ORDINANCE NO. 3697

 

 

THE ANNUAL APPROPRIATION ORDINANCE APPROPRIATING CERTAIN SUMS OF MONEY TO DEFRAY THE NECESSARY EXPENSES AND LIABILITIES OF THE CITY OF GRAND JUNCTION, COLORADO, THE RIDGES METROPOLITAN DISTRICT, AND THE GRAND JUNCTION WEST WATER AND SANITATION DISTRICT, FOR THE YEAR BEGINNING JANUARY 1, 2005, AND ENDING DECEMBER 31, 2005.

 

BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF GRAND JUNCTION:

 

 

SECTION 1. That the following sums of money, or so much therefore as may be necessary, be and the same are hereby appropriated for the purpose of defraying the necessary expenses and liabilities, and for the purpose of establishing emergency reserves of the City of Grand Junction, for the fiscal year beginning January 1, 2005, and ending December 31, 2005, said sums to be derived from the various funds as indicated for the expenditures of:

 

FUND NAME

FUND #

APPROPRIATION

Emergency Reserve

General

100

$ 45,425,149

$ 3,500,000

Enhanced 911 Special Revenue

101

$ 1,144,196

 

Visitor & Convention Bureau

102

$ 1,391,783

 

DDA Operations

103

$ 242,584

 

CDBG Special Revenue

104

$ 450,000

 

Parkland Expansion

105

$ 434,898

 

Golf Course Expansion

107

$ 145,000

 

Economic Development

108

$ 787,944

 

DDA/TIF Special Revenue

109

$ 831,738

 

Conservation Trust Special Revenue

110

$ 415,000

 

Sales Tax CIP

201

$ 18,029,122

 

Storm Drainage Improvement

202

$ 5,426,663

 

DDA/TIF/CIP

203

$ 1,136,000

 

Riverside Parkway Capital Improvement

204

$ 35,000,000

 

Future Street Improvements

207

$ 600,000

 

Facilities

208

$ 1,000,000

 

Water

301

$ 4,288,084

 

Solid Waste

302

$ 2,441,876

 

Two Rivers Convention Center

303

$ 2,343,347

 

Swimming Pools

304

$ 734,895

 

Lincoln Park Golf Course

305

$ 678,776

 

Tiara Rado Golf Course

306

$ 1,143,481

 

Parking

308

$ 249,551

 

Irrigation

309

$ 205,357

 

Data Processing

401

$ 2,040,477

 

Equipment

402

$ 2,575,239

 

Stores

403

$ 228,320

 

Self Insurance

404

$ 1,204,512

 

Communications Center

405

$ 3,336,807

 

General Debt Service

610

$ 3,708,388

 

DDA Debt Service

611

$ 784,238

 

GJWWSD Debt Service

612

$ 155,181

 

Ridges Metro District Debt Service

613

$ 226,190

 

Grand Junction Public Finance Corp.

614

$ 286,298

 

Parks Improvement Advisory Board

703

$ 21,000

 

Cemetery Perpetual Care

704

$ 45,000

 

Joint Sewer System

900

$ 10,682,786

 

TOTAL ALL FUNDS

 

$ 149,839,880

$ 3,500,000

 

SECTION 2. The following amounts are hereby levied for collection in the year 2004 and for the specific purpose indicated:

 

 

Millage

Amount

 

Rate

Levied

   

City of Grand Junction General Fund

8.000

$4,235,680

Temporary Credit Mill Levy

Net Levy

-.640

7.360

- 338,612

$3,897,068

   

Ridges Metropolitan District #1

7.000

$123,983

   
   

Grand Junction West Water & Sanitation District

6.000

$78,179

  
   

Downtown Development Authority

5.000

$127,964

   

 

INTRODUCED AND ORDERED PUBLISHED the 1st day of December, 2004.

 

PASSED AND ADOPTED the 15th day of December, 2004.

                       

 

 

 

/s/ Bruce Hill      

President of the Council

Attest:

 

 

/s/ Stephanie Tuin    

City Clerk