City of Albuquerque
File #: R-20-31   
Type: Resolution Status: Enacted
File created: 4/6/2020 In control: City Council
Final action: 4/13/2020
Enactment date: 4/22/2020 Enactment #: R-2020-035
Title: Appropriating Funds For Operating The Government Of The City Of Albuquerque For Fiscal Year 2021, Beginning July 1, 2020 And Ending June 30, 2021 And Appropriating Capital Funds (Benton, by request)
Sponsors: Isaac Benton (By Request)
Attachments: 1. R-31, 2. R-31Enacted
Date Action ByActionResultAction Details
4/22/2020 City Clerk Published  Action details
4/22/2020 Mayor Signed by the Mayor  Action details
4/15/2020 City Council Sent to Mayor for Signature  Action details
4/13/2020 City Council Passed as AmendedPass Action details
4/13/2020 City Council AmendedPass Action details
4/13/2020 City Council AmendedPass Action details
4/13/2020 City Council AmendedPass Action details
4/6/2020 City Council Introduced  Action details
4/6/2020 President To be heard at the Council Meeting  Action details

CITY of ALBUQUERQUE

TWENTY FOURTH COUNCIL

 

 

COUNCIL BILL NO.           R-20-31                ENACTMENT NO.   ________________________

 

SPONSORED BY:                     Isaac Benton, by request

 

 

RESOLUTION

title

Appropriating Funds For Operating The Government Of The City Of Albuquerque For Fiscal Year 2021, Beginning July 1, 2020 And Ending June 30, 2021 And Appropriating Capital Funds (Benton, by request)

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APPROPRIATING FUNDS FOR OPERATING THE GOVERNMENT OF THE CITY OF ALBUQUERQUE FOR FISCAL YEAR 2021, BEGINNING JULY 1, 2020 AND ENDING JUNE 30, 2021 AND APPROPRIATING CAPITAL FUNDS.

                     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; and

                     WHEREAS, on March 11, 2020 Governor Michelle Lujan Grisham issued Executive Order 2020-004, Order Declaring a State of Public Health Emergency relating to the spread of COVID-19; and

WHEREAS, in subsequent weeks the New Mexico Department of Health has issued orders limiting public gatherings and requiring non-essential businesses to close or limit business activity; and

WHEREAS, the estimation of future New Mexico Gross Receipts Tax, Lodgers’ Tax and other revenue sources will need to be re-assessed given the effect of the Public Health Order on local non-essential businesses; and

                     WHEREAS, due to the Public Health Emergency, on March 16, 2020, the NM Department of Finance, Local Government Division, issued Memorandum BFB #20-204 to allow NM municipalities to submit their FY/20 budget as their FY/21 budget until a FY/21 budget can be meaningfully forecast; and

                     WHEREAS, it is the intent of the City Council to adopt Ordinance O-20-7, which will provide for special procedures for the City’s Fiscal Year 2021 Budget in the wake of the Public Health Emergency in response to the COVID-19 virus.

BE IT RESOLVED BY THE COUNCIL, THE GOVERNING BODY OF THE CITY OF ALBUQUERQUE:

                     Section 1.   That the following appropriations and reserves will serve as the operating budget of City of Albuquerque for Fiscal Year 2021, until reasonable revenue estimates can be developed to capture the effects of the activities related to the COVID-19 Public Health Emergency. A revised budget shall then be proposed by the Mayor in accordance with the special procedures described in Ordinance O-20-7, which was approved by the City Council on April 6, 2020.

                     Section 2.   That, until a revised budget is proposed by the Mayor for Fiscal Year 2021, the Office of Budget and Management (OMB) shall provide bi-weekly updates to the City Council on the status of revenue estimates and expenditures related to the COVID-19 response.  OMB shall provide the City Council with a timeline for the development of the revised Fiscal Year 2021 within a reasonable time once revenue and expenditure estimates are available. 

                     Section 3.  That the amount of $53,023,000 is hereby reserved as the Operating Reserve Fund for the City of Albuquerque for Fiscal Year 2021. 

                     Section 4.  That the following amounts are hereby appropriated to the following programs for operating City government during Fiscal Year 2021:

  GENERAL FUND - 110

  Animal Welfare Department

                     Animal Care Center                                          12,675,000                     

  Chief Administrative Officer Department                     

                     Chief Administrative Office                                          3,439,000

  City Support Functions

                     Dues and Memberships                     504,000                     Early Retirement                                          6,000,000

                     GRT Administration Fee                     5,400,000

                     Joint Committee on Intergovernmental Legislative

                                          Relations                                          219,000

                     Open and Ethical Elections                     641,000                     

                     Transfer to Other Funds:

                                          Operating Grants Fund (265)                     6,000,000                     

                                          Sales Tax Refunding D/S Fund (405)                     13,298,000                                                               Vehicle/Equipment Replacement Fund (730)                     1,200,000

  Civilian Police Oversight Agency

                     Civilian Police Oversight Agency                     1,065,000

  Council Services Department

                     Council Services                                          5,337,000

  Cultural Services Department

                     Biological Park                                          15,277,000

                     CIP Bio Park                                          247,000

                     Community Events                     3,523,000

                     Explora                                                               1,448,000

                     Museum                                                               3,713,000

                     Museum-Balloon                                          1,528,000

                     Public Arts and Urban Enhancement                     511,000

                     Public Library                                           12,952,000

                     Strategic Support                                          2,795,000

  Economic Development Department

                     Convention Center                      / ASC                     2,234,000                     

                     Economic Development                     2,110,000                     Economic Development Investment                     321,000

                     International Trade                     198,000

                     Office of MRA                                          530,000

  Transfer to Other Funds:

                                          Metro Redevelopment Fund (275)                     227,000

   Environmental Health Department

                     Consumer Health                                          1,574,000

                     Environmental Services                     679,000

                     Strategic Support                                          839,000

                     Urban Biology                                          500,000                     

  Family and Community Services Department

                     Affordable Housing                     2,665,000                     

                     Child and Family Development                     6,447,000

                     Community Recreation                     11,661,000                                          Educational Initiatives                     2,948,000

                     Emergency Shelter                     5,620,000

                     Health and Human Services                     4,084,000

                     Homeless Support Services                     3,481,000

                     Mental Health                                          3,754,000

                     Strategic Support                                          2,021,000

                     Substance Abuse                                          3,075,000

                     Youth Gang                                                               1,155,000                     

  Finance and Administrative Department

                     Accounting                                                               4,125,000

                     Financial Support Services                     1,196,000

                     Office of Management and Budget                     1,109,000

                     Purchasing                                                               1,626,000

                     Strategic Support                                          1,121,000

                     Treasury                                                               1,118,000

  Fire Department

                     Dispatch                                                               5,385,000

                     Emergency Response                     69,149,000

                     Emergency Services                     3,361,000

                     Fire Prevention                                          5,861,000

                     Headquarters                                          3,289,000

                     Logistics                                                               3,292,000

                     Office of Emergency Management                     307,000                     

                     Training                                                               2,178,000

  Human Resources Department

                     B/C/J/Q Union Time                     131,000                     Personnel Services                     2,994,000                     

  Legal Department

                     Legal Services                                          6,237,000

                     Office of Equity and Inclusion                     409,000

  Mayor’s Office

                     Mayor’s Office                                          1,068,000                     

  Municipal Development Department

                     City Buildings                                          14,766,000

                     Construction                                          1,889,000                     

                     Design Recovered CIP                     2,077,000                     

                     Design Recovered Storm                     2,940,000                     

                     Real Property                                          879,000

                     Special Events Parking                     19,000

                     Storm Drainage                                          2,946,000

                     Strategic Support                                          2,743,000

                     Streets                                                               5,227,000

                     Street Services                                          15,210,000

                     Transfer to Other Funds:

                                          Gas Tax Road Fund (282)                     1,329,000

                                          City/County Facilities Fund (290)                     2,252,000                     

                                          Stadium Operations Fund (691)                     198,000

  Office of the City Clerk

                     Administrative Hearing Office                                          412,000                     

                     Office of the City Clerk                     2,211,000

  Office of Inspector General

                     Office of Inspector General                     504,000

  Office of Internal Audit and Investigations                     

                     Internal Audit                                          934,000                     

  Parks and Recreation Department

                     Aquatic Services                                          5,458,000

                     CIP Funded Employees                     2,589,000

                     Open Space Management                     4,408,000                     Parks Management                     18,542,000

                     Recreation                                                               3,658,000

                     Strategic Support                                          1,404,000                     Transfer to Other Funds:

                                          Capital Acquisition Fund (305)                     100,000

                                          Golf Operating Fund (681)                     1,368,000

  Planning Department

                     Code Enforcement                                          3,570,000

                     One Stop Shop                                          7,543,000

                     Strategic Support                                          2,418,000

                     Urban Design and Development                     1,637,000

                     Transfer to Other Funds:

                                          Refuse Disposal Operating Fund (651)                     285,000

  Police Department

                     Administrative Support                     18,835,000                     

                     Investigative Services                     45,622,000

                     Neighborhood Policing                     104,730,000                     Off-Duty Police Overtime                     2,225,000

                     Prisoner Transport                     2,423,000

                     Professional Accountability                     34,042,000

  Senior Affairs Department

                     Basic Services                                          256,000

                     Strategic Support                                          2,404,000                     

                     Well Being                                                               5,657,000

  Technology and Innovation Department

                     Citizen Services                                          3,771,000

                     Data Management for APD                      825,000

                     Information Services                     11,546,000

  Transit Department                                          

                     Transfer to Transit Operating Fund (661)                      26,578,000

General Fund appropriations for non-recurring Cultural, Social Service, and Economic Development programs that are excluded from this Section, due to cessation or reduction of funding, shall be reconsidered by the City Council once reliable estimates of the City’s expected revenues, financing needs, and obligations are available.                     

STATE FIRE FUND - 210

  Fire Department

                     State Fire Fund                                          2,438,000

                     Transfer to Other Funds:

                                          Fire Debt Service Fund (410)                     172,000

LODGERS’ TAX FUND - 220

  Finance and Administrative Services Department

                     Lodgers’ Promotion                     5,385,000

                     Transfer to Other Funds:

                                          General Fund (110)                     513,000

                                          Sales Tax Refunding D/S Fund (405)                     7,339,000

A contingent appropriation is hereby reserved in the amount of $1,507,000 and shall be unreserved and appropriated to the Lodger’s Promotion Program for promotions or should contractual metrics be met. 

HOSPITALITY FEE FUND - 221

  Finance and Administrative Services Department

                     Lodgers’ Promotion                     1,090,000

                     Transfer to Other Funds:                     

                                          Capital Acquisition Fund (305)                     280,000

                                          Sales Tax Refunding D/S Fund (405)                     1,196,000

A contingent appropriation is hereby reserved in the amount of $386,000 and shall be unreserved and appropriated to the Hospitality Promotion Program for promotions or should contractual metrics be met. 

CULTURE AND RECREATION PROJECTS FUND - 225

  Cultural Services Department                                          

                     Balloon Center Projects                     13,000

                     Community Events Projects                     62,000

                     Library Projects                                          500,000

                     Museum Projects                                          187,000

ALBUQUERQUE BIOLOGICAL PARK PROJECTS FUND - 235

  Cultural Services Department                                                               BioPark Projects                                          2,500,000

AIR QUALITY FUND - 242

  Environmental Health Department

                     Operating Permits                                          2,034,000

                     Vehicle Pollution Management                     1,386,000

                     Transfer to Other Funds:

                                          General Fund (110)                     323,000

SENIOR SERVICES PROVIDER FUND - 250

  Senior Affairs Department                     

                     CDBG Services                                          119,000

                     Senior Services Provider                     7,520,000

                     Transfer to Other Funds:

                                          General Fund (110)                     455,000

METROPOLITAN REDEVELOPMENT FUND - 275

  Planning Department                     

                     Property Management                     212,000

                     Railyard Redevelopment                     15,000

LAW ENFORCEMENT PROTECTION PROJECTS FUND - 280

  Police Department

                     Crime Lab Project                                          50,000                     

                     Law Enforcement Protection Act                     505,000

                     Law Enforcement Protection Act - Aviation                     20,000

                     Transfer to Other Funds:

                                          General Fund (110)                     100,000

GAS TAX ROAD FUND - 282

  Municipal Development Department

                     Street Services                                          6,155,000                     

                     Transfer to Other Funds:

                                          General Fund (110)                     248,000

CITY/COUNTY FACILITIES FUND - 290

  Municipal Development Department

                     City/County Building                     3,307,000

                     Transfer to Other Funds:

                                          General Fund (110)                     86,000

SALES TAX REFUNDING DEBT SERVICE FUND - 405

  City Support Functions

                     Sales Tax Refunding Debt Service                     23,733,000                     

FIRE DEBT SERVICE FUND - 410

  Fire Department

                     Debt Service                                          172,000

GENERAL OBLIGATION BOND DEBT SERVICE FUND - 415

  City Support Functions                     

                     General Obligation Bond Debt Service                     70,888,000

AVIATION OPERATING FUND - 611

  Aviation Department

                     Management & Professional Support                      5,841,000

                     Operations, Maintenance and Security                     33,427,000

                     Transfers to Other Funds:                                          

                                          General Fund (110)                     2,495,000

                                          Airport Capital and Deferred Maintenance Fund (613)                     23,000,000

AIRPORT REVENUE BOND DEBT SERVICE FUND - 615

  Aviation Department

                     Debt Service                                          2,306,000

PARKING FACILITIES OPERATING FUND - 641

  Municipal Development Department

                     Parking Services                                          4,368,000

                     Transfers to Other Funds:

                                          General Fund (110)                     602,000

REFUSE DISPOSAL OPERATING FUND - 651

  Solid Waste Management Department

                     Administrative Services                     7,687,000

                     Clean City                                                               10,845,000

                     Collections                                                               23,684,000

                     Disposal                                                               9,326,000

                     Maintenance - Support Services                     5,641,000                     

                     Transfers to Other Funds:

                                          General Fund (110)                     5,933,000

                                          Refuse Disposal Capital Fund (653)                     11,619,000

A contingent appropriation is made based upon the cost of fuel exceeding $2.30 per gallon during FY/21 in the Refuse Disposal Operating Fund (651).  Fuel appropriations for Administrative Services, Clean City, Collections, Disposal, and Maintenance - Support Services programs will be increased up to the additional fuel surcharge revenue received at fiscal year-end.

REFUSE DISPOSAL DEBT SERVICE FUND - 655

  Solid Waste Management Department

                                           Refuse Debt Service                     2,089,000

TRANSIT OPERATING FUND - 661

  Transit Department

                     ABQ Rapid Transit                                          1,824,000

                     ABQ Ride                                                               31,918,000

                     Facility Maintenance                     2,560,000                     

                     Paratransit Services                     6,232,000

                     Special Events                                          237,000

                     Strategic Support                                          3,464,000

                     Transfer to Other Funds:

                                          General Fund (110)                     5,590,000

                                          Transit Grants Fund (663)                     986,000

GOLF OPERATING FUND - 681

  Parks and Recreation Department

                     Golf                                                                                    4,634,000

                     Transfer to Other Funds:

                                          General Fund (110)                     350,000

BASEBALL STADIUM OPERATING FUND - 691

  Municipal Development Department

                     Stadium Operations                     1,232,000                     

                     Transfer to Other Funds:

                                          General Fund (110)                     25,000

                                          Sports Stadium D/S Fund (695)                     1,023,000

BASEBALL STADIUM DEBT SERVICE FUND - 695

  Municipal Development Department

                     Stadium Debt Service                     998,000

RISK MANAGEMENT FUND - 705

  Finance and Administrative Services Department

                     Risk - Fund Administration                     1,173,000

                     Risk - Safety Office                     1,926,000                     

                     Risk - Tort and Other                     2,410,000

                     Risk - Workers’ Comp                     2,518,000

                     WC/Tort and Other Claims                     27,829,000                     Transfers to Other Funds:

                                          General Fund (110)                     983,000

  Human Resources Department

                     Unemployment Compensation                     1,028,000                     

                     Employee Equity                                          445,000

GROUP SELF-INSURANCE FUND - 710

  Human Resources Department

                     Group Self Insurance                     84,917,000

SUPPLIES INVENTORY MANAGEMENT FUND - 715

  Finance and Administrative Services Department

                     Materials Management                     738,000                     Transfers to Other Funds:

                                          General Fund (110)                     332,000

FLEET MANAGEMENT FUND - 725

  Finance and Administrative Services Department

                     Fleet Management                                          11,628,000                     

                     Transfer to Other Funds:

                                          General Fund (110)                     631,000                     

VEHICLE / EQUIPMENT REPLACEMENT FUND - 730

  Finance and Administrative Services Department

                     Computers                                                               500,000

                     Vehicles                                                               700,000

EMPLOYEE INSURANCE FUND - 735

  Human Resources Department

                     Insurance and Administration                     7,518,000                     

                     Transfer to Other Funds:

                                          General Fund (110)                     88,000

COMMUNICATIONS MANAGEMENT FUND - 745

  Technology and Innovation Department

                     City Communications                     10,074,000                     

                     Transfer to Other Funds:

                                          Transfer to General Fund (110)                     160,000

                                          Sales Tax Refunding D/S Fund (405)                     1,495,000

                     Section 5.  That the following appropriations are hereby made to the Capital Program to the specific funds and projects as indicated below for Fiscal Year 2021:

Department/Fund                                        Source                     Amount

Finance and Administrative/Fund 305                     

Convention Center Improvements                     Transfer from Fund 221                     280,000

Parks & Recreation/Fund 305

Park Development/Parks                     Transfer from Fund 110                     100,000

Aviation/Fund 613

Airline Coverage Account                     Transfer from Fund 611                     950,328

Alb Improvement Account                     Transfer from Fund 611                     950,328

ART Program                                          Transfer from Fund 611                     200,000

Aviation Center of Excellence                     Transfer from Fund 611                     5,136,122

DEII Fence Upgrade                     Transfer from Fund 611                     30,000

DEII Mower                                          Transfer from Fund 611                     5,000

LEDA                                                               Transfer from Fund 611                     4,800,000

Mirror Facility                                          Transfer from Fund 611                     1,000,000

Post Security Improvements                     Transfer from Fund 611                     5,000,000

Taxiway F7 Connector Runway 3-21                     Transfer from Fund 611                     (221,778)

VW Electric                                          Transfer from Fund 611                     150,000

West Ramp Reconstruction                     Transfer from Fund 611                     5,000,000

                     Scope: Security improvements at the Sunport deemed necessary by the TSA or Aviation Administration in order to maintain FAA compliance and to also ensure proper security enforcement, security consultation and security studies as needed. 

Solid Waste/Fund 653

Alternative Landfill                     Transfer from Fund 651                     214,000

Automated Collection System                     Transfer from Fund 651                     600,000

Computer Equipment                     Transfer from Fund 651                     600,000

Disposal Facilities                     Transfer from Fund 651                     1,106,000

Edith Admin/Maint Facility                     Transfer from Fund 651                     500,000

Landfill Environmental                     Transfer from Fund 651                     1,299,000

Recycling Carts                                          Transfer from Fund 651                     600,000

Refuse Equipment                     Transfer from Fund 651                     6,200,000

Refuse Facility                                          Transfer from Fund 651                     500,000

                     Section 6. That the following amounts are hereby adjusted to the funds and program strategies as indicated for Fiscal Year 2020:

  GENERAL FUND 110

  Senior Affairs

  Basic Services                                                                $10,000

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

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