TC Res. No. 2005-25 AMEND THE 2005 TOWN OF AVON BUDGETTOWN OF AVON, COLORADO
RESOLUTION NO. 05-25
SERIES OF 2005
A RESOLUTION TO AMEND THE 2005 TOWN OF AVON BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES BY
FUND AND AMENDING THE 2005 CAPITAL PROJECTS FUND BUDGET FOR THE
TOWN OF AVON, COLORADO, FOR THE CALENDAR YEAR BEGINNING ON THE
FIRST DAY OF JANUARY, 2005, AND ENDING ON THE LAST DAY OF DECEMBER,
2005.
WHEREAS, the Town Council of the Town of Avon has adopted the 2005 capital
projects fund budget; and
WHEREAS, the Town Council reviewed the revised estimated revenues and expenditures
for 2005; and
WHEREAS, the Town Council finds it necessary to amend the 2005 capital projects fund
budget to more accurately reflect the revenues and expenditures for 2005; 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 capital project fund is as
follows for 2005:
Original or
Previously
Amended
2005
Budget
Capital Proiects Fund
Beginning Fund Balance $ 6,062,470
Revenues and Other Sources 3,518,935
Expenditures and Other Uses 5,402,811
Ending Fund Balance 4.178.594
Current
Proposed
Amended
2005
Buffet
$ 6,126,149
3,518,935
5,433,616
4,211,43-S
Resolution No. 05-25 Budget Amendment
Page 1 of 2
Section 2. That the capital projects fund budget, as submitted, amended, and hereinabove
summarized, hereby is approved and adopted as the capital projects fund 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 14th day of June, 2005.
TOWN OF AVON, COLORADO
r Ronald C. Wolfe, Mayor
ATTEST:
P
Patty "c envy o Clerk
Resolution-No. 05-25 Budget Amendment
Page 2 of 2
Capital Projects Fund #41
Amendment #4
Funci1Summa
Original or
Prev. Amended
Proposed
Difference
Actual
Actual
Budget
Budget
Increase
2003
2004
2005
2005-
(Decrease)
REVENUES
Taxes
$ 2,224,452 $
2,338,060
$ 2,100,000
$ 2,100,000
$ -
Intergovemmental
297,837
200,000
1,049,000
1,049,000
-
Investment Earnings
33,699
46,704
63;935
63,935
-
Other Revenue
7,987
27,712
16,600
16,000
-
Total Operating Revenues
2,563,975
2,612,476
3,228,935
3,228,935
-
Other Sources!
Transfer In from Other Funds
1,186,931
376,069
290,000
290,000
TOTAL REVENUES
3,750,906
2,988,545
3,518,935
3,518,935
-
EXPENDITURES
Capital Improvements:
Facilities
-
-
2,120,000
2,120,000
-
Land and Land Improvements
25,640
244
400,000
400,000
-
Roads and Streets
307,943
287,199
2,175,000
2,175,000
-
Recreation
-
-
7,500
38,305
30,805
Stormwater and Drainage
1,216,270
376,069
150,000
150,000
_ -
Development Services
97,837
-
-
-
-
Strategic Planning
18,563
91,120
25,000
25,000
-
Other
3,000
-
165,000
165,000
-
Developer Rebates
247,076
158,665
300,000
300,000
-
Total
1,916,329
913,297
5,342,500 ,
5,373,305
30,805
Other Uses
Operating Transfer-Out to General Fund
200,000
50,000
50,000
50,000
-
Operating Transfer-Out to Wildridge S.I.D.
12,271
11,292
10,311
10,311
-
TOTAL EXPENDITURES
2,128,600
974,589
5,402,811
5,433,616
30,805
NET SOURCE (USE) OF FUNDS
1,622,306
2,013,956
(1,883,876)
(1,914,681)
(30,805)
FUND BALANCE, Beginning of Year
2,489,887
4,112,193
6,062,470
6,126,149
63,679
FUND BALANCE, End of Year
$ 4,112,193
$ 6,126,149
$ 4,178,594
$ 4,211,468 $
32,874
Page 1
Capital Projects Fund #41
Amendment #4
Revenue D"e~ail
Original or
Prev. Amended Proposed Difference
Account Actual Actual Budget Budget Increase
Number Description 2003 2004 2005 2005 (Decrease)
- Taxes: -
51401 Real Estate Transfer Tax $ 2,224,452 $ 2,338,060 $ 2,100,000 $ 2;100,000 $ -
51000 Total Taxes
Intergovernmental:
Federal Grants:
53199 Community Development Block Grant
53199 FTA/CDOT Transportation Center Grant
Local Government/Other Agency:'
53401 Village at (Avon)
53401 Eaglebend Housing Authority
53000 Total Intergovernmental
Investment Earnings:
57101 Interest Earnings
57000 Total Investment Earnings
Other Revenues:
58102
Utility Capital Facility Fees
58104
Fireplace Fees
58211
Development Reimbursements
58999
Miscellaneous Nonclassified Revenues
58000
Total Other Revenues
Other Sources:
59201
Transfer In from Other Funds
59000 Total Other Sources
50000 TOTAL REVENUES
2,224,452 2,338,060 2,100,000• 2,100,000 -
97,837 - - -
- - 824,000 824,000
200,000 200,000 200,000 200,000 -
- 25,000 25;000
297,837 200,000 1,049,000 1,049,000, -
33,699 46,704 - 63,935 63,935
33,699 46,704 63,935 63,935 ' -
444 376
1,500 -
4,029 18,328
2,014 9,008
2,000
2,000 -
9,000
9,000 -
5,000
5,000 -
7,987 27,712 16,000 16,000 -
1,186,931 376,069 290,000 290,000 -
1,186,931 376,069 290,000 290,000 -
$ 3,750,906 $ 2,988,545 $ 3,518,935 $ 3,518,935 -
Page 2
Capital Projects Fund #41
Amendment #4
x
C P~;Pro ects~.in~ento
, .
Original or
Prev. Amended
Proposed
Difference
Account
Actual
Actual
Budget
Budget
Increase
Number
Description
2003
2004
2005- -
2065
(Decrease)
CAPITAL IMPROVEMENT PROJECTS
Facilities:
11006
Council Chambers Audio/Video Upgrade
$ -
$ -
$ 70,000
$ 70,000
$ -
11007
Municipal Building Roof Replacement
-
-
50,000
50,000
-
14001 ,
Transportation Center
-
-
2,000,000
2,000,000
-
Land and Land Improvements:
Parks:
21004
Tract J Bridge Removal
25,640
244
-
-
-
21005
Wildridge Park improvements and' Playground
-
-
150,000
150,000
-
21006
V1lildridge PocketPark - New Block 3 or 4
-
-
250,000
250,000
-
Roads and Streets:
Streetscape:
31006
Eaglebend Dr.
-
-
40,000
40,000
-
31008
Nottingham Rd. Imp. / 1-70 to Buck Creek
-
73,694
25,000
25,000
-
31009
Nottingham Rd. Imp. / Buck Creek to Metcalf Rd.
1,902
-
-
-
-
Street Improvements:
32005
Buffalo Ridge Commitments
56,941
-
-
-
-
32007
Town Center-Mall Plan Implementation
-
-
1,200,000
1,200,000
-
32008
E. Beaver Creek Blvd. Improvements
-
6,585
-
-
-
Annual Street Improvements:
33003
2003 Paving/Road Improvements
225,650
-
-
-
-
33004
2004 Paving/Road Improvements
-
205,735
-
-
-
33005
2005 Paving/Road Improvements
-
-
865,000
865,000
-
Multi-Modal/Altemative Mobility:
34002
East Avon Access and Circulation
18,126
-
-
-
-
34005
Eagle River Bikepath - Beaver Creek Blvd to Conf.
5,324
-
-
-
-
34007
Wildridge Traffic Calming & Pedestrian Circulation
-
1,127
-
-
-
34009
Swift Gulch'Road Bikepath Extension
-
58
45,000
45,000
-
Recreation:-
51002
Eagle River Whitewater Park, Access & Viewing
-
-
7,500
38,305
30,805
Stormwater and Drainage:
61001
Buck Creek / 1-70 to Eagle River
1,216,270
-
-
-
-
61003 •
Metcalf Rd. Drainage / 1-70 to Nottingham Rd.
-
376,069
-
-
-
61004
Nottingham-Puder Ditch Restoration
-
-
150,000
150,000
-
Development Services:
65004
Buffalo Ridge
97,837
-
-
-
-
Strategic Planning:
79001
General Planning and Consulting
18,563
-
-
-
-
79002
Comprehensive Plan
-
82,773
-
-
-
79004
2004 General Planning and Consulting
-
8,347
-
-
-
79005
2005 General Planning and Consulting
-
-
25,000
25,000
-
Page 3
Capital Projects Fund #41
Amendment #4
CIP Projects Inventory
Original or
Prev. Amended Proposed Difference
Account Actual Actual Budget Budget Increase
Number Description 2003 2004 2005 2005 (Decrease)
CAPITAL IMPROVEMENT PROJECTS
Other.
91001 Fireplace Conversions
93005 2005 Historic Preservation
94005 2005 Water Rights Acquisition
Total Capital Improvement Projects
3,000 - - - -
- - 25,000 25,000 -
140,000 140,000
$ 1,669,253 $ 754,632 $ 5,042,500 $ 5,073,305 $ 30,805
Page 4
Memo
To: Honorable Mayor and Town Council
Thru: Larry Brooks, Town Manager
From: Norman Wood, Town Engineer G7/
Date: June 9, 2005
Re: Capital Improvements Fund Budget Amendment for Whitewater Park Design
and Construction - Resolution No. 05-25, Series of 2005
Summary: The attached Resolution No. 05-25, Series of 2005, Amending the
Capital Improvements Fund Budget has been prepared to provide funding for the design and
construction of the Phase I of the Eagle River at Avon Recreation Enhancements Project
(Whitewater Park). The proposed Amendment adds expenditures of $409.000 to the current
$7,500 preliminary planning budget to provide for design, permitting and construction of
Phase I of the Project. The proposed budget Amendment also includes additional revenues of
$347,000 from other participants in the project.
We recommend council approve Resolution No. 05-25, Series of 2005, A Resolution
Amending the Capital Projects Fund Budget for 2005.
Recommendation: Approve Resolution No. 05-25, Series of 2005, A
Resolution Amending the Capital Projects Fund Budget for 2005.
Proposed Motion: I move to approve Resolution No. 05-25 Series of 2005, A
Resolution to Amend the 2005 Town of Avon Budget.
Attachment:
A. Resolution No. 05-25, Series of 2005, A Resolution to Amend the 2005 Town of
Avon Budget
B. Municipal Services Capital Projects Fund #41 Pages 1 through 4 (Revised)
Town Manager Comments:
I:\1$:n gWdministration\CIP Budget\2005\Budget M 05-25.Doc
RESOLUTION NO. 05-25
SERIES OF 2005
A RESOLUTION TO AMEND THE 2005 TOWN OF AVON BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES BY
FUND AND AMENDING THE 2005 CAPITAL PROJECTS FUND BUDGET FOR
THE TOWN -OF AVON, COLORADO, FOR THE CALENDAR YEAR BEGINNING
ON THE FIRST DAY OF JANUARY, 2005, AND ENDING ON THE LAST DAY OF
DECEMBER, 2005.
WHEREAS, the Town Council of the Town of Avon has adopted the 2005 capital
projects fund budget; and
WHEREAS, the Town Council reviewed the revised estimated revenues and
expenditures for 2005; and
WHEREAS, the Town Council finds it necessary to amend the 2005 capital
projects fund budget to more accurately reflect the revenues and expenditures for 2005;
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 capital project fund
is as follows for 2005:
Original or
Previously
Amended
2005
Budizet
Capital Protects Fund
Beginning Fund Balance $ 6,062,470
Revenues and Other Sources 3,518,935
Expenditures and Other Uses 5,402,811
Ending Fund Balance 4,178,594
Current
Proposed
Amended
2005
Budget
$ 6,126,149
3,865,935
5,811,811
$ 4,180,273