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HomeMy WebLinkAboutORD 2001-065 ORDINANCE NO. 2001-65 �..,...�, AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF GRAPEVINE, TEXAS ADOPTING THE BUDGET FOR THE CITY OF GRAPEVINE, TEXAS FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2001 AND ENDING SEPTEMBER 30, 2002; PROVIDING FOR INTRA- AND INTER- DEPARTMENTAL FUND TRANSFERS; PROVIDING FOR INVESTMENT OF CERTAIN FUNDS; DECLARING AN EMERGENCY; AND PROVIDING AN EFFECTIVE DATE WHEREAS, notice of a public hearing on the budget for the City of Grapevine, Texas for the fiscal year 2001-2002 (FY 2002) was heretofore published in accordance with law; and WHEREAS, a public hearing was duly held and all interested persons were given an opportunity to be heard for or against any item therein. � NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF GRAPEVINE, TEXAS; ��,,,� Section 1. That the appropriation amounts for the FY 2001-2002 budget for the different funds of the City of Grapevine are hereby fixed as follows: General Fund $37,419,921 Utility Fund 16,828,032 Debt Service Fund 11,687,815 Convention & Visitors Bureau Fund 5,600,880 Lake Enterprise Fund 2,628,109 General Government Capital Projects Fund 13,938,120 Permanent Street Maintenance Fund 890,000 Permanent Capital Maintenance Fund - General 231,900 Utility & Lake Enterprise Capital Projects Fund 8,366,608 Utility Permanent Capital Maintenance Fund 1,000,000 Stormwater Drainage Utility Fund 1,213,986 Section 2. That the City Council hereby adopts the revised budget for the fiscal year ending September 30, 2001, including funding for the following programs and items ��F� to be funded with FY 2001 funds and encumbering the balance of funds not expended for said programs and items in the following amounts: Botanical Gardens Phase III $119,000; Traffic Signal Maintenance $120,000; various materials for the library $25,000; Main and Northwest Highway beautification $50,000; and floor hoists $50,000; and the proposed Annual Operating Budget for the fiscal year ended September 30, 2002 and appropriates the funds contained therein. Section 3. That a copy of the official adopted 2001-2002 budget document shall be kept on file in the office of the City Secretary and the Grapevine Public Library. Section 4. That the City Manager be and is hereby authorized to make intra- and inter-departmental fund transfers during the fiscal year as becomes necessary in order to avoid over-expenditure of a particular object code. Section 5. That the City Manager is authorized to approve expenditures up to $15,000. Any expenditure over the $15,000 limit requires the approval of the City Council. Each expenditure authorized by the City Manager in Account 100-44701-120-1 in FY 2001 and FY 2002 is approved. Section 6. That the City Manager is authorized to rectassify positions within city service as warranted. Section 7. That the City Manager, and/or Assistant City Manager and/or Director of Administrative Services and/or Managing Director of Financial Services is authorized to invest any funds not needed for current use, whether operating funds or bond funds in Official City Depositories, in any investment instrument authorized by the City's Investment .T, ,� Policy and Investment Strategy and allowed by the Texas Public Funds Investment Act. Section 8. That a new and separate bank account, to be called the Grapevine CVB- Tarantula Train account, shall be established at the City depository for the purpose of Tarantula Train operations. The account shall be signed by the Convention and Visitors Bureau Director, or the Convention and Visitors Bureau Budget and Bureau Administration Manager, and a member of the Convention and Visitors Bureau Board of Directors and such other persons as may be approved by the City Manager. Those persons with authority to sign checks on the Tarantula Train account shall be responsible for the proper maintenance of all records, financial reports and ledgers and, filing of all required GAAP, local, state and federal reports for the account's activity. Documentation for checks issued on said account shall comply with normal City of Grapevine requirements for payment for goods and services. Section 9. The fact that the fiscal year begins on October 1, 2001 requires that this ordinance be effective upon its passage and adopted to preserve the public peace, property, health, and safety and shall be in full force and effect from and after its passage and adoption, and emergency is hereby declared. °� ° F'ASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF GRAPEVINE, TEXAS on this the 11th day of September, 2001. ORD. NO. 2001-65 2 APPROVED: �.� -��'�� v � William D. Tate i Mayor ATTEST: Linda uff Secretary APPROVED AS TO FORM: -,. John F. Boyle, Jr. ��..� City Attorney � ORD. N0. 2001-65 3