HomeMy WebLinkAbout040714_ca01Consent Agenda
Commissioners Office
JEFFERSON COUNTY
BOARD OF COUNTY COMMISSIONERS
AGENDA REQUEST
TO: Board of County Commissioners
FROM: Philip Morley, County Administrator
Erin Lundgren, Clerk of the Board
DATE: April 7, 2014
SUBJECT: RESOLUTION re: HEARING NOTICE for Proposed Supplemental Budget
Appropriations /Extensions for Various County Funds; Hearing Scheduled for Monday,
April 21, 2014 at 10:00 a.m. in the County Commissioners' Chamber
STATEMENT OF ISSUE:
Various County departments have requested increases to their 2014 Budget. Per RCW 36.40.140, the Board
of County Commissioners must hold a public hearing regarding the proposed budget changes. This agenda
item is to set the date for the public hearing.
ANALYSIS:
These budget changes are intended to improve the cost effectiveness and efficiency of the requesting
departments.
FISCAL IMPACT:
See attached department fund requests.
RECOMMENDATION:
Set hearing date for April 21, 2014 at 10:00 a.m. and approve the hearing notice for publication on April 9
and April 16, 2014.
REVIEWED BY:
M.Zcounty Administrator Date
STATE OF WASHINGTON
Jefferson County
IN THE MATTER OF A HEARING NOTICE }
FOR PROPOSED SUPPLEMENTAL BUDGET }
APPROPRIATIONS/EXTENSIONS FOR } RESOLUTION NO.
VARIOUS COUNTY FUNDS }
WHEREAS, various Jefferson County departments have made requests for supplemental budget
appropriations /extensions for their 2014 budgets; and
WHEREAS, the increased spending in such requests are funded by additional sources which were not
anticipated at the time of preparing said budgets; and such sources include unanticipated revenue received from
fees, or grants from the State and Federal government, or proceeds from the sale of bonds, or budgeted but
unexpended monies from the prior budget year; and
WHEREAS, it appears to the Board of County Commissioners that a need exists that could not have been
foreseen or contemplated at the time of preparing the budgets for 2014. The following identified revenue and
expenditure amounts are to be added to the various Funds. Expenditure amounts in excess of revenues listed shall
be appropriated from the unencumbered balances and represent an extension of the Fund budgets listed:
AMOUNT FROM
UNENCUMBERED
FUND# FUND NAME FUND BALANCE REVENUE EXPENSE
CURRENT EXPENSE /GENERAL RJND
001- 261 -000 OP.TRANSFERS - HEALTH $9,700 $9,700
Total General Fund
$9,700 $0 $9,700
SPECIAL REVENUEJCAPITAL /ENTERPMSEiI NTERNAL SERVICE FUNDS
107 - 000 -010
SH ERI FF BOATI NG SAFETY
$0
$49,203
$49,203
108 - 000 -010
COOPERATIVE EXTENSION
$0
$7,300
$7,300
127 - 000 -010
PUBLIC HEALTH
$0
$9,700
$9,700
131 - 000 -010
CHEMDEPEND./MENTALHEALTH
$4,247
$0
$4,247
151 - 000 -010
TREASURER'S REET
$11,312
$0
$11,312
Total Other Funds
$15,559
$66,203
$81,762
A'OW, THEREFORE, BE IT RESOLVED, that supplemental budget appropriations /extensions be made for
the above noted funds.
BE IT FURTHER RESOLVED, that a public hearing be held on the extensions and that said hearing be held
in the County Commissioners' Chambers, Courthouse, Port Townsend Washington, on the 2151 day of April, 2014,
at the hour of 10:00 a.m., and that notice of said hearing be published in the official newspaper of Jefferson
County, and that at said hearing any interested taxpayer may appear and be heard for or against the extensions.
APPROVED this 7th day of April, 2014.
SEAL:
ATTEST:
Carolyn Avery,
Deputy Clerk of the Board
JEFFERSON COUNTY
BOARD OF COMMISSIONERS
John Austin, Chairman
Phil Johnson, Member
David Sullivan, Member
TO: BOARD OF COUNTY COMMISSIONERS
RE: Request for Emergency Budget Appropriation /Extension and Amendment
Operating Transfers
Department/Fund Name
Date: March 31, 2014
001 - 261 -000 n f (.'
Fund Number
Commissioners: (mark all that apply with an "X')
Please be advised that after a thorough examination of my current budget it appears thatthe amount allocated is
insufficient to pay necessary expenses of this department for this year. After a careful examination of all the
expenditures within the department budget with respect to present and future needs, I find that my budget is
short. Therefore, for this current year for the reason's outlined below, I request an emergency appropriation and
budget extension in the amount of:
$9,700
For funds other than Current Expense (General Fund)- - Is there enough Fund Balance (unencumbered cash)
to cover this additional expenditure?
e Yes
No
Please be advised that a revenue source (i.e. grant, new fee) has been received by this department which
was not included in the annual budget at the time it was prepared. Therefore, I request an emergency
appropriation and budget extension to include this new revenue in the budget this year as outlined below in the
amount of:
$o
BUDGET
BARS Revenue #
Description
CURRENT
REVISION
AMENDED
59700.00.0160
Operating Transfer to Health Dept
$608,000
$9,700
$0
$0
TOTAL REVENUE
$0
$0
$0
BUDGET
BARS Expenditure#
Description
CURRENT
IREVISION
AMENDED
59700.00.0160
Operating Transfer to Health Dept
$608,000
$9,700
$617,700
$0
$0
$0
$0
$0
$0
TOTAL EXPENDITURE
$608,000
$9,700
$617,700
CC', AYWe S?Ckf5 3ja5J19
TO: BOARD OF COUNTY COMMISSIONERS Date: 3/20/14
RE: Request For Budget Appropriation/Extension and Amendment
,r.)1
Sheriffs Boating Safety Fund 107000010
Department/Fund Name Fund Number '
Commissioners: (check all that apply)
❑ Please be advised that after a thorough examination of my current budget it appears that the amount allocated is
insufficient to pay necessary expenses of this department for this year. After a careful examination of all the
expenditures within the department budget with respect to present and future needs, I find that my budget is short.
Therefore, I request an appropriation and budget extension in the amount
for this current year for the reasons) outlined below.
❑ For funds other than Current Expense -- Is there enough Fund Balance (unencumbered cash) to cover this additional
expenditure? Yes No
❑ Please be advised that a revenue source (i.e. grant, new fee) has been received by this department which was not
included in the annual budget at the time it was prepared. Therefore, I request an appropriation and budget
extension in the amount of $49,202.93 to include this new revenue in the budget this year as outlined below.
BARS # Revenue
Description
Current
Budget
Revision
New Budget
331.97.00.0010
GRANT - F[LS PSGP MOTORS
$0.00
$19,202.93
$19,202.93
334.02.30.0000
GRANT - DERELICT VESSEL PREVENTI
$0.00
$30,000.00
$30,000.00
52190.20.0000
PERSONNEL BENEFITS
$2,273.00
$4,258.26
$0.00
52190.32.0000
FUEL
$4,200.00
$4,000.00
$0.00
T4T VEN
$0.00
$49,202.93
$49,202.93
BARS # Expenditure
Description
Curren[
Bud et
Revision
New Budget
59421.64.0000
PSGP FY09 MOTORS
$0.00
$25,605.90
$25,605.90
52190.10.0500
OVERTIME
$14,000.00
$21,541.71
$35,541.71
52190.20.0000
PERSONNEL BENEFITS
$2,273.00
$4,258.26
$6,531.26
52190.32.0000
FUEL
$4,200.00
$4,000.00
$8,200.00
52190.35.0000
SUPPLIES
$400.00
$200.001
$600.00
TOTAL EXPEND $20,873.001
$55,605.871
$76,478.87
Reason for Appropriation /Extension _
We were awarded 75% of the cost of two new motors for our existing boat, Integrity, through the HLS PSGP FY09 grant that
paid for our new boat, Valor. At this time, we are not requesting an appropriation from the fund balance to cover the 25%
match for this expenditure, although we may do so later in the year.
We have been awarded a $30,000 grant to participate in a derelict vessel prevention program sponsored by the Washington
Department of Natural Resources.
CC. Oy\nt Se uf-s 31a5H
TO: BOARD OF COUNTY COMMISSIONERS
RE: Request for Budget Appropriation /Extension and Amendment
��:.? t1C -.ACC
Department/Fund N e
Commissioners: (mark all that apply with an' X ")
Date:
l0'�r
Fund Number
0 Please be advised that after a thorough examination of my current budget it appears that the amount allocated is
insufficient to pay necessary expenses of this department for this year. After a careful examination of all the
expenditures within the department budget with respect to present and future needs, I find that my budget is
short. Therefore, for this current year for the reason's outlined below, I request an appropriation and budget
extension in the amount of:
$7,300
Q For funds other than Current Expense (General Fund)- - Is there enough Fund Balance (unencumbered cash)
to cover this additional expenditure?
Yes
No
Please be advised that a revenue source (i.e. grant, new fee) has been received by this department which
was not included in the annual budget at the time it was prepared. Therefore, I request an appropriation and
bud et extension to include this new revenue in the budget this year as outlined below in the amount of:
$7,300
BUDGET
BARS Revenue #
Description
CURRENT
REVISION
AMENDED
108 333 66 12 0010
NOSC Snow Creek Grant
$16,973
$7,300
$7,300
108 57121 20 0000
benefits
$-2-9,6-2-5-
$730
$0
$0
$0
TOTAL REVENUE
$0
$7,300
$7,300
BUDGET
BARS Expenditure#
Description
CURRENT
IREVISION
AMENDED
108 57121 10 0600
wages - clerk hire
$16,973
$6,570
$23,543
108 57121 20 0000
benefits
$-2-9,6-2-5-
$730
$30,355
$0
$0
$0
TOTAL EXPENDITURE
$46,598
$7,300
$53,898
u : A f)Y)e. SeafS 3P51114
TO: BOARD OF COUNTY COMMISSIONERS Date: March 14, 2014
RE: Request for Budget Appropriation /Extension and Amendment
Public Health 127
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an 'X')
Please be advised that atter a thorough examination of the current budget it appears that the amount allocated is
insufficient to pay necessary expenses of this department for this year. After a careful examination of all the
expenditures within the department budget with respect to present and future needs, it has been determined
the budget is short. Therefore, a request in the amount below, an appropriation agdl t extension is
necessa for this current year:!
$9,700
0 For funds other than Current Expense (General Fund)-- Is there enough Fund Balance (unencumbere d cash)
to cover this additional expenditure?
Yes
BNo
Please be advised that a revenue source (i.e. grant, new fee) has been received by this department which
was not included in the annual budget at the time it was prepared. Therefore, an appropriation and budget
extension is requested to include this new revenue. The amount appropriated or extended is in the amount of:
$9,700
Reason for Appropriation/Extension
The first two lines above in the revenue section are to correct the coding of the "one- time" transfer from General Fund. $9,700
is a transfer from General Fund that was originally requested in 4th quarter of 2013 but the transfer never took place due to
miscommunication /misunderstanding with the request. The transfer will be used for annual licenses for each provider in
Nightengale Notes for Maternity Support medical charting and to complete the contract with Qualis Health who no longer offer
their services through the Medicaid Incentive Program. The detail above for GF -EH GIS is to correct coding; to use the BARS
number previously established in 2012 and 2013.
Respectfully Submitted,
Elec sd Official /Department Head Signature
BUDGET
BARS Revenue #
Description
CURRENT
IREVISION
AMENDED
397.00.00.0160
Transfer from G/F
$556,500
- $1,400
$555100
397.00.00.0360
397.00.00.0360
397.00.10.0300
Operating Transfer -in from G/F one -time
Operating Transfer -in from G/F one -time
GF - EH GIS
$0
$0
$3,500
$1,400
$9 700
- $3,500
$1,400
$9,700
$0
397.00.00.0300
GF - EH GIS
$0
$3,500
$3,500
TOTAL EXPENDITURE
$0
$9,700
$9,700
$0
TOTAL REVENUE
$560,000
$9,700
$569,700
Reason for Appropriation/Extension
The first two lines above in the revenue section are to correct the coding of the "one- time" transfer from General Fund. $9,700
is a transfer from General Fund that was originally requested in 4th quarter of 2013 but the transfer never took place due to
miscommunication /misunderstanding with the request. The transfer will be used for annual licenses for each provider in
Nightengale Notes for Maternity Support medical charting and to complete the contract with Qualis Health who no longer offer
their services through the Medicaid Incentive Program. The detail above for GF -EH GIS is to correct coding; to use the BARS
number previously established in 2012 and 2013.
Respectfully Submitted,
Elec sd Official /Department Head Signature
BUDGET
BARS Expenditure #
Description
CURRENT
REVISION
JAMENDED
56220.52.0010
56200.41.0355
KCHD -Ni hten ale Notes
Qualls Health - Consultant Services
$0
$0
$8,200
$1,500
$8,200
$1,500
$0
$0
TOTAL EXPENDITURE
$0
$9,700
$9,700
Reason for Appropriation/Extension
The first two lines above in the revenue section are to correct the coding of the "one- time" transfer from General Fund. $9,700
is a transfer from General Fund that was originally requested in 4th quarter of 2013 but the transfer never took place due to
miscommunication /misunderstanding with the request. The transfer will be used for annual licenses for each provider in
Nightengale Notes for Maternity Support medical charting and to complete the contract with Qualis Health who no longer offer
their services through the Medicaid Incentive Program. The detail above for GF -EH GIS is to correct coding; to use the BARS
number previously established in 2012 and 2013.
Respectfully Submitted,
Elec sd Official /Department Head Signature
(�C Avinc &!cif3 30,511`
TO: BOARD OF COUNTY COMMISSIONERS Date: March 13, 2014
RE: Request for Budget Appropriation /Extension and Amendment
Chemical Dependencey /Mental Health 131
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an 1C)
0 Please be advised that atter a thorough examination of the current budget it appears that the:amount allocated is
insufficient to pay necessary expenses of this department for this year. After a careful,examination of all the
expenditures within the department budget with respect to present and future needs, it has been determined
the budget is short. Therefore, a request in the amount below, an appropriation and bu t Mansion is
necessa for this current year: ))"
$4,247
Q
X For funds other than Current Expense (General Fund)- - Is there enough fund Bake (unencumbered cash)
to cover this additional expenditure?
jr-ill Yes
No
0 Please be advised that a revenue source (i.e. grant, new fee) has been received by this department which
was not included in the annual budget at the time it was prepared. Therefore, an appropriation and budget
extension is requested to include this new revenue. The amount appropriated or extended is in the amount of:
So
nges listed above are to reflect the current contracts for Chemical/Mental Health services in 2014. Additional changes are to
the Budgeting, Accounting, and Reporting System's (BARS) new coding system which eliminated "91 and 99" codes in 2014.
Respectfully Submitted
a-
Electe I Official /Department Head Signature
BUDGET
BARS Expenditure #
BARS Revenue #
Description
CURRENT
IREVISION
JAMENDED
Safe Harbor- CODIT- Substance Abuse
$113,972
$528
$114 500
56400.41.0013
$0
$98,290
- $1,790
$96,500
56400.41.0014
Jefferson Mental Health - School Contract
$0
- $14,658
TOTAL REVENUE
$0
$0
$0
nges listed above are to reflect the current contracts for Chemical/Mental Health services in 2014. Additional changes are to
the Budgeting, Accounting, and Reporting System's (BARS) new coding system which eliminated "91 and 99" codes in 2014.
Respectfully Submitted
a-
Electe I Official /Department Head Signature
BUDGET
BARS Expenditure #
Description
CURRENT
REVISION
AMENDED
56400.41.0011
Safe Harbor- CODIT- Substance Abuse
$113,972
$528
$114 500
56400.41.0013
Jefferson Mental Health - MH & CODIT
$98,290
- $1,790
$96,500
56400.41.0014
Jefferson Mental Health - School Contract
$79,658
- $14,658
$65,000
56400.41.0015
Jumping Mouse Children Center
$29,412
$588
$30,000
56400.41.0016
Mental Health Court - Case Management
$0
$14,400
$14,400
56400.41.0017
Mental Health Court - Incentives
$0
$1,600
$1,600
56400.91.0010
JCPH /KHD - Assessment/Evaluation
$14,357
- $14,357
$0
56400.52.0010
JCPH /KHD - Assessment/Evaluation
$0
$14,357
$14,357
56400.91.0020
Family Therapeutic Court
$2,451
- $2,451
$0
56400.41.0018
Family Therapeutic Court
$0
$16,000
$16,000
56400.91.0030
JCPH Administration
$21,614
- $21,614
$0
56400.52.0020
JCPH Administration
$0
$21,614
$21,614
56400.91.0040
Nurse Family Partnership
$31,741
$31,741
$0
56400.51.0010
Nurse Family Partnership
$0
$31,740
$31,740
56400.91.0025
ITopside
$18,481
- $18,481
$0
56400.51.0020
To side
$0
$16,000
$16000
56400.99.0010
JCSO Jail Nurse
$40,436
- $40,436
$0
56400.51.0030 JJCSO
Jail Nurse
$0
$33,000
$33000
56400.44.0000 lAdvertising
$152
-$52
$100
TOTAL EXPENDITURE
$450,5641
$4,247
$454,811
nges listed above are to reflect the current contracts for Chemical/Mental Health services in 2014. Additional changes are to
the Budgeting, Accounting, and Reporting System's (BARS) new coding system which eliminated "91 and 99" codes in 2014.
Respectfully Submitted
a-
Electe I Official /Department Head Signature
cc.. Aoy)f- SeckrS 31,-25114
TO: BOARD OF COUNTY COMMISSIONERS Date: 1124/2014
RE: Request For Budget Appropriation /Extension and Amendment
Treasurers BEET
Department/Fund Name
151 000 010
Fund Number
Commissioners: (check all that apply)
0 Please be advised that after a thorough examination of my current budget it appears that the amount allocated is
insufficient to pay necessary expenses of this department for this year. After a careful examination of all the
expenditures within the department budget with respect to present and future needs I find that juy budget is short.
Therefore, 1 request an appropriation and budget extension in the amount
for this current year for the reason(s) outlined below.
❑ For funds other than Current Expense -- Is there enough Fund Balance (unencumbered cash) to cover this additional
expenditure? Yes No
❑ Please be advised that a revenue source (i.e. grant, new fee) has been received by this department which was not
included in the annual budget at the time it was prepared. Therefore, I request an appropriation and budget
extension in the amount of to include this new revenue in the budget this year as outlined below.
BARS # Revenue
Description
P
Current
Bud et
Revision
New Budget
51422.35
fund balance
$0.00
$11,312.54
$11,312.54
$0.00
$0.00
$0.00
$0.00
[M.
!�!,I����ip,lil�I�',;,.,
r:; rp.
�,
I
$0.00
$11,312.541
$11,312.54
BARS # Expenditure
P
Description
P
Current
Bud et
Revision
New Budget
51422.35
Office Supplies
$0.00
$11,312.54
$11,312.54
$0.00
$0.00
$0.00
$0.00
r:; rp.
�,
j.,
$0.00
$11,312.54
$11,312.54
Reason for Appropriation /Extension_
.During budget preparation the updated information on this budget line did not reach Auditor personnel
Respect Ily submitted,
Judi Morris, Treasurer