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D002050CITY OF SAINT PAUL, MINNESOTA OFFICE OF THE MAYOR City Clerk Finance ADMINISTRATIVE ORDER BUDGET REVISION $o L J ADMINISTRATIVE ORDER, Consistent with the authority granted to the Mayor in Section 10.07.4 of the City Charter and based on the request of the Director of the Department of Planning 8 Economic Development to amend the 2001 budget of the City Downtown Capital Projects Fund, the Director of the O�ce of Financial Services is authorized to amend said budget in the following manner: City Downtown CaQital Projects Fund Capital Fund: Subordinate Note P6-149-76902-0547-68002 Pending Projects Current Budget $2,875,000 Capital Projects: Fund 149 Subordinated Note; Ineligible TIF Projects P6-149-76901-0299-68016 Professional Services NetChange � �, ����{ Prepared by: c i Ma a ( ate) ��.... Requeste . e, rtment irector ( ate) Change ($200,000) szoo,000 $0 No: +7(}pc�OJa Date: g—�- 6/ Amended Budget $2,675,000 szoo,000 � , �� 7ll0� Approved�rector of Financlal Services U e) • �� ° _ • CITY OF SAINT PAUL �Doo?0�52j ' OFFICE OF THE MAXOR Aavro��oa���: ADVIIlVISTRATIVE ORDER: � iryCierk(Originan Bi7DGET REVISION nance Oept's Accounvng Division ��Q �� 7� �J -Requesting6ept N ��— Date:� ADMINISTRATIVE"ORDER, Consistent with the authority granted to the Mayor in Section 10.07.4 of the City Charter and based on the request ot the Director of the Department of PED to amend the 2001 budget of the Capitai Fund, the Director of the Department of Finance Services Office is authorized to amend said budget in the foilowing manner: DEPAR7MENT&DtVlSIQN: CUflfiEM APPflOVED EUNO AN� ACTIVITYt � BUDGE'f CHANGES FROM: PED Administration Capital Fund ; Su6ordinated Note 149-76902-0547-68002 Pending Projects TO: Capital Projects: Fund 749 Subordinated Note ; eligible TIF projects 149-76900-0899-69128 Wabasha West 149-76906-0�39-68036 Skyway Visitor Signage • 149-76900-0299-68016 Professional Services for powntown 149-76900-0739-68078 Dayton's Skyway Capital Projects: Fund 149 Subordinated Note ; ineligible TIF projects t49-7690t-0558-69106 ProjectAdministration-PED Total _ C'i�Z'�� �(f-�' Preparedby. AclivityManager Data "'^"��/ +sted bY• �P ent Oirector �ate 5,358,102 0 0 0 0 4 5,358,102 (2,453,102) 825,000 450,000 100,000 208,702 900.00Q 0 AMENDED Bl10GET 2,875,000 825,000 450,000 700,000 208,102 900 q00 5,358,102 App ed by. Mayor � Date /� (j•Y`• PED DEPARTMENT/OEF�CE/COUNC[L: DATEINTCIATED £JObIXD� Planning & Economic Dev. July 13, 2001 GREEN SHEET No.: 101858 CONTACI' PERSON & YHONE: ' a'cE IIaiTIALnA'iE Meyer 6-6�3 (� C C (� � 3 DEPAl2TMtiN1' DIIL ? cirY couxcu. ST BE ON COUNCII, AGENAA BY (AATE) �IGN 4 CITY ATTORNEY NiJMBER 5 FINANCIAL SERV/AC FOR 6 MAYOR (OR ASS'I.) _ AOUTING 2_T MEYER {� 1 ORDER -- � 1a►ySf�p,�, TOTAL # OF SIGNATORE PAGES _(CLIP ALL IACATIONS FOR SIGNATURE) acriox �QUES�n: Approval of Subordinated Note: Downtown Capital Projects to create new acfivity approve in Fund 149 - Non-TIF related Professional Services and Fund $200,000 from Pending Projects. Net Change is zero. RECOMNIEIVDAITONS: Ap�rove (A) ot Reject (12) PERSONAL SERVICE CONTRACTS 111I7ST ANSWER 1'HE FOLLOWING QUESTIONS: PLANNING COM[vIISSION 1. Has this person/fvm ever worked under a contract for tkiis depaztment? CIB COMNQTTEE Yes No CTVIL SERVICE COMM[SSION 2. I3as this personlfivn ever been a ci[y employee? Yes No 3. IJoes this person/fitm possess a skill not normally possessed by any current city employee? Yes No Explain alI yes answers on separate sheei and attach to greeu sheet INITIATING PROBLEM, ISSUE, OPPORTUNATY (Who, Wpat, When, Where, Why): The 2001 budget placed an amount in the Pend'mg Projects activity in anticipation of assigning project codes and fiirflier refinement of spending decisions. Accounting recommends establishing a new actiity called Non-TIF ted Professional Services. Net change is zero. 9D4ANTAGESIFAPPROVEA The budgets will now reflect spending plans and allow snnpler treatment of the subordinated note expenditures. DISADVANTAGES IF APPROVED� None DISADVANTAGES IF NOT APPROVED. The process of accounring for the Subordinated Note will be unduly complicated and possible double budgeting of projects will be auoided. TOTAL AMOUN'[' OF TRANSACTION: $� COST/REVENUE BUDGETED: FUNDING SOURCE: 149-7b902-0547-b8002 �(.1..,_ p c� '.c e ACTNITY NLJMBER: 149J6901-0299-65016 �- INANCIAL INFORMATiON: (EXPLAI� �a ¢� "� � �" a �� �'M, � RECEI�+Ep K.\Sharad�PW1PULVER�gmsht Mrytt 101858 OJ1301 wpd � LI 1 � �����/ F4