Loading...
HomeMy WebLinkAboutReso 87-20 for FY 2019-20 fourth Quarter AdjustmentsRESOLUTION NO. 87-20 RESOLUTION OF THE CITY COUNCIL OF THE CITY OF MORRO BAY, CALIFORNIA, APPROVING FISCAL YEAR 2019/20 FOURTH QUARTER YEAR-END BUDGET ADJUSTMENTS THE CITY COUNCIL City of Morro Bay, California WHEREAS, City staff is preparing year-end accounting entries to close out the City's Fiscal Year 2019/20 financial records; and WHEREAS, in preparing year-end accounting entries staff have identified budget adjustments; and NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Morro Bay, California, 1. The operating budgets of the City are amended by the additional revenues and expenditures, as shown on the attached Exhibit 1, to finalize Fiscal Year 2019/20 accounting records. PASSED AND ADOPTED by the City Council of the City of Morro Bay at a regular meeting thereof held on the 13th day of October 2020, by the following vote: AYES' Headding, Addis, Davis, Heller, McPherson NOES' None ABSENT: None ABSTAIN: None JON HEADDING, Mayor ATTEST: DANA SWANSON, City Clerk General Fund Expenditures Adjustment) t Description Total General Fund 0 U u Q tit 1- in_ c Ll General Fund Revenues Adjustment) N N Cr m U.) Z£S m to Ol m to ri ri r-1 Description Intrafund Transfer in from General Fund Emergency_Reserves Trans from Special Rev Fund (Traffic Safety) Total General Fund Acct 3802 3820 Prog 7710 0 r1 N N r-i ri C O O 7 w o 0 Enterprise Funds Expenditures Adjustment m to to N N N ri N 145,924 1 N co to o in ct 24,347 N co Ln O ct 23,854 o N m N cV m V m rn o0 co N al N N: N m l0 Nn LII Ul i rl N r ri Description Intrafund Expense Transfer Intrafund Expense Transfer Intrafund Expense Transfer State Water Contract v ru m OPEB - Sewer OPEB - Harbor Kiosk cash transfer for launch ramp parking Transfer to WRF Capital Project Total Other Funds w a 0 U U < OttS 8410 8410 4913 1 4913 8410 1 8540 ri m m r-1 rn 'Sr w CC O CL O O 0 5240 5240 5251 6510 O 0 ri ri N r-1 N ri N r 1 N 1 321 M to al N Ln rn C D w ri ri ri ri N m r I m m r-1 M m c--i ri cn ri m Enterprise Funds Revenues Adjustment, $ 1,553,5581 $ 2,172,277 $ 145,924 ) o N m N N m N o of cn 00 KC Description Intrafund Revenue Transfers in to Water WIFIA Reserve Fund Intrafund Revenue Transfers in to Sewer WIFIA Reserve Fund Intrafund Revenue Transfer in to Harbor Opperating Fund Intrafund Revenue Transfer in to Harbor Accumulation Fund Total Other Funds 3802 3802 r 3802 3802 0 U Q Prog 0 0 7710 0 r-1 N N ri N N '-1 N N pund ' f N m rn Ln rn r-1 CO Cr) r-1 m Other Funds Expenditures Adjustment 50,582 O m N N ct M to N m to a) V 32,095 O N tD V oo to 0 r-1 N N 0 N to m 0 CO m 0 N N N 16,177 N N O m N N N ri to to .1 61 ct rI ct ri a) ri 00 m 1-1 .--1 1-1 c1 ri ri ri Description Intrafund Expense Transfer to TBID Operating Fund Intrafund Expense Transfer to prefund pocket park Transfer to General Fund Transfers Out Employer Paid Benefits Unemployment Insurance Contractual Services [Grounds Maitenance Supplies - COVID Ground Maintenance Supplies Contractual Services v1 Ill Salary & Benefits Transfer to fund Morro Rock Improvement Treansfertofund General Plan Update 'General Plan Maitenance Fee Total Other Funds ,-' D O 3410 0 0 tD 0 5501 U;).-1 0 IOSB 2790 '� CO U Q ri CO CD r-1 O Lail 0 M ri CO r-i r t cr CD tCD O dN 0 0 0 O 4301 1 4314 4340 4460 6167 N CD N 1D N CD O ri N N O ri N ri N N ri N N ri N N c--1 N N r 1 U) ri lD ri CD 1 Fund TT Ln a) 280 1 430 0 m v 0 m CN 470 1 0 N to o N Li-) o N Ln Ln to Ln 299 O o a) Ln ri Ln o ri to o ri to Other Funds Revenues _ Adjustment] { 50,582 I o ct to 148,852 a N rn cn r-i Description Transfer in to TBID fund From TBID Accumulation Fund Other Misc. Revenues Interest Income Total Other Funds 4 -+ U U Q 3802 3990 0 r-1 N m t o I- cL 7710 O ri ri ri ri 1 1-1r-1 007 ) 280 ) N C Li ri in Capital Projects Expenditures Adjustment) 551 57,640 ri rn ri 00 L!) Description Morro Rock Parking Lot Imporvement General Plan Update Total Other Funds Y U u a) a) Ln O ri N ri tD t c, O d 0 CD CD co 8700 1 u) Ln -o C 7 LL_ ri a) ri a) immum Capital Projects Revenues Adjustment) o m d- in CV V m m Ct m a) CA 00 o0 N N Ncj N tol ri Ln Ln r-1 CC ct ri ri Description Transfer In to prefund Tidelands Storm Water Pocket Park project Transfer In to fund Morro Rock Improvements Transfer In to fund General Plan Update Transfer in from Sewer accumulation fund to Fund WRF Total Other Funds •-• U f 6105 0 ri 0 CO m 1-1 O r-1 N N 00 m Prog 0 0 0 GILL ri h ri N r1 N to Ln to N N a) L- r I a) ri a) r-1 a) 7,767,710.47 Grand Total: Expenditures 7,226,290.38 Grand Total: Revenues