BAR

Report 4 Downloads 80 Views
Date: 6/13/17

To:

·•llbill

Fr:

Finance Committee Public Utilities Committee JI Shannon Jones, Interim Water Div. & Public Utilities Dept Director.AV--

RE:

Budget Adjustment Request in the Water Division Debt Service.

The Water Division is requesting approval of a Budget Adjustment/Increase in 16/17 Debt Serw~ iD.A1Q~11 amount~ Rf'11~~1,,567,788. This is a correction to the Water Debt Service for refunding 1n late FY 15/16. These corrections were missed early in FY 16117 due to the unexpected vacancy in the debt management position in Finance.

Requested Action: Staff is requesting your approval of the Budget Adjustment and forwarding to City Council for approval.

2

....,, I ' - " " - - •

Log # {Finance use 2!:Jb:) : Batch # {Finance use QJ1J:t) :

City of Santa Fe, New Mexico BUDGET AMENDMENT RESOLUTION (BAR) DEPARTMENT I DIVISION NAME Public Utilities I Water BUSINESS UNIT

ITEM DESCRIPTION

DATE

06/14/2017

SUBSIDIARY SUBLEDGER {.000000} {0000}

LINE ITEM

EXPENDITURES Water Oos • Debt Svc Principal Water Ops • Debt Svc Interest !Water Bond c.vvrvu- Debt Svc Principal !Water Bond Lvv-.rvw - Debt svc Interest !Water Bond c.vvvrv..., .- c.;ompllance Contracts ·- · Water Ops - lnterfund Transfer Out

{enter as positive #} {enter as negative #)

1.!J 52300

l~

52300

tv 52391

Q

[$' 3X> j LJt..+r,T" Dt

G [So'")

900,000

590200

1,558,355

590100

(805,000)

52391

' 590200

(3 .219.143)

~ 52391

510250

52300

700150

c~ ~

I

I

- lnterruna

590100

I

REVENUES 1vvater (jOnd Transfer In

DECREASE

INCREASE

I

.

(2.000)

~~~-

6) 51391

(4,026,143}

5391

{enter as negative #) {enter as positive #)

600150

4.026,143

5300

~

Wt..w B ,1\ J

1,.. ) 0

1

A- /B

JUSTIFICATION: (use additional page 11 needed}

$

-Attach supporting documentation/memo

Corrections to Water Debt Service for refunding in late FY 15/16; these corrections were missed earlier in the year due to the unexoJbed J ab n<J, ;n the debt

ma~~~ement position

2.458.355

5300

..

!fll'AL: L]_ Andy Hopklins Prepared By {print name}

06/14(2017

~r.a"{··r ~l. 1Ac.-

Department Directo1

CITY COUNCIL APPROVAL C1ty

I

Date

cOunat

,,

ApptovBI Date

I~

t.

~~-11 Date

!!"~.

tity Council agenda items ONLY)

Date

(\

/:]///

{Ufe this form for Finance Committee/

Agenda Item • :

I

ji

I

'

I

B~fficer

I I

(4.026.1431

{Complete section below if BAR results in a net change to ANY Fund}

Fund{s} Affected:

II

$

Fund Bal. Increase/ (Decrease):

1.567.788

1,567,788

O~/ts;/t7 1

Date

Finance Director{,; $5.000}

Dale

City Manager { s $50,000}

Date

3