File #: 18-0944    Version: 1 Name:
Type: Ordinance Status: Consent Agenda
File created: 9/6/2018 In control: Board of Mayor & Aldermen
On agenda: 11/13/2018 Final action: 11/13/2018
Title: Consideration of Ordinance 2018-48 - An Ordinance to Amend the FY 2019 Budget. (09/13/18 Finance 4-0, 09/25/18 BOMA 1st Reading 8-0, 10/3/18 Public Hearing and BOMA 2nd Reading 8-0) THIRD AND FINAL READING
Sponsors: Kristine Brock, Michael Walters Young
Attachments: 1. FY 2019 Budget Amendment #2 Memo, 2. Ord 2018-48 FY 2019 Budget Amendment_with attachment, 3. Impact of 2018-48 - FY 2019 Budget Amendment

DATE: September 7, 2018

TO: Board of Mayor and Aldermen
Budget & Finance Committee

FROM: Eric Stuckey, City Administrator
Kristine Tallent, Assistant City Administrator for Finance and Administration
Michael Walters Young, Budget & Strategic Innovation Manager


SUBJECT:
title
Consideration of Ordinance 2018-48 - An Ordinance to Amend the FY 2019 Budget. (09/13/18 Finance 4-0, 09/25/18 BOMA 1st Reading 8-0, 10/3/18 Public Hearing and BOMA 2nd Reading 8-0) THIRD AND FINAL READING
body
Purpose
The purpose of this memo is to provide information to the Franklin Board of Mayor and Aldermen (BOMA) concerning an amendment to the Fiscal Year 2019 Budget for compliance with State budgeting guidance regarding:

1. Ensuring authorizations in place to balance each fund's budget on a cash basis on June 30, 2019.

Background
The State Comptroller has provided guidance that budget amendments are to be on the cash basis and must occur prior to fiscal year end (June 30) to ensure no fund has a deficit fund balance or deficit cash balance at June 30.

In order to stay ahead of this responsibility, staff is proposing four budget amendments.

The amendments are as follows:

1. Pavement Sealing: Increase expenses in the State Street Aid Fund by $92,411 for the "re-appropriation" of pavement sealing from FY 2018. Now that the books are closed, we are able to state with certainty that money is available within the State Street Aid Fund to "re-appropriate" in FY 2019 from the prior year. These funds were generated as a result of not fully expending the amount budgeted for pavement sealing. This successful program is budgeted again in FY 2019, and the Streets Department is seeking this carry over of funds to do even more.
2. Hillsboro Road Phase II: Increase Transfers to the Multi-Purpose Capital Projects Fund by $50,000 from the Stormwater Fund and $195,000 from the Hotel/Motel Fund. This amendment is a clean-up of an item which should have been part of t...

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