HomeMy WebLinkAboutOrd 5790 03/16/2010
ORDINANCE NO. 5790
AN ORDINANCE MAKING CERTAIN AMENDMENTS TO THE ANNUAL
BUDGET ADOPTED FOR THE FISCAL YEAR COMMENCING JANUARY 1,2010
AND ENDING DECEMBER 31, 2010
PASSED AND APPROVED BY
THE PRESIDENT AND BOARD OF TRUSTEES
the 16th day of March, 2010
Published in pamphlet form by
authority of the corporate authorities
of the Village of Mount Prospect, Illinois
the 17th day of March, 2010.
ORDINANCE NO. 5790
AN ORDINANCE MAKING CERTAIN AMENDMENTS TO THE ANNUAL
BUDGET ADOPTED FOR THE FISCAL YEAR COMMENCING JANUARY 1,2010
AND ENDING DECEMBER 31,2010
WHEREAS, the President and Board of Trustees of the Village of Mount Prospect have passed and approved
Ordinance No. 2342 which sets the finances ofthe Village under the "Budget Officer System"; and
WHEREAS, pursuant to the aforesaid Ordinance and the Statutes of the State of Illinois an annual budget for the
fiscal year commencing January 1, 2010 and ending December 31, 2010 was adopted through the passage of
Ordinance No. 5779 approved by the Corporate Authorities of the Village of Mount Prospect on December 15,
2009; and
WHEREAS, the President and Board of Trustees of the Village of Mount Prospect have further reviewed certain
additions and changes to the aforesaid budget for the fiscal year beginning January 1, 2009 and ending December
31, 2009; and
WHEREAS, the President and Board of Trustees of the Village of Mount Prospect believe the changes, as
specified on the attached January 1, 2010 through December 31, 2010 Budget Amendment Number One to be in
the best interest of the Village of Mount Prospect; and
WHEREAS, the Village has now revised the revenue projections or has reserves in each of the Funds in which the
budget is being increased adequate in amount to cover the budget changes reflected in Budget Amendment
Number One, attached hereto.
NOW THEREFORE BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE
VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS:
SECTION ONE: That the fiscal year budget for January 1,2010 through December 31,2010 for the Village of
Mount Prospect is hereby amended, as detailed on Budget Amendment No. 1 attached hereto.
SECTION TWO: That this ordinance shall be in full force and effect from and after its passage, approval and
publication in pamphlet form as provided by law.
AYES:
Hoefert, Juracek, Korn, Polit, Zadel
NA YES:
None
ABSENT:
Matuszak
PASSED and APPROVED this 16th day of March, 2010.
2!ty~K~
Irvana K. Wilks
Mayor
ATTEST
Y;b9!4~rfc:{2
M. Lisa Angell '
Village Clerk
VILLAGE OF MOUNT PROSPECT
Budget Amendment No.1
Fiscal Year January 1, 2010 through December 31,2010
Expenditures
Current Amended
Budget Increase Budget
Fund/Program/Classification Account # Account Description Amount (Decrease) Amount
General Fund
CD-Planning & Zoning
Contractual Services 0012102-540205 Document Imaging 8,000 6,900 14,900
Contractual Services 0012102-540282 First Time Homeowners 32,000 20,400 52,400
CD-Building Inspections
Employee Benefits 0012105-510100 Medicare 5,251 3,000 8,251
Contractual Services 0012105-540205 Document Imaging 20,000 25,000 45,000
Human Services-Administration
Other Employee Costs 0013101-520400 Travel & Meetings 2,128 500 2,628
Contractual Services 0013101-540225 Other Services 6,447 1,500 7,947
Commodities & Supplies 0013101-570080 Other Supplies 5,000 2,185 7,185
Police - Crime Prevention
Commodities & Supplies 0014103-570080 Other Supplies 1,500 11,695 13,195
Fire-Equipment Maintenance
Commodities & Supplies 0014206-570651 Vehicle Registration/License 0 250 250
80,326 71 ,430 151,756
All other General Fund Accounts 40,993,774 0 40,993,774
Total General Fund 41,074,100 71 ,430 41,145,530
Capital Improvement Fund
Village Improvements and Equipment
Building Improvements 5107701-640001 Other Public Buildings 100,000 106,790 206,790
Building Improvements 5107701-640021 Digital Cameras-Parking Deck 0 45,000 45,000
Building Improvements 5107701-640031 Civic Event Sign Replacement 0 35,000 35,000
Other Equipment 5107701-670027 Patrol Citation Printing System 0 32,360 32,360
Other Equipment 5107701-670300 Emergency Generator 0 250,000 250,000
Community Improvement Projects
Land Improvements 5107702-620008 Corridor Improvements 0 26,065 26,065
Infrastructure 5107702-690005 Residential Street Lights 10,000 39,700 49,700
Street Improvement Projects
Infrastructure 5107706-690104 Wolf Road Engineering 150,000 (150,000) 0
Infrastructure 5107706-690107 Kensington Road Turn Lanes 139,000 31,000 170,000
399,000 415,915 814,915
All other Capital Improvement Fund Accounts 1,315,350 0 1,315,350
Total Capital Improvement Fund 1,714,350 415,915 2,130,265
Series 2009 Construction Fund
Station 14
Office Equipment 5287711-650000 Office Equipment 0 60,000 60,000
Other Equipment 5287711-670050 FS #14 Furnishings 0 194,000 194,000
Other Equipment 5287711-670151 Other Equipment 76,892 204,378 281,270
EOC
Office Equipment 5287712-650000 Office Equipment 0 91,000 91,000
Other Equipment 5287712-670055 EOC Furnishings 0 134,000 134,000
Other Equipment 5287712-670151 Other Equipment 0 231,741 231,741
PW Expansion
Other Equipment 5287713-670070 PW Furnishings 0 45,000 45,000
Other Equipment 5287713-670151 Other Equipment 0 300,929 300,929
76,892 1,261,048 1,337,940
All other Series 2009 Construction Fund Accounts 845,693 0 845,693
Total Series 2009 Construction Fund 922,585 1,261,048 2,183,633
VILLAGE OF MOUNT PROSPECT
Budget Amendment No.1
Fiscal Year January 1, 2010 through December 31,2010
Expenditures
Current Amended
Budget Increase Budget
Fund/Program/Classification Account # Account Description Amount (Decrease) Amount
Street Improvement Construction Fund
Street Improvement Projects
Contractual Services 5607706-540115 Traffic Study/Improvements 100,000 34,840 134,840
Infrastructure 5607706-690084 Resurfacing 1,020,000 56,845 1,076,845
Infrastructure 5607706-690103 Parking Lot Improvements 0 82,595 82,595
1,120,000 174,280 1,294,280
All other Street Improvement Fund Accounts 281,600 0 281,600
Total Street Improvement Fund 1,401,600 174,280 1,575,880
Flood Control Construction Fund
Flood Control Projects
Infrastructure 5907704-690013 Creek Bank Stabilization 25,000 11,275 36,275
25,000 11,275 36,275
All other Flood Control Construction Fund Accounts 125,150 0 125,150
Total Flood Control Construction Fund 150,150 11,275 161,425
Water and Sewer Fund
Administration
Other Employee Costs 6105501-520600 Uniform Expense 17,253 21,665 38,918
Contractual Services 6105501-540612 GIS Maintenance 20,600 20,000 40,600
Water Distribution Maintenance & Repair
Other Equipment 6105505-670041 Video Security Cameras 0 8,000 8,000
Other Equipment 6105505-670301 Emergency GeneratorlWells 100,000 24,640 124,640
Water Meter Maintenance & Repl.
Contractual Services 6105507 -540770 Meter Installation 60,000 61,855 121,855
Contractual Services 6105507-540775 Meter Testing & Repair 24,720 11,415 36,135
Other Equipment 6105507-670062 Water Meters 63,345 35,250 98,595
Sanitary Sewer Maintenance & Repair
Contractual Services 6105509-540778 Building Sewer Inspection 24,930 18,460 43,390
Other Equipment 6105509-670043 Lift Station Emergency Generator 0 598,560 598,560
Water & Sewer System Improvements
Distribution Systems 61 0551 0-680003 Water Mains Replacement 370,000 53,590 423,590
Distribution Systems 6105510-680006 Basin 14 Foot Tile/OH Sewer Project 368,000 100,000 468,000
Distribution Systems 6105510-680010 Combined Sewer Improvements 1,000,000 73,275 1,073,275
2,048,848 1,026,710 3,075,558
All Other Water and Sewer Fund Accounts 10,474,191 0 10,474,191
Total Water and Sewer Fund 12,523,039 1,026,710 13,549,749
Village Parking System Revenue Fund
Village Parking Lot Maintenance
Contractual Services 6205110-540550 Parking Lot Sealcoating 10,609 10,610 21,219
Contractual Services 6205110-540570 Cleaning Service 24,200 24,200 48,400
Building Improvements 6205110-640018 Parking Deck Maintenance 6,800 13,055 19,855
41,609 47,865 89,474
All other Village Parking System Revenue Accounts 85,624 0 85,624
Total Village Parking System Revenue Fund 127,233 47,865 175,098
2
Fund/Program/Classification
Parking System Revenue Fund
Parking Lot Maintenance
Contractual Services
Commodities & Supplies
All other Parking System Revenue Accounts
Total Parking System Revenue Fund
Vehicle Replacement Fund
Motor Equipment Replacement
Mobile Equipment
VILLAGE OF MOUNT PROSPECT
Budget Amendment No.1
Fiscal Year January 1, 2010 through December 31,2010
Expenditures
Account # Account Description
6305111-540645 RR Station Maintenance
6305111-570750 Bicycle Racks
6707709-660115
Replace Public Works Vehicles
All other Vehicle Replacement Fund Accounts
Total Vehicle Replacement Fund
Risk Management Fund
Forestry Program
Contractual Services
All other Risk Management Fund Accounts
Total Risk Management Fund
Total Village Budget
Funds being changed
All other Village Budget Accounts
Total Village Budget after Changes
6905203-540740
Tree Hazard Study
3
Current Amended
Budget Increase Budget
Amount (Decrease) Amount
3,090 3,090 6,180
1,231 1,231 2,462
4,321 4,321 8,642
165,955 0 165,955
170,276 4,321 174,597
o
o
440,000
440,000
11,500
11,500
6,853,598
6,865,098
65,388,431
18,009,631
83,398,062
370,000
370,000
o
370,000
7,300
7,300
o
7,300
3,390,144
o
3,390,144
370,000
370,000
440,000
810,000
18,800
18,800
6,853,598
6,872,398
68,778,575
18,009,631
86,788,206