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TC Res. No. 1999-54RESOLUTION NO. 99-54 SERIES OF 1999 A RESOLUTION TO AMEND THE 1999 TOWN OF AVON BUDGET A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES AND AMENDING THE 1999 CAPITAL PROJECTS FUND 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 Capital Projects Fund budget; and WHEREAS, the Town Council has reviewed the revised estimated revenues and expenditures for 1999; and WHEREAS, the Town Council finds it necessary to amend the 1999, Capital Projects Fund 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 Capital Projects Fund is revised as follows for 1999: Original or Previously Amended 1999 Budget Capital Projects Fund Beginning Fund Balance $ 6,031,173 Revenues and Other Sources 2,133,137 Expenditures and Other Uses 6,145,602 Current Proposed Amended 1999 Bud et $ 6,031,173 2,583,137 6,375,602 Ending Fund Balance $ 2,018,708 $ 2,238,708 Section 2. That the Capital Projects Fund budget, as submitted, amended, and hereinabove summarized, hereby is approved and adopted as the budget of the Town of Avon for the year stated above. Section 3. That the Capital Projects Fund budget hereby approved, amended, and adopted shall be signed by the Town Manager and made part of the public record of the Town. ADOPTED this 23' day of November, 1999. . TOWN OF AVON, COLORADO J Yodcff, yor 2 Capital Projects Fund #41 Final Amended Budget #2 -1999 u'rTd u~nma a 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 $ 1,300,000 $ 1,750,000 $ 450,000 Intergovernmental 1,221,305 607,869 300,000 300,000 - Investment Earnings 162,915 125,804 137,801 137,801 - Other Revenue 3,439 73,969 30,500 30,500 - Total Operating Revenues 2,931,366 2,758,312 1,768,301 2,218,301 450,000 Other Sources: Transfers In from Other Funds - 2,059,507 250,836 250,836 - Capital Lease Proceeds - 114,000 114,000 114,000 - Bond Proceeds 3,619,721 7,003,566 - - - TOTAL REVENUES 6,551,087 11,935,385 2,133,137 2,583,137 450,000 EXPENDITURES Capital Improvements: Facilities 80,104 4,965,193 4,718,537 4,718,537 - Land and Land Improvements 173,439 128,966 - 230,000 230,000 Roads and Streets 4,885,342 1,565,150 1,031,500 1,031,500 - Recreation - - - - - Strategic Planning 26,195 44,537 52,500 52,500 - Communications 23,784 - 239,939 239,939 - Other 3,750 1,500 6,000 6,000 - Debt Service: Principal 50,000 397,321 80,935 80,935 - Interest 3,750 - - - - Bond Issuance Costs 116,461 236,187 - - - Total 5,362,825 7,338,854 6,129,411 6,359,411 230,000 Other Uses Operating Transfer-Out to Debt Service - 563,570 - - - Operating Transfer Out to Wildridge S.I.D. 18,151 17,171 16,191 16,191 - TOTAL EXPENDITURES 5,380,976 7,919,595 6,145,602 6,375,602 230,000 NET SOURCE (USE) OF FUNDS 1,170,111 4,015,790 (4,012,465) (3,792,465) 220,000 FUND BALANCE, Beginning of Year 845,272 2,015,383 6,031,173 6,031,173 - FUND BALANCE, End of Year $ 2,015,383 $ 6,031,173 $ 2,018,708 $ 2,238,708 $ 220,000 Page 1 Capital Projects Fund #41 Final Amended Budget #2 -1999 G1P Pro n. ory -a- Original nal 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 3,626 WA Municipal Building Rock Work 9,867 12001 Fire Station Expansion/Remodel - 13001 Swift Gulch Facility 66,611 13002 Pump House and Picnic Shelter - 13003 Park Equipment Storage - Land and Land Improvements: Parks: 21001 Pocket Parks 2,699 N/A Lot 16 170,740 21002 Garton Property - Roads and Streets: Streetscape: 31001 Streetscape Planning - 31002 W. Beaver Creek Blvd. - Street Improvements: 32001 Paving/Road Improvements 153,871 32002 W. Beaver Creek Blvd. RR Crossing - 32003 Chapel Square Reimbursement - Multi-ModallAltemative Mobility 34001 Sidewalks 30,675 34002 East Avon Access and Circulation Implementation - 34003 Roundabout Pedestrian Crosswalk Improvements - 34004 Eagle River Bikepath - 35001 Roundabouts 4,700,796 36001 Public Art Work - Recreation: 51001 Nottingham Park Basketball Court - Strategic Planning: 71001 Development Analysis and Review 19,945 79001 Planning and Consulting 6,250 Communications: 81001 800 Mhz Radio System - N/A Telecommunications Study 23,784 Other: 363,669 - - - 18,000 18,000 - 4,240,472 4,400,537 4,400,537 - 361,052 - - - - • 300,000 300,000 - 128,966 - - - 230,000 230,000 41,178, - - _ - 45,000 45,000 - 181,308 186,000 186,000 - 51,344 - - - - 200,000 200,000 - - 20,000 - 165,000 - 139,000 - 34,500 1,155,320 - 136,000 242,000 20,000 165,000 139,000 34,500 242,000 20,768 27,500 27,500 - 23,769 25,000 25,000 - - 239,939 239,939 - 91001 Fireplace Conversions 3,750 1,500 6,000 6,000 - Total Capital Improvement Projects $ 5,192,614 $ 6,705,346 $ 6,048,476 $ 6,278,476 $ 230,000 Page 3 Capital Projects Fund #41 Final Amended Budget #2 -1999 Reen 996%111 , 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 $ 1,300,000 $ 1,750,000 $ 450,000 51000 Total Taxes 1,543,707 1,950,670 1,300,000 1,750,000 450,000 Intergovernmental: Federal Grants: 53102 OEC Grant Subtotal: Federal Grants State Grants: 53201 CDOT Subtotal: State Grants Local Government/Other Agency: 53401 Avon Village 53401 Beaver Creek Metro District 53401 Bachelor Gulch/Smith Creek 53401 Arrowhead 53401 Eagle River Water & Sanitation District Subtotal: Local Government/Other Agency 53000 Total Intergovernmental Investment Earnings: 57101 Interest Earnings 57000 Total Investment Earnings Other Revenues: 58102 Utility Capital Facility Fees 58103 Fireplace Fees 58999 Miscellaneous Nonclassified Revenues 58000 Total Other Revenues Other Sources: 59201 Transfer In from Other Funds 59301 General Obligation Bond Proceeds 59303 Capital Lease Proceeds 59304 Certificates of Participation Proceeds 59000 Total Other Sources 50000 TOTAL REVENUES 40,000 - - - - 40,000 - - - - 268,000 89,319 - - - 268,000 89,319 - - - - - 300,000 300,000 - 578,691 283,798 - - - 143,874 199,293 - - - 70,910 35,459 - - - 119,830 - - - 913,305 518,550 300,000 300,000 - 1,221,305 607,869 300,000 .300,000 - 162,915 125,804 137,801 137,801 162,915 125,804 137,801 137,801 - 1,017 1,696 2,000 2,000 - 1,500 4,500 6,000 6,000 - 922 67,773 22,500 22,500 - 3,439 73,969 30,500 30,500 - - 2,059,507 250,836 250,836 - 3,619,721 - - - - - 114,000 114,000 114,000 - - 7,003,566 - - - 3,619,721 9,177,073 364,836 364,836 - $ 6,551,087 $ 11,935,385 $ 2,133,137 $ 2,583,137 450,000 Page 2