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1983-131-Adopting Budget For Fiscal Year 1983-84RESOLUTION NO. 1983 -131 A RESOLUTION ADOPTING BUDGET FOR FISCAL YEAR 1983 -84 WHEREAS, Section 2 -20(f) of the Los Gatos Town Code requires the Manager to annually prepare and submit a budget to the Town Council and be responsible for its administration; and WHEREAS, the Town Manager did submit a proposed budget for the 1983 -84 fiscal year to the Town Council; and WHEREAS, the Town Council has considered and reviewed said proposed budget during public hearings; NOW, THEREFORE, BE IT RESOLVED AND IT IS HEREBY RESOLVED by the Town Council of the Town of Los Gatos, County of Santa Clara, State of California, that the Town Council hereby adopts as the budget for the Town of Los Gatos for the 1983 -84 fiscal year those schedules entitled "Summary of Appropriations'., "Schedule of Fund Transfers ", and "General Fund Appropriated Reserves ", attached hereto. PASSED AND ADOPTED at a regular meeting of the Town Council of the Town of Los Gatos, California, held this 20th day of June, 1983, by the following vote: AYES: COUNCIL MEMBERS Joanne Benjamin, Terrence J. Daily and Thomas J. Ferrito NOES: COUNCIL MEMBERS None ABSENT: COUNCIL MEMBERS MarLyn J. Rasmussen and Mayor Brent N. Ventura ABSTAIN: COUNCIL MEMBERS None SIGNED: ATTEST: ` GA TO 0 THE TOWN OF LOS GTO -�'"� TOWN OF LOS GATOS SUMMARY OF APPROPRIATIONS FY 1983 -84 GENERAL FUND Town Council $ 35,455 Town Treasurer 22,665 Town Clerk 131,233 Town Attorney 89,608 Town manager 289,291 General Town Administration 444,540 Contingency 213,885 Insurance 125,000 Planning 285,434 Building Regulation 185,110 Engineering 489,429 Police 2,433,748 Library 506,852 Parks, Forestry, and Maintenance 1,941,670 Capital Improvement Projects 7,500 TOTAL GENERAL FUND $7,201,420 GENERAL FUND RESERVES Leave Payoffs $ 100,000 Capital Improvement Projects 335,000 TOTAL GENERAL FUND RESERVES $ 435,000 SPECIAL FUNDS General Revenue ' Gas Tax 2106 Gas Tax 2107 HCDA Construction Tax Construction Tax Sanitary Sewer ;haring $ 143,403 107,500 200,000 160,000 -- Capital 77,000 -- Utility 275,000 148,975 TOTAL SPECIAL FUNDS $1,111,878 INTERNAL SERVICE FUNDS Community Programs $ 243,710 Equipment Reserve 193,900 Workers' Compensation 99,800 TOTAL INTERNAL SERVICE FUNDS 537,410 DEBT SERVICE 1962 General Obligation Bonds $ 65,221 1965 Park Bonds 50,400 TOTAL DEBT SERVICE 115,621 TOTAL APPROPRIATIONS ............................... $9,401,329 From General Sanitary Sewer Gas Tax 2106 Gas Tax 2107 Gas Tax 2107.5 Traffic Safety Motor Vehicle In-Lieu HCDA Mediation /Arbitration Transit Development / Fare Box General Revenue Sharing Town of Los Gatos SCHEDULE OF FUND TRANSFERS FY 1933 -84 To Debt Service General Fund General Fund General Fund General Fund General Fund General F und Community Programs Community Programs Community Programs Community Programs Amount $ 65,221 50,266 50,000 50,000 6,000 120,000 25,000 52,562 42,353 78,518 70,472 TOTAL TRANSFERS: $610,392 Town of Los Gatos GENERAL FUND APPROPRIATED RESERVES FY 1983 -84 Estimated Balance July 1, 1983 Less Reserves for: Economic Uncertainties Town Retirement Fund Employee Leave Payments Balance Available for Capital Expenditures Less Capital Improvements Appropriations 2,250,000 125,000 300,000 $335,000 3,735,000 1,060,000 Esiimated Fund 3alance 7$ 25,000