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HomeMy WebLinkAboutOrd 5897 12/20/2011ORDINANCE NO. 5897 AN ORDINANCE MAKING CERTAIN AMENDMENTS TO THE ANNUAL BUDGET ADOPTED FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2011 AND ENDING DECEMBER 31, 201 1 PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES the 20th day of December, 2011 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois the 21 st day of December, 2011. ORDINANCE NO. 5897 AN ORDINANCE MAKING CERTAIN AMENDMENTS TO THE ANNUAL BUDGET ADOPTED FOR THE FISCAL YEAR COMMENCING JANUARY 1, 2011 AND ENDING DECEMBER 31, 2011 WHEREAS, the President and Board of Trustees of the Village of Mount Prospect have passed and approved Ordinance No. 2342 which sets the finances of the 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, 2011 and ending December 31, 2011 was adopted through the passage of Ordinance No. 5826 approved by the Corporate Authorities of the Village of Mount Prospect on December 21, 2010; and WHEREAS, the President and Board of Trustees of the Village of Mount Prospect have passed and approved Ordinance No. 5852 on April 19, 2011, amending the annual budget for the fiscal year commencing January 1, 2011 and ending December 31, 2011; 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, 2011 and ending December 31, 2011; and WHEREAS, the President and Board of Trustees of the Village of Mount Prospect believe the changes, as specified on the attached January 1, 2011 through December 31, 2011 Budget Amendment No. 2 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 No. 2, attached hereto. NOW THEREFORE BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS ACTING IN THE EXERCISE OF THEIR HOME RULE POWERS: SECTION ONE That the fiscal year budget for January 1, 2011 through December 31, 2011 for the Village of Mount Prospect is hereby amended, as detailed on Budget Amendment No. 2 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, Matuszak, Polit, Zadel NAYS: None ABSENT: None PASSED and APPROVED this 20` day of December, 2011. [ ana . Wilks Mayor M. Lisa Angell Village Clerk VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Revenues Original Amended Revenue Increase Revenue Fund /Program /Classification Account # Account Description Estimate (Decrease) Estimate General Fund (001) Property Taxes 400.002 Property Taxes - Prior 10,000 30,000 40,000 Property Taxes 400.004 Property Taxes - Prior Police 5,000 45,000 50,000 Property Taxes 400.006 Property Taxes - Prior Fire 5,000 35,000 40,000 Property Taxes 400.010 Property Taxes - R &B PY 500 14,500 15,000 Property Taxes 400.011 Property Tax Increment CY 0 38,600 38,600 Property Taxes 400.012 Property Tax Increment PY 0 68,900 68,900 Other Taxes 401.001 Electric Tax 1,111,000 39,000 1,150,000 Other Taxes 401.003 Gas Tax 605,000 (115,000) 490,000 Other Taxes 401.004 Telecommunications Tax 2,890,000 (240,000) 2,650,000 Other Taxes 402.003 Food & Beverage Tax 765,000 35,000 800,000 Other Taxes 402.005 Hotel /Motel Tax 30,000 75,000 105,000 Other Taxes 402.007 Real Estate Transfer Tax 500,000 (150,000) 350,000 Other Taxes 403.003 Home Rule Sales Tax - 3rd 1,111,000 89,000 1,200,000 Other Taxes 404.001 Franchise Fee - Comcast 460,000 10,000 470,000 Other Taxes 404.002 Franchise Fee - WOW 100,000 (5,000) 95,000 Other Taxes 404.003 Franchise Fee - AT &T 15,000 5,000 20,000 License, Permits and Fees 409.002 Business Licenses 160,000 (15,000) 145,000 License, Permits and Fees 410.001 Building Permits 500,000 70,000 570,000 License, Permits and Fees 410.003 Electrical Permits 41,000 (33,000) 8,000 License, Permits and Fees 410.004 Landlord /Tenant Permits 255,000 15,000 270,000 License, Permits and Fees 410.005 Plumbing Permits 42,000 (16,000) 26,000 License, Permits and Fees 410.008 Vehicle Licenses 1,405,000 (30,000) 1,375,000 Intergovernmental Revenue 415.004 Sales Taxes 10,229,000 421,000 10,650,000 Intergovernmental Revenue 415.005 Use Tax 700,000 150,000 850,000 Intergovernmental Revenue 416.001 PP Replacement Tax 275,000 33,000 308,000 Intergovernmental Revenue 418.001 Body Armor Grant 5,000 4,500 9,500 Intergovernmental Revenue 418.003 FEMA Grant 0 143,000 143,000 Intergovernmental Revenue 419.005 IHDA Grant 20,000 (9,000) 11,000 Intergovernmental Revenue 420.003 Other Grants 50,000 60,000 110,000 Charges for Services 449.006 Storm water Detention Fee 0 2,200 2,200 Charges for Services 449.007 Street Opening Fee 2,000 1,000 3,000 Charges for Services 449.009 Vacant Structure Registration 0 3,500 3,500 Charges for Services 449.012 ZBA Hearing Fees 5,000 7,500 12,500 Fines & Forfeits 453.008 Forfeited Escrow Funds 20,000 44,000 64,000 Fines & Forfeits 453.009 Local Ordinance Fines 5,000 8,000 13,000 Fines & Forfeits 453.011 Parking Fines 275,000 (45,000) 230,000 Fines & Forfeits 453.012 Permit Penalties 5,000 (2,000) 3,000 Investment Income 456.001 Interest Income 60,500 (51,500) 9,000 Investment Income 457.001 Interest Income - Escrow 10,000 (8,500) 1,500 Investment Income 458.001 Bank Account Interest 25,000 (12,000) 13,000 Investment Income 459.001 IMET MV Adjustment 2,000 (1,900) 100 Reimbursements 473.005 Library Contributions 24,000 (24,000) 0 Reimbursements 473.006 Other Reimbursements 30,000 (23,000) 7,000 Reimbursements 473.008 Property Damage Reimb. 30,000 (5,000) 25,000 Reimbursements 473.011 Sidewalk - Shared Cost 20,000 (19,000) 1,000 Reimbursements 473.012 Tree Replacement 30,000 (15,000) 15,000 Other Revenue 479.005 Miscellaneous Income 75,000 45,000 120,000 Other Revenue 492.001 Sale of Property 2,000 (1,000) 1,000 Other Revenue 495.001 Celestial Celebrations 30,000 (10,000) 20,000 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Revenues 2 Original Amended Revenue Increase Revenue Fund /Program /Classification Account # Account Description Estimate (Decrease) Estimate General Fund (cont.) (001.10.12.00.0.000) Other Revenue 476.005 Sister City Events 2,000 1,000 3,000 (001.20.26.00.0.000) Charges for Service 442.002 Programming Fees - MPPD 20,000 (12,000) 8,000 Charges for Service 442.007 Programming Fees - SD 59 2,500 (2,500) 0 Charges for Service 442.008 Experience MP Television 24,000 (24,000) 0 Charges for Service 443.001 Other Intergovernmental Prog. 1,200 (1,200) 0 (001.40.00.00.0.000) Fines and Forfeits 453.003 Code Enforcement Fines 10,000 21,000 31,000 (001.50.00.00.0.000) Reimbursements 473.003 Home Delivered Meals 42,700 (42,700) 0 Other Revenue 476.003 Human Services Revenue 17,300 (6,300) 11,000 Other Revenue 476.004 Human Services Youth Activ. 3,000 (3,000) 0 (001.50.54.00.0.000) Other Revenue 479.004 Community Connection Center 16,400 (14,900) 1,500 (001.60.00.00.0.000) Intergovernmental Revenue 418.001 Body Armor Grant 9,800 0 9,800 Fines & Forfeits 453.001 Circuit Court Fines 275,000 (60,000) 215,000 Fines & Forfeits 453.006 False Alarm Fees 10,000 (4,000) 6,000 Fines & Forfeits 453.007 Parental Responsibility 1,000 1,500 2,500 Reimbursements 473.002 HS Youth Officer 79,500 2,500 82,000 Reimbursements 473.007 Police Training 20,000 (15,000) 5,000 (001.60.61.00.0.000) Charges for Service 444.001 Special Detail Revenue 1,000 29,000 30,000 (001.70.00.00.0.000) Charges for Service 449.001 Ambulance Transport Fee 750,000 (25,000) 725,000 Reimbursements 473.001 Fire Training 6,000 5,000 11,000 Other Revenue 476.002 Training Revenue 25,000 (19,000) 6,000 (001.80.00.00.0.000) 0 Other Revenue 477.006 Public Works Donations 1,600 1,900 3,500 23,258,000 494,100 23,752,100 All other General Fund accounts 17,342,430 0 17,342,430 Total General Fund 40,600,430 494,100 41,094,530 Debt Service Fund (002.00.00.00.2.605) Other Financing Sources 487.001 Transfer In 0 9,500 9,500 (002.00.00.00.2.606) Other Financing Sources 487.001 Transfer In 0 70,700 70,700 0 80,200 80,200 All other Debt Service Fund accounts 2,485,758 0 2,485,758 Total Debt Service Fund 2,485,758 80,200 2,565,958 2 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Revenues Fund /Program /Classification Account # Account Description Capital Improvement Fund (020) Intergovernmental 418.008 EECBG Grant Investment Income 456.001 Interest Income Other Revenue 477.001 Developer Donations All other Capital Improvement Fund accounts Total Capital Improvement Fund Downtown Redevelopment Fund (022) Property Taxes 400.002 Property Taxes - Prior Investment Income 456.001 Interest Income All other Downtown Redevelopment Fund accounts Total Downtown Redevelopment Fund Street Improvement Construction Fund (023) Intergovernmental 402.006 Other Revenue 479.005 All other Street Improvement Construction Fund accounts Total Street Improvement Construction Fund Flood Control Construction Fund (024) Charges for Service 449.006 All other Flood Control Construction Fund accounts Total Flood Control Construction Fund Motor Fuel Tax Fund (041) Intergovernmental Revenues Reimbursements All other Motor Fuel Tax Fund accounts Total Motor Fuel Tax Fund Asset Seizure Fund (043.60.61.00.0.000) Fines & Forfeits All other Asset Seizure Fund accounts Total Asset Seizure Fund Original 192,500 Amended Revenue Increase Revenue Estimate (Decrease) Estimate 13,200 0 13,200 100,000 200,000 300,000 5,000 (5,000) 0 5,000 20,000 25,000 110,000 215,000 325,000 1,011,000 0 1,011,000 1,121,000 215,000 1,336,000 0 250,000 250,000 2,500 (2,500) 0 2,500 247,500 250,000 2,665,000 0 2,665,000 2,667,500 247,500 2,915,000 Municipal Motor Fuel Tax 260,000 25,000 285,000 Miscellaneous Income 0 5,000 5,000 260,000 30,000 290,000 1,112,000 0 1,112,000 1,372,000 30,000 1,402,000 Storm water Detention Fee 50,000 (40,000) 10,000 50,000 (40,000) 10,000 486,079 0 486,079 536,079 (40,000) 495,079 415.003 State Motor Fuel Tax 1,432,500 192,500 1,625,000 473.004 MFT Project Reimbursements 40,000 (35,000) 5,000 1,472,500 157,500 1,630,000 13,200 0 13,200 1,485,700 157,500 1,643,200 453.013 Seized Assets 1,000 4,000 5,000 1,000 4,000 5,000 2,500 0 2,500 3,500 4,000 7.500 3 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Revenues Fund /Program /Classification DUI Fine Fund (045.60.61.00.0.000) Fines & Forfeits Account # Account Descri Original Amended Revenue Increase Revenue Estimate (Decrease) Estimate All other DUI Fine Fund accounts Total DUI Fine Fund Foreign Fire Tax Board Fund (046) Other Taxes 453.005 DUI Fines 402.004 Foreign Fire Insurance Tax 1,000 11,500 12,500 1,000 11,500 12,500 500 0 500 1,500 11,500 13,000 44,000 21,000 65,000 44,000 21,000 65,000 500 0 500 44,500 21,000 65,500 All other Foreign Fire Tax Board Fund accounts Total Foreign Fire Tax Board Fund Business District Fund (048.00.00.00.0.775) Other Taxes 402.008 Movie Theatre Tax All other Business District Fund accounts Total Business District Tax Fund Water and Sewer Fund (050) Other Revenue (050.80.84.87.0.000) Charges for Service All other Water and Sewer Fund accounts Total Water and Sewer Fund Village Parking System Fund (051) Charges for Service All other Village Parking System Fund account Total Village Parking System Fund Vehicle Replacement Fund (061) Investment Income Other Financing Sources All other Vehicle Replacement Fund accounts Total Vehicle Replacement Fund 0 75,000 75,000 0 75,000 75,000 0 0 0 0 75,000 75,000 479.005 Miscellaneous Income 20,000 15,000 35,000 446.005 Water Tap Fees 10,000 5,000 15,000 30,000 20,000 50,000 10,828,000 0 10,828,000 10,858,000 20,000 10,878,000 448.001 Parking Fees - Maple Street 95,000 5,000 100,000 95,000 5,000 100,000 s 55,800 0 55,800 150,800 5,000 155,800 456.001 Interest Income 10,000 (6,000) 4,000 493.001 Gain /Loss on Sale of Assets 50,000 28,000 78,000 60,000 22,000 82,000 723,600 0 723,600 783,600 22,000 805,600 4 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Revenues Fund /Program /Classification Computer Replacement Fund (062) Investment Income Account # Original 7,800 Amended Revenue Increase Revenue Account Description Estimate (Decrease) Estimate 6,543,724 77800 Interest Income 5,000 (4,500) 500 5,000 (4,500) 500 231,921 0 231,921 236,921 (4,500) 232,421 456.001 All other Computer Replacement Fund accounts Total Computer Replacement Fund Risk Management Fund (063) Charges for Service All other Risk Management Fund accounts Total Risk Management Fund Total Estimated Revenues Funds being changed All other Village Budget accounts Total Estimated Revenues After Changes 441.010 Life Department Charges 18,200 7,800 26,000 18,200 7,800 26,000 6,525,524 0 6,525,524 6,543,724 77800 6,551,524 68,891,012 1,346,100 70,237,112 17,610,453 0 17,610,453 86,501,465 1,346,100 87,847,565 5 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Expenditures n . Current Amended Budget Increase Budget Fund /Program /Classification Account # Account Description Amount (Decrease) Amount General Fund (001.10.11.00.0.001) Community Groups Contractual Services 579.001 Celestial Celebrations 36,000 (4,000) 32,000 Contractual Services 579.002 Do- it- yourself Sousa - 1,000 1,000 Contractual Services 579.004 Family Bike Ride 2,500 2,500 Contractual Services 579.004 Special Events Expenses 500 500 (001.10.11.00.8.400) Civic Events Personal Services 500.001 Full -Time Earnings - 80,000 80,000 Personal Services 501001 Overtime 94,169 (52,169) 42,000 Employee Benefits 510.001 Medical Insurance - 5,000 5,000 Employee Benefits 511.001 Social Security 598 4,402 5,000 Other Employee Costs 513.001 Sick Leave Incentive - 500 500 Other Employee Costs 513.002 Vac /Personal Leave Incentive 1,100 1,100 Other Employee Costs 513.005 Insurance Opt Out - 100 100 (001.20.21.00.0.000) Village Manager's Office Employee Benefits 513.002 Vac /Personal Leave Incentive 8,500 2,000 10,500 (001.20.21.00.0.050) Legal Services Contractual Services 530.006 Other Professional Services 1,500 1,500 3,000 Contractual Services 531.002 Legal - Special Counsel 30,000 4,000 34,000 (001.20.22.00.0.000) Village Clerk's Office Personal Services 502.001 Seasonal Earnings - 5,000 5,000 Employee Benefits 513.002 Vacation /Personal Leave Incentive 3,000 1,750 4,750 Contractual Services Recording Expense 3,185 1,315 4,500 Contractual Services 551.001 Copier Lease Payment 7,700 4,300 12,000 (001.20.23.00.0.000) Human Resources Personal Services 502.001 Seasonal Earnings - 12,000 12,000 Contractual Services 520.001 Medical Examinations 2,500 1,500 4,000 Contractual Services 546.002 Personnel Recruitment 3,200 3,500 6,700 (001.20.24.00.0.000) Information Technology Employee Benefits 513.001 Sick Leave Incentive - 3,750 3,750 Employee Benefits 513.002 Vacation /Personal Leave Incentive 2,500 1,500 4,000 (001.20.26.00.0.000) Television Services Personal Services 503.001 Overtime 3,243 1,257 4,500 Employee Benefits 513.002 Vacation /Personal Leave Incentive 1,500 3,500 5,000 (001.30.01.00.0.000) Finance Administration Employee Benefits 513.002 Vacation /Personal Leave Incentive - 17,500 17,500 Contractual Services 530.006 Other Professional Services 14,650 9,350 24,000 Insurance 596.001 Liability Premiums 226,077 (18,500) 207,577 (001.30.01.00.0.100) Insurance Programs Employee Benefits 510.001 Medical Insurance 18,200 6,800 25,000 (001.30.31.00.0.100) Accounting Employee Benefits 510.001 Medical Insurance 46,986 5,014 52,000 (001.30.32.00.0.000) Finance Customer Service Employee Benefits 513.002 Vacation /Personal Leave Incentive - 1,000 1,000 (001.40.01.00.0.000) Community Development Administration Employee Benefits 510.001 Medical Insurance 11,175 5,825 17,000 (001.40.01.00.0.150) Community Development Economic Development Employee Benefits 510.001 Medical Insurance 3,725 2,275 6,000 (001.40.42.00.0.000) Community Development Building Contractual Services 560.001 Technical Services 173,442 60,000 233,442 (001.40.43.41.0.000) Community Development Housing Inspections Employee Benefits 510.001 Medical Insurance 70,177 9,823 80,000 Contractual Services 530.006 Other Professional Services 10,706 4,100 14,806 n . VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Expenditures 7 Current Amended Budget Increase Budget Fund /Program /Classification Account # Account Description Amount (Decrease) Amount General Fund (cont.) (001.50.01.00.0.000) Human Services Administration Personal Services 502.001 Seasonal Earnings 1,500 1,500 Employee Benefits 513.001 Sick Leave Incentive - 10,500 10,500 (001.50.51.00.0.000) Human Services Social Services Employee Benefits 510.001 Medical Insurance 34,679 3,321 38,000 Employee Benefits 513.002 Vacation /Personal Leave Incentive - 1,800 1,800 (001.50.52.00.0.000) Human Services Nursing /Health Employee Benefits 510.001 Medical Insurance 17,676 7,324 25,000 Contractual Services 573.001 Home Delivered Meals 40,000 (40,000) - Contractual Services 573.002 Mileage Reimbursement 2,700 (2,700) - (001.50.53.00.0.000) Human Services Senior Activities Contractual Services 573.005 Senior Taxi Program 5,000 (4,900) 100 (001.50.54.00.0.000) Human Services Community Connection Center Building Improvements 651.001 Other Public Buildings - 1,200 1,200 (001.60.01.00.0.000) Police Administration Personal Services 500.001 Full -Time Earnings 979,519 (175,000) 804,519 Personal Services 503.001 Overtime 5,084 1,916 7,000 Employee Benefits 512.002 Pension Contributions 2,472,000 81,000 2,553,000 (001.60.01.62.0.000) Police Technical Services Personal Services 500.001 Full Time Earnings - 92,000 92,000 Personal Services 503.001 Overtime 1,000 1,000 Personal Services 504.001 Specialty Pay 1,500 1,500 Personal Services 505.001 Holiday pay 3,000 3,000 Personal Services 506.001 Longevity Pay 600 600 Employee Benefits 510.001 Medical Insurance 20,000 20,000 Employee Benefits 511.001 Social Security 2,000 2,000 Employee Benefits 511.002 Medicare 1,500 1,500 Employee Benefits 512.001 IMRF Pension Expense 4,000 4,000 Employee Benefits 513.002 Vacation /Personal Leave Incentive 5,500 5,500 (001.60.01.63.0.000) Police Auxiliary Services Personal Services 500.001 Full Time Earnings 50,000 50,000 Personal Services 503.001 Overtime 1,000 1,000 Personal Services 504.001 Specialty Pay 3,000 3,000 Personal Services 505.001 Holiday pay 2,000 2,000 Personal Services 506.001 Longevity Pay 700 700 Employee Benefits 510.001 Medical Insurance 11,000 11,000 Employee Benefits 511.001 Social Security 1,000 1,000 Employee Benefits 511.002 Medicare 1,500 1,500 (001.60.61.64.0.000) Police Crime Prevention Contractual Services 551.001 Copier Lease Payment - 7,000 7,000 (001.60.61.65.0.000) Police Crime Patrol & Traffic Personal Services 500.001 Full Time Earnings 5,827,623 (227,623) 5,600,000 Personal Services 503.001 Overtime 365,396 (175,000) 190,396 Personal Services 504.001 Specialty Pay 167,178 22,822 190,000 Employee Benefits 510.001 Medical Insurance 1,041,192 (100,000) 941,192 Employee Benefits 513.001 Sick Leave Incentive 25,000 6,000 31,000 Employee Benefits 513.002 Vacation /Personal Leave Incentive - 28,500 28,500 (001.60.61.66.0.000) Police Investigative Personal Services 500.001 Full Time Earnings 927,848 327,152 1,255,000 Personal Services 504.001 Specialty Pay 29,681 16,319 46,000 Personal Services 505.001 Holiday pay 34,066 7,934 42,000 Employee Benefits 510.001 Medical Insurance 159,051 20,949 180,000 Employee Benefits 511.001 Social Security 14,034 5,966 20,000 Employee Benefits 513.001 Sick Leave Incentive - 4,700 4,700 Employee Benefits 513.002 Vacation /Personal Leave Incentive 7,410 3,090 10,500 Contractual Services 530.006 Other Professional Services 3,000 2,000 5,000 Contractual Services 551.001 Copier Lease Payment 2,100 2,400 4,500 7 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Expenditures Current Amended Budget Increase Budget Fund /Program /Classification Account # Account Description Amount (Decrease) Amount (001.70.01.00.0.000) Fire Administration Employee Benefits 510.001 Medical Insurance 63,191 9,809 73,000 Employee Benefits 512.003 Pension Contributions 2,145,001 67,400 2,212,401 Employee Benefits 513.001 Sick Leave Incentive 20,000 14,000 34,000 Employee Benefits 513.002 Vacation /Personal Leave Incentive 5,000 10,000 15,000 Contractual Services 551.001 Copier Lease Payment 4,400 6,600 11,000 (001.70.71.00.0.000) Fire Operations Personal Services 504.001 Specialty Pay 8,701 21,299 30,000 Employee Benefits 510.001 Medical Insurance 788,931 46,069 835,000 (001.70.71.00.0.302) Fire Operations - Paid On Call Personal Services 502.001 Seasonal Earnings 24,805 (13,805) 11,000 Personal Services 503.001 Overtime - 8,000 8,000 (001.80.81.00.0.350) Public Works Streets Personal Services 500.001 Full Time Earnings 59,545 20,455 80,000 Personal Services 502.001 Seasonal Earnings 5,001 4,999 10,000 Personal Services 503.001 Overtime 44,525 (14,525) 30,000 Employee Benefits 513.002 Vacation /Personal Leave Incentive - 1,200 1,200 (001.80.81.00.0.351) Public Works State Highway Maintenance Personal Services 503.001 Overtime 3,900 2,100 6,000 (001.80.81.00.0.352) Public Works Traffic Sign Maintenance Personal Services 500.001 Full Time Earnings 67,817 (16,817) 51,000 Personal Services 503.001 Overtime 11,213 18,787 30,000 Employee Benefits 513.001 Sick Leave Incentive - 1,200 1,200 Employee Benefits 513.002 Vacation /Personal Leave Incentive - 2,300 2,300 (001.80.81.00.0.354) Public Works Snow Removal Personal Services 500.001 Full Time Earnings 103,051 126,949 230,000 Personal Services 503.001 Overtime 321,094 (269,094) 52,000 Employee Benefits 510.001 Medical Insurance 9,410 11,590 21,000 Employee Benefits 511.001 Social Security 7,808 10,192 18,000 Employee Benefits 513.001 Sick Leave Incentive - 700 700 Employee Benefits 513.002 Vacation /Personal Leave Incentive - 2,600 2,600 (001.80.81.82.0.000) Public Works Buildings Personal Services 500.001 Full Time Earnings 332,412 (35,412) 297,000 Personal Services 503.001 Overtime 40,219 30,781 71,000 Employee Benefits 510.001 Medical Insurance 47,577 7,423 55,000 Employee Benefits 513.001 Sick Leave Incentive - 700 700 Employee Benefits 513.002 Vacation /Personal Leave Incentive 1,400 1,400 Other Employee Costs 513.005 Insurance Opt Out - 900 900 (001.80.82.83.0.000) Public Works Forestry Personal Services 500.001 Full Time Earnings 273,917 (28,917) 245,000 Personal Services 503.001 Overtime 29,900 26,100 56,000 Employee Benefits 510.001 Medical Insurance 43,725 6,275 50,000 Employee Benefits 513.001 Sick Leave Incentive - 1,100 1,100 Employee Benefits 513.002 Vacation /Personal Leave Incentive - 1,000 1,000 Contractual Services 576.006 Tree Removal 97,005 40,000 137,005 Contractual Services 576.007 Stump Removal 76,981 20,000 96,981 (001.80.82.84.0.000) Public Works Grounds Personal Services 500.001 Full Time Earnings 216,875 (11,875) 205,000 Personal Services 502.001 Seasonal Earnings 24,999 25,001 50,000 Personal Services 503.001 Overtime 20,557 21,443 42,000 (001.80.82.84.0.356) Public Works Public Grounds Beautification Personal Services 500.001 Full Time Earnings 24,332 4,668 29,000 Personal Services 503.001 Overtime 1,057 7,943 9,000 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Expenditures Fund /Program /Classification Account # Account Description Current 502.001 Amended Budget Increase Budget Amount (Decrease) Amount Employee Benefits 513.001 Sick Leave Incentive 18,796 6,204 25,000 10,001 2,999 13,000 65,823 12,177 78,000 5,500 600 6,100 8,500 4,000 12,500 103,710 1,290 105,000 - 9,000 9,000 13,950 (1,000) 12,950 - 7,200 7,200 Other Supplies 20 20 Personal Services 100 100 Employee Benefits 100 100 Commodities & Supplies 7,200 7,200 (001.89.89.00.8.800) 2011 June Storm Event Public Works 40 40 Seasonal Earnings 1,500 1,500 Overtime 3,900 3,900 Social Security 100,000 100,000 Medicare 6,600 6,600 IMRF Pension Expense 1,600 1,600 Equipment Rental 10,600 10,600 Landscape & Fence Maintenance 20,100 20,100 Other Services 600 600 Tree Removal 260,000 260,000 Stump Removal 72,000 72,000 Tree Trimming 55,000 55,000 Other Supplies 30,000 30,000 - 600 600 18,082,199 1,031,430 19,113,629 22,862,348 - 22,862,348 40,944,547 1,031,430 41,975,977 363,508 (103,508) 260,000 - 65,000 65,000 - 44,067 44,067 363,508 5,559 369,067 2,053,040 - 2,053,040 2,416,548 5,559 2,422,107 (001.80.83.00.0.000) Public Works Engineering Personal Services 502.001 Seasonal Earnings Personal Services 503.001 Overtime Employee Benefits 510.001 Medical Insurance Employee Benefits 513.001 Sick Leave Incentive Employee Benefits 513.002 Vacation /Personal Leave Incentive (001.80.83.86.0.357) Public Works Traffic control & Street Lighting Personal Services 500.001 Full Time Earnings Personal Services 503.001 Overtime Employee Benefits 510.001 Medical Insurance (001.89.69.00.8.800) 2011 June Storm Event Police Personal Services 503.001 Overtime Employee Benefits 511.001 Social Security Employee Benefits 511.002 Medicare Commodities & Supplies 608.001 Other Supplies (001.89.79.00.8.800) 2011 June Storm Event Fire Personal Services 503.001 Overtime Employee Benefits 511.002 Medicare Commodities & Supplies 608.001 Other Supplies (001.89.89.00.8.800) 2011 June Storm Event Public Works Personal Services 502.001 Seasonal Earnings Personal Services 503.001 Overtime Employee Benefits 511.001 Social Security Employee Benefits 511.002 Medicare Employee Benefits 512.001 IMRF Pension Expense Contractual Services 547.001 Equipment Rental Contractual Services 574.012 Landscape & Fence Maintenance Contractual Services 574.020 Other Services Contractual Services 576.006 Tree Removal Contractual Services 576.007 Stump Removal Contractual Services 576.011 Tree Trimming Commodities & Supplies 608.001 Other Supplies All other General Fund accounts Total General Fund Debt Service (002.00.00.00.2.509) Interest Expense 690.007 Series 2003 Bond Interest (002.00.00.00.2.514) Bond Principal 685.027 Series 2011 B Bond Principal Interest Expense 690.027 Series 2011 B Bond Interest All other Debt Service Fund accounts Total Debt Service Fund 9 VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Expenditures Fund /Program /Classification Account # Account Description Capital Improvement Fund Increase Budget (020.20.21.00.1.000) (Decrease) Amount Contractual Services 530.018 EECBG Grant Sustainability (020.70.90.00.0.709) 23,000 23,000 Contractual Services 545.006 EECBG - FS 14 Signage (020.80.90.00.0.705) 52,000 52,000 Contractual Services 676.006 DCEO Grant - LED Streetlights All other Capital Improvement Fund accounts Total Capital Improvement Fund Downtown Redevelopment Construction (022.30.01.00.1.000) Contractual Services 564.001 Other Expenditures 636.011 Other Expenditures 637.001 All other Downtown Redevelopment Fund accounts Total Downtown Redevelopment Fund Motor Fuel Tax Fund (041.80.81.81.0.350) Street Maintenance Commodities & Supplies 624.009 All other Motor Fuel Tax Fund accounts Total Motor Fuel Tax Fund Community Development Block Grant (042.40.41.00.0.154) Other Expenditures 636.012 All other Community Development Block Grant Fund accounts Total Community Development Block Grant Fund Asset Seizure (04 3.6 0.61.6 6.0. Other Equipment All other Asset Seizure Fund accounts Total Asset Seizure Fund DEA Shared Funds (044.60.61.00.0.000) Building Improvements (044.60.61.65.0.000) Other Equipment All other DEA Shared Funds Fund accounts Total DEA Shared Funds Fund Current 10,000 Amended Budget Increase Budget Amount (Decrease) Amount 2,447,155 7,000 7,000 23,000 23,000 3,823,398 22,000 22,000 - 52,000 52,000 1,863,440 - 1,863,440 1,863,440 52,000 1,915,440 Legal & Financing Costs 10,000 60,000 70,000 Property Tax Expense - 15,400 15,400 Return of Increment 2,447,155 1,290,843 3,737,998 2,457,155 1,366,243 3,823,398 499,636 - 499,636 2,956,791 1,366,243 4,323,034 Salt /Calcium Chloride 200,000 75,000 275,000 200,000 75,000 275,000 946,302 - 946,302 1,146,302 75,000 1,221,302 Single Family Rehab 180,000 86,570 266,570 180,000 86,570 266,570 275,219 275,219 455,219 86,570 541,789 Other Equipment 1,000 10,000 11,000 1,000 10,000 11,000 2,500 - 2,500 3,500 10,000 13,500 FS 13 Safety Glass - 5,500 5,500 Other Equipment 1,000 5,100 6,100 1,000 10,600 11,600 1,000 - 1,000 2,000 10,600 12,600 665.031 647.01 665.031 10 M VILLAGE OF MOUNT PROSPECT Budget Amendment No. 2 Fiscal Year January 1, 2011 through December 31, 2011 Expenditures Current Amended Budget Increase Budget Fund /Program /Classification Account # Account Description Amount (Decrease) Amount DUI Fine Fund (045.60.61.65.0.000) Other Equipment 665.031 Other Equipment 1,500 18,000 19,500 1,500 18,000 19,500 All other DUI Fine Fund accounts - - - Total DUI Fine Fund 1,500 18,000 19,500 Water and Sewer (050.80.84.88.0.377) Water System Improvements Contractual Services 571.001 Sewer Repair /Replacement 65,800 11,200 77,000 (050.80.90.00.0.707) Water System Improvements Contractual Services 671.001 Tank Reap ir /Renovation 1,032,500 81,000 1,113,500 1,098,300 92,200 1,190,500 All other Water and Sewer Fund accounts 12,077,872 - 12,077,872 Total Water and Sewer Fund 13,176,172 92,200 13,268,372 Risk Management (063.00.00.00.4.000) Insurance 600.004 Unemployment Claims 10,000 90,000 100,000 10,000 90,000 100,000 All other Risk Management Fund accounts 6,788,843 - 6,788,843 Total Risk Management Fund 6,798,843 90,000 6,888,843 Police Pension (070.00.00.00.3.000) Pension Benefits 528.002 Disability Pensions 373,872 35,000 408,872 Pension Benefits 528.003 Surviving Spouse Pensions 270,797 41,500 312,297 644,669 76,500 721,169 All other Police Pension Fund accounts 2,932,441 - 2,932,441 Total Police Pension Fund 3,577,110 76,500 3,653,610 Fire Pension (071.00.00.00.3.000) Pension Benefits 528.001 Retirement Pensions 2,259,482 210,000 2,469,482 Pension Benefits 528.003 Surviving Spouse Pensions 201,912 9,000 210,912 2,461,394 219,000 2,680,394 All other Fire Pension Fund accounts 807,679 - 807,679 Total Fire Pension Fund 3,269,073 219,000 3,488,073 Total Village Budget Funds being changed 76,611,045 3,133,102 79,744,147 All other Village Budget Accounts 10,850,098 - 10,850,098 Total Village Budget after Changes 87,461,143 3,133,102 90,594,245 M