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File #: 1063-2008    Version: 1
Type: Ordinance Status: Passed
File created: 6/16/2008 In control: Utilities Committee
On agenda: 7/14/2008 Final action: 7/17/2008
Title: To amend the 2008 Capital Improvements Budget; to authorize the City Auditor to transfer and expend funds within the Voted Street Lighting and Electricity Distribution Improvements Fund; and to authorize the City Auditor to allow the Division of Power and Water's capital bond fund to reimburse the operating fund; in the amount of $155,519.00; for labor and equipment costs incurred in the installation of various street lighting projects. ($155,519.00)
Date Ver.Action ByActionResultAction DetailsMeeting Details
7/17/20081 CITY CLERK Attest  Action details Meeting details
7/15/20081 MAYOR Signed  Action details Meeting details
7/14/20081 Columbus City Council ApprovedPass Action details Meeting details
7/14/20081 COUNCIL PRESIDENT Signed  Action details Meeting details
7/7/20081 Columbus City Council Read for the First Time  Action details Meeting details
6/27/20081 CITY AUDITOR Reviewed and Approved  Action details Meeting details
6/27/20081 Utilities Drafter Sent for Approval  Action details Meeting details
6/27/20081 CITY ATTORNEY Reviewed and Approved  Action details Meeting details
6/27/20081 Utilities Drafter Sent to Clerk's Office for Council  Action details Meeting details
6/26/20081 FINANCE DIRECTOR Reviewed and Approved  Action details Meeting details
6/26/20081 Utilities Drafter Sent for Approval  Action details Meeting details
6/26/20081 Auditor Reviewer Reviewed and Approved  Action details Meeting details
6/24/20081 Finance Reviewer Reviewed and Approved  Action details Meeting details
6/24/20081 Finance Reviewer Reviewed and Approved  Action details Meeting details
6/23/20081 Utilities Reviewer Sent for Approval  Action details Meeting details
6/23/20081 UTILITIES DIRECTOR Reviewed and Approved  Action details Meeting details
6/23/20081 Utilities Drafter Sent for Approval  Action details Meeting details
6/20/20081 Utilities Reviewer Reviewed and Approved  Action details Meeting details
6/20/20081 Utilities Drafter Sent for Approval  Action details Meeting details
6/20/20081 Utilities Reviewer Reviewed and Approved  Action details Meeting details
6/20/20081 Utilities Drafter Sent for Approval  Action details Meeting details
6/18/20081 Utilities Reviewer Reviewed and Approved  Action details Meeting details
Explanation
 
BACKGROUND:  This legislation authorizes the City Auditor to allow the Division of Power and Water's (Power) capital bonds fund to reimburse the operating fund, for labor and equipment costs incurred in the installation of various street lighting projects from January 8, 2008 through June 9, 2008.  
 
FISCAL IMPACT:  A transfer of funds within the Voted Street Lighting and Electricity Distribution Improvements Fund is necessary, as well as an amendment to the 2008 Capital Improvements Budget.
 
 
Title
 
To amend the 2008 Capital Improvements Budget; to authorize the City Auditor to transfer and expend funds within the Voted Street Lighting and Electricity Distribution Improvements Fund; and to authorize the City Auditor to allow the Division of Power and Water's capital bond fund to reimburse the operating fund; in the amount of $155,519.00; for labor and equipment costs incurred in the installation of various street lighting projects. ($155,519.00)
 
 
Body
 
WHEREAS, it is necessary to reimburse the Division of Power and Water (Power) for labor and equipment incurred in the installation of various street lighting projects;
 
WHEREAS, the costs from the operating fund are reimbursed through the capital bonds fund; and
 
WHEREAS, it is necessary for this Council to authorize the City Auditor to transfer funds within the Voted Street Lighting and Electricity Distribution Improvements Fund; and
 
WHEREAS, it is necessary to authorize an amendment to the 2008 Capital Improvements Budget for purposes of providing sufficient funding and spending authority for the aforementioned project expenditures; and
 
WHEREAS, it has become necessary in the usual daily operation of the Department of Public Utilities, Division of Power and Water, to authorize the City Auditor to allow the Division of Power and Water's (Power) capital bonds fund to reimburse the operating fund for labor and equipment costs incurred in the installation of various street lighting projects, for the preservation of the public health, peace, property, safety and welfare; now, therefore,
 
BE IT ORDAINED BY THE COUNCIL OF THE CITY OF COLUMBUS:
 
SECTION 1.  That the City Auditor is hereby authorized and directed to transfer $2,163.08 within the Voted Street Lighting and Electricity Distribution Improvement Fund, Fund No. 553, Object Level Three 6625, Division of Power and Water, Division 60-07, as follows:
 
Project No. | Project Name | OCA Code | change
670003 | Street Lighting | 675017 | - $2,163.08
670620 | Street Light Inspections/Betterments | 670620 | +$895.81
670777 | Walnut Bluffs SL Imp's | 553777 | +$917.68
670778 | Broad Meadows SL Imp's | 553778 | +$349.59
 
SECTION 2.  That the 2008 Capital Improvements Budget is hereby amended as follows:
 
Project No. | Project Name | Current Authority | Revised Authority | change
670003-100000| Street Lighting | $432,500 | $430,336| -$2,164
670620-100000 | Street Light Inspections/Betterments | $2,732| $3,628 | +$896
670777-100000 | Walnut Bluff SL Imp's | $150,637 | $151,555| +$918
670778-100000 | Broad Meadows SL Imp's | 553778 | $75,000| $75,350| +$350
 
SECTION 3.  That the City Auditor's Office hereby authorizes the reimbursement (expenditure) up to an amount not to exceed $155,519.00, or so much thereof as may be needed, from the Division of Power and Water's capital bonds fund to the operating fund, via internal bill, for labor and equipment costs incurred in the installation of various street lighting projects be and is hereby authorized from Division of Power and Water (Power), Division No. 60-07, Voted Street Lighting and Electricity Distribution Improvements Fund, Fund No. 553, Object Level Three 6625, and is to be disbursed as follows:
 
PROJECT       PROJECT                                                     OCA      
NUMBER       NAME                                                         CODE        AMOUNT
 
440007             UIRF                                                              440007      $     1,092.47
670003             Street Lighting Imp's                                   675017      $ 146,582.06
670620             Underground Sys. Rehab/Betterments    670620      $        895.81
670777             Walnut Bluffs Street Lighting Imp's         553777      $        917.68
670778             Broad Meadows Street Lighting Imp's     553778           $        349.59
670787             Willow Creek Street Lighting                     553787      $     5,681.39
                                                              Total      $ 155,519.00
 
SECTION 4.  That the City Auditor is hereby authorized and directed to transfer any unencumbered balance in the project account to the unallocated balance within the same fund upon receipt of certification by the Director of the Department administering said project that the project has been completed and the monies no longer required for said project; except that no transfer shall be made from a project account by monies from more than one source.
SECTION 5.  That the City Auditor is authorized to establish proper project accounting numbers as appropriate.
SECTION 6.  That the City Auditor is authorized to make any accounting changes to revise the funding source for all contracts or contract modifications associated with this Ordinance.
 
SECTION 7.  That this Ordinance shall take effect and be in force from and after the earliest period allowed by law.