TC Res. No. 1999-32RESOLUTION NO. 99-32
SERIES OF 1999
A RESOLUTION TO AMEND THE 1999 TOWN OF AVON BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES BY
FUND AND AMENDING THE 1998 BUDGET FOR THE TOWN OF AVON,
COLORADO; FOR THE CALENDAR YEAR BEGINNING ON THE FIRST DAY OF
JANUARY, 1999, AND ENDING ON THE LAST DAY OF DECEMBER, 1999.
WHEREAS, the Town Council of the Town of Avon has adopted the 1999
budget; and
WHEREAS, the Town Council reviewed the revised estimated revenues and
expenditures for 1999; and
WHEREAS, the Town Council finds it necessary to amend the 1999 budget to
more accurately reflect the revenues and expenditures for 1999; and
WHEREAS, whatever increases may have been made in the expenditures, like
increases were added to the revenues so that the budget remains in balance as required by
law.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF THE
TOWN OF AVON, COLORADO:
Section 1. That estimated revenues and expenditures for the following fund is as
follows for 1999:
Original or
Previously
Amended
1999
Budget
Capital Projects Fund
Beginning Fund Balance
$ 6,031,113
Revenues and Other Sources
1,822,836
Expenditures and Other Uses
5,963,670
Ending Fund Balance $ 1,890,339
Current
Proposed
Amended
1999
Budget
$ 6,031,173
2,110,637
6,101,471
$ 2,040,339
Section 2. That the budget, as submitted, amended, and hereinabove summarized
by fund, hereby is approved and adopted as the budget of the Town of Avon for the year
stated above.
Section 3. That the budget hereby approved and adopted shall be signed by the
Town Manager and made part of the public record of the Town.
ADOPTED this 27'b day of July, 1999.
TOWN OF AVON, COLORADO
Yoder r
Capital Projects Fund #41
Amended Budget #2 -1999
a a
Fun~dSummary
Original or
Current
Prev. Amend.
Proposed
Difference
Actual
Actual
Budget
Amendment
Increase .
1997
1998
1999
1999
(Decrease)
REVENUES .
Taxes
$ 1,543,707
$ 1,950,670
$ 1,050,000
$ 1,300,000
$ 250,000
Intergovernmental
1,221,305
607,869
300,000
300,000
-
Investment Earnings
162,915
125,804
100,000
137,801
37,801
Other Revenue
3,439
73,969
8,000.
8,000
-
Total Operating Revenues
2,931,366
2,758,312
1,458,000
1,745,801
287,801
Other Sources:
Transfers In from Other Funds
Capital Lease Proceeds
Bond Proceeds
TOTAL REVENUES
EXPENDITURES
Capital Improvements:
Facilities
Land and Land Improvements
Roads and Streets
Recreation
Strategic Planning
Communications
Other
Debt Service:
Principal
Interest
bond issuance Costs
Total
Other Uses
Operating Transfer-Out to Debt Service
Operating Transfer-Out to Wildridge S.I.D
TOTAL EXPENDITURES
NET SOURCE (USE) OF FUNDS
FUND BALANCE, Beginning of Year
FUND BALANCE, End of Year
- 2,059,507 250,836 250,836 -
- 114,000 114,000 114,000
3,619,721 7,003,566 - - -
6,551,087. 11,935,385 1,822,836 2,110,637 287,801
80,104
4,965,193
• 4,580,736
4,718,537 137,801
173,439
128,966
-
- -
4,885,342
1,565,150
1,063,000
1,063,000 -
26,195
44,537
25,000
25,000 -
23,784
-
139,939
139,939 -
3,750
1,500
6,000
6,000 -
50,000 397,321 132,804 132,804 -
3,750 - - - - -
116,461 236,187 - - -
5,362,825 7,338,854 5,947,479 6,085,280 137,801
- .563,570 - - -
18,151 17,171 16,191 16,191 -
5,380,976 7,919,595 5,963,670 6,101,471 137,801 -
1,170,111 4,015,790 (4;140,834) (3,990,834) 150,000
845,272 2,015,383 -6,031,173 6,031,173 -
$ 2,015,383 $ 6,031,173- . $ 1,890,339 $ 2,040,339 $ 150,000
Page 1
Capital Projects Fund #41
Amended Budget #2 -1999
M
HL
Revenue ®efiail,.
-
.
Original or
Current
Prev. Amend.
Proposed
Difference
Account
Actual
Actual
Budget
Amendment
Increase
Number Description
1997
1998
1999
1999
(Decrease)
Taxes:
51401 Real Estate Transfer Tax
$ 1,543,707 $
1,950,670
$ 1,050,000
$ 1,300,000
$ 250,000_
51000 Total Taxes
1,543,707
1,950,670
1,050,000
1,300,000
250,000
Intergovernmental:
Federal Grants:
53102
OEC Grant
40,000
-
-
- -
Subtotal: Federal Grants
40,000
-
-
-
State Grants:
53201
CDOT
268,000
89,319
-
- -
Subtotal: State Grants
268,000
89,319
-
- -
Local Government/Other Agency:
53401
Avon Village
-
-
300,000
300,000
53401
Beaver Creek Metro District
578,691
283,798
-
- -
53401
Bachelor Gulch/Smith Creek
143,874
199,293
-
- -
53401
Arrowhead
70,910
35,459
53401
Eagle River Water & Sanitation District
119,830
-
-
- -
Subtotal: Local Government/Other Agency
913,305
518,550
300,000
300,000
53000
Total Intergovernmental
1,221,305
607,869
300,000
300,000 -
Investment Earnings:
57101.
Interest Earnings
162,915
125,804
100,000
137,801 37,801
57000
Total Investment Earnings
162,915
125,804
100,000
137,801 37,801
Other Revenues:
58102
Utility Capital Facility Fees
1,017
1,696
2,000
2,000 -
58103
Fireplace Fees
1,500
4,500
6,000
6,000 -
58999
Miscellaneous Nonclassified Revenues
922
67,773
-
- -
58000
Total Other Revenues
3,439
73,969
8,000
8,000 ' -
Other Sources:
59201 Transfer In from Other Funds - 2,059,507 250,836 250,836 -
59301 General Obligation Bond Proceeds 3,619,721 - - -
59303 Capital Lease Proceeds - 114,000 114,000 114,000 -
59304 Certificates of Participation Proceeds - 7,003,566 - - -
59000
Total Other Sources
3,619,721
9,177,073
364,836
364,836
50000
TOTAL REVENUES
$ 6,551,087
$ 11,935,385
$ 1,822,836
$ 2,110,637 287,801
Page 2
Capital Projects Fund #41
Amended Budget #2 -1999
CIP Projects Inventory
Original or Current
Prev. Amend. Proposed Difference
Account Actual Actual Budget Amend. Budget Increase
Number Description 1997 1998 1999 1999 (Decrease)
CAPITAL IMPROVEMENT PROJECTS
Facilities:
11001 Municipal Building Improvements
N/A Municipal Building Rock Work
12001 Fire Station Expansion/Remodel
13001 Swift Gulch Facility
13002 Pump House and Picnic Shelter
13003 Park Equipment Storage
Land and Land Improvements:
Parks:
21001 Pocket Parks
WA Lot 16
Roads and Streets:
Streetscape:
31001 Streetscape Planning
31002 W. Beaver Creek Blvd.
31003 Wildridge Entry Sign
Street Improvements:
32001 Paving/Road Improvements
32002 W. Beaver Creek Blvd. RR Crossing
32003 Chapel Square Reimbursement
Multi-Modal/Altemative Mobility
34001 Sidewalks
34002 East Avon Access and Circulation Implementation
34003 Roundabout Pedestrian Crosswalk Improvements
35001 Roundabouts
36001 Public Art Work
Recreation:
51001 Nottingham Park Basketball Court
Strategic Planning:
71001 Development Analysis and Review
79001 Planning and Consulting
Communications:
81001 800 Mhz Radio System
WA Telecommunications Study
Other:
91001 Fireplace Conversions
Total Capital Improvement Projects
3,626
363,669
-
- -
9,867
-
-
- -
-
-
18,000
18,000 -
66,611
4,240,472
4,262,736
4,400,537 137,801
-
361,052
-
- -
-
-
300,000
300,000 -
2,699
128,966
-
- -
170,740
-
-
- -
-
41,178
-
- -
-
-
45,000
45,000 -
153,871
181,308
186,000
186,000 -
-
51,344
-
- -
-
-
200,000
200,000 -
30,675 - - - -
- - 265,000 265,000 -
- - 139,000 139,000 -
4,700,796 1,155,320 - - -
- 136,000 228,000 228,000 -
19,945 20,768 - - -
6,250 23,769 25,000 25,000 -
- - 139,939 139,939 -
23,784 - - - -
3,750 1,500 6,000 6,000 -
$ 5,192,614 $ 6,705,346 $ 5,814,675 $ 5,952,476 $ 137,801
Page 3