HomeMy WebLinkAboutOrdinances - ORD-01-1024 - 07/18/2001 - APPROPRIATION ORDINANCE 2001-2002ORDINANCE NO. ORD-01-1024
Be It Ordained by the City Council of the City of McHenry, Illinois, as follows:
SECTION 1: That it be deemed necessary in order to defray the necessary
expenses and liabilities of said City for the fiscal year beginning May 1, 2001
and ending April 30, 2002; that there be and there is hereby appropriated to
provide for the general tax levy and other revenue for the said fiscal year, the
aggregate sum of Forty Nine Million Nine Hundred Forty Eight Thousand Five
Hundred Seventy Six Dollars ($49,948,576.00) the object and purpose for which
said appropriation is made and the amounts appropriated for the same are as
follows, to wit:
2001-02
PROPOSED
APPROPRIATION
100.01 Administration Office
Salaries - Regular
$536,836
Salaries - Temporary
4,400
Overtime - Regular
3,300
Salary Adjustments
15,000
Board & Commission Expense
604,769
Health/Life Insurance
87,385
Dental Insurance
5,083
FICA/Medicare
42,587
IMRF Retirement
40,693
Uniform Allowance
3,100
Contractual Services
263,973
Legal Fees
199,760
Postage and Meter
24,915
Telephone
12,000
Printing and Publishing
16,500
Dues
2,882
Travel Expenses
3,520
Training
3,410
Tuition Reimbursements
10,000
Publications
3,168
Utilities
3,300
Materials and Supplies
22,000
Office Supplies
15,000
Small Equipment
2,640
Administrative Expenses
47,520
Capital -Land
40,150
Capital - Equipment
14,850
Transfer- Debt Service
761,090
Purchase Service - Risk Management
40,000
Transfer - Street Improvements Fund
110,000
Transfer - Capital Improvements Fund
341,000
Total Administration Office
3,280,831
100.02 Elected Officials
Salaries - Regular
52,339
Salaries - Temporary
550
Overtime - Regular
2,200
Salary Adjustments
3,000
Salaries - Elected Officials
70,000
Health Insurance
10,377
Dental Insurance
587
FICA/Medicare
9,177
IMRF Retirement
6,301
Uniform Allowance
350
Contractual Services
14,300
Postage and Meter
14,000
Telephone
5,000
Printing and Publishing
24,000
Dues
1,749
Travel Expenses
1,870
Training
8,305
Publications
1,375
2001-02
PROPOSED
Materials and Supplies
APPROPRIATION
3,740
Office Supplies
4,000
Small Tools and Equipment
660
Employee Recognition
9,796
Administrative Expenses
10,450
Capital - Equipment
11,000
Total Elected Officials
265,126
100.03 Community Development
Salaries - Regular
364,375
Overtime - Regular
4,000
Salary Adjustments
12,000
Salaries -Seasonal
1,100
Health/Vision
71,499
Dental Insurance
4,126
FICA/Medicare
28,797
IMRF Retirement
27,270
Uniform Allowance
2,750
Contractual Services
51,590
Postage and Meter
4,000
Telephone
14,000
Printing and Publishing
12,000
Repair and Maintenance - Vehicles
7,500
Dues
1,650
Travel Expenses
2,255
Training
4,015
Tuition Reimbursements
550
Publications
990
Materials and Supplies
963
Office Supplies
5,000
Fuel and Lubricants
2,750
Small Tools and Equipment
2,860
Capital - Equipment
15,290
Capital - Vehicles
24,200
Capital - Other Improvements
11,000
Purchase Service - Risk Management
16,426
Total Community Development Department
692,956
100.21 Police Commission
Salaries - Boards and Commissions
1,210
Contractual Services
15,000
Printing and Publishing
5,000
Travel Expenses
550
Training
1,100
Publications
550
Total Police Commission
23,410
100.22 Police Department
Salaries - Regular
527,790
Salaries - Part Time
10,945
Overtime - Regular
8,000
Overtime - Sworn
125,000
2001-02
PROPOSED
Career Ladder
APPROPRIATION
18,700
Salary Adjustments
25,000
Salaries - Sworn
2,451,570
Health/Vision
484,697
Dental Insurance
28,789
FICA/Medicare
239,380
IMRF Retirement
39,002
Employee Uniforms
38,000
Contractual Services
56,104
Postage and Meter
2,600
Telephone
33,000
Repair and Maintenance - Vehicles
34,650
Dues
9,232
Travel Expenses
6,490
Training Expense
27,431
Tuition Reimbursement
11,000
Materials and Supplies
33,527
Office Supplies
25,000
Fuel and Lubricants
73,502
Capital - Equipment
324,280
Capital - Vehicles
110,440
Capital - Furniture
9,460
Purchase Service - Risk Management
118,987
Total Police Department
4,872,576
100.30 Public Works - Administration
Salaries - Regular
251,948
Overtime - Regular
10,120
Salary Adjustment
10,000
Employee Insurance
46,452
Dental Insurance
3,401
FICA/Medicare
20,437
IMRF Retirement
19,930
Uniform Allowance
1,073
Contractual Services
3,520
Postage and Meter
1,600
Telephone
8,000
Dues
770
Travel Expense
990
Training
1,210
Tuition Reimbursement
1,100
Office Supplies
3,000
Capital -Equipment
8,250
Capital - Vehicles
24,200
Purchase Service - Risk Management
11,096
Total Public Works - Administration
427,097
100.33 Public Works - Streets Division
Salaries - Regular
826,306
Overtime - Regular
55,550
Salary Adjustment
12,000
Salaries -Seasonal
17,500
2001-02
PROPOSED
Health/Vision
APPROPRIATION
178,357
Dental Insurance
10,330
FICA/Medicare
69,222
IMRF Retirement
66,260
Uniforms
13,475
Contractual Services
57,200
Telephone
5,000
Repair and Maintenance - Vehicles
74,800
Training
660
Tuition Reimbursement
440
Street Lighting
148,500
Materials and Supplies
189,200
Office Supplies
2,000
Fuel and Lubricants - Vehicles
38,500
Small Tools and Equipment
5,500
Safety Equipment and Supplies
550
Capital - Buildings
12,980
Capital - Vehicles
211,200
Capital - Street Projects
413,600
Capital - Other Improvements
275,000
Purchase Service - Risk Management
68,825
Total Public Works - Streets Division
2,752,955
Public Works - Building and Grounds
Salaries - Regular
114,946
Overtime - Regular
11,000
Salaries - Seasonal
10,560
Health/Vision
30,967
Dental Insurance
1,762
FICA/Medicare
10,442
IMRF Retirement
9,395
Uniforms
1,672
Contractual Services
33,550
Telephone
2,000
Training
1,100
Materials and Supplies
54,285
Office Supplies
1,000
Capital - Buildings
90,200
Capital - Equipment
4,950
Purchase Service - Risk Management
4,793
Total Public Works - Building and Grounds
382,622
100.41 Parks and Recreation Department
Salaries - Parks Administration
126,044
Salaries - Athletics Administration
45,550
Salaries - Recreation Administration
73,367
Salaries - Park Maintenance
225,237
Salaries - Part Time
27,056
Overtime - Regular
16,500
Salary Adjustment
10,000
Salaries -S easonal
275,000
Health/Vision
91,384
2001-02
PROPOSED
Dental Insurance
APPROPRIATION
5,315
FICA/Medicare
59,143
IMRF Retirement
38,435
Uniform Allowance
9,928
Contractual Services
159,775
Postage and Meter
13,000
Telephone
13,500
Printing and Publishing
20,240
Repair and Maintenance - Vehicles
14,850
Dues
1,276
Travel Expense
2,200
Training
5,819
Tuition Reimbursement
1,100
Publications
495
Utilities
32,670
Materials and Supplies
124,630
Office Supplies
4,000
Fuel and Lubricants - Vehicles
12,650
Special Events
27,555
Forestry Expenses
19,250
Capital - Equipment
73,150
Capital -Vehicles
59,730
Capital - Park Improvements
38,500
Purchase Service - Risk Management
41,723
Total Parks and Recreation Department
1,669,072
Total General Fund
14,366,645
210.00
Band Fund
Contractual
20,900
Materials and Supplies
4,730
Total Band Fund
25,630
220.00
Civil Defense Fund
Repairs and Maintenance - Equipment
1,100
Capital - Other Improvements
38,500
Total Civil Defense Fund
39,600
230.00
Audit Fund
Contractual Services
17,050
Total Audit Fund
17,050
240.00
Retirement Fund
FICA/Medicare
550,242
IMRF Retirement
315,427
Total Retirement Fund
865,669
250.00
Public Benefit Fund
Transfer - Project Assessement
52,800
Total Public Benefit Fund
52,800
260.00 Annexation Fund
2001-02
PROPOSED
APPROPRIATION
Transfer - Debt Service 500,000
Total Annexation Fund 500,000
270.00 Motor Fuel Tax Fund
Materials and Supplies
77,000
Capital - Street Improvements
66,000
Transfer - Debt Service
423,500
Transfer - Street Improvements Fund
220,000
Total Motor Fuel Tax Fund
786,500
280.00 Developer Donation Fund
Distributions - Schools 1,000,000
Distributions - Library District 100,000
Disributions - Fire Protection District 100,000
Total Developer Donation Fund 1,200,000
280.41 Developer Donation Fund (Parks)
Capital - Land 1,500,000
Capital - Park Improvements 1,000,000
Total Developer Donation Fund (Parks) 2,500,000
300.00
Debt Service Fund
Bond Principal Payments
748,000
Bond Interest Payments
466,840
Total Debt Service Fund
1,214,840
520.00
Bond and Interest Fund
Bond Principal Payments
605,000
Bond Interest Payments
197,670
Paying Agent Fees
2,750
Total Bond and Interest Fund
805,420
530.00
Bond Reserve Fund
Transfer - Project Assessment
38,500
Total Bond Reserve Fund
38,500
540.00
Depreciation Reserve Fund
Transfer - Project Assessment
16,500
Total Depreciation Reserve Fund
16,500
400.00
Recreation Center Construction Fund
Capital - Buildings
50,000
Total Recreation Center Construction Fund
50,000
410.00
Street Improvements Fund
Capital - Street Improvements
1,650,000
Total Street Improvements Fund
1,650,000
420.00
Special Service Area #1A
Capital - Street Improvements
82,500
Transfer - Debt Service
59,620
Total Special Service Area #1A
142,120
2001-02
PROPOSED
APPROPRIATION
440.00 Capital Improvements Fund
Capital - Utility System Improvements
1,600,000
Capital - Street Improvements
3,000,000
Capital - Other Improvements
2,000,000
Total Capital Improvements Fund
6,600,000
510.31 Public Works - Water Division
Salaries - Regular
427,907
Overtime - Regular
25,000
Salary Adjustments
10,000
Salaries -S easonal
10,450
Health, Vision
86,981
Dental Insurance
5,007
FICA/Medicare
35,571
IMRF Retirement
33,723
Uniform Allowance
5,005
Contractual Services
42,130
Postage and Meter
6,000
Telephone
11,000
Repair and Maintenance - Vehicles
6,600
Dues
550
Training Expenses
1,210
Tuition Reimbursement
1,650
Utilities
146,300
Materials and Supplies
338,250
Office Supplies
2,000
Fuel and Lubricants - Vehicles
8,800
Small Tools and Equipment
2,200
Capital - Buildings
27,500
Capital - Equipment
36,190
Capital - Vehicles
88,000
Capital - Utility System Improvements
288,860
Purchase Service - Risk Management
35,319
Purchase Service - General Fund
57,817
Transfer - Utility Bond and Interest
53,257
Transfer - Utility Improvements Fund
165,000
Total Public Works - Water Division
1,958,277
510.32 Public Works - Wastewater Division
Salaries - Regular
435,921
Overtime - Regular
19,800
Salary Adjustments
10,000
Salaries -S easonal
4,400
Health, Vision
70,848
Dental Insurance
4,140
FICA/Medicare
35,487
IMRF Retirement
34,419
Uniform Allowance
8,250
Contractual Services
86,020
Postage and Meter
2,000
Telephone
10,000
Repair and Maintenance - Vehicles
6,000
2001-02
PROPOSED
Repair and Maintenance - Equipment
APPROPRIATION
30,000
Repair and Maintenance - Utility System
60,000
Dues
440
Training Expenses
220
Tuition Reimbursement
1,650
Publications
110
Utilities
352,000
Disposal
126,500
Materials and Supplies
100,650
Office Supplies
1,000
Fuel and Lubricants - Vehicles
9,350
Capital - Buildings
12,100
Capital - Equipment
10,065
Capital - Vehicles
35,750
Capital - Utility System Improvements
621,720
Purchase Service - Risk Management
37,781
Purchase Service - General Fund
57,817
Transfer - Project Assessment
65,450
Transfer - Utility Bond and Interest Fund
563,471
Transfer - Utility Improvements Fund
704,000
Total Public Works - Water Division
3,517,359
550.32 Capital Development Fund
Transfer - Utility Improvements Fund
300,000
Total Capital Development Fund
300,000
560.00 Country Club Estates Special Assessment
Transfer - Water/Sewer Fund
15,950
Total Country Club Estates Special Assessment
15,950
570.00 McHenry Shores Project Assessment
Transfer - Utility Bond and Interest Fund
177,280
Total McHenry Shores Project Assessment Fund
177,280
580.31/3 Utility Improvements Fund
Capital - Utility System Improvements (Water - 31)
750,000
Capital - Utility System Improvements (Wastewater - 32)
800,000
Total Utility Improvements Fund
1,550,000
60000 Employee Insurance Fund
Medical Premiums 316,128
Dental Premiums 5,133
Claims 1,000,000
Miscellaneous Expense 3,300
Total Employee Insurance Fund 1,324,561
610.00 Risk Management Fund
MCMRMA Premiums
450,000
Insurance Premiums - Miscellaneous
2,035
Property Damage
33,000
Administrative Expense
4,675
Miscellaneous Expense
550
2001-02
PROPOSED
Total Risk Management Fund
APPROPRIATION
490,260
700.00
Employee Flexible Spending Fund
Reimbursements
50,000
Transfer - Employee Insurance Fund
10,000
Total Employee Flexible Spending Fund
60,000
750.00
Revolving Loan Fund
Approved Loans
25,000
Total Revolving Loan Fund
25,000
760.00
Police Pension Fund
Pension Payments
357,500
Disability Payments
66,000
Death Benefit Payments
55,000
Contractual Services
37,015
Dues
6,050
Purchase Service - General Fund
2,000
Total Police Pension Fund
523,565
720.00
Development Escrow
Capital - Street Improvements
55,000
Total Development Escrow
55,000
730.00
McHenry Economic Development Fund
Miscellaneous Expense
550
Capital - Other Improvements
9,000,000
Total McHenry Economic Development Fund
9,000,550
740.00 Retained Personnel Fund
Engineering Fees - Consultant 35,000
Engineering Fees - Staff 10,000
Legal Fees 25,000
Miscellaneous Expense 9,000
Total Retained Personnel Fund 79,000
710.00 Do the Right Thing Fund
Miscellaneous Expenditures
Total Do the Right Thing Fund
500
500
Total All Funds 49,948,576
SECTION 2: All unexpended of any item or items of general
appropriations made by this Ordinance may be expended in making up any
insufficiency in any items in the same general appropriation and for the same
general purposes or in a like appropriation made by this ordinance.
SECTION 3: This Ordinance shall take effect from and after its passage,
approval and publication according to law.
SECTION 4: This Ordinance shall be published in pamphlet form by and
under the authority of the corporate authorities of the City of McHenry, Illinois.
Voting Aye: BOLGER, GLAB, LOW, MURGATROYD, WIMMER.
Voting Nay: NONE.
Absent: NONE.
Abstain: NONE.
PASSED AND APPROVED: JULY 18, 2001
Mayor Pamela . Althoff
(SEAL)
ATTEST: C
Ci 7CIerkJanie . Jones
Passed: LY 18 2001
Approved: JULY 18, 2001