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HomeMy WebLinkAbout1822-90 - ADMIN Ordinance - City Council - 1990/02/201 go ORDINANCE NO. 1822-90 ORDINANCE AUTHORIZING THE TRANSFER OF FUNDS AND PROVIDING APPROPRIATION FOR SALARY ADJUSTMENT FOR NON-UNION EMPLOYEES, INTERNATIONAL ASSOCIATION OF FIREFIGHTERS LOCAL 993 CONTRACT AND INTERNATIONAL UNION OF OPERATING ENGINEERS LOCAL NO. 49 CONTRACT SETTLEMENT FOR YEAR ENDING DECEMBER 31, 1990 The City of St. Louis Park does ordain: Section 1. That the sum of $221,706 be transferred from the Salary Adjustment Appropriation of the General Fund, Account No. 01-4110-760-33, to the following accounts in the General Fund to -provide appropriations for salary adjustments for fiscal year 1990: 01-4110-01 01-4110-02 01-4110-19 01-4110-20 01-4110-03 01-4110-11 01-4110-04 01-4112-04 01-4110-05 01-4110-07 01-4110-08 01-4110-13 01-4110-14 01-4110-15 01-4110-21 01-4110-22 01-4110-23 01-4110-24 01-4587-35 Legislative Administrative Public Information Personnel/Labor Relations City Clerk/Treasurer Elections/Voter Registration Assessing Assessing Accounting & Internal Auditing City Development Central Building Maintenance Police Protection Fire Protection Inspectional Services Engineering Street Maintenance Snow/Ice Removal Lighting/Traffic Control Transfer to Recreation Center Fund Total General Fund $ 850 4,070 1,250 3,658 4,977 848 474 7,500 14,938 8,308 8,004 39,780 49,190 24,866 17,555 18,867 3,120 4,307 9,144 221,706 Section 2. That the sum of $30,650 be appropriated from the Fund Balance of the Park and Recreation Fund, Account 04-2602 to the following accounts in the Park and Recreation Fund to provide appropriations for salary adjust- ments for fiscal year 1990: 04-4110-26 04-4110-30 04-4110-31 04-4110-36 Forestry $ 7,421 Park Maintenance 12,658 Westwood Hills EEC 2,609 Organized Recreation 7,962 Total Park & Recreation Fund 30,650 Section 3. That the sum of $1,935 be appropriated from the Fund the Civil Defense Fund, Account 02-2602, to the following account adjustments for fiscal year 1990: 02-4110-17 Civil Defense $ 1,935 Balance of for salary 1 1 Section 4. That the estimated revenue of the Recreation Center Fund, Account 87-3901 "Transfer from Other Funds" be re -estimated in the additional amount of $9,144 resulting from "transfer in Section 1 and the following sum be appropriated from the Fund Balance of the Recreation Center Fund, Account 87-2602, to the following account for salary adjustment for the fiscal year 1990: 87-4110-52 Recreation Center $ 6,894 Section 5. That the sum of $3,541 be appropriated from the Fund Balance of the Cable Television Fund, Account 05-2602, to the following account for salary adjustments for the fiscal year 1990: 05-4110-18 Community Relations $ 3,541 Section 6. That the sum of $3,389 be appropriated from the Fund Balance of the Office Services Fund, Account 77-2660, to the following account for salary adjustments for fiscal year 1990: 77-4110-68 Office Services $ 3,389 Section 7. That the sum of $12,565 be appropriated from the Fund Balance of the Municipal Service Center Fund, Account 75-2660, to the following account for salary adjustment for fiscal year 1990: 75-4110-67 Equipment Maintenance Shop $ 12,565 Section 8. That the sum of $2,750 be appropriated from the Fund Balance of Computer Services Fund, Account 76-2660, to the following account for salary adjustments for the fiscal year 1990: 76-4110-66 Management Information Service $ 2,750 Section 9. That the sum of $11,605 be appropriated from the Emergency Appropriation Account 81-4898-41 of the Water Utility Fund, to the following accounts for salary adjustments for fiscal year 1990: 81-4110-41 81-4110-42 81-4110-43 Administration and General Source of Supply Distribution Total Water Utility Fund $ 4,180 2,163 5,262 11,605 Section 10. That the sum of $15,500 be appropriated from the Emergency Appropriation Account 83-4898-46, and that the sum of $2,636 be appropriated from the Fund Balance of the Sewer Utility Fund Account 83-2660, to the following account for salary adjustment for fiscal year 1990: 83-4110-46 83-4110-32 83-4110-47 Administration and General Storm Sewer Maintenance Collection Total Sewer Utility Fund $ 4,180 1,060 12,896 18,136 F 6 Section 11. That the sum of $618 be appropriated from the Fund Balance of the Refuse Fund, Account 85-2660, to the following account for salary adjustment for the fiscal year 1990: 85-4110-51 Refuse $ 618 Section 12. That the City Manager be directed to cause the appropriate accounting entries to be made in the books and reccrds of the City. Adopted by the City Council February 20, 1990 Reviewed for Administration: /4'. (— ✓J/� -t City Manager Ma or Approved as to form and execution: City Attorney Minnesota Suburban Newspapers City 01st. Louis Park (Official Publication) AFFIDAVIT OF PUBLICATION ORDINANCEeauthorizing tgNthe tr1tr An ordinance aa I hoansfer of funds and providing appropriations for salary ad- justments for nowmron employees, International Association of Fir fifhters Local 993 and Inter- national Union of•Operaturg Engineers Local 49 ATE OF MINNESOTA) for year en December 31, 1990 Summary Tfus'ordinance'hat�sfers funds from SS the Rotary Adjusfinent-AA`pp"pp pnation or Fund Balance account to varices department accounts to provide appropnahons.for salary adjustments COUNTY OF HENNEPIN) for fiscal year 1990. Effective Date - This otdmance shall take effect January G re 0 e r y Pt a c i n , being duly sworn on an oath says that he/she Ad p 1 by the City Ctniricil Feb 20, 1990 /s/ LYLE HANKS A copy of the full text of this ordinance is the publisher or authorized agent and employee of the publisher of the newspaper known available for inspection with the City,Clerk (March 7, 1990) -SLP inspection S t , La. i s Park sailor , and has full knowledge of the facts which are stated below (A) The newspaper has complied with all of the requirements constituting qualification as a qualified newspaper, as provided by Minnesota Statute 331A 02, 331A 07, and other applicable laws, as amended (8) The printed Ordinance No. 1822-90 which is attached was cut from the columns of said newspaper, and was printed and published once each week, for_one_ successive weeks, it was first published on We do e s d aY , the 7 day 0nf March , 19 90 , and was thereafter printed and published on every to d includingthe dayof , 19 , and printed below is a copy of the lower case alphabet from A to Z, both inclusive, which is hereby acknowledged as being the size and kind of type used in the composition and publication of the notice (::::—/—Z::— abcdefghijklmnopgrstuvwxyz Acknowledged before me on this 9 day of March , 1940 MERIDEL M. HEDOLOM NOTARY PUBLIC -MINNESOTA HENNEPIN COUNTY MY COft1YISSION EXPIRES 7.2-82 Nota 14.0 BY TITLE General Manager RATE INFORMATION (1) Lowest classified rate paid by commercial users for comparable space (2) Maximum rate allowed by law for the above matter (3) Rate actually charged for the above matter 100 per line (Line, word, or inch rate) 5901 per line (Line, word, or inch rate) 537a per line (Line, word, or inch rate)