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File #: 1928-2007    Version: 1
Type: Ordinance Status: Passed
File created: 11/13/2007 In control: Recreation & Parks Committee
On agenda: 11/26/2007 Final action: 11/28/2007
Title: To authorize and direct the City Auditor to transfer $456,813.00 from the General Fund to the Recreation and Parks Operating Fund and the subsequent appropriation of $456,813.00 in the Recreation and Parks Operating Fund for $456,813.00 in conjuction with the Third Quarter Review, and to declare an emergency. ($456,813.00)
Date Ver.Action ByActionResultAction DetailsMeeting Details
11/28/20071 MAYOR Signed  Action details Meeting details
11/28/20071 CITY CLERK Attest  Action details Meeting details
11/26/20071 Columbus City Council Approved  Action details Meeting details
11/26/20071 COUNCIL PRESIDENT Signed  Action details Meeting details
11/16/20071 CITY ATTORNEY Reviewed and Approved  Action details Meeting details
11/16/20071 Rec & Parks Drafter Sent to Clerk's Office for Council  Action details Meeting details
11/15/20071 Finance Reviewer Reviewed and Approved  Action details Meeting details
11/15/20071 FINANCE DIRECTOR Reviewed and Approved  Action details Meeting details
11/15/20071 Rec & Parks Drafter Sent for Approval  Action details Meeting details
11/15/20071 Auditor Reviewer Reviewed and Approved  Action details Meeting details
11/15/20071 CITY AUDITOR Reviewed and Approved  Action details Meeting details
11/15/20071 Rec & Parks Drafter Sent for Approval  Action details Meeting details
11/14/20071 Rec & Parks Drafter Sent for Approval  Action details Meeting details
11/14/20071 Finance Reviewer Reviewed and Approved  Action details Meeting details
11/13/20071 Rec & Parks Drafter Sent for Approval  Action details Meeting details
11/13/20071 REC & PARKS DIRECTOR Reviewed and Approved  Action details Meeting details
Explanation

This ordinance transfers $456,813.00 from the General Fund to the Recreation and Parks Operating Fund to meet a deficit in the services budget. The transfer will provide funding for Water and Sewer, Electric, Adult Sports League Officials and Fleet Management charges. All of these expenses were outlined in the Third Quarter Review.


Title

To authorize and direct the City Auditor to transfer $456,813.00 from the General Fund to the Recreation and Parks Operating Fund and the subsequent appropriation of $456,813.00 in the Recreation and Parks Operating Fund for $456,813.00 in conjuction with the Third Quarter Review, and to declare an emergency. ($456,813.00)


Body

WHEREAS, funds are being transferred and appropriated from the General Fund to the Recreation and Parks Operating Fund to cover invoices for Water and Sewer, Electric, League Officials and Fleet Management; and

WHEREAS, these expenses were outlined in the Third Quarter Review; and

WHEREAS, and emergency exists in the usual daily operation of the City of Columbus in that it is immediately necessary to transfer and appropriate said funds to cover November expenditures; now, therefore

BE IT ORDAINED BY THE COUNCIL OF THE CITY OF COLUMBUS

SECTION 1. That the amount of $456,813.00 is hereby transferred from the General Fund, Fund 10, Department: 51-01, OCA: 900050, Object Level 3: 5501 to the unappropriated balance of the Recreation and Parks Operating Fund.

SECTION 2. That $456,813.00 is hereby appropriated to the Recreation and Parks Operating Fund, as follows:

Fund Type Fund Object Level 1 Object Level 3 OCA Code Amount
Recreation and 285 03 3312 510297 $ 40,000.00
Parks Operating 285 03 3314 510297 200,000.00
Fund 285 03 3346 ...

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