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2014 <br /> Budget Adjustments <br /> Tally Sheet <br /> Department Code Rev Exp FB <br /> GGR-22 General Fund Re-approp-Landslide Repairs 002R 500,000 <br /> GGR-22 Non-Dept Gen Govt Re-approp-Landslide Repairs 009R 500,000 <br /> This re-appropriation proposes to carry forward$500,000 of contingency funds that were set aside at the <br /> end of 2012 for landslide repairs. These repairs should be completed in 2014. General government <br /> expenditures for landslides totalled$616,725 in 2012 and$511,840 in 2013. <br /> Increase beginning fund balance 002 3080000000 500,000 <br /> Increase special allocation budget 009 5000900494 500,000 <br /> E'_`- w'_�"..Ea 'V.�.. TriTI f2-: ;'. _-.,r�3.•s. .-„`.'�t`kt '`:7 -. y!'$.'7n,y 7':.-17'a. _ e.� tea ?Y,..s, _ �F` n t t'?.°., 5t'#4Yry4:.•`,fa;�,{ <br /> Department Code Rev Exp FB <br /> GGR-23 General Fund Re-approp-Contingencies-Refund/Labor 002R 1,100,000 <br /> GGR-23 Non-Dept Gen Govt Re-approp-Contingencies-Refund/Labor 009R 1,100,000 <br /> This re-appropriation proposes to carry forward$250,000 in contingency funds that were set aside at the <br /> end of 2012 for a potential tax refund related to charges for access to interstate services. The outcome of <br /> this issue is still uncertain. It also proposes to carry forward$850,000 of unspent 2013 budgeted funds for <br /> ongoing issues including labor contract settlements. <br /> Increase beginning fund balance 002 3080000000 • 1,100,000 <br /> Increase non-departmental expenditure budget 009 5>0000000a 1,100,000 <br /> .. _a'i "*r 0• ;'w �- , mak• � . � � .� � <br /> Department Code Rev Exp FB <br /> GGR-24 General Fund Re-approp-Other Contingencies 002R 130,000 <br /> GGR-24 Non-Dept Gen Govt Re-approp-Other Contingencies 009R 130,000 <br /> This re-appropriation requests to carry forward$130,000 of unspent 2013 funds to 2014 for potential <br /> projects including the comprehensive plan update,website development, and outside consultants for the <br /> budget restructure effort. <br /> Increase beginning fund balance 002 3080000000 130,000 <br /> Increase professional services budget 009 5m000000a 130,000 <br /> ATTACHMENT A <br /> Tally 2014 3/18/2014 <br />