City of Albuquerque
File #: R-15-181   
Type: Resolution Status: Enacted
File created: 4/6/2015 In control: City Council
Final action: 5/27/2015
Enactment date: 6/11/2015 Enactment #: R-2015-046
Title: F/S Appropriating Funds For Operating The Government Of The City Of Albuquerque For Fiscal Year 2016, Beginning July 1, 2015 And Ending June 30, 2016; Adjusting Fiscal Year 2015 Appropriations; Appropriating Capital Funds; And Rescinding Sections 3 And 4 Of Resolution F/S R-10-87, Enactment No. R-2010-101 (Pe?a)
Attachments: 1. R-181, 2. R-181 FY16 Proposed Budget Document, 3. R-181 Proposed Floor Substitute, 4. FS R-181Enacted
Date Action ByActionResultAction Details
6/11/2015 City Clerk Published  Action details
6/11/2015 Mayor Signed by the Mayor  Action details
6/3/2015 City Council Sent to Mayor for Signature  Action details
5/27/2015 City Council    Action details
5/27/2015 City Council Amended  Action details
5/27/2015 City Council Amended  Action details
5/27/2015 City Council AmendedFail Action details
5/27/2015 City Council TabledPass Action details
5/27/2015 City Council Passed as Substituted, as AmendedPass Action details
5/27/2015 City Council MotionFail Action details
5/27/2015 City Council Amended  Action details
5/27/2015 City Council AmendedFail Action details
5/27/2015 City Council AmendedPass Action details
5/27/2015 City Council MotionPass Action details
5/27/2015 City Council AmendedPass Action details
5/27/2015 City Council AmendedFail Action details
5/27/2015 City Council AmendedPass Action details
5/27/2015 City Council AmendedFail Action details
5/27/2015 City Council MotionFail Action details
5/27/2015 City Council AmendedPass Action details
5/27/2015 City Council SubstitutedPass Action details
5/7/2015 Committee of the Whole PostponedPass Action details
4/16/2015 Committee of the Whole PostponedPass Action details
4/6/2015 City Council Introduced and Referred  Action details
4/6/2015 President Referred  Action details
CITY of ALBUQUERQUE
TWENTY-FIRST COUNCIL
 
 
COUNCIL BILL NO.        F/S R-15-181              ENACTMENT NO.   ________________________
 
SPONSORED BY:      Klarissa J. Peña
 
 
RESOLUTION
title
F/S Appropriating Funds For Operating The Government Of The City Of Albuquerque For Fiscal Year 2016, Beginning July 1, 2015 And Ending June 30, 2016; Adjusting Fiscal Year 2015 Appropriations; Appropriating Capital Funds; And Rescinding Sections 3 And 4 Of Resolution F/S R-10-87, Enactment No. R-2010-101 (Peña)
body
APPROPRIATING FUNDS FOR OPERATING THE GOVERNMENT OF THE CITY OF ALBUQUERQUE FOR FISCAL YEAR 2016, BEGINNING JULY 1, 2015 AND ENDING JUNE 30, 2016; ADJUSTING FISCAL YEAR 2015 APPROPRIATIONS; APPROPRIATING CAPITAL FUNDS; AND RESCINDING SECTIONS 3 AND 4 OF RESOLUTION F/S R-10-87, ENACTMENT NO. R-2010-101.
      WHEREAS, the Charter of the City of Albuquerque requires the Mayor to formulate the annual operating budget for the City of Albuquerque; and
      WHEREAS, the Charter of the City of Albuquerque requires the Council to approve or amend and approve the Mayor's budget; and
      WHEREAS, appropriations for the operation of the City government must be approved by the Council.
BE IT RESOLVED BY THE COUNCIL, THE GOVERNING BODY OF THE CITY OF ALBUQUERQUE:
      Section 1.  That the amount of $43,073,000 is hereby reserved as the Operating Reserve Fund for the City of Albuquerque for Fiscal Year 2016.  This amount includes an additional $1,000,000 to build-up the operating reserve above 1/12th in order to plan for future economic downturns and maintain current bond ratings.  In addition, the amount of $277,000 is reserved for a potential runoff election.  
      Section 2.  The amount of $1,341,000 is hereby reserved in the General Fund for employee labor negotiations.  In addition, $113,000 is reserved to meet the 1/12th requirement pending the appropriation of the wage increase.  The amount reserved is equivalent to a 3% salary increase for Transit Drivers and Security Officers; a 2.5% salary increase for Fire union employees, 1.25% effective July 1, and 1.25% effective April 1, 2016; and a 1% salary increase for Transport Union employees.  These amounts are in addition to the 1% salary increase for Security, Transit, Clerical and Blue Collar Union employees that are included in the General Fund appropriations.  The General Fund also has recurring revenue to recurring appropriation balance in excess of the $1,454,000 to allow for this wage increase to be paid out on a permanent basis.
      Section 3.  The amount of $403,000 is hereby reserved in the General Fund for social service programs. Use of this funding shall be approved by the City Council and will be evaluated in relation to the objectives identified by the Behavioral Health collaborative with Bernalillo County and the proposed scope of services and performance metrics for each program.
      Section 4.  That the following amounts are hereby appropriated to the following program strategies for operating City government during Fiscal Year 2016:
GENERAL FUND - 110
Animal Welfare Department
      Animal Care Center            11,029,000      
Chief Administrative Officer Department      
      Chief Administrative Office            1,598,000
City Support Functions
      Dues and Memberships      446,000
      Early Retirement            6,300,000
      Joint Committee on Intergovernmental Legislative
            Relations            158,000
      Open and Ethical Elections      505,000      
      Transfer to Other Funds:
            Operating Grants Fund (265)      5,250,000      
            Sales Tax Refunding D/S Fund (405)      10,177,000
            Refuse Disposal Operating Fund (651)      384,000      
Civilian Police Oversight Agency
      Civilian Police Oversight Agency      1,005,000
Council Services Department
      Council Services            3,545,000
Cultural Services Department
      Biological Park            13,005,000
      CIP Biological Park      90,000
      CIP Libraries            64,000      
      Community Events      3,080,000
      Explora                  1,438,000
      Museum                  3,049,000
      Museum-Balloon            952,000
      Public Arts and Urban Enhancement      277,000
      Public Library             11,896,000
      Strategic Support            1,644,000
Economic Development Department
      Convention Center            2,080,000      
      Economic Development      1,307,000
      Economic Development-Investment      1,027,000
      International Trade      55,000
Environmental Health Department
      Consumer Health            1,146,000
      Environmental Services      635,000
      Strategic Support            691,000
      Urban Biology            514,000      
Family and Community Services Department
      Affordable Housing Contract      2,043,000
      Community Recreation      8,051,000      
      Child Care Contracts      5,750,000
      Emergency Shelter Contracts      1,097,000
      Health and Human Services      3,484,000
      Homeless Support Services      1,809,000
      Mental Health Contracts      2,687,000
      Public Education Partner      5,666,000
      Strategic Support            1,284,000
      Substance Abuse Contracts      4,881,000
      Transitional Housing      167,000
      Youth Gang Contracts      1,280,000      
Finance and Administrative Department
      Accounting                  3,738,000
      Citizen Services            3,647,000
      Financial Support Services      1,109,000
      Office of Management and Budget      1,088,000
      Purchasing                  1,292,000
      Strategic Support            386,000
      Treasury                  1,290,000
Fire Department
      Dispatch                  3,998,000
      Emergency Response      58,974,000
      Fire Prevention            4,305,000
      Headquarters            2,687,000
      Logistics                  1,860,000
      Technical Services      648,000
      Training                  2,289,000
Human Resources Department
      B/C/J/Q Union Time      131,000      Personnel Services      2,484,000      
Legal Department
      Legal Services            5,670,000
Mayor's Office
      Mayor's Office            993,000      
Municipal Development Department
      City Buildings            8,561,000
      Construction            1,771,000      
      Design Recovered CIP      3,994,000      
      Design Recovered Storm      2,061,000      
      Special Events Parking      19,000
      Storm Drainage            2,508,000
      Strategic Support            2,367,000
      Streets                  4,213,000
      Street Services            13,517,000
      Transfer to Other Funds:
            Gas Tax Road Fund (282)      378,000
            City/County Facilities Fund (290)      2,304,000      
            Stadium Operations Fund (691)      198,000
Office of the City Clerk
      Administrative Hearing Office            446,000      
      Office of the City Clerk      1,772,000
Office of Inspector General
      Office of Inspector General      339,000
Office of Internal Audit and Investigations      
      Internal Audit            808,000      
Parks and Recreation Department
      Aquatic Services            4,434,000
      CIP Funded Employees      563,000
      Firearm Safety            593,000
      Parks Management      16,606,000
      Recreation                  2,646,000
      Strategic Support            1,054,000
      Transfer to Other Funds:
            Capital Acquisition Fund (305)      100,000
            Open Space Expendable Trust Fund (851)      3,023,000
Planning Department
      Code Enforcement            3,763,000
      One Stop Shop            6,229,000
      Real Property            815,000
      Strategic Support            1,718,000
      Urban Design and Development      1,853,000
      Transfer to Metro Redevelopment (275)      535,000
Police Department
      Administrative Support      16,818,000
      Investigative Services      30,888,000
      Neighborhood Policing      87,436,000
      Off-Duty Police Overtime      1,825,000
      Prisoner Transport      1,951,000
      Professional Accountability      19,285,000
Senior Affairs Department
      Basic Services            92,000
      Strategic Support            1,910,000      
      Well Being                  4,760,000      
Technology and Innovation Department
      Information Services      9,725,000
      Data Management for APD      824,000
Transit Department            
      Transfer to Transit Operating Fund (661)       21,641,000      
STATE FIRE FUND - 210
Fire Department
      State Fire Fund            1,800,000
      Transfer to Fire Debt Service Fund (410)      102,000
LODGERS' TAX FUND - 220
Finance and Administrative Services Department
      Lodgers' Promotion      5,079,000
      Transfer to Other Funds:
            General Fund (110)      470,000
            Sales Tax Refunding D/S Fund (405)      6,108,000
A contingent appropriation is made and reserved in the amount of $559,000 and shall be unreserved and appropriated as follows: $250,000 for promotional incentive offsets given for the booking of the Convention Center and $309,000  to the Lodger's Promotion Program upon completion of contract negotiations with potential marketing and promotion vendors.  
HOSPITALITY FEE FUND - 221
Finance and Administrative Services Department
      Lodgers' Promotion      1,085,000
      Transfer to Other Funds:      
            Sales Tax Refunding D/S Fund (405)      1,197,000
            Capital Acquisition Fund (305)      15,000
A contingent appropriation is made and reserved in the amount of $127,000 and shall be unreserved and appropriated to the Lodger's Promotion Program upon completion of contract negotiations with potential marketing and promotion vendors.  
CULTURE AND RECREATION PROJECTS FUND -225
Cultural Services Department
      Balloon Center Projects      200,000
      Community Events Projects      370,000
      Library Projects            251,000
      Museum Projects            330,000
ALBUQUERQUE BIOLOGICAL PARK PROJECTS FUND - 235
Cultural Services Department                  BioPark Projects            2,300,000
AIR QUALITY FUND - 242
Environmental Health Department
      Operating Permits            1,644,000
      Vehicle Pollution Management      1,313,000
      Transfer to General Fund (110)      422,000
HEART ORDINANCE FUND - 243
Animal Welfare Department      
      Heart Companion Services      74,000
      Transfer to General Fund (110)      5,000
SENIOR AFFAIRS AAA FUND - 250
Senior Affairs Department      
      Senior Affairs AAA      6,904,000
METROPOLITAN REDEVELOPMENT FUND - 275
Planning Department      
      Property Management      430,000
      Railyard Redevelopment      105,000
LAW ENFORCEMENT PROTECTION FUND - 280
Police Department
      Crime Lab Project            130,000      
      DWI Ordinance Enforcement      1,238,000
      Law Enforcement Protection Act      580,000
      SID/Federal Forfeitures      1,250,000
      Transfer to General Fund (110)      512,000
GAS TAX ROAD FUND - 282
Municipal Development Department
      Street Services            5,091,000      
      Transfer to General Fund (110)      249,000
CITY/COUNTY FACILITIES FUND - 290
Municipal Development Department
      City/County Building      3,056,000
      Transfer to General Fund (110)      86,000
SALES TAX REFUNDING DEBT SERVICE FUND - 405
City Support Functions
      Sales Tax Refunding Debt Service      17,137,000      
FIRE DEBT SERVICE FUND - 410
Fire Department
      Debt Service            102,000
GENERAL OBLIGATION BOND DEBT SERVICE FUND - 415
City Support Functions      
      General Obligation Bond Debt Service      62,532,000
AVIATION OPERATING FUND - 611
Aviation Department
      Management & Professional Support       4,144,000
      Operations, Maintenance and Security      27,766,000
      Transfers to Other Funds:            
            General Fund (110)      1,621,000
            Airport Capital and Deferred Maintenance Fund (613)      21,300,000
            Airport Revenue Bond D/S Fund (615)      14,200,000
AIRPORT REVENUE BOND DEBT SERVICE FUND - 615
Aviation Department
      Debt Service            14,200,000
PARKING FACILITIES OPERATING FUND - 641
Municipal Development Department
      Parking Services            3,291,000
      Transfers to Other Funds:
            General Fund (110)      799,000
REFUSE DISPOSAL OPERATING FUND - 651
Solid Waste Management Department
      Administrative Services      6,422,000
      Clean City Section            8,428,000
      Collections                  19,150,000
      Disposal                  6,785,000
      Maintenance- Support Services      5,055,000      
      Recycling                  5,478,000
      Transfers to Other Funds:
            General Fund (110)      5,029,000
            Refuse Disposal Capital Fund (653)      13,963,000
A contingent appropriation is made based upon the cost of fuel exceeding $2.30 per gallon during FY/16 in the Refuse Disposal Operating Fund (651).  Fuel appropriations for Administrative Services, Clean City Section, Collections, Disposal, Maintenance-Support Services and Recycling program strategies will be increased up to the additional fuel surcharge revenue received at fiscal year- end.  
TRANSIT OPERATING FUND - 661
Transit Department
      ABQ Ride                  29,320,000
      Facility Maintenance      2,357,000      
      Paratransit Services      6,005,000
      Special Events            250,000
      Strategic Support            3,814,000
      Transfer to Other Funds:
            General Fund (110)      5,426,000
            Transit Grants Fund (663)      450,000
TRANSIT DEBT SERVICE FUND - 667
Transit Department      
      Debt Service            1,052,000
APARTMENTS OPERATING FUND - 671
Family and Community Services Department      
      Apartments                  2,799,000      
      Transfer to Other Funds:
            Housing Fund (240)      59,000
            Apartments D/S Fund (675)      877,000
APARTMENTS DEBT SERVICE FUND - 675
Family and Community Service Department
      Apartments Debt Service      877,000
GOLF COURSES OPERATING FUND - 681
Parks and Recreation Department
      Golf                        3,955,000
      Transfer to General Fund (110)      233,000
BASEBALL STADIUM OPERATING FUND - 691
Municipal Development Department
      Stadium Operations      878,000      
      Transfer to Other Funds:
            General Fund (110)      27,000
            Sports Stadium D/S Fund (695)      1,022,000
BASEBALL STADIUM DEBT SERVICE FUND - 695
Municipal Development Department
      Stadium Debt Service      1,022,000
RISK MANAGEMENT FUND - 705
Finance and Administrative Services Department
      Risk - Fund Administration      1,519,000
      Risk - Safety Office      1,847,000      
      Risk - Tort and Other      20,150,000
      Risk - Workers' Comp      8,757,000            Risk Transfer to General Fund (110)      852,000
Human Resources Department
      Unemployment Compensation      1,506,000      
      Employee Equity            136,000
SUPPLIES INVENTORY MANAGEMENT FUND - 715
Finance and Administrative Services Department
      Materials Management      741,000            Transfer to General Fund (110)      210,000
FLEET MANAGEMENT FUND - 725
Finance and Administrative Services Department
      Fleet Management            11,330,000      
      Transfer to General Fund (110)      577,000      
VEHICLE/EQUIPMENT REPLACEMENT FUND - 730
Finance and Administrative Services Department
      Vehicles                  150,000
EMPLOYEE INSURANCE FUND - 735
Human Resources Department
      Insurance and Administration      60,563,000      
      Transfer to General Fund (110)      85,000
COMMUNICATIONS MANAGEMENT FUND - 745
Department of Technology and Innovation
      City Communications      7,243,000      
      Transfer to Other Funds:
            Transfer to General Fund (110)      192,000
            Sales Tax Refunding D/S Fund (405)      535,000
OPEN SPACE EXPENDABLE TRUST FUND - 851      
Parks and Recreation Department
      Open Space Management      3,240,000
      Section 5.  The reserve of $1,000,000 for implementation of the recommendations provided by the United States Department of Justice are hereby unreserved.  That the following appropriations are hereby adjusted to the following program strategies and funds from fund balance and/or revenue for operating City government in Fiscal Year 2015:
GENERAL FUND - 110
Chief Administrative Officer Department      
      Chief Administrative Office            20,000
City Support
Transfer to Capital Acquisition Fund (305)      200,000
Council Services Department
Council Services                  (200,000)
Municipal Development Department
      Transfer to Parking Facilities Operating Fund (641)       205,000      
Parks and Recreation Department
      Transfer to Open Space Expendable Trust Fund (851)      54,000
Police Department
      Neighborhood Policing      1,000,000
OPERATING GRANTS FUND - 265
Police Department
      City Readiness Initiative (CRI)      54,496
The above appropriation includes $52,000 from the State.  The indirect overhead charges of $2,496 are available in the Transfer to Operating Grants Fund (265) program in the General Fund.
LAW ENFORCEMENT PROTECTION FUND - 280
The amount of $3,300,000 is hereby reserved in the Law Enforcement Protection Fund for the purpose of acquiring property for a DWI Seizure Lot.
SALES TAX REFUNDING DEBT SERVICE FUND - 405
City Support Functions
      Sales Tax Refunding Debt Service      492,000
GENERAL OBLIGATION BOND DEBT SERVICE FUND - 415
City Support Functions      
      General Obligation Bond Debt Service      4,634,000
PARKING FACILIITES FUND - 641
Transfer to Parking Capital Fund (643)      (130,000)
EMPLOYEE INSURANCE FUND - 735
Human Resources Department
      Transfer to OPEB Fund (810)      197,687
OPEN SPACE EXPENDABLE TRUST FUND - 851      
Parks and Recreation Department
      Open Space Management      54,000
      Section 6.  That the following appropriations are hereby made to the Capital Program to the specific funds and projects as indicated below for Fiscal Year 2016:
Department/Fund                         Source      Amount
Finance and Administrative/Fund 305      
Convention Center Improvements        Transfer from Fund 221      15,000
Parks & Recreation/Fund 305
Park Development/Parks      Transfer from Fund 110      100,000
Solid Waste/Fund 653
Refuse Equipment      Transfer from Fund 651      9,641,000
Automated Collection System      Transfer from Fund 651      600,000
Disposal Facilities      Transfer from Fund 651      1,700,000
Refuse Facility            Transfer from Fund 651      400,000
Recycling Carts            Transfer from Fund 651      150,000
Computer Equipment      Transfer from Fund 651      100,000
Alternative Landfill      Transfer from Fund 651      200,000
Landfill Environmental Remediation      Transfer from Fund 651      1,172,000
      Section 7.  That the following appropriations and designations are hereby made to the Capital Program to the specific funds and projects as indicated below for Fiscal Year 2015:
Department/Fund                         Source      Amount
Municipal Development/ Fund 305
Council Projects                  Transfer from Fund 110      200,000
An amount not to exceed $20,000 is designated from the Council Projects activity for the acquisition and installation of signage on West Central Avenue.
Municipal Development/ Fund 643
Parking Equipment            Transfer from Parking Fund 641      370,000
Senior Affairs/ Fund 305      
Senior Center Equipment      State Grant      5,300
That the appropriations stated in sections 6 and 7 are contingent upon the operating transfers being approved in the operating budget and may be adjusted to reflect approved amounts.
      Section 8.  That the following appropriations are hereby made to the Transportation Infrastructure Tax Program in the specific funds and projects as indicated below for Fiscal Year 2016:
Department/Fund                         Source      Amount
Municipal Development/ Fund 341
Central Avenue Streetscape
Improvements                  Transportation Infra. Tax      1,500,000
      The scope of the project is to plan, design, acquire property, equip and construct streetscape improvements along Central Avenue.
Regional Sports Complex
Street Improvements            Transportation Infra. Tax      600,000
      The scope of the project is to plan, design, acquire property, equip, construct and otherwise improve streets that provide access to the Regional Sports Complex.
Bikeways and Trails            Transportation Infra. Tax      500,000
      The scope of the project is to plan, design, acquire property, equip, construct and otherwise improve bikeways and trails in accordance with the adopted 2015 Rank II Bikeways and Trails Facility Plan.  
      Section 9.  That Sections 3 and 4 of Resolution F/S R-10-87, Enactment No. R-2010-101, are hereby rescinded.
      Section 10.  It shall be the policy of the Council that the scope of any projects funded by excess Transportation Infrastructure Tax revenue appropriated in F/S R-15-181 shall be approved by the City Council.
 
 
 
 
 
 
 
 
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