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File #: 2775-2021    Version: 1
Type: Ordinance Status: Passed
File created: 10/20/2021 In control: Finance Committee
On agenda: 11/22/2021 Final action: 11/24/2021
Title: To authorize and direct the City Auditor to provide for the transfer of $19,038,000.00 within the general fund; to authorize the transfer of cash in the amount of $771,000.00 from the general fund to the property management fund; to transfer appropriations between objects in certain non-general fund departments and divisions; to authorize and direct the City Auditor to appropriate additional funds in the recreation and parks operating fund, the development services fund, and the property management fund; and to declare an emergency ($19,038,000.00).
Attachments: 1. 2021 3rd qtr trx.pdf

Explanation

BACKGROUND AND FISCAL IMPACT:

 

As part of the 2021 third quarter financial review, the Department of Finance and Management identified surpluses and deficits in various object classes in several divisions.  In order to properly align appropriations with projected expenditures and allow divisions to operate without interruption through the end of 2021, it is necessary to transfer $19,038,000.00 among divisions within the general fund, to transfer $771,000 in cash from the general fund to the property management fund, and to authorize a supplemental appropriation in the property management fund.

 

Object class surpluses and deficits were projected as part of the third quarter financial review.  This ordinance makes transfers to reflect these projections.   The amounts may not mirror the third quarter review exactly due to transfers that have occurred in the interim as well as adjustments made in projections since the completion of the review.

 

This ordinance also authorizes appropriation transfers and additional appropriations for certain non-general fund departments and divisions in order to provide appropriations in the necessary object classes for the remainder of the fiscal year.

 

Lastly, additional appropriation is necessary from the collection of all fines, fees, and from other sources of revenue in the recreation and parks operating fund and the development services fund, to properly align appropriations with projected expenditures.

 

EMERGENCY DESIGNATION

This ordinance is submitted as an emergency so as to allow these financial transactions to be posted in the city's accounting system as soon as possible.  Up to date financial posting promotes accurate accounting and financial management.

 

Title

To authorize and direct the City Auditor to provide for the transfer of $19,038,000.00 within the general fund; to authorize the transfer of cash in the amount of $771,000.00 from the general fund to the property management fund; to transfer appropriations between objects in certain non-general fund departments and divisions; to authorize and direct the City Auditor to appropriate additional funds in the recreation and parks operating fund, the development services fund, and the property management fund; and to declare an emergency ($19,038,000.00).

 

Body

WHEREAS, the third quarter financial review, conducted by the Department of Finance and Management, identified projected surpluses and deficits in various object classes of several general fund and non-general fund divisions; and

 

WHEREAS, it is necessary to transfer funds between objects and divisions in order to allow divisions to continue to operate through the end of 2021; and

 

WHEREAS, a transfer of cash and additional appropriations are necessary in the property management fund; and

 

WHEREAS, additional appropriations are necessary in the recreation and parks operating fund; and

 

WHEREAS, additional appropriations are necessary in the development services operating fund; and

 

WHEREAS, this ordinance is submitted as an emergency so as to allow the financial transactions to be posted in the City's accounting system as soon as possible, promoting accurate accounting and financial management; and

 

WHEREAS, an emergency exists in the usual daily operation of the City of Columbus in that it is immediately necessary to authorize the Auditor to transfer funds, and make additional appropriations for the immediate 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 $19,038,000.00 between various divisions and object classes within the general fund, fund 1000, subfund 100010 according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 2.  That the City Auditor is hereby authorized and directed to transfer cash in the amount of $771,000.00 from the general fund to the property management fund, fund 2294, subfund 229401 according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 3.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $2,000.00 within the municipal court computer fund, fund 2227, subfund 222701, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 4.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $6,200 within the health operating fund, fund 2250, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 5.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $720,000 within the street construction maintenance and repair fund, fund 2265, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 6.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $47,000 within the private construction inspection fund, fund 2241, subfund 224101, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 7.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $5,000 within the print and mail fund, fund 5517, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 8.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $1,213,000 within the information services operating fund, fund 5100, subfund 510001, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 9.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $109,000 within the construction inspection fund, fund 5518, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 10.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $117,000 within the electricity operating fund, fund 6300, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 11.  That the City Auditor is hereby authorized and directed to transfer appropriations in the amount of $1,500,000 within the water operating fund, fund 6000, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 12.  That from the monies in the recreation and parks operating fund, and from all monies estimated to come into said fund from any and all sources from now until December 31, 2021, the City Auditor is hereby authorized and directed to appropriate funds in the amount of $61,200.00 in said fund, fund 2285, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 13.  That from the monies in the development services fund, and from all monies estimated to come into said fund from any and all sources from now until December 31, 2021, the City Auditor is hereby authorized and directed to appropriate funds in the amount of $520,000.00 in said fund, fund 2240, subfund 000000, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 14.  That the City Auditor is hereby authorized and directed to appropriate funds in the amount of $88,353.00 in the property management fund, fund 2294, subfund 229401, according to the account codes in the following:

 

Attachment: 2021 3rd qtr trx.xlsx

 

SECTION 15.  That the monies appropriated in the foregoing sections shall be paid upon the order of the director of said department and that no order shall be drawn or money paid except upon voucher, the form of which shall be approved by the City Auditor. 

 

SECTION 16.  That the City Auditor is authorized to make any accounting changes to revise the financial information for all actions authorized in this ordinance.

 

SECTION 17.   That the City Auditor is authorized to increase the general fund subsidies to the Recreation and Parks' Operation and Extension Fund and Health's Special Revenue Fund, upon equal reduction to the general fund, in order to provide appropriation authority for any current obligations subject to the authorization of the Finance and Management Director.

 

SECTION 18.  That for the reasons stated in the preamble hereto, which is hereby made a part hereof, this ordinance is hereby declared to be an emergency measure and shall take effect and be in force from and after its passage and approval by the Mayor, or ten days after passage if the Mayor neither approves nor vetoes the same.