Loading...
Ordinance No. 14,150ORDINANCE NO. 14,150 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF BAYTOWN, TEXAS, ADOPTING A BUDGET FOR THE ENSUING FISCAL YEAR, BEGINNING OCTOBER 1, 2019, AND ENDING SEPTEMBER 30, 2020, IN ACCORDANCE WITH THE CHARTER AND ORDINANCES OF THE CITY OF BAYTOWN; AND PROVIDING FOR THE PUBLICATION AND EFFECTIVE DATE THEREOF. ********************************************************************************* WHEREAS, the City Manager of the City of Baytown has submitted to the City Council a budget estimate of the revenues of said City and the expenses of conducting the affairs thereof for the ensuing fiscal year, beginning October 1, 2019, and ending September 30, 2020, and which said estimate has been compiled from detailed information obtained from the several departments, divisions, and offices of the City containing all information as required by the Charter of the City of Baytown; and WHEREAS, the City Council has received said City Manager's estimate and held a public hearing thereon as provided by Section 44 of the Charter and Section 102.006 of the Texas Local Government Code; and WHEREAS, after full and final consideration of the public hearing and after certain revisions to the proposed budget, it is the opinion of the Council that the budget, as revised, should be approved and adopted; NOW THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF BAYTOWN, TEXAS: Section 1: That the budget estimate of the revenues of the City of Baytown and the expenses of conducting the affairs thereof for the ensuing fiscal year, beginning October 1, 2019, and ending September 30, 2020, as finally submitted to the City Council by the City Manager of said City (a copy of which is on file in the City Clerk's office) be, and the same is in all things, adopted and approved as the budget estimate of all the current expenses as well as the fixed charges against said City for the fiscal year beginning October 1, 2019, and ending September 30, 2020. Section 2: That the sum of ONE HUNDRED THIRTEEN MILLION FIVE HUNDRED SIXTY-FIVE THOUSAND ONE HUNDRED AND NO'100 DOLLARS ($113,565,100.00) is hereby appropriated out of the General Fund for the payment of Operating Expenses and Capital Outlay of the City Government. Section 3: That the sum of TWENTY-TWO MILLION FIVE HUNDRED TWO THOUSAND FIVE H[.]NDRED THIRTEEN AND NO' 100 DOLLARS ($22,502,513.00) is hereby appropriated out of the General Debt Service Fund for the purpose of paying the accruing interest and redeeming the bonds and debts as they mature on the General Debt Service Fund. Section 4: That the sum of FOUR MILLION NINE HUNDRED NINETY-THREE THOUSAND FOUR HUNDRED SIXTEEN AND NO/ 100 DOLLARS ($4,993,416.00) is hereby appropriated out of the Hotel/Motel Fund for the payment of Operating Expenses and Capital Outlay of the City Government. Section 5: That the sum of FOUR MILLION THREE HUNDRED FIFTEEN THOUSAND FOUR HUNDRED THIRTY-NINE AND NO.! 100 DOLLARS ($4,315,439.00) is hereby appropriated out of the Aquatics Fund for the payment of Operating Expenses and Capital Outlay of the City Government. Section 6: That the sum of FORTY-THREE MILLION FIFTY-EIGHT THOUSAND SEVEN HUNDRED FIFTY-SIX AND NO: 100 DOLLARS ($43,058,756.00) is hereby appropriated out of the Water and Sewer Fund for Operating Expenses and Capital Outlay Costs. Section 7: That the sum of FIVE MILLION FIVE HUNDRED NINETY-TWO THOUSAND TWO HUNDRED FIFTEEN AND NO.100 DOLLARS ($5,592,215.00) is hereby appropriated out of the Water and Wastewater Interest and Sinking Fund for the purpose of paying the accruing interest and redeeming the bonds and debts as they mature. Section 8: That the sum of SIX MILLION SIX HUNDRED SEVENTY-NINE THOUSAND SIX HUNDRED THIRTY AND NO100 DOLLARS ($6,679,630.00) is hereby appropriated out of the Sanitation Fund for the Operating Expenses and Capital Outlay of the municipally owned Solid Waste Collection System. Section 9: That the sum of THREE MILLION EIGHT HUNDRED ONE THOUSAND FOUR HUNDRED FORTY-TWO AND NOS 100 DOLLARS ($3,801,442.00) is hereby appropriated out of the Storm Water Utility Fund for payment of Operating Expenses and Capital Outlay of the City Government. Section 10: That the sum of TWO MILLION THREE HUNDRED SIXTEEN THOUSAND THREE HUNDRED TWENTY-FIVE AND NO." 100 DOLLARS ($2,316,325.00) is hereby appropriated out of the Garage Fund for the Operating Expenses and Capital Outlay for Municipal Garage Services System and Activities. Section l l : That the sum ofTWO HUNDRED NINETY-THREE THOUSAND FORTY- THREE AND NOi 100 DOLLARS ($293,043.00) is hereby appropriated out of the Warehouse Operations Fund for the Operating Expenses and Capital Outlay for Central Warehouse Activities. Section 12: That the City Manager is hereby authorized to transfer any unencumbered appropriation balance or portion thereof between general classifications of expenditures within an office, department or agency, in accordance with Section 68 of the Charter. Section 13: That the City Manager shall have the authority to increase a department's line item budget by the amount equal to outstanding purchase orders as of September 30, 2019, to be appropriated out of the Fund Balance. Section 14: This ordinance shall be and remain in full force and effect from and after its passage and approval of the City Council, and it shall be published once each week for two (2) consecutive weeks in the official newspaper of the City of Baytown. INTRODUCED, READ and PASSED by the affirmative vote of the City Council of the City of Baytown this the 22"d day of August, 2019. ON CAPETILLO, NLyor ATTE T: /"A I'V/ I 44 L TICIA BRYSCH, Cit Jerk APPROVED AS TO FORM: 1' JG&ACIO RAMIREZ, SR., C' yx/ ttorney cobfs0l IegahKarenTiles City Council Ordinances\2019\August 22\Adopt City Budget.doc 4 .d °°aaoeco�0° � cff J L �j'w•7 �„lr .Gyp