City of Albuquerque
File #: R-15-197   
Type: Resolution Status: Enacted
File created: 4/20/2015 In control: City Council
Final action: 6/1/2015
Enactment date: 6/18/2015 Enactment #: R-2015-053
Title: Adjusting Fiscal Year 2015 Appropriations For City Of Albuquerque Employee Wage Increases (Pe?a)
Attachments: 1. R-197, 2. R-197Enacted
Date Action ByActionResultAction Details
6/18/2015 City Clerk Published  Action details
6/18/2015 Mayor Signed by the Mayor  Action details
6/9/2015 City Council Sent to Mayor for Signature  Action details
6/1/2015 City Council PassedPass Action details
5/18/2015 City Council Accepted with a Recommendation Do Pass  Action details
5/11/2015 Finance & Government Operations Committee Sent to Council with a recommendation of Do PassPass Action details
4/20/2015 City Council Introduced and Referred  Action details
4/20/2015 President Referred  Action details
CITY of ALBUQUERQUE
TWENTY-FIRST COUNCIL
 
 
COUNCIL BILL NO.         R-15-197              ENACTMENT NO.   ________________________
 
SPONSORED BY:      Klarissa J. Peña
 
 
RESOLUTION
title
Adjusting Fiscal Year 2015 Appropriations For City Of Albuquerque Employee Wage Increases (Peña)
body
ADJUSTING FISCAL YEAR 2015 APPROPRIATIONS FOR CITY OF ALBUQUERQUE EMPLOYEE WAGE INCREASES.
      WHEREAS, funds held in reserve in the General Fund are available for appropriation to cover the wage increases; and
      WHEREAS, the AFSCME labor negotiations for Blue, Clerical, Transit and J-Series have reached agreements through FY/16; and   
      WHEREAS, appropriations adjustments 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 $1,533,000 reserved for employee salary and $128,000 reserved for the 1/12th requirement are hereby unreserved.
      Section 2.  That the amount of $45,000 for the employee salary increase is hereby added to the Operating Reserve Fund for Fiscal Year 2015.
      Section 3.  That the amount of $162,000 is hereby reserved in the General Fund for Fire labor negotiations including $13,000 to meet the 1/12th requirement pending the appropriation of the salary increase.      
      Section 4.  That the following amounts are hereby appropriated to the following program strategies from unreserved fund balance, working capital balance and/or additional revenues for Fiscal Year 2015:
GENERAL FUND - 110
Animal Welfare Department
      Animal Welfare            31,000      
Cultural Services Department
      Biological Park            32,000
      CIP Biological Park      1,000
      CIP Libraries            1,000      
      Museum                  5,000
      Museum-Balloon            1,000
      Public Library             12,000
      Strategic Support            1,000
Family and Community Services Department
      Community Recreation      7,000      
      Child Care Services      20,000
      Strategic Support            1,000
Finance and Administrative Department
      Accounting                  3,000
      Purchasing                  1,000
      Treasury                  3,000
Fire Department
      AFD Headquarters            2,000            Fire Prevention            1,000
      Logistics                  4,000
Human Resources Department
      B/C/J/Q Union Time      57,000
Municipal Development Department
      City Buildings            32,000
      Construction            2,000      
      Design Recovered CIP      11,000      
      Storm Drainage            6,000
      Strategic Support            2,000
      Streets                  11,000
      Street Services            15,000
Office of the City Clerk
      City Clerk                  2,000
Parks and Recreation Department
      Aquatic Services            1,000
      Firearm Safety            2,000
      Parks Management      41,000
      Recreation                  1,000
Planning Department
      Code Enforcement            1,000
      One Stop Shop            4,000
Police Department
      Communications and Records      73,000
      Family Advocacy            1,000            Investigative Services      8,000
      Neighborhood Policing      3,000
      Strategic Support            3,000
Senior Affairs Department
      Well Being                  15,000
Transit Department            
      Transfer to Transit Operating Fund (661)       267,000      
AIR QUALITY FUND - 242
Environmental Health Department
      Vehicle Pollution Management      1,000
GAS TAX ROAD FUND - 282
Municipal Development Department
      Street Services            18,000      
CITY/COUNTY FACILITIES FUND - 290
Municipal Development Department
      City/County Building      5,000
AVIATION OPERATING FUND - 611
Aviation Department
      Management & Professional Support       1,000
      Operations, Maintenance, Security      51,000
PARKING FACILITIES OPERATING FUND - 641
Municipal Development Department
      Parking Services            11,000
REFUSE DISPOSAL OPERATING FUND - 651
Solid Waste Management Department
      Administrative Services      7,000
      Clean City Section            22,000
      Collections                  59,000
      Disposal                  20,000
      Maintenance- Support Services      26,000      
      Recycling                  16,000
TRANSIT OPERATING FUND - 661
Transit Department
      ABQ Ride                  121,000
      Facility Maintenance      4,000      
      Paratransit Services      31,000
      Strategic Support            10,000
GOLF COURSES OPERATING FUND - 681
Parks and Recreation Department
      Golf                        10,000
BASEBALL STADIUM OPERATING FUND - 691
Municipal Development Department
      Stadium Operations      1,000      
RISK MANAGEMENT FUND - 705
Finance and Administrative Services Department
      Administration             2,000
      Safety Office            1,000      
SUPPLIES INVENTORY MANAGEMENT FUND - 715
Finance and Administrative Services Department
      Materials Management      2,000      
FLEET MANAGEMENT FUND - 725
Finance and Administrative Services Department
      Fleet Management            14,000      
COMMUNICATIONS MANAGEMENT FUND - 745
Finance and Administrative Services Department
      City Communications      3,000      
OPEN SPACE EXPENDABLE TRUST FUND - 851      
Parks and Recreation Department
      Open Space Management      6,000
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
X:\CITY COUNCIL\SHARE\CL-Staff\_Legislative Staff\Legislation\21 Council\R-197final.docx