HomeMy WebLinkAbout042 18 Lie,, 31/26//s
STATE OF WASHINGTON
Jefferson County
IN THE MATTER OF A HEARING NOTICE }
FOR PROPOSED SUPPLEMENTAL BUDGET }
APPROPRIATIONS/EXTENSIONS FOR } RESOLUTION NO. 4 2-18
VARIOUS COUNTY FUNDS }
WHEREAS,various Jefferson County departments have made requests for supplemental budget appropriations/extensions for
their 2018 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 2018.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
GENERAL FUND
001-021-000 ELECTIONS $0 $13,531 $13,531
001-067-000 SAFETY AND SECURITY $8,937 $8,937
001-180-000 SHERIFF $40,324 $40,324
001-250-000 TREASURER -$1,289,044 $1,295,768 $6,724
001-261-000 OPERATING TRANSFERS $85,902 $85,902
001-270-000 NON-DEPARTMENTAL $21,150 $21,150
Total General Fund -$1,173,055 $1,349,623 $176,568
S PEC IAL REVENUE/CAPITAL/ENTERPRISE/INTERNAL SERVICE FUNDS
108-000-010 COOPERATIVE EXTENSION -$10,429 $4,838 -$5,591
113-000-010 4-H AFTER SCHOOL $4,569 $5,200 $9,769
119-000-010 JEFFCOM BOND FUND -$8,695 $60,695 $52,000
125-000-010 HOTEL MOTEL $58,086 $58,086
140-000-010 LAW LIBRARY $3,183 $3,183
143-000-010 COMMUNITY DEVELOPMENT $0 $75,000 $75,000
150-000-010 TREASURERS O&M $3,361 $3,361
155-000-010 VETERANS RELIEF $20,000 $20,000
174-000-010 PARKS&RECREATION $0 $10,902 $10,902
175-000-010 PARKS IMPROVEMENT FUND $0 $15,000 $15,000
180-000-010 ROAD FUND $4,500 $4,500
302-000-010 CAPITAL IMPROVEMENT $15,000 $15,000
306-000-010 PUBLIC INFRASTRUCTURE FUND $29,399 $29,399
405-000-010 TRI AREA SEWER $29,399
Total Other Funds $118,974 $201,034 $290,609
NOW, THEREFORE, BE IT RESOLVED, that supplemental budget appropriations/extensions be considered 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 8th day of October,2018,at the hour of 10:00 a.m.,and
that notice of said hearin_Terpt1b)ished in the official newspaper of Jefferson County,and that at said hearing any interested person may
appear and be heard f+ . ,1 extensions.
APPROV L1 d ',Niik it 'of September,2018. 1
?',art"F JEFFERS y 'CO TY
SEAL: ,* .b"' `' BOA•• P OF CO . I ,�. 0. ►•
ATTEST: ', o r 4 4 / Davis I 1 .f it
i
, ���
, "e ,/;:*. Ka leen Kler, *em,a/�ti-"'
Carolyn allaway, `,. I '" ,,' A
Deputy Clerk of the Boards 1 ' , Kate Dean, ember
ec C3
PtV\o-ES RECEIVED
TO: BOARD OF COUNTY COMMISSIONERS Date: 9-10-2018
RE: Request For Budget Appropriation/Extension and Amendment
SEP 1o2018
ELECTIONS 001-021-000
Department/Fund Name Ji—EffERSIMVOICIVrY
CO
eA �+
C
Commissioners: (check all that apply) M M I S S I O N E RS
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,I request an appropriation and budget extension in the amount $13,531.00
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
Q 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 $13,531.00 to include this new revenue in the budget this year as outlined below.
BARS#Revenue Description Current Revision New Budget
Budget
33400.30.2018 SOS-PREPAID POSTAGE GRANT $0.00 $13,531.00 $13,531.00
$0.00
$0.00
$0.00"` > t " ` $0.00 $13,531.00 $13,531.00
BARS#Expenditure Description Current Revision New Budget
Budget
51170.42.2018 STATE GRANT PREPAID POSTAGE $0.00 $13,531.00 $13,531.00
$0.00
$0.00
$0.00
$0.00
.,ff � ,� urYfr ,mss. % $0.00 $13,531.00 $13,531.00
Reason for Appropriation/Extension
Secretary of State Office Grant for prepaid postage to be used in the 2018 primary and general elections.
Revenue of 13,531 was received in July of 2018.
In July of 2018 expenditure of 13,531 was applied to Elections Account at USPS to cover returned ballots for elections.
Respectfully submitted,
II
TO: BOARD OF COU T COMMISSIONERS Date: Se tember 10,2018
RE: Request for Budget Appropriation/Extension and Amendment
REC IVEP
067 Safety and Security 001: General Fund
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an"X") SEP 1 0 2018
X Please be advised that after a thorough examination of my current bu igavimptiVilamietiy
insufficient to pay necessary expenses of this department for this ye Aiini4fo
expenditures within the department budget with respect to present
short. Therefore, for this current year for the reason's outlined below, IçQfI*MctSS1ON€JRS
an appropriation and budget
extension in the amount of:
58,937
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
budget extension to include this new revenue in the budget this year as outlined below in the amount of:
$0
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
52510.10.0010 Emergency Management Coordinator $80,125 $7,084 $87,209
52510.20.0000 Benefits $28,765 $1,853 $30,618
$0
$0
$0
TOTAL EXPENDITURE $108,890 $8,937 $117,827
Reason for Appropriation/Extension
For three weeks in the month of July, the Department of Emergency Management carried two full-time Directors so
that the outgoing Director Sterbenz could help onboard the incoming Director Bence. This overlap of two FTEs within
DEM carried a cost of 8,937.36-this cost was obviously not foreseeable at the beginning of the year, and is one that
is not easily absorbed into DEM's already small budget without sacrificing significant hours of our clerk hires. DEM is
already stretched quite thin with one FTE and four part-time clerk hires. DEM would like to request an appropriation
so that we may continue to staff the department with our four clerks hires and maintain continued operations within
our department. See attached for the a report from Auditor Carroll on the cost of the overlap.
R s ctfully Submitted,
Elected Official/Department Head Signature
Prepared
13-Jun-18
Lynn Sterbenz Last work day
Grade 18 7/31/2018 Salary 6,677.10
Step 11 Benefits 2,358.45
9,035.55
New Mgr First work day
Grade 18 7/9/2018 Salary 5,932.51
Step 7 Benefits 2,169.16
8,101.67
5/31/2018
Budget YTD Actual
Salary 138,003 56,808 2018 S&B
Benefits 28,765 14,389 Projection
T 166,768 71,197 5/31/18 Actual 71,197
Jun &Jul Payroll (includes two employees in place during transition)
Sterbenz Salary 6,677.10
Benefits 2,358.45
T 9,035.55 x two months (Jun &Jul) = 18,071.10
New Mgr Salary 5,932.51
Benefits 2,169.16
8,101.67 x 78.6% (136 Hrs/173 Hrs for July= 6,367.91
Aug- Dec Payroll (New Mgr Only-5 months)
'New Mgr Salary 5,932.51
Benefits 2,169.16
8,101.67 x 5 months= 40,508.35
July 2018 change in personnel --- Total Salary& Benefits 64,947.36
Budget Projection
Salary 138,003.00
Benefits 28,765.00
T 166,768.00 136,144.36
30,623.64 Available to cover clerk hires S&B Jan - Dec 2018
Clk Hire Salary 35,940.00
Benefits 3,621.00
T 39,561.00 Needed to cover clerk hires S&B Jan- Dec 2018
8,937.36 To be absorbed or receive appropriation for in 2018
NOTE: Sterbenz currently has 221.332 hrs of PTO that will have to be paid out at Post Employment
It will be over$1000 and will be reimbursed back to Emer Mgmt from Fund 505 in Sept.
cc, 0_5
6-0,-3 I al i8
' .S26-1 1
Pi-Nm., 5, * g CEi
TO: BOARD OF COUNTY COMMISSIONERS r 1 s .rti! ,
RE: Request for Budget Appropriation/Extension and Amendment
Sheriffs Office SEP 10 2018 I" ) ° °'c'
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an"X") JEFFERSON
C C .
El Please be advised that after a thorough examination of my current . '.•.C ` ,_: , --IP, -Ir..k - iso
Ir
insufficient to pay necessary expenses of this department for this year. After a ca - to. I.• • ., "` 4
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:
$40,324
n 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
budget extension to include this new revenue in the budget this year as outlined below in the amount of:
$40,324
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
333.97.06.0000 Stonegarden Grant $0 $20,176 $20,176.
342.10.00.0000 Law Enforcement Services $5,000 $16,727 $21,727
342.10.41.0000 Security Alarm Recovery $0 $1,560 $1,560
333.20.60.1010 WASPC Equip Grant $0 $1,861 $1,861.
TOTAL REVENUE $5,000 $40,324 $45,324
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
52122.10.00500 Overtime $45,511 $36,903 $82,414
52110.49.0020 Printing and Binding $4,120 $1,560 $5,680
52170.31.0015 Traffic Safety Misc Grant $0 $1,861 $1,861
$0
$0
TOTAL EXPENDXTURE_ $49,631 $40,324 $89,955
Reason for Appropriation/Extension
Reimbursement grant money received that was not in the 2018 budget.A new recovery fee was enacted that was not
budgeted. Additional law enforcement services reimbursement to cover JeffCom staff shortages.
R
esull Su�bm�ittedd,
Si
W
Elected Official/Department Head Signature
CCc•
1,43
AV\ 3
TO: BOARD OF COUNTY COMMISSIONERS Date: 9/6/2018
RE: Request For Budget Appropriation/Extension and Amendment
ECEIVED
Treasurer/General Fund 001-250 R
Department/Fund Name Fund Number
Commissioners: (check all that apply) SEP 7 2018
Q Please be advised that after a thorough examination of my current budgg F,FaE Ra 4;1 .uet 1 i
insufficient to pay necessary expenses of this department for this year. '"
expenditures within the department budget with respect to present and fuIMMIX 10.c 117
Therefore,I request an appropriation and budget extension in the amount $6,724.00
for this current year for the reason(s)outlined below.
U For funds other than Current Expense -- Is there enough Fund Balance (unencumbered cash) to cover this additional
expenditure? Yes No
U 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 Current Revision New Budget
Budget
$0.00
$0.00
$0.00
$0.00
r' ,.�,• / hn ,/
.�,,, 44,,:, V4g "r"r` `/r e ,,e' s �'
$0.00' s
. xxs. $0.00 $0.00
BARS#Expenditure Description Current Revision New Budget
Budget
001250000.51422.10.004 REVENUE FORECLOSURE CLERK $36,452.00 $4,893.00 $41,345.00
001250000.51422.20.00(PERSONNEL BENEFITS $14,065.00 $1,831.00 $15,896.00
$0.00
$0.00
$0.00
' TP . , $50,517.00 $6,724.00 $57,241.00
Reason for Appropriation/Extension
Augment staff hours to accommodate fiscal timing needs and cross-train staff to prepare for retirement of key staff. Salary and
Benefits to increase the Tax Foreclosure Clerk hours from 35 to 40 hours. Position is split between general fund and Treasurer's
O&M Fund. This appropriation request is 67%of the increase.
Respectf Ily submitted,
• ' •mon ounty Treasurer
aa C5
Poin-eSRECEIVED
l �
TO:BOARD OF COUNTY COMMISSIONERS Date: 27 July 2018
RE: Request For Budget Appropriation/Extension and Amendment SEP 1 0 2018
General Fund 001-250-000 c /�
Department/Fund Name JIErd FS O N COUNTY
COMMISSIONERS
Commissioners: (check all that apply)
U 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 reflected below for this current year for
the reason(s)outlined below.
U 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 reflected below to include this new revenue in the budget this year as outlined below.
BARS#Revenue Description Current Revision New Budget
Budget
33215.23.0000 PELT LAW 97-258 $538,050.00 $1,295,768.00 $1,833,818.00
$0.00
$0.00
$0.00
:= $538,050.00 $1,295,768.00 $1,833,818.00
BARS#Expenditure Description Current Revision New Budget
Budget
$0.00
$0.00
$0.00
$0.00
$0.00
rataWfW4VAtiO4 WA", ',
$0.00 $0.00 $0.00
Reason for Appropriation/Extension
Jefferson County's 2018 Federal Payment in Lieu of Taxes distribution was much higher than the amount in the originally
adopted budget.This request recognizes the additional revenue received.
Respectfull_ ubmitted,
CCAAAA n ` ( th
E
ir ,n�S
.,' .1c:: E1VED
TO: BOARD OF COUNTY COMMISSIONERS Date: Septembe
RE: Request for Budget Appropriation/Extension and Amendment
General Fund Operating Transfe 001-261-000 ?^,." A „.,P,
Department/Fund Name Fund Number �" �~ort
Commissioners: (mark all that apply with an"r) _
X Please be advised that after a thorough examination of my current budget it ap -0 , k
allocated is insufficient to pay necessary expenses of this department for this year. • era car u `'
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:
$75,000
For funds other than Current Expense(General Fund)-- Is there enough Fund Balance
(unencumbered cash)to cover this additional expenditure?
Yes
No
x 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 to include this new revenue in the budget this year as
outlined below in the amount of:
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
59700.00.0020 Transfer to Community Development $518,707 $75,000 $593,707
TOTAL EXPENDITURE $518,707 $75,000 $593,707
Reason for Appropriation/Extension
This request is to increase the operating transfer to Community Development to cover the cost of
professional services related to Comprehensive Plan update work performed by BERK Consulting.
Respectf Subtnitted600 � .
Elected Official/ artment HE '''A
cue C5
AtAA t1(t.'
TO: BOARD OF COUNTY COMMISSIONERS Date: Septe
gEria—
RE: Request for Budget Appropriation/Extension and Amendment tIVED
General Fund Operating TransfE 001-261-000
Department/Fund Name Fund Number SEP 14 2018
Commissioners: (mark all that apply with an"X")
X Please be advised that after a thorough examination of my current budget defipiFfi,.L ,.u.i„t to TY
allocated is insufficient to pay necessary expenses of this department for thi F .;
examination of all the expenditures within the department budget with r t:it�� s ird` -
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:
$10,902
For funds other than Current Expense(General Fund)-- Is there enough Fund Balance
(unencumbered cash)to cover this additional expenditure?
Yes
No
x 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 to include this new revenue in the budget this year as
outlined below in the amount of:
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
59700.00.0009 Transfer to Parks and Recreation $490,655 $10,902 $501,557
TOTAL EXPENDITURE $490,655 $10,902 $501,557
Reason for Appropriation/Extension
This request is to increase the operating transfer to Parks and Recreation to account for the wage
increase for UFCW employees in the recently approved collective bargaining agreement.
Respectfu ubmitted, 411
Elected Official/if rtment Hf / /
Ain
TO: BOARD OF COUNTY COMMISSIONERS Rt . .
RE: Request for Budget Appropriation/Extension and Amendment
Non-departmental 001-270-000
Department/Fund Name Fund NumbeSEp 1 0 2018
Commissioners: (mark all that apply with an"X")
x Please be advised that after a thorough examination of my current bailEP 5111i �
is insufficient to pay necessary expenses of this department for this ye r 0 It ":
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:
n 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
budget extension to include this new revenue in the budget this year as outlined below in the amount of:
$4,500
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
51423.41.0010 State Examiner $58,850 $21,150 $80,000
TOTAL EXPENDITURE $58,850 $21,150 $80,000
Reason for Appropriation/Extension
The State Auditor raised it hourly rate for the annual audit. Estmated cost of the current audit is$80,000, which is
$70,000 for the audit and $10,000 for travel, etc.
Respectf Submitte�C ,
e
Elected Official epartment Head •
pift
61)1145
YZY;e5J
TO: BOARD OFC NTY COMMISSIONERS Date: August 1, 2018
RE: Request for Budget Appropriation/Extension and Amendment
WSU Jefferson County Extension 108
Department/Fund Name Ste, 0 6 2018 Fund Number
Commissioners: (mark all that apply with an"X")
x 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:
-$5,591
For funds other than Current Expense(General Fund)-- Is there enough Fund Balance(unencumbered cash)
to cover this additional expenditure?
Yes
No
x
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 to include this new revenue in the budget this year as outlined below in the amount of:
-$4,162
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
33366.12.0108 'Indirect Fed EPA Grant Thru NSF $11,462 -$11,462 $0
34710.00.0062 Small Farms-Landworks $5,000 -$1,000 $4,000
34710.00.0065 Small Farms Tours $11,000 $8,300 $19,300
$0
$0
TOTAL REVENUE $27,462 -$4,162 $23,300
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
55310.51.000 Admin Overhead to WSU $8,817 -$8,817 $0
57123.41.0040 SM Farms-Farm Tour Exp $8,000 $10,079 $18,079
57123.10.0010 SM Farms Clerk Hire $6,264 -$6,264 $0
57123.20.0000 Personnel Benefits $589 -$589 $0
$0
TOTAL EXPENDITURE $23,670 -$5,591 $18,079
Reason for Appropriation/Extension
Correcting error in stating Indirect revenue and expenditures from Water Quality Grants. Small Farms-Landworks
revenue changes since a contributor has pulled their support because of their own internal issues. Small Farms
Tours revenue increase due to increase in LTAC and sponsor support, expenditures increase with the extra LTAC
funding to advertise to a larger audience building a larger attendance to this Jefferson County Small Farms event.
WSU Extension Event Coordinator went with the WSU Food Systems Program team-Extension no longer supports
her salary/benefits.
Resperully Submitted,
Elected Official/Department Head Signature
: eq,,by
TO: BOARD OF C SNTY COMMISSIONERS ' Flo
RE: Request for Budget Appropriation/Extension and Amendment
Cooperative Extension Programs 108-000-010
Department/Fund Name Fund Number SEP 1 0 2018
Commissioners: (mark all that apply with an"X")
Please be advised that after a thorough examination of my current budJAp ttli cC I dV
is insufficient to pay necessary expenses of this department for this yea
the expenditures within the department budget with respect to presen and uture nee s, in t
irs
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:
For funds other than Current Expense(General Fund)--Is there enough Fund Balance(unencumbered
cash)to cover this additional expenditure?
Yes
No
x
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 to include this new revenue in the budget this year as outlined below in the amount of:
$4,500
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
39700.00.0011 General Fund Operating Transfer-Weed Control $0 $4,500 $4,500
39700.00.0180 Road Fund Operating Transfer-Weed Control $0 $4,500 $4,500
$0
$0
$0
$0
$0
TOTAL REVENUE $0 $9,000 $9,000
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
TOTAL EXPENDITURE $0 $0 $0
Reason for Appropriation/Extension
Per an approved MOA WSU Extension - Noxious Weeds will receive$4,500 from the Road Fund and$4,500
from the General Fund for its noxious weed control program. This request recognizes those transfers.
Respectfu ubmitted,
Elected Official,P partment Head Sign
O : LS
PitALL
TO BOAR OF COUNTY COMMISSIONERS P .
018
RE: Request for Budget Appropriation/Extension and Amendment11
WSU Jefferson County Extension 113
Department/Fund Name FtV11,118
Commissioners: (mark all that apply with an"X")
x Please be advised that after a thorough examination of my c ''=,''• •. f� ted is
insufficient to pay necessary expenses of this department for ' y� .• •fall' the
expenditures within the department budget with respect to AiiitaVif'' g' 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:
$9,769
n For funds other than Current Expense(General Fund)--Is there enough Fund Balance(unencumbered cash)
to cover this additional expenditure?
Yes
No
' A1
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 to include this new revenue in the budget this year as outlined below in the amount of:
55,200
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
11300010.xx0ooc.xx.x)ooc JEFFERSON HEALTHCARE $4,000 $4,000'
11300010_xr000c.xx.xxxx JEFFERSON COUNTY 4-H LEADERS COUNCIL $1,000 $1,000
11300010.xxxxx.xx.xxxx QUILCENE FAIR-DONATIONS $200 $200
$0
$0
TOTAL REVENUE $0 $5,200 $5,200
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
113000010.57123.10.0000 LEAD TEACHERS $17,554 $1,443 $18,997
113000010.57123.10 0001 CLERK HIRE-ASSISTANT $2,640 $1.920 $4,560
113000010.57123.20.0000 BENEFITS $1,289 $1.090 $2,379
113000010.57123.31.0020 PROGRAM SUPPLIES-K-6 $3,567 $1,620 $5,187
113000010.57123.xxxxxx SNACKS K-6 $0 $2,120 $2,120
113000010 57123 41 01 oo 4-H ENROLLMENT FEE $0 $1,000 $1,000
113000010.5712349,0010 TRAINING $0 $576 $576
TOTAL EXPENDITURE $25,050 $9,769 $34,819
Reason for Appropriation/Extension
The nature of this fund is that revenue and expenditures are updated for the new school year beginning in September
every year. Therefore this appropriation is to distribute the new revenue funding shown above and$4,569 of cash
balance. Our current cash balance at the end of August is$59,395.97 and will be adequate to fund the increased
Afterschool expenditures for the school year September-December 2018 school term.
Respectfully Submitted,
C5R ECEIVED
TO:BOARD OF COUNTY COMMISSIONERS Date: 9/6/2018
RE: Request For Budget Appropriation/Extension and Amendment
Treasurer/JeffCom Capital Fund 119
Department/Fund Name Fund NumbEer SEP
7
8
Commissioners: (check all that apply) J :.
Li Please be advised that after a thorough examination of my current budg i 1�noC I s
insufficient to pay necessary expenses of this department for this year. ,' : y e
expenditures within the department budget with respect to present and future needs, I fins tha
Therefore,I request an appropriation and budget extension in the amount
for this current year for the reason(s)outlined below.
U For funds other than Current Expense -- Is there enough Fund Balance (unencumbered cash) to cover this additional
expenditure? 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, I request an appropriation and budget
extension in the amount of $60,695.00 to include this new revenue in the budget this year as outlined below.
BARS#Revenue Description Current Revision New Budget
Budget
119000010.31316.00.00( SALES TAX FOR EMERGENCY COMMUI $204,000.00 $60,695.00 $264,695.00
$0.00
$0.00
$0.00
4„:„4 ` $204,000.00 $60,695.00 $264,695.00
BARS#Expenditure Description Current Revision New Budget
Budget
119000010.59128.71.003 BOND PRINCIPAL(RMS-09/11) $0.00 $50,000.00 $50,000.00
119000010.59228.83.00(BOND INTEREST(RMS-09/11) $0.00 $2,000.00 $2,000.00
$0.00
$0.00
$0.00
$0.00 $52,000.00 $52,000.00
Reason for Appropriation/Extension
2018 Budget change requested to reflect actual revenue and debt service for 2018. Actual amount collected to service three
bonds is$22,057.93 per month.
This is the last year for this bond,and it will be paid in full December 1,2018.Fund balance at end of year is necessary to level
the amount collected each month,meet 10%required reserve,and ensure fund balance is positive when bond payments are
made in November for December 1st due date each year.
Resp-c fully submitted,
Jefferson County Treasurer
Prud (1.6
OF
TO: B RD6OF COUNTY COMMISSIONERS Date: Augus 1
FIVED
RE: Request for Budget Appropriation/Extension and Amendment
Hotel-Motel 125-000-010 SEP 14 2018
Department/Fund Name Fund Number
JEFFERSON Commissioners: (mark all that apply with an"X") C TY
X Please be advised that after a thorough examination of my current budget it CpOrMAUSSIONERS
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:
$6,000
X For funds other than Current Expense(General Fund)-- Is there enough Fund Balance
(unencumbered cash)to cover this additional expenditure?
X 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 to include this new revenue in the budget this year as outlined below
in the amount of:
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
51900.41.0091 Centrum $20,000 $10,000 $30,000
51990.41.0092 Chimacum Farmers Market $4,205 $2,992 $7,197
51990.41.0040 Jefferson County Historical Society $60,195 $5,997 $66,192
51990.41.0085 Olympic Peninsula Gateway Visitors Center $66,700 $2,000 $68,700
51990.41.0060 Quilcene Historical Museum $23,610 $8,425 $32,035
51990.41.0052 Tourism Coordinating Council $150,000 $20,000 $170,000
59700.00.0174 JC Parks and Rec-Local Campgrounds $41,625 $8,672 $50,297
TOTAL EXPENDITURE $366,335 $58,086 $424,421
Reason for Appropriation/Extension
Actual Hotel-Motel Fund revenues have exceeded budgeted revenues making additional expenditure budget
possible for a variety of tourism promotion organizations.
Respeco; Submitted,
Elected Officia 1epartment Head Sig ���1�
Cc 3
IP-PI
Anse 5.
TO: BOARD OF C UNTY COMMISSIONERS Date: September 4,2018
RE: Request for Budget Appropriation/Extension and Amendment
SEP OS 2018
140/Law Library 140000010.59412.64.0010
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an"X')
x 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:
$3,183
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
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
308.80.00.0000 Revenue Accounts $0
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
14000010.59 $1,157 $3,183 $4,340
$0
$0
$0
$0
TOTAL EXPENDITURE $1,157 $3,183 $4,340
Reason for Appropriation/Extension
As of August 27, 2018,the Law Library had a balance of$1156.74. In order to fulfill the invoice/billing requirements,
the Law Library will need an additonal 3183.00. The amount requested will insure we are able to pay in a timely
manner and not have the same impact as last year when paying December invoices on the 2019 budget.
Respectfully Submitted,
Elected Offici I/Department ad Signature
cal (6,5„cH crial
ANf5
TO: BOARD OF COUNTY COMMISSIONERS Date: 9/10/18
RE: Request For Budget Appropriation/Extension and Amendment
Community Development 143000010
Department/Fund Name Fund 'in :r"
Commissioners: (check all that apply)
0 Please be advised that after a thorough examination of my current budget it appearytiptithy 9inikint allocated is
insufficient to pay necessary expenses of this department for this year. After a caret urittfinttfigiion of all the
expenditures within the department budget with respect to present ancl&taw-, I ni that m budget is short.
Therefore,I request an appropriation and budget extension in the amount •
�' .,►_�
for this current year for the reason(s)outlined below.
COMIVIISSIONERS
❑ For funds other than Current Expense -- Is there enough Fund Balance (unencumbered cash) to cover this additional
expenditure? Yes No
U 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 Current Revision New Budget
Budget
143.39700.00.00xx BERK Contract for completion of the $0.00 $75,000.00 $75,000.00
Comprehensive Plan $0.00
$0.00
$0.00
s W
v, + $0.00 $75,000.00 $75,000.00
BARS#Expenditure Description Current Revision New Budget
Budget
143.55860.41.0025 Professional Svcs-Comp Plan Update $0.00 $75,000.00 $75,000.00
$0.00
$0.00
$0.00
$0.00
y � f
. `.1 OTA �1 401. :' $0.00 $75,000.00 $75,000.00
Reason for Appropriation/Extension
Professional Service Contract has already been approved by the Board and the Comprehensive Plan is nearing completion under
a contract signed with BERK Consulting.
Respectj'uily su mitted
cc c3
TO:BOARD F COUNTY COMMISSIONERS Date: 9/7/2018
RE: Request For Budget Appropriation/Extension and Amendment
'RECEIVE *'
Treasurer/Treasurer's O&M 150
Department/Fund Name Fund Number
SEP 0 7 2018
Commissioners: (check all that apply) ®®�� ��''
0 Please be advised that after a thorough examination of my cut'I'e nuc elE ,:t ., , ocated is
insufficient to pay necessary expenses of this department fort s 'i'1 �' ' '�;` n1 11 the
expenditures within the department budget with respect to present i e t is short.
Therefore,I request an appropriation and budget extension in the amount $3,361.10
for this current year for the reason(s)outlined below.
U For funds other than Current Expense -- Is there enough Fund Balance (unencumbered cash) to cover this additional
expenditure? Yes No
U 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 Current Revision New Budget
Budget
$0.00
$0.00
$0.00
$0.00
% t M% ,% `10-*O ' r ,., $0.00 $0.00 $0.00
BARS#Expenditure Description Current Revision New Budget
Budget
150000010.51422.10.001 REVENUE FORECLOSURE CLERK $17,124.00 $2,446.00 $19,570.00
150000010.51422.20.00(PERSONNEL BENEFITS $6,785.00 $915.00 $7,700.00
$0.00
$0.00
$0.00
` / '` l4 Ais,EXP."104VO`` $23,909.00 $3,361.00 $27,270.00
Reason for Appropriation/Extension
Augment staff hours to accommodate fiscal timing needs and cross-train staff to prepare for retirement of key staff. Salary and
Benefits to increase the Tax Foreclosure Clerk hours from 35 to 40 hours. Position is split between general fund and Treasurer's
O&M Fund. This appropriation request is 33%of the increase.
Respectf ly submitted,
Je erson ounty Treasurer
e�
01A-cit q i� I F
TO: BOARD OF C NTY COMMISSIONERS Date: September 5,2018
RE: Request for Budget Appropriation/Extension and Amendment
CEVeterans Relief 155-0 „ MED
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an "X") SEP12 20
x Please be advised that after a thorough examination of my current bud et it appears that a amount allocated
is insufficient to pay necessary expenses of this department for this hr� on of all
the expenditures within the department budget with respect to pre- • ii. fdTy
budget is short. Therefore, for this current year for the reason's outlin= •1+' 4,1188 :y
budget extension in the amount of:
x For funds other than Current Expense(General Fund)--Is there enough Fund Balance(unencumbered
cash)to cover this additional expenditure?
x 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 to include this new revenue in the budget this year as outlined below in the amount of:
$4,500
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
55360.40.0000 Other Services/Charges $59,950 $20,000 $79,950
TOTAL EXPENDITURE $59,950 $20,000 $79,950
Reason for Appropriation/Extension
More qualified veterans have petitioned the county for relief. This request ensures the county will be able to meet
its obligations.
Respectf ubmitted,
Elected Official/D rtment Head Sign
c,c $
ciligia
TO: BOARD
OF UNTY COMMISSIONERS SEP Q 5 2018 Date: September 4,2018
RE: Request for Budget Appropriation/Extension and Amendment
Public Works-Parks& Recreation 174000010
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an"X")
X 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:
$10,902
For funds other than Current Expense(General Fund)--Is there enough Fund Balance(unencumbered cash)
to cover this additional expenditure?
Yes
X 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 to include this new revenue in the budget this year as outlined below in the amount of:
$10,902
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
39700.00.0010 OPERATING TXFR IN FROM GENERAL FUND $490,655 $10,902 $501,557
$0
$0
$0
TOTAL REVENUE $490,655 $10,902 $501,557
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
57100.10.0000 RECREATION -SALARIES&WAGES $121,042 $3,577 $124,619
57520.10.0000 MEMORIAL FIELD-SALARIES &WAGES $46,390 $1,712 $48,102
57680.10.0000 PARKS-SALARIES &WAGES $121,149 $5,613 $126,762
$0
$0
TOTAL EXPENDITURE $288,581 $10,902 $299,483
Reason for Appropriation/Extension
Members of both the Teamsters Local 589 Union, and the UFCW Local 21 Union serve as Jefferson County Parks
and Recreation staff. This budget allocation will fund pay increases specified in the collective bagaining agreements
of both unions. Teamsters Union staff members were awarded a 5% increase that was applied retroactively to the
beginning of 2017. UFCW members were awarded a 5% increase that began in 2018.
Respectfully Submitted,
Elected Official/Departtenntt Head- ignature
cc, : C ,
7/iIiTO: BOARD OF C NTY COMMISSIONERS D ,,,Acj
RE: Request for Budget Appropriation/Extension and Amendment
Parks Improvement Fund 175-000-010
Department/Fund Name Fund Number SEP 0 7 2018
Commissioners: (mark all that apply with an"X")
X Please be advised that after a thorough examination of my current budgetjf EIS DantGOUN TY
insufficient to pay necessary expenses of this department for this year. Aft
expenditures within the department budget with respect to present and faint n n t I u'I.-
short. Therefore, for this current year for the reason's outlined below, I request an appropriation and budget
extension in the amount of:
$15,000
For funds other than Current Expense(General Fund)--Is there enough Fund Balance(unencumbered cash)
to cover this additional expenditure?
Yes
No
X
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 to include this new revenue in the budget this year as outlined below in the amount of:
$15,000
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
39700.00.0302 Transfer In from Capital Improvement $52,185 $15,000 $67,185
$0
$0 $0
$0
TOTAL REVENUE $52,185 $15,000 $67,185
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
59476.63.0000 Capital-Other Improvements $65,185 $15,000 $80,185
$0
$0
$0
$0
TOTAL EXPENDITURE $65,185 $15,000 $80,185
Reason for Appropriation/Extension
Additional funds are needed to complete the replacement of the PT Community Center playground fence.
Respectfully a• ' ed,
Jam'
`'
Eleeal/Iepartnrp•.. ead Signature
R1/4,3„ c7 j1 lig
TO: BOARD OF COUNTY COMMISSIONERS RE- ,
RE: Request for Budget Appropriation/Extension and Amendment
County Road Fund 180-000-010
Department/Fund Name Fund Nurr ° ij 1 0 2018
Commissioners: (mark all that apply with an"X") i �®
x
Please be advised that after a thorough examination of my current • t ; Yh
is insufficient to pay necessary expenses of this department for this e-. � : fiVvri . ` .
the expenditures within the department budget with respect to present and future ne-dtf 114 r S
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:
$4,500
x 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
budget extension to include this new revenue in the budget this year as outlined below in the amount of:
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
59700.00.0108 Road Fund Operating Transfer-Weed Control $0 $4,500 $4,500
TOTAL EXPENDITURE $0 $4,500 $4,500
Reason for Appropriation/Extension
Per an approved MOA with WSU Extension-Public Works will transfer$4,500 to WSU Extension-Noxious
Weeds for its noxious weed control program. This request establishes the transfer budget.
Respectf ub fitted,
a _ / /o7.
Elected Official/Apartment Head Sign,
ec ef(i7I 1
E1VED
ffr \-e 5
TO: BOARD OF COUNTY COMMISSIONERS Date: Sept-
RE: Request for Budget Appropriation/Extension and Amendment
Capital Improvement 302-000-0010 SEP1 4 ,'ia!^'l1q8
Department/Fund Name Fund Number
Commissioners: (mark all that apply with an"X") JEFFERSON COUNTY
X S
Please be advised that after a thorough examination of my current budget it fie,rri r • R
allocated is insufficient to pay necessary expenses of this department for this year. fter`a care uh
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:
$15,000
X For funds other than Current Expense(General Fund)--Is there enough Fund Balance
(unencumbered cash)to cover this additional expenditure?
X 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 to include this new revenue in the budget this year as
outlined below in the amount of:
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
59700.00.0017 Transfer to Parks Improvement $52,185 $15,000 $67,185
TOTAL EXPENDITURE $52,185 $15,000 $67,185
Reason for Appropriation/Extension
The County has gone out for bids twice to replace the playground fence at the Port Townsend Community
Center. Both times the bids came in much higher than expected. The fence is in dire need of replacement.
Respectf .ubmitted,/;
Elected Official/��artme (7
p-0A , cil ,),3
3
ii.,_ ,,
gIvE
TO: BOARD OF COUNTY COMMISSIONERS Date: Augur 3 , n
RE: Request for Budget Appropriation/Extension and Amendment
Public Infrastructure Fund 306-000-010 SEP 10 2010
Y
Department/Fund Name °clFund
yerFE
Commissioners: (mark all that apply with an"X") S �°'
X Please be advised that after a thorough examination of my current budge i
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:
$6,000
n For funds other than Current Expense(General Fund)-- Is there enough Fund Balance
(unencumbered cash)to cover this additional expenditure?
X Yes
No
i l 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 to include this new revenue in the budget this year as outlined below
in the amount of:
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
$0
$0
$0
TOTAL REVENUE $0 $0 $0 j
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
59700.00.0040 Transfer to Tri-Area Sewer Fund $225,000 $29,399 $254,399
TOTAL EXPENDITURE $225,000 $29,399 $254,399
Reason for Appropriation/Extension
Per Jefferson County code 50%of Public Infrastructure Fund sales tax revenues are to be transferred to the
Tri-Area Sewer Fund. This additional transfer will reconcile this amount through December 31, 2017.
Respectful Submitted,
eid
Elected Official/ partment Head Ste'
cc c,5
EIVED
TO: BOARD OF COUNTY COMMISSIONERS Date: August , 1
RE: Request for Budget Appropriation/Extension and Amendment
Tri-Area Sewer Fund 405-000-010 SEP 10 2018
COUNTY
Department/Fund Name Fund NumEber
Commissioners: (mark all that apply with an"X") FFERSON
Please be advised that after a thorough examination of my current budg it til :i a:, R'NERS
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:
n For funds other than Current Expense(General Fund)--Is there enough Fund Balance
(unencumbered cash)to cover this additional expenditure?
Yes
No
x 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 to include this new revenue in the budget this year as
outlined below in the amount of:
$29,399
BUDGET
BARS Revenue# Description CURRENT REVISION AMENDED
39700.00.0017 Transfer from Public Infrastructure $225,000 $29,399 $254,399
$0
$0
$0
TOTAL REVENUE $0 $0 $0
BUDGET
BARS Expenditure# Description CURRENT REVISION AMENDED
TOTAL EXPENDITURE $0 $0 $0
Reason for Appropriation/Extension
Per Jefferson County code 50% of Public Infrastructure Fund sales tax revenues are to be transferred to
the Tri-Area Sewer Fund. This additional transfer will reconcile this amount through December 31, 2017.
Respectfull : -bmitted,
s1 . .
Elected Official/Fr artment HE
Consent Agenda
JEFFERSON COUNTY
BOARD OF COUNTY COMMISSIONERS
AGENDA REQUEST
TO: Board of County Commissioners
Philip Morley, County Administrator
FROM: Leslie Locke, Executive Assistant
DATE: September 24, 2018
SUBJECT: RESOLUTION NO. re: HEARING NOTICE: Third Quarter 2018 Budget
Appropriations/Extensions; Various County Departments; Hearing
scheduled for Monday, October 8,2018 at 10:00 a.m. in the
Commissioners Chambers
STATEMENT OF ISSUE:
Various County Departments have requested increases to their 2018 budget. Per RCW 36.40.140 the BOCC
must hold a public hearing regarding the proposed budget changes. This agenda item is to approve the public
notice only; the individual changes will be reviewed at the public hearing.
ANALYSIS:
These budget changes are intended to address unanticipated revenues and necessary expenditures and to
improve the cost effectiveness and efficiency of the requesting departments. The Hearing Notice will be
published in the Leader on September 26 and October 3, 2018.
One item worthy of note here is the recognition of additional Payment in Lieu of Taxes (PILT) revenue of
$1,295,768 received this year that was above the amount we budgeted. Jefferson County has historically
taken a prudent/conservative approach to budgeting PILT revenues due to their unpredictable nature: will we
receive PILT and how much? The County has historically budgeted about a half a million dollars per year in
PILT revenue for ongoing staffing and program costs. Revenues received above the budgeted amount were
historically used to cover unanticipated one-time costs. These one-time costs usually account for the bulk of
the excess PILT revenues.
In past years we have not typically adjusted our revenue budget to recognize additional PILT revenue. This
year, the excess amount of$1,295,768 is larger than past years, and warrants a budget adjustment. As in past
years, the excess will be used to cover unanticipated costs. In the first three quarters of 2018 one-time
unanticipated costs have already totaled $673,000. A few examples include over $404,000 in additional
costs to pay for a collective bargaining settlement and to transfer of$60,000 to Public Works to offset a
reduction in Secure Rural Schools revenue. PILT will also be used to cover supplemental costs the County
likely will face in the fourth quarter of 2018. The County will also want to retain flexibility to address other
future demands, such as potential liability settlements, capital needs and the revenue shortfalls should there
be a future recession.
Consent Agenda
FISCAL IMPACT:
Provided in Resolution.
RECOMMENDATION:
Approve resolution to publish a notice for the hearing set for October 8, 2018 at 10:00 a.m. in the
Commissioners Chambers.
REVIEWED BY:
Ar 'OP
_ir le''',,OF c----"I'--- ,y/2,,(7(V
Philip Mo County Admin' rator Date