Budget as certified or last amended Current Amendment Total Budget after Current Amendment Revenues & Other Financina Sources Taxes Levied on Property 1 897,404 0 897,404 Less: Uncollected Property Taxes -Levy Year 2 0 0 0 Net Current Property Taxes 3 897,404 0 897,404 Delinquent Property Taxes 4 0 0 0 TIF Revenues 5 800,000 0 800,000 Other City Taxes 6 64,028 0 64,028 Licenses & Permits 7 124,700 315,000 439,700 Use of Money and Property 8 47,000 0 47,000 Intergovernmental 9 1,520,724 0 1,520,724 Charges for Services 10 1,084,550 0 1,084,550 Special Assessments 11 0 0 0 Miscellaneous 12 7,700 84,762 92,462 Other Financing Sources 13 7,000,000 0 7,000,000 Tranfers In 14 0 0 0 Total evenues and Other Sources Expenditures & Other Financing Use Public Safety 16 261,500 29,474 290,974 Public Works 17 449,321 0 449,321 Health and Social Services 18 0 0 0 Culture and Recreation 19 160,445 20,320 180,765 Community and Economic Development 20 283,650 0 283,650 General Government 21 220,337 151,16303711500 Debt Service 22 587,978 198,805783 Capital Projects 23 5,445,000 0000 o a overnmenActivities xpen i ures Business Type Enterprises 25 3,013,250 0250 Total GovActivities BusinessExpenditures 25 Transfers Out 27 0 00 Total Expendituresrrransfers Out 28 10,421,481 399,762243 Excess Revenues &Other Sources Over (Under) Expend ituresrTransfers Out for Fiscal Year 29 1,124,625 0 1,124,625 Beginning Fund Balance July 1 30 2,713,784 0 2,713,784 Ending Fund Balance June 30 31 3,838,409 0 3,838,409 Explanation of increases or decreases in revenue estimates, appropriations, or available cash: There will be no increase in tax levies to be paid in the current fiscal year named above. Any increase in expenditures set out above will be met from the increased non -property tax revenues and cash balan no budgeted or considered in this current budget. This will provide for a balancedbud t. Doug Boldt Ci Cler na ce Officer