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File #: O-225-14    Version: 1 Name:
Type: Ordinance Status: Passed
File created: 3/7/2014 In control: Budget Committee
On agenda: 3/27/2014 Final action: 3/27/2014
Title: AN ORDINANCE AMENDING ORDINANCE NO. 106, SERIES 2013 RELATING TO THE FISCAL YEAR 2013-14 OPERATING BUDGET FOR THE LOUISVILLE/JEFFERSON COUNTY METRO GOVERNMENT, BY AUTHORIZING AN ADDITIONAL APPROPRIATION AND TRANSFER AS DETAILED HEREIN.
Sponsors: Marianne Butler (D-15)
Attachments: 1. Ord amending FY14 Operating Budget - Mid-year appropriation, 2. ORD 049 2014
ORDINANCE NO. _________________, SERIES 2014
TITLE

AN ORDINANCE AMENDING ORDINANCE NO. 106, SERIES 2013 RELATING TO THE FISCAL YEAR 2013-14 OPERATING BUDGET FOR THE LOUISVILLE/JEFFERSON COUNTY METRO GOVERNMENT, BY AUTHORIZING AN ADDITIONAL APPROPRIATION AND TRANSFER AS DETAILED HEREIN.
BODY

SPONSORED BY: COUNCIL MEMBER MARIANNE BUTLER

WHEREAS, an Order and Supplemental Judgment for up to seven hundred thousand dollars ($700,000.00) for interest was ordered by Jefferson Circuit Court Case No. 98CI-2519 entitled Donna Martin and Kelvin Brooks v. Ronald L. Bishop, et al.; and

WHEREAS, the collected Revenue Commission Payments are in excess of the amount budgeted

BE IT ORDAINED BY THE LEGISLATIVE COUNCIL OF THE LOUISVILLE/JEFFERSON COUNTY METRO GOVERNMENT (THE COUNCIL) AS FOLLOWS:

SECTION I: Part I., Revenues and Funding Sources of Ordinance No. 106, Series 2013 is hereby amended as follows:

1. GENERAL FUND
Property Taxes 141,310,000
Revenue Commission Payments 331,200,000 331,900,000
Licenses and Permits 14,350,000
Fines 2,280,000
Revenue from Use of Money and Property 1,460,000
Charges for Service 20,670,000
Intergovernmental Revenue __16,960,000
GENERAL FUND TOTAL 528,230,000 528,930,000
2. AGENCY AND OTHER RECEIPTS 135,487,000
3. MUNICIPAL AID 9,441,000
4. COMMUNITY DEVELOPMENT 9,237,200
5. DESIGNATED OTHER FUND BALANCE 2,710,000
6. DESIGNATED GENERAL FUND BALANCE 4,000
7. TOTAL REVENUES AND FUNDING SOURCES 685,109,200 685,809,200
8. TRANSFER FROM THE CAPITAL FUND (3,093,300)

9. COMMITTED FUNDS (,450,000) (ORDINANCE NO. 21, SERIES 2011)
10. TOTAL AVAILABLE FOR APPROPRIATION 681,565,900 682,265,900

SECTION II: Part I., G., 1. Office of Management & Budget of Ordinance No. 106, Series 2013 is hereby amended as ...

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