File #: BILL NO. 19-32    Name:
Type: Ordinance Status: Passed
File created: 1/28/2019 In control: City Council - Regular Session
On agenda: 2/19/2019 Final action: 2/19/2019
Title: An Ordinance approving Amendment No. 7 to the budget for the Fiscal Year ending June 30, 2019, as adopted by Ordinance No. 8405, by revising the Authorized Expenditures to Projected Year End Amounts for the City of Lee's Summit. (F&BC 2-11-19)
Attachments: 1. Proposed Ordinance
Related files: BILL NO. 18-88, BILL NO. 18-140, BILL NO. 18-123, BILL NO. 18-177, BILL NO. 18-176, BILL NO. 18-196, BILL NO. 18-198, BILL NO. 19-94
Title
An Ordinance approving Amendment No. 7 to the budget for the Fiscal Year ending June 30, 2019, as adopted by Ordinance No. 8405, by revising the Authorized Expenditures to Projected Year End Amounts for the City of Lee's Summit. (F&BC 2-11-19)

Body
Issue/Request:
An Ordinance approving Amendment No. 7 to the budget for the Fiscal Year ending June 30, 2019, as adopted by Ordinance No. 8405, by revising the Authorized Expenditures to Projected Year End Amounts for the City of Lee's Summit.

Key Issues:
In conjunction with the year end projection process, the accompanying amendment has been prepared to authorize additional expenditures. For the General Fund, the major changes include the following:
- Personnel Services: It is expected that collective bargaining negotiations will end soon. As part of the negotiations wage, increases have been tentatively identified for each of the bargaining units. The FY19 projection includes the additional expense which is tentatively planned to start in March.
- Other Services, Supplies, and Charges: Additional maintenance costs for sidewalks and stormwater infrastructure have occured. To date, staff anticipates being able to complete an additional $46,000 of maintenance work. Funding has also been included for closed captioning service at a cost of $18,000 and continued court security at a cost of $30,000. A large portion of the increase can be attributed to an increase in bad debt (uncollected ambulance fees) and unbudgeted development reimbursement expenses ($355,000) that should have been included in the original adopted budget.

The following outlines the major changes for other City funds:

F200 Parks and Recreation
Total expenditures for the Parks and Recreation Fund are $649,604 over budget due to a transfer of $650,000 from Fund 200 reserves to Fund 327 to be used for renovations of the Longview Community Center. The Parks and Recreation Board approved the transfer at a special meeting held on August 15...

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