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File #: O-038-16    Version: Name:
Type: Ordinance Status: Passed
File created: 2/5/2016 In control: Metro Council
On agenda: 3/24/2016 Final action: 3/24/2016
Title: AN ORDINANCE APPROPRIATING FROM THE GENERAL FUND FOR MID-YEAR OPERATING NEEDS BY AMENDING ORDINANCE NO. 103, SERIES 2015 RELATING TO THE 2015-2016 OPERATING BUDGET FOR THE LOUISVILLE/JEFFERSON COUNTY METRO GOVERNMENT. AS SUBMITTED BY COUNCIL MEMBER BUTLER (AMENDED BY SUBSTITUTION - AS AMENDED UPON RECONSIDERATION).
Sponsors: Marianne Butler (D-15)
Attachments: 1. JCAO Opinion Ltr - QCCT Funds, 2. O-038-16 PROPOSED FLOOR AMEND MID YEAR OPERATING NEEDS, 3. O-038-16 COMM AMEND MID YEAR OPERATING NEEDS, 4. O-038-16 Copy of Revised REBOUND VAP Proposed Budget, 5. O-038-16 Handout from Zoo 030316, 6. O-038-16 Handout from Public Works 030316, 7. ORD 040 2016 (AS AMENDED BY RECONSIDERATION)

Ordinance No. ____________, Series 2016

title

AN ORDINANCE APPROPRIATING FROM THE GENERAL FUND FOR MID-YEAR OPERATING NEEDS BY AMENDING ORDINANCE NO. 103, SERIES 2015 RELATING TO THE 2015-2016 OPERATING BUDGET FOR THE LOUISVILLE/JEFFERSON COUNTY METRO GOVERNMENT.  AS SUBMITTED BY COUNCIL MEMBER BUTLER (AMENDED BY SUBSTITUTION - AS AMENDED UPON RECONSIDERATION).

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SPONSORED BY: Council Member Marianne Butler

 

Be it ordained by the Legislative Council of the Louisville/Jefferson County Metro Government (The Council) As Follows:

 

SECTION I:                     Part I., APPROPRIATIONS/AUTHORIZATIONS, of Ordinance No. 103, Series 2015, is hereby amended as follows:

1.                     GENERAL FUND                     

Property Taxes                                                                                                                              149,190,000                                          150,490,000

Revenue Commission Payments                                                               348,066,600                                          356,436,600

Licenses and Permits                                                                                                         20,210,000                                          20,070,000

Fines                                                                                                                                                   1,710,000                                          1,750,000

Revenue from Use of Money and Property                                          910,000                                          1,000,000

Charges for Service                                                                                                         22,320,000                                          22,540,000

Intergovernmental Revenue                                                                                    16,920,000                     16,940,000 18,940,000

GENERAL FUND TOTAL                                                                                    559,326,600                     569,226,600 571,226,600

6.   TOTAL REVENUES AND FUNDING SOURCES 696,432,800 705,592,800 707,592,800

7.   TRANSFER TO THE CAPITAL FUND                     (4,384,500)                     (13,309,500) (13,459,500)  (16,259,500)  (16,159,500)

9.   TOTAL AVAILABLE FOR APPROPRIATION                     690,858,300                     692,283,300 692,133,300 691,333,300

 

SECTION II:                     Part I., APPROPRIATIONS/AUTHORIZATIONS, of Ordinance No. 103, Series 2015, is hereby amended as follows:

If additional revenue is identified by year end, that additional revenue must be used for capital projects.

 

Section iII:                     Part 1., C. Chief of Staff, 1. Louisville Metro Police Department, of Ordinance No. 103, Series 2015 is hereby amended as follows:

1.                     LOUISVILLE METRO POLICE DEPARTMENT                     

                     a.(1)                              General Fund                                                             161,781,500                  161,806,500

                                                   Total-Louisville Metro Police Department        170,937,100                 170,962,100

f.  Amended to include in C.1.a.(1) is $25,000 for Special Investigations & Crime Prevention in District 24. 

 

Section iV:                     Part 1., E. Chief of Community Building, 4. Community Services, of Ordinance No. 103, Series 2015 is hereby amended as follows:

4.                     COMMUNITY SERVICES                     

                     a.(1)                              General Fund                                                           8,605,300   8,629,300     

                                                   Total-Community Services                  29,486,600                      29,510,600 

c.  Amended to include in E.4.a.(1) is $24,000 to the Portland Museum for the Squire Earick House Plaster Renovation.

 

Section V:                     Part 1., E. Chief of Community Building, 5. Parks and Recreation, of Ordinance No. 103, Series 2015 is hereby amended as follows:

5.                     PARKS & RECREATION                     

                     a.(1)                              General Fund                                                             19,247,800               19,248,800

                                                   Total-Parks & Recreation                      25,743,800                                    25,744,800

c.  Amended to include in E.5.a.(1) is $1,000 to West Louisville Sports, Inc. 

SECTION VI:                     Part I., F. Chief of Louisville Forward, 1. Economic Development, of Ordinance No. 103, Series 2015, is hereby amended as follows:

1.                     ECONOMIC DEVELOPMENT                     

                     a.(1)                              General Fund                                                             12,959,900   13,359,900 

                                                   Total-Economic Development               27,101,800                       27,501,800

e.  Amended to include in F.1.a.(1) is $400,000 for a total of $600,000 for the SummerWorks program.

SECTION VII:                     Part I., F. Chief of Louisville Forward, 2. Develop Louisville, of Ordinance No. 103, Series 2015, is hereby amended as follows:

2.                     DEVELOP LOUISVILLE                     

                     a.(1)                              General Fund                                             10,759,600 11,034,600  11,134,600

                                                   Total-Develop Louisville                               18,054,000  18,329,000  18,429,000

f.  Amended to include in F.2.a.(1) is $25,000 for the Metro Housing Resource Center Emergency Repair Program in District 6 and $350,000 for OneWest. Rebound.  

SECTION VIII:                     Part I., G., Chief Financial Officer, 1. Office of Management & Budget, of Ordinance No. 103, Series 2015, is hereby amended as follows:

1.                     OFFICE OF MANAGEMENT & BUDGET                     

                     a.(1)                              General Fund                                                              45,739,800  45,989,800

                                                   Total-Office of Management & Budget                        72,490,400    72,740,400

h.  Amended to include in G.1.a.(1) is $250,000 to be transferred for the Risk Management Fund for judgment claims.

 

 

SECTION VIII:                     Part I., D. Chief of Public Services 6. Public Works & Assets, of Ordinance No. 103, Series 2015, is hereby amended as follows:

6.                     PUBLIC WORKS & ASSETS                     

                     a.(1)                              General Fund                                             36,957,500   36,157,500  36,257,500

                                                   Total-Public Works & Assets                               56,890,200 56,090,200 56,190,200

 

SECTION VII VIII IX: Part I., L. Capital Construction, of Ordinance No. 103, Series 2015, is hereby amended as follows:

 

                     1.(a)                              A transfer of $4,384,500  $13,309,500 $13,759,500  16,259,500 16,159,500 is hereby authorized from the General Fund to the Capital Cumulative Reserve Fund.

 

SECTION X IX:                     The Metro Council has determined that the funds requested in this Ordinance will be expended for a public purpose.

 

 

SECTION XI X  XI:  This Ordinance shall take effect upon its passage and approval.

 

 

_______________________________ H. Stephen Ott Metro Council Clerk

_____________________________ David Yates President of the Council

 

 

 _______________________________ Greg Fischer Mayor

 _____________________________ Approval Date

 

 

 

 

APPROVED AS TO FORM AND LEGALITY:

 

Michael J. O’Connell

Jefferson County Attorney

 

 

BY:  ____________________________

 

 

O-038-16 FY16 Mid Year OP ORD ROC dab FINALDraft.docx                                                                                                                              032516