Budget Amend., FY 2002MEMORANDUM
October 10, 2001
TO:
FROM:
SUBJECT:
The Honorable Mayor and City Council Members
Michael C. Van Milligen, City Manager
Fiscal Year 2002 Budget Amendment
Administrative Services Manager Pauline Joyce is recommending an amendment to the
Fiscal Year 2002 budget to provide for Fiscal Year 2001 capital projects which were not
completed during the fiscal year to be carried forward into Fiscal Year 2002. There will
be a second Budget Amendment in May 2002, to pick up the balance of City Council
actions during the year requiring amendments to the current fiscal year budget.
I concur with the recommendation and respectfully request Mayor and City Council
approval.
Michael C. Van Milligen
MCVM/jh
Attachment
cc: Barry Lindahl, Corporation Counsel
Cindy Steinhauser, Assistant City Manager
Pauline Joyce, Administrative Services Manager
MEMORANDUM
September 27, 2001
TO:
FROM:
SUBJECT:
The Honorable Mayor and City Council Members
Michael C. Van Milligen, City Manager
Fiscal Year 2002 Budget Amendment
Administrative Services Manager Pauline Joyce is recommending that a public hearing
be set for October 15, 2001, to consider the Fiscal Year 2002 Budget Amendment.
I concur with the recommendation and respectfully request Mayor and City Council
approval.
Michael C. Van Milligen
MCVM/jh
Attachment
cc: Barry Lindahl, Corporation Counsel
Cindy Steinhauser, Assistant City Manager
Pauline Joyce, Administrative Services Manager
MEMORANDUM
September 14, 2001
TO:
FROM:
SUBJECT:
Michael C. Van Milligen, City Manager
Pauline Joyce. Administrative Services Manager
Fiscal Year 2002 Budget Amendment
The purpose of this memorandum is to inform you of Fiscal Year 2001 capital
projects which were not completed during the fiscal year and will be carried
forward into Fiscal Year 2002 and to begin the process for amending the Fiscal
Year 2002 budget.
The attached summary includes operating budget carryovers of $2,555,747,
capital budget carryovers of $44,540,373 (covered by continuing appropriation
authority), June 30th Outstanding Purchase Orders of $11,005,348 and
amendment items of -$7,508,454. Estimated revenues associated with the
carryovers and amendment items are being increased by $16,788,379. These
items are being presented for the purpose of amending the Fiscal Year 2002
budget. There will then be a second budget amendment around April or May,
2002 to pick up the balance of City Council actions requiring amendments to the
current fiscal year.
The most Significant changes being presented through the amendment process
include: Riprow Valley ($1,091,000), Bus Replacements ($1,419,724), New
Operations and Maintenance Facility ($3,310,000), Community Development Block
Grant related carryovers ($1,349,603), Manson Road Bridge ($957,911), Brunskill
Bridge ($315,000), Fengler Street Bridge ($845,565), other Street Projects
(approximately $4,400,000), Treatment Plant and Sanitary Sewer projects
($3,965,255), Eagle Window federal loan funds, Mississippi Riverwalk project
($3,346,568), Riverfront Leasehold Improvements ($1,030,000), and the Brewery
Acquisition funds ($2,107,608).
The action step is for the continuing appropriation (capital carryovers), operating
budget carryovers and amendment items to be forwarded to City Council for their
information and to forward the attached resolution for City Council action to set
the public hearing date for the formal budget amendment process as required by
Section 384.16 of the Code of Iowa. The attached resolution authorizes the City
Clerk to publish notification for a public hearing to be held October 15, 2001.
Attachments
CC;
Cindy Steinhauser, Assistant City Manager
Barry Lindahl, Corporation Counsel
Ken TeKippe, Finance Director
-3-
RESOLUTION NO._ -01
RESOLUTION DIRECTING THE CITY CLERK TO PUBLISH
PROPOSED AMENDMENT TO THE FISCAL YEAR 2002 BUDGET
AND DATE OF PUBLIC HEARING
Whereas, it is proposed that the City of Dubuque amend its Fiscal Year 2002
budget; and
Whereas, Section 384.16 of the Code of Iowa stipulates that a public headng
must be held on such a budget amendment.
NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CiTY
OF DUBUQUE, IOWA:
Section 1. That the City Clerk by and is hereby authorized and directed to
publish notice of public headng on an amendment to the adopted budget for the City of
Dubuque, Iowa.
Passed, approved and adopted this day of ,2001.
Attest:
Terrance M. Duggan
Mayor
Jeanne F. Schneider
City Clerk
NOTICE OF PUBUC HEARING
AMENDMENT OF CURRENT CITY BUDGET
Ti~e City Council of DUBUQUE in DUBUQUE County. iowa
will meet at Camegie Stcut Ubrary Auditorium
at 7:00 p.m. on Monday, October 15
.for the purpose of amending the current budget of the city for the fiscal year ending June 30, 2002
by changing estimates of revenue and expenditure appropriations in the following programs for lhe reasons given.
Additional detail is available at lhe city clerk's office showing revenues and expenditures by fund type and by activity.
Total Budget Total Budget
as certified Current after Current
or last amended Amendment Amendment
Taxes Levied on Prededy 14,838,619 14,838~619
Net Currant pro~rl~. Taxes 14.838.619 0 14,~$~,619
Other CAy Taxes 8,780,800 8~780,800
Inten~ovemmental 54~660~085 (817,152 53.842,933
Charoes for Sepz~ces 1( 17,687,032 894.467 18~581~499
taiscel~e3us 1: 3~643~388 18,305~341 21.948~729
Other Financin~ Sourc~ 1: 10,0~4,796 30,443~055 41.387~851
Exoendltures & Other Financina Uses
Fb3me & Cor~qunity Environment {garbaqe~sb eet s.ut ds,etc) 1; 85,517,554 43~869~417 129,386,971
T~t~l Ex..n~,res 2( 117.290.886 > 50.565.983
Debt Sew~ce 2' 4,344,731 4,344,731
Cap~i Proiects 2; 61 ~070~134 48,011 ~970 109,082,104
Endirm F,m~t aalance June 30 2( 15.204.480 Q 1 ~1~0414~(~
Explanation of increases or decreases in revenue estimates, appropriations, or available cash:
Amending for continuing appropda§on authudty (capital budget carryovers of $44,540,373~ operating budget
carryovers of $2,555,747, outstandinq purchase orders of $11 ~005,348 and amendment items of -$7,508,454.
Additienal revenue of $16,788~379 includes pdmafily qrants and bond proceeds for America's River Proiect.
There will be no increase in tax levies to be paid in the esrrent fiscal year named above. Any increase in
expenditures set out above will be met from the increased non-property tax revenues and cash balances not
budgeted or considered in Eqis current budget. This will provide for a balanced budget.
C~ Clink
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT~
AMOUNT FD Activity
Object
09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
REVENUES
Replace Police/CAD Software-County Share
Police Vehicle Sales Revenue
Police Traffic Safety Grant
Police Intern-County Share
Refuge Interpretive Center-Discovery Center-HUD
ISTEA Grant for Design and Engineering Riverwalk
State Planning Grant for Riverwalk Project
VISION Iowa Funds for Conference Center
Loras Property~445
Park Division-Landscape Highway 20--ISTEA
Park Division~Landscape Gateways--ISTEA
Park Dlvlslon-Riprow Valley Dev.
Park DIvislon-Riprow Va lay Day
FEMA Reimbursements for Flood Related Damages
Heritage Trail-Principal Route-ISTEA Grant
Heritage Trail-Principal Route-State Grant
Heritage Trail-Principal Route-REAP Grant
Heritage Trail-Principal Route.Trails Grant
Heritage Trail-Related Route-REAP Grant
Hodgen/W. Locust Sidewalk/Step ISTEA Grant
Catherine/Locust Step Replacement-ISTEA
AMOUNT FD Activity
TOTAL GENERAL FUND
Object
Police Department 9,217 010 010638 43510
Police Department 52;650 010 11700 52503
Police Department 17,436 010 11763 43242
Po[ice Department 1,560 010 11190 43510
Econ. Development 116,220 010 010945 43268
Engineering 19,698 010 010077 43109
Engineering 650,000 010 010077 43400
Five Flags (37,634,923) 010 010764 43400
Housing Services 1,627 010 61350 52319
Park Division 145,000 010 010287 43109
Park Division 170,100 010 010395 43109
Park Division 635,000 010 010671 43400
Park Division 457,000 010 010671 53202
Operations & Maintenance 123,919 010 54340 43274
Operations & Maintenance 010 010242 43109
Operations & Maintenance 166,341 010 010242 43400
Operations & Maintenance 9,000 010 010242 43407
Operations&Maintenance 15,781 010 010242 43450
Operations & Maintenance 194,583 010 010381 43407
Operations & Maintenance 141,800 010 010680 43109
Operations & Maintenance 101,750 010 010423 43109
(34,606,241)
1,079,107 050 050716 48210
212,985 050 050446 43210
168,534 050 53400 43241
58,172 050 53400 43400
1,518,798
FTA Funding for Bus Replacements Transit Division
FTA Funding for Replace Mini-Buses Transit Division
Federal Aid-Special Project Transit Division
State Aid-Special Project Transit Division
TOTAL TRANSIT FUND
Fund Change Amendment
Fund Change for Portion of Project
Fund Change
TIF Revenue Bond Proceeds-Eagle Window Community & Econ. Dev. 269,787 127
TOTAL KERPER TIF FUND 269,787
60010
53104
FY 2001 Block Grant Carryover Amount Community & Econ. Dev. 2,407,361 210
108 Loan for Eagle Window Community & Econ. Dev. 2,030,000 210
TOTAL COMM. DEV. BLOCK GRANT FUNDS 4,437,361
60705
60705
43107
53100
Community Dev. Discretionary Funds-Housing Proj, Housing Services 330,224 212 61901 43268
TOTAL CD DISCRETIONARY FUNDS 330,224
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
Lead Paint Grant for Housing Dept Program Housing Services
TOTAL LEAD PAINT GRANT
AMOUNT FD Activity Object
1,849,605 215 61200 43268
1,849,605
09/12/2001
HOME Grant for Housing Housing Services
TOTAL HOME GRANT FUNDS
151,969 271
151,969
271973 43400
State Highway ,~sistance-Realign 32nd St/Arboretume Engineering
State Highway Assistance on Menson Road Bridge Engineering
State Highway Assistance on Manson Road Bridge Engineering
Southwest Arterial State STP Engineering
JFK Reconstruction--State Grant Engineering
JFK Reconstruction.-County Share Engineering
State Highway ,~aistance on Brunsklll Rd Bridge Engineering
TOTAL STREET CONSTRUCTION FUND
600,000 300 300698 43449
686,240 300 300238 43449
163,760 300 300238 43449
1,324,438 300 300993 43230
100,000 300 300204 43400
75,000 800 300204 43510
157,500 300 300200 48449
3,106,938
Amendment versus Carryover
South Fork Sanitary Sewer Conn. Charge Engineering
Bonson Road Connec[ion Charge Engineering
TOTAL SANITARY SEWER CONSTR. FUND
390,000
36,875
426,875
310 310245 44813
310 310278 44813
Site B RISE Grant Comm. & Econ. Dev. 627,251
State Grant for Ind Park West Comm. &Econ. Dev. 120,000
Land Sales from Site B Comm. & Econ. Dev. 800,000
Land Sales from Site F Comm.& Econ Dev. 740,000
IDOT RISE 1or Kerper Comm. & Econ. Day. 130,000
iDED on Kerper Comm. & Econ. Dev. 1,200,000
TOTAL GEN. CONSTRUCTION FUND 3,617,251
360 360359 43459
360 360859 43400
360 360359 52501
360 360360 52501
360 360739 43459
360 360739 43400
Runway 18/36-FAA Airport Department 1,649,385
Runway 18/36 Grading.~FAA Airport Department 202.854 390
Airport Fencing-FAA Airport Department 338,402 390
Rehab T Hangars-State Airport Depar[ment 25,000 390
TOTAL AIRPORT CONSTRUCTION FUND 2,215,641
390 390030 43219
390305 43219
390434 43219
390870 43400
Runway 18/36 Airport Department 467,592 39'
TOTAL AIRPORT PFC FUND 467,592
Vision iowa Funds for Conference and Educ. Center Engineering 19,999,919 410
Park Division-Landscape Gateways--[STEA Park Diviaior 319,900 410
Heritage Trail-Principal Route-ISTEA Grant Opera[ions & Maintenance 322,760 410
TOTAL AMERICA'S RIVER PRO,J. FUND 20,642,579
391030
410764
410395
410242
44615
43400
43109
43109
Amendment
Bond Proceeds for America's River Project Engineering 12,135,000 440 00440 53101 Amendment
Bond Proceeds for Bond Related Expense Engineering 225,000 440 00440 53101 Amendment
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
TOTAL
AMOUNT
16,788,379
FD Activity
Obiect
09/12/2001
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT,
AMOUNT FD Activity
Object
o9/12/2OOl
CAPITAL BUDGET CARRYOVERS
Paint Parking Lot Poles
Telephone System
GIS System Implementation
Burglar/Fira Alarm System
General Storm Sewer Repairs
Hawthorne and Kerper Storm Sewer
Mississippi Riverwark Project
Mississippi Riverwalk Project--reducing bRA port[on
Dodge/Terminal Storm Sewer
Town Clock Lighting
Cedar Cross Storm Sewer
Crescent Court Storm Sewer
Northwest Arterial Detention Baslr
Jackson & Aquin Drainage
R[vertrcnt Leasehold Improvements-Sinclair Properbj
RIverfront Leasehold Improvements-Site Cleanup
Riverfrent Leasehold Imprevements-Peavy Property
WIIbdght Lane Storm Sewer
Related Storm Sewer ice Harbor
University Avenue Storm Sewer
Selppel Road Lighting
Weetslde Storm Sewer
Clifford and lagen Storm Sewer
Rehab RR Tracks
Tourism Signage
Additional Parking _ots--Ice Harbor
Storm Water Detention Acquisition of Property
Port of Dubuque Property Acq.-.Brewery
Port of Dubuque Property Acq.--Brewery
H&W Storm Sewer
Accessibility Building Maintenance
Center Grave Storm Sewer
Walils & Arrowhead Storm Sewer
NW Arterial Detention Basin
Sewer Connection Assr. Low/Mod Income
Salina Street Storm Sewer
Cedar Cross Sanitai'y Sewer
Dredging 16th St Basin
Station #3 Exterior Improvements
Station #5 interior/Exterior
Theater Window Replacement
Convention Center Study
Decorate Majestic Room/Bilou Room
Promenade Window Replacement
Sidewalk Replacement
Airport 1,652 010 010059 82731
City Manager's Office (354,044) 010 010593 73411
City Manager'eOffice 13.328 010 010812 62731
Eroergency Corem Center 26,000 010 010733 73411
Engmeenng 39.297 010 0'0028 73510
Engineering 57.000 010 010067 73211
Engineering 669.698 010 010077 73211
Engineering 010 010077 73211
Engineering 276,000 010 010175 73510
Engineering 10,000 010 010223 73211
Engineering 19.000 010 010294 73211
Engineering 16.000 010 010295 73510
Engmeenng 110,530 010 010324 73211
Engineering 182,205 010 010363 73211
Engineering 010 010366 73110
Engineering 010 010366 73211
Engineedng 010 010366 73110
Engineering 15,722 010 010374 73211
Engineering 010 010401 73510
Engineering 110,942 010 010421 73510
Engineering 112,000 010 010425 73510
Engineering 61,588 010 010624 73510
Engineering 35,000 010 010668 73510
Engineering 22,490 010 010718 73211
Engineering 010 010720 73411
Engineering 010 010727 73211
Englneedng 173,316 010 010771 73110
Engineering 010 010772 73110
Engineering 010 010772 73110
Engineering 42,000 010 010788 73510
Engineering 17,128 010 010829 73210
Engineering 91,703 010 010895 73211
Engineering 63,000 010 010965 73211
Engineering 212,000 010 010324 73211
Engineering 25,000 010 010512 62731
Engineering 91,947 010 010673 73211
Engineering 16,000 010 010676 73211
Engineering 9,925 010 010699 62811
Fire Department 13,621 010 010862 73210
Fire Department 1,540 010 010875 73210
Five Flags 36,000 010 010276 62731
Five Flags 12,965 010 010427 62731
Five Flags 12,405 010 010631 73210
Five Flags 25,000 010 010711 73210
Five Flags 20,000 010 010712 73211
Fund changed for all but State Grant Funds
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Using Saline Street savings on NW Arterial Detention Bael
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
Replace Portable Staging
Replace Permanent Seating
Maintenance,of Vacant/Abandoned Buildings
Heritage Trail-Principal Route
Lorss/Montrese Step Removal
Catherine/Locust Step Replacement
Catherine/Locust Step Replacement
Dredge ice Harbor
Leos Amount for Sproule Decision
O/M Shop Addition
O/M Shop Addition
Hodgen/W. Locust Steps
Hodge~W. Locust Steps
University Slope Failure
Middle Fork San. Sewer Repair
Storm Sewer Clean-B Branch
Storm Sewer Clean B Branch
s[orm Water Ditch Repairs
Miller RIvervlew Park Electric Work
Highway 20 Landscape Design
Highway 20 Landscape Design
Flora East Field Drainage
Disc Golf Course
Marna Ridge Park Development
Mama Ridge Park Development
Landscape Gateways
Landscape Gateways
Landscape Gateways
Bunker Hill Sanitary Sewer
Vets Walkway to Playground
Vets Walkway to Playground
West 5th Street Landscaping
Miller Rivervlew Park Riprap
Usha Park Development
Riprew Valley Park Development
McAleece Storm Sewer
McAieece Storm Sewer
Retaining Walls in Parks
Retaining Walls in Parks
Roosevelt Park Design Study
Miller Riverview Renovate Playground
Replace Police/CAD Software
Evidence Property Holding
Scanner Replacement
Printer Replacement
Data Communication Network
Data Communication Network
Law Enfomement Center Expansion
Five Flags
Five Flags
Housing Services
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Operations & Maintenance
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Park Division
Police
Police
Information Services
Information Services
Police
Police
Police
AMOUNT FD Activity Object
111,586 010 010900 73210
143,324 010 010904 73411
6,602 010 010663 62431
314,083 010 010242 73211
7,550 010 010422 73211
27,000 010 010423 73211
176,500 010 010423 62811
53,994 010 010511 62731
(180,000) 010 010669 73210
573,288 010 010669 73210
307,800 010 010669 62711
36,986 010 010680 73211
246,614 010 010680 62711
40,000 010 010838 73510
292,392 010 010841 73510
40,000 010 010844 73510
5,904 010 010849 73510
12,716 010 010984 73211
13,500 010 010152 73211
6;000 010 010287 71522
3,760 010 010287 62711
4,600 010 010301 73510
22,241 010 010341 73211
1,463 010 010392 62712
23,348 010 010392 73211
205,950 010 010395 73310
93,850 010 010395 73211
14,723 010 010395 62712
3,403 010 010396 73211
800 010 010397 62811
7,500 010 010397 73510
8,500 010 010406 73211
81,645 010 010647 73211
14,361 010 010660 73211
1,091,000 010 010671 73211
7,140 010 010705 73211
~ 900 010 010705 62811
7,500 010 010707 62811
55,670 010 010707 73211
10,000 010 010746 62711
13,185 010 010977 73411
32,207 010 010638 71123
5,600 010 010683 73210
3,819 010 010730 71129
7,030 010 010730 71122
170,884 010 010867 73410
5,000 010 010867 62731
661,215 010 010869 73210
Versus 6,602 available
Fund Change for a Portion
Fund Change for a Portion
Ask Klm about negative 10,431
and negative 34,479 on compputers
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/1212001
DEPARTMENT & ITEM DESCRIPTIOI~ DEPT,
Pool Storage Building
Water Slide Flumes
Flora-Expand Enclosure
Auto Chemical Control
Sutton Shade Structure
Construct 3 Shade Structures
Flora and Sutton Water Playgrounds
Flora and Sutton Water Playgrounds
Recreation
Recreation
Recreation
Recreation
Recreation
Recreation
Recreation
Recreation
Subtotal, General Fund
AMOUNT
FD Activity
Object
10,691 010 010018 73210
20.200 010 010039 73211
14,700 010 010165 73211
3.350 010 010204 73411
12,000 010 010610 73211
10,000 010 010644 73211
24,000 010 010919 62711
237.500 010 010919 73211
7,413,532
Bus Shelter
Building Improvemems
Reelace Fixed Route Buses
Replace Mini Buses
Transit Division
Transit Division
Transit Division
Transit Division
Subtotal, Transit Fund
6,690 050 050168 73210
~,902 050 050473 73210
1,419.724 050 050716 73411
256,608 050 050446 73411
1,684,924
Downtown Loan Pool, TIF
Downtown Loam Pool, TIF
Subtotal, TIF Revolving Loan Fund
Economic Developmen[ 784,203 13!
Economic Development 200,000
984,203
131209
131209
62764
62764
Amendment from loan repayments
_oulee Lane Bridge
Kaufmann Ave Rea~ gnment
Stone Retaining Wails
Guardrail Replacement
Micro Replacements
Software
O/M Shop Addition
O/M Shop Addition
Engineering 70,000 150 150314 73211
Engineering 147.44i 150 150990 73510
Engineering 92,682 150 150843 73211
Engineering 73,800 150 150556 73211
Information Services 1,700 150 150730 71122
Information Services 10,296 150 150730 71123
Operations & Maintenance 10,000 150 150669 62711
Operations & Maintenance 3,300,909 150 150669 73210
Bubtotal, RUTF 3,706,828
CommerclaFIndustrial Building Rehab
ED Financial ,~ssistance
Neighborhood Improvements
Historic Preservation Rahab Grant
Por~ of Dubuque Property Acq...Brewery
Painted Brick Buildings
First Time Homebuyer
Housing Trust
Maintenance of Vacant/Abandoned Buildings
Rental Unit Rahab
Homeowner Rahab Program
Flat Iron Park Renovation
Economic Development 500,000 210
Economic Development 375,000 210
Economic Development 53,560 210
Economic Development 10,000 210
Engineering 210
Housing Services 12,455 210
Housing Services 80,000 210
Housing Services 44,685 210
Housing Services 2,500 210
Housing Services 16,391 210
Housing Services 149,806 210
Park Division 105,206 210
1,349,603
Subtotal, CDBG Funds
210207
210331
210565
210354
210772
210598
210185
210899
210663
210182
210333
210768
62764
62764
73510
62765
73110
62764
62764
62764
62431
73210
62764
73211
Will be asking Commission to add $100,000 to 207
Versus 30,000 available
Fund Change
Versus 32,455 available
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT,
AMOUNT FD Activity Object
Land Acq.-Purchase/Resale/Rehab Housing Services
Land Acq.-Pumhase/Resa[e/Rehab Housing Services
In-Fill Housing Loans Housing Services
Housing Incentives Loans Housing Services
Subtotal, Comm. Devo Discretionary
12199 212 212006 62731
10,000 212 212006 73111
19.977 212 212704 62764
90.000 212 212827 62764
132,176
Job Creation Economic Develoemem
Port of Dubuque Property Acquisition Engineering
Port of Dubuque Property Acq..-Brewery Engineering
Subtotsl, UDAG Repayments
393,000 220 220515 62764
220 220773 73110
220 220772 73110
393,000
Fund Change
Fund Change
Residential Rahab Housing Services
Loans-State Match Housing Services
Subtotal, Rahab Loan Repayments
238,500 270 270333 73210
54,198 270 270973 62764
292,698
Loans-City Match
Housing Services
Subtotal, HOME Program
151,969 271 271973 62764
151,969
Brunskill Road Bridge
JFK Reconstruction NW to City Limits
Saline Street Reconstruction
Bridge Repalr/Maint.
Asbury Road Widening NW
Manson Road Bridge Replacement
Manson Road Bridge Replacement
Signalization Program
Peru Road Resurfacing
Dodge St Storm Sewer
Main Lighting- 1st Locust
Streetscape/Plaze Amenities
Guardrail Replacement
Cedar Cress Sidewalks
Fengler Street Bridge Replacement
FY 2001 Street Program
SW Arterial State Project
Algona Street Reconstruction
Traffic Signal Efficiency
Realign 32nd St/Arboretum
Realign 32nd St/Arboretum
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Subtotal, Street Construction Fund
315,000 300 300200 73510
407,649 300 300204 73510
28,904 300 300213 73510
78,892 300 300218 73211
160,900 300 300221 73211
272,919 300 300238 73510
684,992 300 300238 73510
103,904 300 300288 73510
18,000 300 300365 73510
21,000 300 300373 62761
114,000 300 300427 73510
181,000 300 300495 73510
90,842 300 300556 73211
26,000 300 300723 73510
845,565 300 300724 73510
956,308 300 300970 73211
1,250,000 300 300993 62761
(10,622)300 300585 62811
121,159 300 300610 73510
834,000 300 300698 73211
100,000 800 300698 62811
6,600,412
Amendment
Amendment
Mount Carmel Drive Engineering (78,536) 310 310577 73211 Amendment
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 06/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
Alley Rhomberg & Garfield Sewer
City Share of Special Assessments
Hawthorne St. Sanitary Sewer
Roeder St & Lois Storm Sewer
Sanitary Sewer Infiltration
I&l Reduction
Washington St. Sanitary Sewer
South Fork San. Sewer Intemeptor
Elm ~reet Sanitary Sewer
Rockdale Rd Sanitary Sewer
Catfish Sanitary Sewer Line
Florence/Villa Sanitary Sewer
Miller Road Sanitary Sewer
Extensions into New Developments
ReJocate Sewer in Ice Harbor
3rd Street Ramp Sewer
Oak and Rising
Sanitary Sewer Manhole Replacement
Highway 20 Annexation Sewers
Keyway Sanitary Sewer
Chicago Sanitary Sewer
Moore Heights Sanitary Sewer
Madison Avenue Sanitary Sewer
H&W Sanitary Sewer
02 Plant Repair
Dog Track Lift Station
Cedar St Pump & Motor Replacements
Cont. Emissions Control
Replace Asbestos Floor Tile
Phase IIl-Opeartions Manual
Fly Ash Study
Rereof Intermediate Lift Station
Paint Doom & Windows
Sand Blast & Paint Terminal St Lift Station
Replace Drive Motor
Sludge Disposal Study
Epoxy Resin Lining
Inline Screen Grinder
Odor COntrol System
Primary Clarifier Probes
Replace Varves Catfish and Cedar
South Incinerator Refractory
Scroll Rebuild Centrifuge
Replace Telemetry in Lift Stations
Conference Room Renovation
Landscape/Storm Water Modifications
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
Subtotal, Sewer Construction Fund
AMOUNT FD Activity
Object
(74,198) 310 310583 73211
4,135 310 310022 62761
rebudget 310 310048 73211
33,673 310 310049 73510
370,000 310 310189 73510
66,303 310 310189 73211
49,817 310 310228 73510
10,000 310 310245 73211
24,122 310 310327 73510
168,173 310 310328 73510
12,164 310 310329 73510
15,000 310 310367 73211
8,707 310 310369 73211
698,161 310 310377 73211
20,064 610 310401 73211
16,021 310 310514 73210
26,991 310 310677 73211
146,459 310 310708 73211
600,701 310 310735 73211
368,138 310 310736 73510
19,065 310 310753 73211
108,337 310 310836 73211
133,914 310 310837 73211
82,000 310 310840 73510
116,400 310 310029 73510
140,000 310 310068 73211
216,365 310 310073 73211
40,546 310 310091 73411
10,000 310 310152 73210
22,330 310 310210 62716
25,000 310 310297 62712
42,025 310 310458 73210
14,280 310 310459 73210
20,000 310 310461 73210
22,000 310 310463 73211
50,000 310 310466 62712
24,059 310 310595 73210
15,403 310 310611 73211
20,000 310 310612 73211
9,161 310 310682 73411
19,500 310 310941 73211
194,155 310 310948 73211
50,000 310 310949 73211
37,000 310 310952 73411
6,600 310 310953 73210
41,220 310 310969 73210
3,965,255
Amendment
Par~ of I&l
~FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity
Object
09/12/2001
Wartburg Storm Sewer
West 3rd Street Storm Sower
Guniting to cover Walker Toledo overrun
Comprehensive Storm Water Study
Clifford and Lagen Storm Sewer
Hamilton Street Storm Sewer
Jackson Street Storm Sewer
Custer/Allison Henderson Storm Sewer
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Subtotal, Storm Sewer Construction Fund
30,276 320 320045 73211
9,000 320 320196 73510
(106,542) 320 320343 73510
9,173 320 320326 62712
205,000 320 320668 73510
75,000 320 320696 73510
100,000 320 320717 73211
83,000 320 320866 73211
404,907
Amendment
Accessibility Building Modifications Engineering
Sealcoat Parking Lots Parking Division
Subtotal, Parking Construotlon Fund
20,000 330 330829
33,460 330 390058
53,460
73210
73211
O/M Shop Addition
Chlorine Feed Room Expansion
Pennsylvania Pump Station
On Line Lab Instruments
Valve Replacement
Water Extensions Annexation Related
Water Extensions Annexation Related
Telemetry Replacement
Cleamlng Shallow Well Line
Operations & Maintenance 217,000 340 340669 73210
Water Department 49,500 340 340101 73210
Water Department 4,800 340 340601 73211
Water Department 760 340 340602 73410
Water Department 1,067 340 340639 73211
Water Department 5,045 340 340686 62712
Water Depadment 106,076 340 340686 73211
Water Department 36,500 340 340908 73211
Water Department 3,068 340 340921 62731
423,816
Subtotal, Water Construction Fund
Annex Boiler Replacement
Annex Air Conditioner
Document Imaging
Accessibility Improvements
Storm Sewer Extensions
Sidewalk Pregrem-Clty Owned
Welcome Center Plaza Repair-Part of Riverwalk
Rockdale Rd Storm Sewer
Curtis Street Storm Sewer
Terminal Street Storm Sewer
Kaufman/JFK Storm Sewer
Foye St Step Reconstruction
Rahab RR Tracka
Harbor Area Maintenance
Parking Lot Maint.-Ice Harbor
Curb and Catch Basin Replacement
Theater Backstage Space ,
Thea'~er Replace Main Doore
House Light Dimmers
Building
Building
City Manager's Office
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Five Flags
Five Flags
Five Flags
13,000 350 350868 73410
4,200 350 350992 73411
16,395 350 350400 73410
(3,497) 350 350829 73210
9,066 350 350027 73211
109,867 350 350042 73510
350 350077 73211
149,298 350 350229 73211
36,629 350 350231 73211
72,000 350 350233 73211
27,095 350 350321 73510
60,000 350 350364 73211
81,500 350 350718 73211
79,999 350 350719 73211
350 350767 73211
215,932 350 350779 73211
6,903 350 350634 73210
17,600 350 350884 73210
30,500 350 350890 73411
Amendment
Fund Change
Fund Change
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/1212001
DEPARTMENT &iTEM DESCRIPTION DEPT.
AMOUNT
Subtotal, Sales Tax Construction Fund (20%)
FD Activity
Steps, Railing and Fencing Operations & Maintenance 122,435'
McAieece Level Fields Park Division 30,000
Bunker Hill-Rewire Building Park Division 8,200 350
Cleveland Park Play Unit Park Division 25,820 350
Town Clock Paint Standards Park Division 7,800 350
Replace Light Standards-Town Clock Plaza Park Division 21,721 350
Flore-Repalr Concrete Pavilion Park Division 700 350
Flora-Repair Concrete Pavilion Park Division 5,000 350
Park Headquarters~Repair Office Park Division 8,983 350
Murphy Park Replace Tennis Court Lights Park Division 1,000 350
Murphy Park Replace Tennis Court Lights Park Division 21,000 350
Veterans Park Replace Fence Park Division 1,500 850
Veterans Park Replace Fence Park Division 30,620 850
Vets Resurface Parking Lot Park Division 7,000 350
Vets Resudace Parking Lot Park Division 62,464 350
AH/FLora Lights-Rinks Park Division 36,000 850
AH/FLora Lights-Rinks Park Division 4,000 350
Doors/Frames Recreation 5,700 350
Paint Filter Tanks Recreation 6,300 350
Relandscape Recreation 1,655 350
Flora Ventlllation Fans Recreation 15,000 350
1,344,385
Object
350 350112 73211
350 350061 73211
350095 73210
350133 73411
350411 62731
350531 73510
350607 62811
350607 73210
350651 73210
350653 62811
350653 73411
350654 62811
350654 73411
350661 62811
850661 73411
350709 73211
350709 62811
350052 73210
350479 62731
350480 73310
350513 73210
Eagle Window Development
Eagle Window Dev.-Loans & Bd Fund Balance
Site B industrial Park
Industrial Park South-Sproule
Site F Industrial Park Construction
Kerper Bird Construction
Riverfrent 2000 Planning
Economic Development 692,000 360
Economic Development 2,030,000 360
Economic Development 1,647,220 360
Economic Development 180,000 360
Economic Development 97,206 360
Economic Development 545,355 360
Planning Services Dept 7,176 360
5,198,957
Subtotal, General Constr. Fund
360267
360267
360359
360360
360360
360739
360920
73211
62764
73211
73210
73211
73211
62712
Runway 18/36 Construct[on
Runway 18/36 Construction
Airport Fencing/Hazard
Additional Fuel Storage Tank
Additional Fuel Storage Tank
Rahab Exierlor of Terminal
Rahab Exterior of Terminal
New Hangars
Airport 94,126 390
~rport 230,196 390
Airport 371,386 390
Airport 5,649 390
Airport 85,745 390
Airport 33,693 390
Airport 739 390
Airport 24,360 390
795,894
Subtotal, Airport Cons{ruction Fund
390030
390030
390434
390622
390622
390636
390636
390806
62712
73510
73211
62731
73211
73210
62712
62711
Reduoed by $75,022 overage on Grading
Mississippi RIverwalk Project Engineering
Mississippi Riverwalk Project--reducing DRA portion Engineering
Riverfront Leasehold Imprevements-Peavy Property Engineering
3,346,568 410
(1,567,800) 410
1,030,000 410
410077
410077
410366
73211
73211
73110
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
RIvedront Leasehold Improvements-Sinclair Property
Riverfmnt Leasehold Improvements-Site Cleanup
Welcome Center Plaza Reoalr-Part of Rlverwalk
Related Storm Sewer Ice Harbor
Tourism Signage
Additional Parking Lots--ice Harbor
Parking Lot Maint.-Ice Harbor
Port of Dubuque Property Acq.--Brewery
Port of Dubuque Property Acq.--Bmwery
Pod of Dubuque Property Acq.--Brewery
Pert of Dubuque Property Acq.--Bmwery
Port of Dubuque Property Acaulsition
Welcome Center Plaza Repair-Part of Riverwalk
Mississippi Riverwalk
Heritage TraiI-Prinolpal Route
Additional Parking Ramp
Landscape Gateways
Landscape Gateways
Subtotal, America's River Fund
AMOUNT
FD Activity
Object
Engineering 64,000 410 410366 73110
Engineering 570,066 410 410366 73211
Engineering 100,000 410 410387 73211
Engineering 52,042 410 410401 73510
Engineering 149,952 410 410720 73411
Engineering 4,950 410 410727 73211
Engineering 32,976 410 410767 73211
Engineering 607,608 410 410772 73110
Engineering 1,05(;,000 410 410772 73110
Engineering ~95,253 410 410772 73110
Engineering 245.000 410 410772 73110
Engineering 400.000 410 410773 73110
Engineering 60,764 410 410077 73211
Engineering 1,567,800 410 410077 73211
Operations & Maintenance 418,254 410 410242 73211
Parking Division 229,212 410 410514 73210
Park Division 630,200 410 410395 73310
Park Division 100,000 410 410395 73211
9,286,845
Amendment
Bond Funds
O/M Shop AddEIon
O/M BhopAddition
Oeeratlons & Maintenance
Ooerations & Maintenance
Subtotal, Refuse Colleotlon Fund
340,509
10.000
350,509
470 470669 73210
470 470669 62711
Annex Boiler Replacement E~uilding
Subtotal~ Cable TV Fund
7,000 540
7,000
540868
73410
Welcome Center Plaza Reeair-Part of Riverwalk Engineering
Subtotal, Parking/Dock Fac. Dept.
812
812387
73211 Fund Change
TOTAL CAPITAL BUDGET CARRYOVERS 44,540,373
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity Object
OPERATING BUDGET CARRYOVERS
Airport Marketing
Airport Telephone System
Code Books
Software License Fee
Education and Training
Education and Training
Education and Training
Web Page Development
Shelving
Printer/Scanner/Copier
Eleotranlc Data Collector
Printing and Binding
Travel Professional Conference
Education and Training
Travel Professional Conference
Respiratory Disease Trust Funds to VNA
Peripherals, Computer
Overtime for Conversion Work
Microcomputer
Human Rights Commission Banquet
HUD Contract-Staff Tralnrng
HUD Contract-Mlsc, Outreach Efforts
HUD Contract-Training Initiatives
HUD Contract-Printing and Binding
Loss Control Expert Training
Retention of Utility Truck for Vehicle Maint,
Wellness Program
Workshop Threats and Violence
Loss Control Expert Treinlng
Sensitivity Training
Loss Control Expert Training
Scanner for laeedlche
Replace Bookshelves
Paint Ottica
Slorage Cabinets
Police Intern
Camera Equipment
Camera Equipment
Police Vehicles
Visibar Lights
1999 Criminal Justice Block Grant
1999 Criminal Justice Block Grant
1999 Criminal Justice Block Grant
1999 Criminal Justice Block Grant
Airport 14,211 010 51100 62140
Airport 5,566 010 51400 72418
Building Services 3,880 010 57100 62170
Building Services 9,100 010 57100 62663
Building Services 1,443 010 57200 62360
Building Services 3,994 010 57400 62360
Building Services 2,883 010 57700 62360
City Manager's Office 30,000 010 72100 62731
Engineering 382 010 55400 71225
Engineering 19,660 010 55400 71110
Engineering 3,1 O0 010 55400 72415
Health Services 698 010 17100 62090
Health Services 336 010 17100 62310
Health Services 184 010 17300 62360
Health Services 221 010 17300 62310
Health Services 1,734 010 17600 62731
Housing Services 2,235 010 61700 71120
Housing Services 308 010 61700 61050
Housing Services 1,725 010 61700 71124
Human Rights 1,000 010 16400 62734
Human Rights 36,392 010 16402 62753
Human Rights 8,212 010 16402 62731
Human Rights 9,384 010 16402 62360
Human Rights 3,665 010 16402 62090
Operations and Maintenanc 800 010 54100 62731
Operations and Maint. 7,500 010 54430 71314
Personnel 1,000 010 72700 62731
Personnel 600 010 72700 62731
Personnel 2,500 010 72700 62731
Personnel 3,000 010 72700 62752
Personnel 400 010 72700 62731
Planning Services 500 010 62400 71110
Planning Services 2,500 010 62400 71215
F~lanning Services 2,000 010 62400 62431
Police Department 4,000 010 11190 71215
Police Department 3,900 010 11190 62669
Police Department 420 010 11300 72417
Police Department 600 010 11700 72417
Police Department 65,600 010 11700 72210
Police Department 4,491 010 11700 72210
Police Department 6,420 010 11761 61050
Police Department 7,681 010 11761 62360
Police Department 3,585 010 11761 61010
Police Department 4,922 010 11761 62671
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 08/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
2000 Criminal Justice Block Grant
2000 Criminal Justice Block Grant
2000 Criminal Justice Block Grant
2000 Criminal Justice Block Grant
Traffic Safety Grant
Police Department
Police Department
Police Department
Police Department
Police Department
TOTAL GENERAL FUND OPERATING
AMOUNT FD Activity
Object
3,289 010 11762 62010
8,353 010 11762 62671
10,000 010 11762 61050
5,000 010 11762 62360
17,436 010 11763 61010
326,810
Job Access Reverse Commute (JMRC)-Federal Grant Transit
Payments to Project Concern for Paratransit Service
Temporary Assistance for Needy Families-State Grant Transit
TOTAL TRANSIT FUND
Vehicle Retention for Maintenance Shop
Office Furniture for Office Addition
Office Furniture for Office Addition
Office Furniture for Office Addition
Telephone System
Prlnter/Scanner/Cople r
Software
Survey Equipment
Operations and Maint
Operations and Maint
Operations and Malnt
Operations and Maint
Engineering
Engineering
Engineering
Engineering
TOTAL ROAD USE TAX FUND
Neighborhood Development--Leaderehip Training
Neighborhood Development--Postage
Neighborhood Development-.Planning Services
Neighborhood Development--Misc Operating
Neighborhood Development--Telephone
Neighborhood Development--Education
Neighborhood Development--Travel Pref Conference
Neighborhood Development--Copying ·
Neighborhood Developreent--Printlng
Neighborhood Development--Office Supplies
Neighborhood Development--Life insurance
Neighborhood Development-SS
Neighborhood Development--IPERS
Neighborhood Development--Wages
Neighborhood Development--Health
Neighborhood Development-~Worker's Comp
Neighborhood Development--Education
Neighborhood Development--Copying
Neighborhood Develqpment--Travel Prof Conference
Neighborhood Development--Leadership Training
Neighborhood Developm ent~-Telephone
Neighborhood Development--Mist Operating
Neighborhood Development--Postage
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economfc Development
Economic Development
Economic Development
168,534 050 53400 62772
8,409 050 63400 62761
58,172 080 53400 62772
235,115
2,500 150 54401 71314
500 150 54101 71156
2,000 150 54101 71212
4,600 150 54101 71213
500 150 55402 72418
36,000 150 55402 71110
7,678 150 55402 71123
11,678 150 55402 71412
65,456
(5,000) 210 60500 62755
(700) 210 60500 62030
(10,000) 210 60500 62834
(1,050) 210 60500 62671
(200) 210 60500 62421
(500) 210 60500 82360
(1,000) 210 60500 62310
(200) 210 60500 62110
(1,000) 210 60500 63090
(200) 210 60500 62010
(100) 210 60500 61450
(3,835) 210 60500 61320
(2,882) 210 60500 61310
(50,!28) 210 60500 61010
(5,916) 210 60500 61410
(50) 210 60500 61430
500 210 72800 62360
200 210 72800 62110
1,000 210 72800 62310
5,000 210 72800 62755
200 210 72800 62421
1,050 210 72800 62671
700 210 72800 62030
~F~ISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
, DEPARTMENT & ITEM DESCRIPTION DEPT.
Neighborhood Development--Printing
Neighborhood Development--Planning Services
Neighborhood Development..O~flce Supplies
Neighborhood Development--Life insurance
Neighborhood Development--Worker's Comp
Neighborhood Development--Health
Neighborhood Development--SS
Neighborhood Development--IPERS
Neighborhood Development-.Wages
Microcomputer
Overtime for Conversion Work
Peripherals for Computer
AMOUNT FD Activity Object
TOTAL COMM. DEV. FUND
Economic Development 1,000 210 72800' 62090
Economic Development 10,000 210 72800 62834
Economic Development 200 210 72800 62010
Economic Development 100 210 72800 81450.
Economic Development 50 210 72800 61430
Economic Development 5,916 210 72800 61410
Economic Development 3,835 210 72800 61320
Economic Development 2,882 210 72800 61310
Economic Development 50,128 210 72800 61010
Housing Services 1,725 210 61701 71124
Housing Services 307 210 61701 61050
Housing Services 2,235 210 61701 71120
4,267
09/12/2001
Housing Services
TOTAL LEAD BASED PAINT GRANT
1,533,602 215 61200 62765
1,533,602
Housing LHAP Grant
Housing Services
TOTAL STATE RRP LOAN
5,000 270 61304 62764
5,000
GDDC Marketing Contract
Pumhase of Services 32,288 220 79300 62761
TOTAL UDAG Funds 32,288
Major Repair Work Water Pollution Control
Landfill Fees Water Pollution Control
Miscellaneous Services Water Pollution Control
Flow Through Samplers Water Poi[ut[on Control
Repair/Replacement of Laboratory Fixtures Water Pollution Control
TOTAL SEWER OPERATING FD
23,000 460 43400 62612
40,000 460 43400 62692
21,500 460 43400 62731
9,600 460 43400 71413
4,500 460 43700 71413
98,600
Residential Permits-Printing Parking System
Software-Meter Trax Software Parking System
Software and Server Parking System
Sweeper Trailer Parking System
TOTAL PARKING OPERATING FD
2,000 490 46420 62090
5,802 490 46420 71123
8,949 490 46300 71124
3,000 490 46300 71324
19,751
Dog Track Capital Improvements Pumhase of Service
TOTAL DOG TRACK DEPRECIATION FUND
174,858 810 79250 73210
174,858
Educator payments to Loras Operations and Maint. 40,000 940 54220 62737
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL yEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
HHW Recycler Services Operations and Malnt,
TOTAL LANDFILL OPER, FUND
TOTAL OPERATING BUDGET CARRYOVERS
June 30, 2001 Outstanding Purchase Orders
TOTAL CARRYOVERS AND ENCUMBRANCES
AMOUNT FD
20,000 940
60,000
2,555,747
11,005,348
58,101,468
Activity Object
54220 62761
Includes $26,946 in Non-Program Expense
09/12/2001
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity
Object
09/12/2001
TRANSFER IN
Transfer Golf Deficit for FY 01 to General Fund
Special Assessments on 5th Street
Transfer of Land Sales to Street Constr. Site B
Special Assessments on Cedar Cross Sidewalks
Special Assessments on FY 2000 Street Program
JFK Reconstruction--Special Assessments
Special Assessments on Satlna Street
Special Assessments on Highway 20 Annexation
Special Assessments on Rockdale Rd San.
Special Assessments on Chicago St San
Special Assessments on Oak and Rising
Special Assessments on Moore Heights San. Sewer
Transfer of Land SaKes to Sanitary Constr. Site F
Special Assessments on Madison Ave. San.
Transfer for Clifford and Lagen Storm Sewer
Transfer of Land Sales to Street Constr. Site B
Transfer of O/M Building for Spreule Decision
Revenue Bond Proceeds for Eagle Window
108 Loan for Eagle Window
Transfer of PFC Funds for Runway 18/36 & Taxiway
Transfer to America's River Gen Fd rel carryovers
Transfer to America's River CDBG Fd rel carryovers
Transfer to America's River UDAG Fd rel carryovers
Transfer Bond Proceeds for America's River ProJ
Transfer to Amerrca's River for Welcome Ctr Plaza
Transfer to America's River for Welcome Ctr Plaza
Recreation 13,935 010 00010 59430
Engineering 25,000 300 300495 59650
Engineering 780,000 300 00300 59360
Engineering 16,000 300 300723 59650
Engineering 290,351 300 300970 59650
Engineering 60,000 300 800204 59650
Engineering 99,992 300 300213 59650
Engineering 279,000 310 310735 59650
Engineering 60,000 310 310328 59650
Engineering 37,845 310 310753 59650
Engineering 34,567 310 310677 59650
Engineering 30,000 310 310836 59650
Engineering 370,000 310 00310 59360
Engineering 21,000 310 310837 59650
Engineering 115,000 320 320668 59010
Water 348,000 340 00340 59360
Economic Development 180,000 360 360360 59010
Economic Development 269,787 360 360267 59127
Economic Development 2,030,000 360 360267 59210
Airport 467,592 390 390030 59391
Engineering 6,526,233 410 00410 59010
Engineering 245,000 410 00410 59210
Engineering 1,450,000 410 00410 59220
Engineering 9,901,550 410 00410 59440
Engineering 100,000 410 00410 59812
Engineedng 93,740 410 00410 59350
Transfer to America's River Project-Cable TV Funds Engineering
Transfer to America's River Project-Water Constr Fds Engineering
Transfer to America's River PreJect-Sanitary Constr Engineering
Transfer to America's River Project-Sales Tax Fds Engineering
Transfer to America's River-General Fund-Five Flags Engineering
Transfer from General Fund-June 30th Enc Engineering
Transfer San. Sever Constr-June 30th Eric Engineering
Transfer Parking Constr-June 30th Enc Engineering
Transfer Water Sewer Constr-June 30th Enc Engineering
Transfer Sales Tax Sewer Constr-June 30th Enc Engineering
Transfer Cable Franchise-June 30th Eric Engineering
TOTALTRANSFERSIN
TRANSFER OUT
Transfer for CJifford and Lagen Storm Sewer Engineering
Transfer Side of Fund 410 America's River Project Entries
300,000 410 00410 59540
193,200 410 00410 59340
127,100 410 00410 59310
100,000 410 00410 59350
764,347 410 00410 59010
396,618 410 00410 59010
3,589 410 00410 50310
4,496,958 410 00410 59330
79,910 410 00410 59340
93,904 410 00410 59350
42,837 410 00410 59540
30,443,065
115,000 010 00010 91320
6,526,233 010 00010 91410
Amendment
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT,
AMOUNT FD Activity Object
Transfer Side of Fund 410 America's River Project Entries
Transfer Side of Fund 410 America's River Project Entries
Transfer Bond Proceeds for America's River Proj Engineering
Transfer to America's River for Welcome Cfr Plaza Engineering
Transfer to America's River for Welcome Ctr Plaza Engineering
Transfer to America's River Project-Cable TV Funds
Transfer to America's River Project-Water Constr Fds
Transfer to America's River Project-Sanitary Constr
Transfer to America's River Project-Sales Tax Fds
Transfer to America's River Project-Sales Tax Fde
Transfer to America's River-General Fund-Five Flags
Transfer of O/M Building for Spmule Decision
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Economic Development
Transfer of Revenue Bond Proceeds for Eagle WindowEconomic Development
Revenue Bond Proceeds for Eagle Window Economic Development
Transfer of Land Sales to Street Constr. Site B
Transfer of Land Sales to San. Sewer Constr. Site F
Transfer of PFC Funds for Runway 18/36 & Taxiway
Transfer out for Sanitary Sewer Assessments
Transfer out for Street Related Spec. Assess.
Transfer Golf Deficit for FY 01 to General Fund
Economic Development
Economic Development
Airport
Engineering
Engineering
Recreation
Transfer from General Fund-June 30th Enc
Transfer San. Sewer Constr-June 30th Eric
Transfer Parking Sewer Constr-June 30th Enc
Transfer Water Sewer Constr-June 30th Enc
Transfer Sales Tax Sewer Constr-June 30th Enc
Transfer Cable Franchise-June 30th Enc
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
245,000 210 60705 91410
1,450,000 220 00220 91410
9,901,550 440 00440 91410
100,000 812 79260 91410
93,740 350 00350 91410
300,000 540 75400 91410
193,200 340 00340 91410
127,100 310 00310 91410
100,000 350 00350 91410
100,000 010 00010 91410
664,347 010 00010 91410
180,000 010 00010 91360
269,787 127 60010 91360
2,030,000 210 60705 91360
1,128,000 360 360359 91300
370,000 360 360360 91310
467,592 391 00391 91390
462,412 650 00650 91310
491,343 650 00650 91300
13,935 430 00430 91010
396,618 010 00010 91410
3,589 310 00310 91410
4,496,958 330 00330 91410
79,910 340 00340 91410
93,904 350 00350 91410
42,837 540 75400 91410
Amendment
TOTAL TRANSFERS OUT 30,443,055
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT
AMENDMENT ITEMS--AMERICA'S RIVER PROJECT RELATED
Budgeted Project Expense Being Moved to America's River Project Fund
Convention Center Study Five Flags
Replace Promenade Carpet Five Flags
Replace Stage Curtain Five Flags
Motorize Pipe Battens Five Flags
Theater Fly Rail System Five Flags
Remodel Main OffiCe Five Flags
Sidewalk Replacement FIve Flags
Master Site Plan Phase II and Ill Engineering
Riverwalk and Amenities-Amphitheater and Plaza Engineering
Riverwalk and Amenities-Amphitheater and Plaza Engineering
Total, General Fund Amendments
(50,000) 010
(41,710) 010
(16,000) 010
(60,000) OlO
(20,400) 010
(7,500) 010
(10,000) 010
(100,000) 010
(70,000) 010
(388,737) 010
(764,347)
FD Activity
Object
010427
010527
010528
O1O529
010571
010572
010712
010077
010077
010077
'62731
71223
73411
73411
73411
73210
73211
62712
62811
73211
Port of Dubuque Infrastructure-Sewer Ext. Engineering
Total, Sanitary Sewer Constr. Fund
(127,100) 310
(127,100)
310401
73211
Port of Dubuque Infrastructure-Water Ext Engineering
Total, Water Construction Fd
(193,200) 340
(193,200)
34O401
7351O
Port of Dubuque Infrastructure. Fiber Conduit Engineering
Total, Cable TV
(300,000) 540
(300,000)
540401
73510
Riverwalk and Amenitles-Floodwall Facade Impr Engineering
Total, Sales Tax Fd (20%)
Convention Center Study Five Flags
Replace Promenade Carpet Five Flags
Replace Stage Curtain Five Flags
Motorize Pipe Battens Five Flags
Theater Fly Rail System Five Flags
Remodel M~in Office Five Flags
Sidewalk Replacement Five Flags
Riverwa[k and Amen[ties-Amphitheater and Plaza Engineering
Rlverwalk and Amenities-Amphitheater and Plaza Engineering
Port of Dubuque Infrastructure. Sewer Ext. Engineering
Port of Dubuque Infrastructure-Water Ext Engineering
Port of Dubuque Infrastructure-Fiber Conduit Engineering
Rlverwalk and Amenities-FIoodwall Facade Impr Engineering
Master Site Plan Phase II and Ill Engineering
Total, America's River Project Fund
(100,000) 350
(100,000)
50,000 410
41,710 410
16,000 410
60,000 410
20,400 410
7,500 410
10,000 410
70,000 410
388,737 410
127,100 410
193,200 410
300,000 410
100,000 410
100,000 410
1,484,647
350077
410427
410527
410528
410529
410571
410572
410712
410077
410077
410401
410401
410401
410077
410077
73211
62731
71223
73411
73411
73411
73210
73211
62811
73211
73211
73510
73510
73211
62716
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
Bond Issuance Expense Engineering
Total, Bond Proceeds Fund
AMOUNT FD Activity Object
225,000 440 410764 62731
225,000
0w1~2001
Adjustment to Conference Center Budget to Reflect Prior Year Land Acq, and FY 03 CIP Expense
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Engineering (2,878,109) 010 010764 62711
Enginee ring (369,234) 010 010764 62811
Engineering (27,265,750) 010 010764 73210
Engineering (3,376,430) 010 010764 73211
Engineering (300,000) 010 010764 73310
Engineering (2,400,000) 010 010764 73411
Engineering (1,045,400) 010 010764 73510
(37,634,923)
Subtotal, General Fund Deducts
Project Manager Costs-Conference Center Engineering
Construction Costs Engineering
Contingency Engineering
Amhitectural Services Engineering
Eligible Furniture and Fixtures Engineering
Subtotal, America's River Project Fund
750,000 410 410764 62712
23,501,469 410 410764 73210
1,740,000 410 410764 73211
1,510,000 410 410764 73310
2~400,000 410 410764 73411
29,901,469
Reflects reduced cont, & spread over two years
Deducting $37,634,923 for orignal est.
$600,000 budgeted in FY 03
Conference and Education Center less
$1,809,681 budgeted in FY 03
Outstanding Purchase Orders June 30th Moved to America's River Project Fund
Riverwalk
Rlverwalk
Heritage TraJl-22nd to Mines of Spain
Leasehold Improvements
Leasehold Improvements
Additional Parking Lot-Ice Harbor
Relocate Sewer Ice Harbor
Sewer Related to Ramp
Additional Parking Ramp
Additional Parking Ramp
Additional Parking Ramp
Additional Parking Ramp.
(150,687) 010 010077 62712
(170,577) 010 010077 73211
(6,448) 010 010242 62716
(11,570) 010 010366 62716
(9,036) 010 010366 62731
(48,300) 010 010727 73211
(396,618)
(2,620) 310 310401 73211
(969) 310 810514 62671
(3,589)
(23,884) 330 380514 62711
(11,798) 330 330514 62731
(8,912) 330 330514 62741
(4,223,152) 330 830514 73210
(4,267,746)
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
Water Line Ice Harbor
Parking Lot Maintenance Ice Harbor
Port of Dubuque Telecommunications
Riverwalk
RIverwalk
Heritage Trail-22nd to Mines of Spain
Leasehold Improvements
Leasehold Improvements
Additional Parking Lot-ice Harbor
Relocate Sewer Ice Harbor
Sewer Related to Ramp
Additional Parking Ramp
Additional Parking Ramp
Addltionar Parking Ramp
Additional Parking Ramp
Water Line Ice Harbor
Parking Lot Maintenance ice Harbor
Por~ of Dubuque Telecornmunicatlons
TOTAL AMENDMENTS REL TO FUND CHANGES FY 02 BUDGET & ENC.
TOTAL CARRYOVERS & AMENDMENT ITEMS
CERTIFIED BUDGET
TOTAL AMENDED BUDGET
AMENDMENTS TO FUND TRANSFERS
AMOUNT FD Activity
(79,91o) 340 340401
(79,91o)
(93,904) 350 350767
(93,904)
(42,837) 540 540401
(42,837)
Object
73211
73211
73211
150,687 410 410077 62712
170,577 410 410077 73211
6,448 410 410242 62716
11,570 410 410366 62716
9,036 410 410366 62731
48,300 410 410727 73211
2,620 410 410401 73211
969 410 410514 62671
23,884 410 410514 62711
11,798 410 410514 62731
8,912 410 410514 62741
4,223,152 410 410514 73210
79,910 410 410401 73211
93,904 410 410767 73211
42,837 410 410401 73211
4,884,604
(7,508,454)
50,593,014 80,593,014
117,290, 886
167,883,900
30,443,055
09/12/2001
CITY BUDGET AMENDMENT AND CERTIFICATION RESOLUTION
To the Auditor of DUBUQUE County, Iowa:
The City Council of DUBUQUE in said County/Counties met on Monday, October 15
,at the place and hour set in the notice, a copy of which accompanies this certificate and is certified as to
publication. Upon taking up the proposed amendment, it was considered and taxpayers were heard for and against
the amendment.
The Council, after headng all taxpayers wishing to be heard and considering the statements made by them, gave
final consideration to the propsad amendment(s) to the budget and mod~ficafions proposed at the headng, if any.
thereupon, the following resolution wes introduced.
RESOLUTION No. 455-01
A RESOLUTION AMENDING THE CURRENT BUDGET FOR THE FISCAL YEAR ENDING JUNE 30, 2002
(AS AMENDED LAST ON .)
Be it Resolved by the Council of the City of DUBUQUE
Section 1. Following notice published
and the public hearing held, Monday, October 15 the current budget (as previously amended) is amended as set out
herein and in the detail by fund type and activity that supports this resolution which was considered at that hearing:
Total Budget Total Budget
as certified Current after Current
or last amended Amendment Amendment
Taxes Levied on Pro@er~ 14,838,619 0 14~838~619
Less: UncolJectted Property Taxes-Levy Year 0 0 0
aa current proner'~, Texes 14.838.61 ~ (~ 14,~$~,~I 9
Delinquent Properb/Taxes 0 0 0
TIF Revenues 1 ~195t223 0 1 ~ 195~228
Other CE,/Taxes 8~780~800 0 8~780~800
Licenses & Permits 7 803,847 0 803,847
Use of Money and Property 8 12~217,608 1.594,277 13,811 ~885
Interqovernmental 9 54,660,085 (817,152 53~842,933
Chames for Se~ices 10 17~687,032 894,467 18~581,499
Special Assessments 11 858~800 0 858,800
Miscellaneous 12 3,643,388 18~305~341 21~948~729
Other Financinq Sources 13 10,944~796 30~443,055 I 41 ~387,851
Total aavenu~ and Other Sources '~4 125.630.203 50.419.988 i 176.050.'191
Community Protection (police~flre~street li,qhtin~q~etc) 15 16~984~259 1~516,686 18~500,945
Human Development (health~abra~y~rec~eation.etc) 16 8,777~932 4,568~259 13,346~191
Home & Commur~ity Environment (perbaqe,streets~utils~ets) 17 85~517,554 43.869,417 129~386,971
iPolicy&Administration{rnawr~council,clerk,lepel,etc) 18 ~, 6~011,141 611 621 , 6~,727~2
rota~ ~=xi~enditures 2fi 117.290.886 50.565.983 167.856.869
Debt Service 21 4,344~731 0 4~344~731
Capital Pmiects 22 61.070,134 48,011 ~970 109,082~ 104
qet Oa~=ratino Ext~endltl.r~S 23 51 ~876.021 2.554.013 54.430.034
Transfers Out 24 10,226,796 30,443~055 40,669~851
r~-~ ~,,...d;t,.~rrr=.~-f~ o~e 2~ 127.517.682 R1.009.038 208.526.720
Undar~ E:(aen dlt ares/Tm n~f~-~ Oat 2{~ (1.887 479; (30~589.050~ ~'32.476.529'1
~eeinnirm Fund Balance Jury I 27 17,091 ~959 30~589,050 47~681,009
-'_r~i.o F..~ ~=.~..~,... 3o 28 15.204.480 (~ 1 ~,~)4.4~)
Passed this 15th day of October, 2001.
Attest: Jeanne F. Schneider,
City Clerk
/s/ Terrance M. Duggan, Mayor
CITY BUDGET AMENDMENT AND CERTIFICATION RESOLUTION
To the Auditor of DUBUQUE County, Iowa:
The City Council of DUBUQUE in said Counby/Coun+Jes met on lvlonday, October 15
,at the place and hour set in the notice, a copy of which accompanies this certificate and is certified as to
publication. Upon taking up the proposed amendment, it was considered and taxpayers were heard for and against
the amendment.
The Council, after headng all taxpayers wishing to be heard and considering the statements made by them, gave
tinat consideration to the propsed amendment(s) to the budget and modifications proposed at the headng, if any.
thereupon, the fullowing resolution was introduced.
RESOLUTION No.
A RESOLUTION AMENDING THE CURRENT BUDGET FOR THE FISCAL YEAR ENDING JUNE 30, 2002
(AS AMENDED LAST ON .)
Be it Resolved by the Council of the Ci~ of ~
Section 1. Following notice published
and the public hearing held, Monday, October 15 the cunent budget (as previously amended) is amended as set out
herein and in the detail by fund type and activity that supports this resolution which was considered at that hearing:
Total Budget Total Budget
as (~artified Current after Currant
or last amended Amendment Amendment
Taxes Levied on Properly I 14,838,619 0 14,83&619
_ess: Uncollectted Property Taxes-Levy Year 2 0 0 0 '
Net Cuwent Pml~ertv Taxes 3 14.838.619 0 14.838.6I 9
3elin(~uent Properly Taxes ~ 0 0 0
nF Revenues 1,195,228 0 1,195,228
31:her City T~0(es 8,780~800 0 8,780~800
Jcenses & Permits 803~847 0 803~847
Jse of Money and Property 12~217,608 1,594~277 13,811,885
nter~overnmenteJ 54,660~085 (817,152 53~842~933
3har(~es for Services 1 ( 17,687,032 894,467 18,581,499
Special Assessments 11 858,800 0 858,800
~lisce#aneous 1; 3,643~388 18,305,341 21,948~729
3ther Financinq Sources 1~: 10~944~796 30~443,055 41~387~851
total Revenues an~l Other Sou ree_~ lZ 125.630.203 50.419.988 176.050.191
--x~enditures & Other Financinq ~ :: ::
3ommunity Protection (pelloe,fire.street liqhfir~l,etc) 1 .~ 16~984,259 1,516~686 18,500,945
~uman Development (health~library~recreation~etc) 1(~ 8,777,932 4~568,259 13~346~191
Home & Corn m unity Environmenf. (,qarbaqe,st reets~ntils~etc) 17 85~517,554 43,869~417 129,386,97I
Pol[c¥&Administredon(raayor,council,clerk~lega,sfc) 1~ ~ 6~011,!41 ~ 611 621 o 6 62~,762
Non-Pregram
Total Ex~endltor~ 2~ 117.290.886 50.565,983 167.856.869
Debt Se~ice 21 4,344~731 0 4,344,731
Capital Proients 22 61 ~070,134 48,011,970 109~082,104
Net Ol~m~tln. F.Dendlf,,r~ 23 51.876.0:~1 2.554.013 54.430.034
Transfers Out 24 10~226,796 30,443~055 40,669,851
Total Exm~ndlf.re~JTmnsfem all# 25 127.517 68Z 81.009.038 208.526.720
Excess Revenues & Other Sources Over
;Under~ ;xnendit ur~rrrarm fer~ O~t 26 (1,887,479~ (30.5~9.050! (32.476.529~
F~eainnir~ Fund Sa[~nce Juh'; 27 17,091,959 30,589,050 47,681,009
Endino Fund I~lance J,,,~ :~1[I 28 15.204.480 j 0 15.204.48(~
Passed this day of
City Clerk Mayor
-3-
RESOLUTION NO.4_4-601
RESOLUTION DIRECTING THE CiTY CLERK TO PUBLISH
PROPOSED AMENDMENT TO THE FISCAL YEAR 2002 BUDGET
AND DATE OF PUBLIC HEARING
Whereas, it is proposed that the City of Dubuque amend its Fiscal Year 2002
budget; and
Whereas, Section 384.16 of the Code of Iowa stipulates that a public headng
must be held on such a budget amendment.
NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY
OF DUBUQUE, IOWA:
Section 1. That the City Clerk by and is hereby authorized and directed to
publish notice of public hearing on an amendment to the adopted budget for the City of
Dubuque, Iowa.
Passed, approved and adopted this 1 st. day of Octobe, r2001.
Ter e M. Duggan
Mayor
Attest:
~.~Jeanne F. Schneider City Clerk
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity
Object
09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
REVENUES
Replace Police/CAD Software-County Share
Police Vehicle Sales Revenue
Police Traffic Safety Grant
Police Intern-County Share
Refuge Interpretive Center-Discovery Center-HUD
ISTEA Grant for Design and Engineering Riverwalk
State Planning Grant for Rtverwalk Project
VISION Iowa Funds for Conference Center
Laras Preperty.445
Park Division-Landscape Highway 20--ISTEA
Park Division-Landscape Gateways--ISTEA
Park Division-Riprew Valley Dev.
Park Divialon-Riprew Valley Dev.
FEMA Reimbursements for Flood Related Damages
Heritage Trail-Principal Route-ISTEA Grant
Heritage TraiI-Princ~pal Route-State Grant
Heritage Trail-Principal Route-REAP Grant
Heritage Trail.Principal Route-Trails Grant
Heritage Trail-Related Route-REAP Grant
Hodgen/W. Locust Sidewalk/Step ISTEA Grant
Catherine/Locust Step Replacement-ISTEA
TOTAL GENERAL FUND
AMOUNT FD Activity
Object
Police Department 9,217 010 010638 43510
Police Department 52,650 010 11700 52503
Police Department 17,436 010 11763 43242
Police Department 1,560 010 11190 43510
Econ. Development 116,220 010 010945 43268
Engineering 19,698 010 010077 43109
Engineering 650,000 010 010077 43400
Five Rags (37,634,923) 010 010764 43400
Housing Services 1,627 010 61350 52319
Park Division 145,000 010 010287 43109
Park Division 170,100 010 010395 43109
Park Division 635,000 010 010671 43400
Park Division 457,000 010 010671 53202
Operations & Maintenance 123,919 010 54340 43274
Operations & Maintenance 010 010242 43109
Operations&Maintenance 166,341 010 010242 43400
Operations& Maintenance 9,000 010 010242 43407
Operations&Maintenance 15,781 010 010242 43450
Operations & Maintenance 194,583 010 010381 43407
Operations & Maintenance 141,800 010 010680 43109
Operations & Maintenance 101,750 010 010423 43109
(34,606,241)
1,079,107 050 050716 43210
212,985 050 050446 43210
168,534 050 53400 43241
58,172 050 53400 43400
1,518,798
FTA Funding for Bus Replacements Transit Division
FTA Funding for Replace Mini-Buses Transit Division
Federal Aid-Speciar Project Transit Division
State Aid-Special Project Transit Division
TOTAL TRANSIT FUND
Fund Change Amendment
Fund Change for Portion of Projec{
Fund Change
TIF Revenue Bond Proceeds-Eagle Window Community &Econ. Dev. 269,787 127
TOTAL KERPER TIF FUND 269,787
6OO1O
53104
FY 2001 Block Grant Carryover Amount Community & Econ. Dev. 2,407,361 210
108 Loan for Eagle Window Community &Econ. Dev. 2,030,000 210
TOTAL COMM. DEr, BLOCK GRANT FUNDS 4,437,361
60705
60705
43107
53100
Community Dev. Discretionary Funds-Housing Prej. Housing Services 330,224 212 61901 43268
TOTAL CD DISCRETIONARY FUNDS 330,224
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
Lead Paint Grant for Housing Dept Program Housing Services
TOTAL LEAD PAINT GRANT
AMOUNT FD Activity Object
1,849,605 215 61200 43268
1,849,605
09/12/2001
HOME Grant for Housing Housing Services
TOTAL HOME GRANT FUNDS
151,969 271
151,969
271973 43400
State Highway Assistance-Realign 32nd St/Arboretume Engineering
State Highway Assistance on Manson Road Bridge Engineering
State Highway Assistance on Manson Road Bridge Engineering
Southwest Arterial State STP Engineering
JFK Reconstructlon..State Grant Engineering
JFK Reconstruction--County Share Engineering
State Highway Assistance on Brunsklll Rd Bridge Engineering
TOTAL STREET CONSTRUCTION FUND
600,000 300 300698 43449
686,240 300 300238 43449
163,760 300 300238 43449
1,324,438 300 300993 43230
100,000 300 300204 43400
75,000 300 300204 43510
157,500 300 300200 43449
3,106,938
South Fork Sanitary Sewer Conn. Charge Engineering
Bonson Road Connection Charge Engineering
TOTAL SANITARY SEWER CONSTR. FUND
390,000 310
36,875 310
426,875
310245 44813
310278 44813
Site B RISE Grant Comm. & Econ. Der. 627,251 360
State Grant for Ind Park West Comm. & Econ. Dev. 120,000 360
Land Sales from Site B Comm. & Econ. Dev. 800,000 360
Land Sales from Site F Comm. & Econ. Dev. 740,000 360
IDOT RISE for Kerper Comm, &Econ. Dev. 130,000 360
IDED on Kerper Corem. & Econ, Dev. 1,200,000 360
TOTAL GEN. CONSTRUCTION FUND 3,617,251
Runway 18/36..FAA Airport Department 1,649,385 390
Runway 18/36 Grading-.FAA Airport Department 202,854 390
Airport Fencing--FAA Airport Department 338,402 390
Rehab T Hangars-State Airport Department 25,000 390
TOTAL AIRPORT CONSTRUCTION FUND 2,215,641
Runway 18/36 Airport Department 467,592 391
TOTAL AIRPORT PFC FUND 467,592
Vision Iowa Funds for Conference and Educ. Center Engineering 19,999,919 410
Park Division-Landscape Gateways--ISTEA Park Division 319,900 410
Heritage Trail-Principal Route-ISTEA Grant Operations & Maintenance 322,760 410
TOTAL AMERICA'S RIVER PROJ. FUND 20,642,679
360359 43459
360359 43400
360359 52501
360360 52501
360739 43459
360739 43400
390030 43219
390305 43219
390434 43219
39O870 43400
391030 44615
41O764 434OO
41O395 431O9
41O242 43109
Amendment
Bond Proceeds for America's River Project Engineering 12,135,000 440 00440 53101 Amendment
Bond Preceeds for Bond Related Expense Engineering 225,000 440 00440 53101 Amendment
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
TOTAL
AMOUNT
16,788,379
FD Activity
Object
09/12/2001
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT. AMOUNT FD Activity Object
CAPITAL BUDGET CARRYOVERS
Paint Parking Lot Poles
Telephone System
GIS System implementation
Burglar/Fire Alarm System
General Storm Sewer Repalm
Hawthorne and Kerper Storm Sewer
Mississippi RIverwalk Project
Mississippi R]verwalk Project--reducing DRA portion
Dodge/Terminal Storm Sewer
Town Clock Lighting
Cedar Crees Storm Sewer
Crescent Court Storm Sewer
Northwest Arterial Detention Basin
Jackson & Aquln Drainage
River[rent Leasehold Imprsvements.Sincla[r Property
Rlverfront Leasehold Improvements-Site Cleanup
Riverfront Leasehold Improvements-Peavy Property
Wilbright Lane Storm Sewer
Related Storm Sewer ice Harbor
University Avenue Storm Sewer
Selppel Road Ughting
Westside Storm Sewer
Clifford and lagen Storm Sewer
Rahab RR Tracks
Tourism Signage
Additional Parking Lots--ice Harbor
Storm Water Detention Acquisition of Property
Port of Dubuque Property Acq.--Browery
Port of Dubuque Property Acq.--Brewery
H&W Storm Sewer
Accessibility Building Maintenance
Center Grove Storm Sewer
Wallie & Arrowhead Storm Sewer
NW Arterial Detention Basin
Sewer Connection Asst-Low/Mod Income
Salina Street Storm Sewer
Cedar Cross Sanitary Sewer
Dredging 16th St Basin
Station #3 Exterior Improvements
Station #5 Interior/Exterior
Theater Window Replacement
Convention Center Study
Decorate Majestic Room/Btlou Room
Promenade Window Replacement
Sidewalk Replacement
Airport 1,652 010 010059 62731
City Manager's Office (354,044) 010 010593 73411
City Manager's Office 13,328 010 010812 62731
Emergency Comm. Center 26,000 010 010733 73411
Engineering 39,297 010 010028 73510
Engineering 57,000 010 010067 73211
Engineering 669,698 010 010077 73211
Engineering 010 010077 73211
Engineering 276,000 010 010175 73510
Engineering 10,000 010 010223 73211
Engineering 19,000 010 010294 73211
Engineering 16,000 0t0 010295 73510
Engineering 110,530 010 010324 73211
Engineering 182,205 010 010363 73211
Engineering 010 010366 73110
Engineering 010 010366 73211
Engineering 010 010366 73110
Engineering 15,722 010 010374 73211
Engineering 010 010401 73510
Engineering 110,942 010 010421 73510
Engineering 1t2,000 010 010425 73510
Engineering 61,588 010 010624 73510
Engineering 35,000 010 010668 73510
Engineering 22,490 010 010718 73211
Engineering 010 010720 73411
Engineering 010 010727 73211
Engineering 173,316 010 010771 73110
Engineering 010 010772 73110
Engineering 010 010772 73110
Engineering 42,000 010 010788 73510
Engineering 17,128 010 010829 73210
Engineering 91,703 010 010895 73211
Engineering 63,000 010 010965 73211
Engineering 212,000 010 010324 73211
Engineering 25,000 010 010512 62731
Engineering 91,947 010 010673 73211
Engineering 16,000 010 010676 73211
Engineering 9,925 010 010699 62811
Fire Department 13,621 010 010862 73210
Fire Department 1,540 010 010875 73210
Five Flags 36,000 010 010276 62731
Five F~ags 12,965 010 010427 62731
Five Flags 12,405 010 010631 73210
Five Flags 25,000 010 010711 73210
Five Flags 20,000 010 010712 73211
Fund changed for all but State Grant Funds
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Fund Change
Using Saline Street savings on NW Artedel Detention Basi
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity Object
Replace Portable Staging Five Flags 111,586 010
Replace Permanent Seating Five Flags 143,324 010
Maintenance of Vacant/Abandoned Buildings Housing Services 6,602 010
Heritage Trail-Principal Route Operations & Maintenance 314,083 010
Lores/Montmse Step Removal Operations & Maintenance 7,550 010
Catherine/Lacust Step Replacement Operations & Maintenance 27,000 010
Catherine/Lacust Step Replacement Operations & Maintenance 176,500 010
Dredge Ice Harbor Operations & Maintenance 53,994 010
Lees Amount for Sproule Decision Operations & Maintenance (180,000) 010
O/M Shop Addition Operations & Maintenance 573,288 010
O/M Shop Addition Operations & Maintenance 307,800 010
Hodgen/W. Locust Steps Operations & Maintenance 36,986 010
Hodgen/VV. Locust Steps Operations & Maintenance 246,614 010
University Slope Failure Operations & Maintenance 40,000 010
Middle Fork San. Sewer Repair Operations & Maintenance 292,392 010
Storm Sewer Clean-B Branch Operations & rv~intenance 40,000 010
Storm Sewer Clean B Branch Operations & Maintenance 5,904 010
storm Water Ditch Repairs Operations & Maintenance 12,716 010
Miller RIverview Park Electric Work Park Division 13,500 010
Highway 20 Landscape Design Park Division 6,000 010
Highway 20 Landscape Design Park Division 3,760 010
Flora East Field Drainage Park Division 4,600 010
Disc Golf Course Park Division 22,241 010
Mama Ridge Park Development Park Division 1,463 010
Mama Ridge Park Development Park Dlvleion 23,348 010
Landscape Gateways Park Division 205,950 010
Landscape Gateways Park Division 93,850 010
Landscape Gateways Park Division 14,723 010
Bunker Hill Sanitary Sewer Park Division 3,403 010
Vets Walkwayto Playground Park Division 800 010
Vets Warkway to Playground Park Division 7,500 0t0
West 5th Street Landscaping Park Division 8,500 010
Miller Riverview Park Riprap Park Division 81,645 010
Usha Park Devstopment Park Division 14,361 010
Ripmw Valley Park Development Park Division 1~09t,000 010
McAleece Storm Sewer Park Division 7,140 010
McAleeceStorm Sewer Park Division 900 010
Retaining Walls In Parks Park Division 7,500 010
Retaining Walls in Parks Park Division 55,670 010
Roosevelt Park Design Study Park Division 10,000 010
Miller Riverview Renovate Playgreund Park Division 13,185 010
Replace Police/CAD Software Police 32,207 010
Evidence Property Holding Police 5,600 010
Scanner Replacement Information Services 3,819 010
Printer Replacement Information Services 7,030 010
Data Communication Network Police 170,884 010
Data Communication Network Police 5,000 010
Law Enforcement Center Expansion Police 661,215 010
O1O900 7321O
010904 73411
010663 62431
010242 73211
010422 73211
010423 73211
010423 62811
010511 62731
010669 73210
010669 73210
010669 62711
010680 73211
010680 62711
010838 73510
010841 73510
010844 73510
010849 73510
010984 73211
010152 73211
010287 71522
010287 62711
010301 73510
010341 73211
010392 62712
010392 73211
010395 73310
010395 73211
010395 62712
010396 73211
010397 62811
010397 73510
010406 73211
010647 73211
010660 73211
010671 73211
010705 73211
010705 62811
010707 62811
010707 73211
010746 62711
010977 73411
010638 71123
010683 73210
010730 71129
010730 71122
010867 73410
010867 62731
010869 73210
Versus 6,602 available
Fund Chsnge for a Portion
Fund Changefora Potion
Ask Klm about negative 10,431
and negative 34,479 on compputers
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 os/t2/200t
DEPARTMENT & ITEM DESCRIPTION DEPT.
Pool Storage Building
Water Slide Flumes
Flora-E~and Enclosure
Auto Chemical Control
Sutton Shade Structure
Construct 3 Shade Structures
Flora and Sutton Water Playgrounds
Flora and Sutton Water Playgrounds
Recreation
Recreation
Recreation
Recreation
Recreation
Recreation
Recreation
Recreation
Subtotal, General Fund
AMOUNT
FD Activity
Object
10,691 010 010018 73210
20,200 010 010039 73211
14,700 010 010165 73211
3,350 010 010204 73411
12,000 010 010610 73211
10,000 010 010644 73211
24~000 010 010919 62711
237,500 010 010919 73211
7,413,532
Bus Shelter Transit Division 6,690
Building Improvements Transit Division 1,902
Replace Fixed Route Buses Transit Division 1,419,724
Replace Mini Buses Transit Division 256,608
Subtotal, Transit Fund 1,684,924
050 050168 73210
050 050473 73210
050 050716 73411
050 050446 73411
Downtown Loan Pool, TIF Economic Development 784,203 131
Downtown Loan Pool, TIF Economic Development 200,000 131
Subtotal, TIF Revolving Loan Fund 984,203
131209
1312O9
62764
62764
Amendment from loan repaymenta
Louise Lane Bridge Engineering 70,000 150
Kaufmann Ave Rsslignment Engineering 147,441 150
Stone Retaining Walls Engineering 92,682 150
Guardrail Replacement Engineering 73,800 150
Micro Replacements Information Services 1,700 150
Software Information Services 10,296 150
O/M Shop Addition Operations & Maintenance 10,000 150
O/M Shop Addition Operations & Maintenance 3,300,909 150
Subtotal, RUTF 3,706,828
150314
150990
150843
150556
150730
150730
15O669
150669
73211
73510
73211
73211
71122
71123
62711
73210
Commercial/Industrial Building Rehab Economic Development 500,000 210
ED Financial Assistance Economic Development 375,000 210
Neighborhood Improvements Economic DeveJopment 53,560 210
Historic Preservation Rehab Grant Economic Development 10,000 210
Port of Dubuque Property Acq.~-Brewery Engineering 210
Painted Brick Buildings Housing Services 12,455 210
First Time Homebuyer Housing Services 80,000 210
Housing Trust Housing Services 44,685 210
Maintenance of Vacant/Abandoned Buildings Housing Services 2,500 210
Rental Unit Rahab Housing Services 16,391 210
Homeowner Rehab Pregram Housing Services 149,806 210
Flat Iron Park Renovation Park Division 105,206 210
1,349,603
Subtotal, CDBG Funds
210207
210331
210565
210354
210772
210598
210185
210899
210663
210182
210333
210768
62764
62764
73510
62765
73110
62764
62764
62764
62431
73210
62764
73211
Will be asking Commission to add $100,000 to 207
Versus 30,000 available
Fund Change
Versus 32,455 available
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity
Object
09/12/2001
Land Acq.-Pumhase/Resale/Rehab Housing Services
Land Acq.-Pumhase/Resale/Rehab Housing Services
In-Fill Housing Loans Housing Services
Housing Incentives Loans Housing Services
Subtotal, Comm. Dev. Discretionary
Job Creation Economic Development
Port of Dubuque Property Acquisition Englneer!ng
Port of Dubuque Property Acq.--Brewery Engineering
Subtotal, UDAO Repayments
Residential Rahab Housing Services
Loans-state Match Housing Services
Subtotal, Rahab Loan Repayments
Loans-City Match
Housing Services
Subtotal, HOME Program
Brunskill Road Bddge
JFK Reconstruction NW to City Umits
Salina Street Reconstruction
Bddge Repa[r/Maint,
Asbury Road Widening NW
Manson Road Bridge Replacement
Manson Road Bddge RepJacement
Signalization Program
Peru Road Resurfac[ng
Dodge St Storm Sewer
Main Lighting- 1st Locust
Streetscape/Plaza Amenities
Guardrail RepJacement
Cedar Cross Sidewalks
Fengler Street Bddge Replacement
FY 2001 Street Program
SW Arterial State Project
Algona Street Reconstruction
Traffic Signal Efficiency
Realign 32nd St/Arboretum
Realign 32nd St/Arboretum
Engineering
Engineering
Englneedng
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Subtotal, Street Constru=tion Fund
12,199 212 212006 62731
10,000 212 212006 73111
19,977 212 212704 62764
90,000 212 212827 62764
132,176
393,000 220 220515 62764
220 220773 73110 Fund Change
220 220772 73110 Fund Change
393,000
238,500 270 270333
54,198 270 270973
292,698
151,969 271 271973
161,969
73210
62764
62764
315,000 300 300200 73510
407,649 300 300204 73510
28,904 300 300213 73510
78,892 300 300218 73211
160,900 300 300221 73211
272,919 300 300238 73510 Amendment
684,992 300 300238 73510
103,904 300 300288 73510
18,000 300 800365 73510
21,000 300 300378 62761
114,000 300 300427 73510
181,000 300 300495 73510
90,842 300 300556 73211
26,000 300 300723 73510
845,565 300 300724 73510
956,308 300 300970 73211
1,250,000 300 300993 62761
(10,622)300 300585 62811 Amendment
121,159 300 300610 73510
834,000 300 300698 73211
100,000 300 300688 62811
6,600,412
Mount Carmel Ddve Engineering (78,536) 310 310577 73211 Amendment
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
Alley Rhomberg & Gadleld Sewer
City Share of Special Assessments
Hawthorne St, Sanitary Sewer
Roeder St & Lois Storm Sewer
Sanitary Sewer Infiltration
I&l Reduction
Washington St, Sanitary Sewer
South Pork San. Sewer Interceptor
Elm Street Sanitary Sewer
Rockdale Rd Sanitary Sewer
Catfish Sanitary Sewer Line
Florence/Villa Sanitary Sewer
Miller Road Sanitary Sewer
Extensions Into New Developments
Relocate Sewer in Ice Harbor
3rd Street Ramp Sewer
Oak and Rising
Sanitary Sewer Manhole Replacement
Highway 20 Annexation Sewers
Keyway Sanitary Sewer
Chicago Senltary Sewer
Moore Heights Sanitary Sewer
Madison Avenue Sanitary Sewer
H&W Sanitary Sewer
02 Plant Repair
Dog Track Lift Station
Cedar St Pump & Motor Replacements
Cont. Emissions Control
Replace ,~sbestoe Floor Tile
Phase lll.Opeartions Manual
Fly .~sh Study
Reroof Intermediate Lift Station
Paint Doors & Windows
Sand Blast & Paint Terminal St Lift Station
Replace Drive Motor
Sludge Disposal Study
Epoxy Resin Lining
Inline Screen Grinder
Odor COntrol System
Primary Clariiter Probes
Replace Valves Catfish and Cedar
South incinerator Refractory
Scroll Rebuild Centrifuge
Replace Telemetry in Lift Stations
Conference Room Renovation
Landscape/Storm Water Modifications
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Plant
WPC Prant
WPC Plant
WPC Plant
Subtotal, Sewer Construction Fund
AMOUNT FD Activity
Object
(74,198) 310 310583 73211
4,135 310 310022 62761
rebudget 310 310048 73211
33,673 310 310049 73510
370,000 310 310189 73510
66,303 310 310189 73211
49,817 310 310228 73510
10,000 310 310245 73211
24,122 310 310327 73510
168,173 310 310328 73510
12,164 310 310329 73510
15,000 310 310367 73211
8,707 310 310369 73211
698,161 310 310377 73211
20,064 310 310401 73211
16,021 310 310514 73210
26,991 310 310677 73211
146,459 310 310708 73211
600,701 310 310735 73211
368,138 310 310736 73510
19,065 310 310753 73211
108,337 310 310836 73211
133,914 310 310837 73211
82,000 310 310840 73510
116,400 310 310029 73510
140,000 310 310068 73211
216,365 310 310073 73211
40,546 310 310091 73411
10,000 310 310152 73210
22,330 310 310210 62716
25,000 310 310297 62712
42,025 310 310458 73210
14,280 310 310459 73210
20,000 310 310461 73210
22,000 310 310453 73211
50,000 310 310466 62712
24,058 310 310595 73210
15,403 310 310611 73211
20,000 310 310612 73211
9,161 310 310682 73411
19,500 310 310941 73211
194,155 310 310948 73211
50,000 310 310949 73211
37,000 310 310952 73411
6,600 310 310953 73210
41,220 310 310969 73210
3,965,255
Amendment
Part of I&l
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity Object
Wartburg Storm Sewer
West 3rd Street Storm Seva~r
Guniting to cover Walker Toledo overrun
Comprehensive Storm Water Study
Clifford and Lagen Storm Sewer
Hamilton Street Storm Sewer
Jackson Street Storm Sewer
Cus~er/Ailison Hendemon Storm Sewer
Engineering 30,276 320 320045 73211
Engineering 9,000 320 320196 73510
Engineering (106,542) 320 320343 73510
Engineering 9,173 320 320326 62712
Engineering 205,000 320 320668 73510
Engineering 75,000 320 320696 73510
Engineering 100,000 320 320717 73211
Engineering 83,000 320 320866 73211
404,907
Subtotal, Storm Sewer Construction Fund
Amendment
Accessibility Building Modifications Engineering
Sealcoat Parking Lots Parking Division
Subtotal, Parking Construction Fund
20,000 330 330829 73210
33,460 330 330058 73211
53,460
O/M Shop Additien
Chlorine Feed Room Expansion
Pennsylvania Pump Station
On Line Lab Instruments
Valve Replacement
Water Extensions Annexation Related
Water Extensions Annexation Related
Telemetry Replacement
Clearning Shallow Well Line
Operations & Maintenance 217,000 340 340669 73210
Water Department 49,500 340 340101 73210
Water Department 4,800 340 340601 73211
Water Department 760 340 340602 73410
Water Department 1,067 340 340639 73211
Water Department 5,045 340 340686 62712
Water Department 106,076 340 340686 73211
Water Department 36,500 340 340908 73211
Water Department 3,068 340 340921 62731
423,816
Subtotal, Water Construction Fund
Annex Boiler Replacement
Annex Air Conditioner
Document Imaging
Accessibility improvements
Storm Sewer Extensions
Sidewalk Program-City Owned
Welcome Center Plaza Repair-Part of RIverwalk
Rockdale Rd Storm Sewer
Curtis Street Storm Sewer
Terminal Street Storm Sewer
Kaufman/JFK Storm Sewer
Foye St Step Reconstruction
Rahab RR Tracks
Harbor Arsa Maintenance
Parking Lot Malnt.-Ice Harbor
Curb and Catch Basin Replacement
Theater Backstage Space
Theater Replace Main Doors
House Light Dimmers
Building
Building
City Manager's Office
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Five Flags
Five Flags
Five Flags
13,000 350 350868 73410
4,200 350 350992 73411
16,395 350 350400 73410
(3,497) 350 350829 73210
9,066 350 350027 73211
109,867 350 350042 73510
350 350077 73211
149,298 350 350229 73211
36,629 350 350231 73211
72,000 350 350233 73211
27,095 350 350321 73510
60,000 350 350364 73211
81,500 350 350718 73211
79,999 350 350719 73211
350 350767 73211
215,932 350 350779 73211
6,903 350 350634 73210
17,600 350 350884 73210
30,500 350 350890 73411
Amendment
Fund Change
Fund Change
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity Object
Steps, Railing and Fencing Operations & Maintenance 122,435 350
McAieece Level Fields Park Division 30,000 350
Bunker Hill. Rewire Building Park Division 8,200 350
Cleveland Park Play Unit Park Division 26,820 350
Town Clock Paint Standards Park Division 7,800 350
Replace Light Standards-Town Clock Plaza Park Division 21,721 350
Flora-Repair Concrete Pavilion Park Division 700 350
Flora-Repair Concrete Pavilion Park Division 5,000 350
Park Headquarters-Repair Office Park Division 3,983 350
Murphy Park Replace Tennis Court Lights Park Division 1,000 350
Murphy Park Replace Tennis Court Lights Park Division 21,000 350
Veterans Park Replace Fence Park Division 1,500 350
Veterans Park Replace Fence Park Division 30,620 350
Vets Resurface Parking Lot Park Division 7,000 350
Vets Resurface Parking Lot Park Division 62,464 350
AH/FLora Lights-Rinks Park Division 36,000 350
AH/FLora Lights-Rinks Park Division 4,000 350
Doors/Frames Recreation 5,700 350
Paint Filter Tanks Recreation 6,300 350
Relandscape Recreation 1,655 350
Flora Ventillation Fans Recreation 15,000 350
1,344,389
Subtotal, Sales Tax Construotlon Fund (20%)
350112 73211
350061 73211
350095 73210
350133 73411
350411 62731
350531 73510
350607 62811
350607 73210
350651 73210
350653 62811
350653 73411
350654 62811
350654 73411
350661 62811
350661 73411
350709 73211
350709 62811
350052 73210
350479 62731
35O48O 7331O
350513 73210
Eagle Window Development
Eagle Window Dev.-Loans & Bd Fund Balance
Site B Industrial Park
Industrial Park South-Sproule
Site F Industrial Park Construction
Kerper Bird Construotion
Riverfrant 2000 Planning
Economic Development 692,000 360
Economic Development 2,030,000 360
Economic Development 1,647,220 360
Economic Development 180,000 360
Economic Development 97,206 360
Economic Development 545,355 360
Planning Servloes Dept 7,176 360
5,198,997
Subtotal, General Constr. Fund
360267 73211
360267 62764
360359 73211
360360 73210
360360 73211
360739 73211
360920 62712
Runway 18/36 Construction
Runway 18/36 Construction
Airport Fencing/Hazard
Additional Fuel Storage Tank
Additional Fuel Storage Tank
Rahab Exterior of Terminal
Rehab Exterior of Terminal
New Hangars
Airport 94,126 390
Airport 230,196 390
Airport 371,386 390
Airport 5,649 390
Airport 35,745 390
Airport 33,693 390
Airport 739 390
Airport 24,360 390
795,894
Subtotal, Airport Construction Fund
390030 62712
390030 73510
390434 73211
390622 62731
390622 73211
390636 73210
390636 62712
390806 62711
Reduaed by $75,022 overage on Grading
Mississippi Rlverwalk ProJec~ Engineering
Mississippi Riverwalk Project--reducing DRA portion Engineering
Riverfrent Leasehold Imprevements-Peavy Property Engineering
3,346,568 410 410077 73211
(1,567,800)410 410077 73211
1,030,000 410 410366 73110
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
River~ront Leasehold Improvements-Sinclair Property
R[verfrent Leasehold rmpmvemente-Slte Cleanup
Welcome Center Plaza Repair-Part of Riverwalk
Related Storm Sewer Ice Harbor
Tourism Signage
Additional Parking Lots--Ice Harbor
Parking Lot Maint.qce Harbor
Port of Dubuque Property Acq...Brewery
Port of Dubuque Property Acq.~-Brewery
Port of Dubuque Property Acq.--Brewery
Pert of Dubuque Property Acq.--Bre~ry
Port of Dubuque Property Acquisition
Welcome Center Plaza Repair-Part of Riverwalk
Mississippi Riverwalk
Heritage Troll-Principal Route
Additional Parking Ramp
Landscape Gateways
Landscape Gateways
AMOUNT
Subtotal, America's River Fund
FD Activity
Object
Engineering 64,000 410 410366 73110
Engineering 570,066 410 410366 73211
Engineering 100,000 410 410387 73211
Engineering 52,042 410 410401 73510
Engineering 149,952 410 410720 73411
Engineering 4,950 410 410727 73211
Engineering 32,976 410 410767 73211
Engineering 607,608 410 410772 73110
Englneering 1,050,000 410 410772 73110
Engineering 195,253 410 410772 73110
Engineering 245,000 410 410772 73110
Engineering 400,000 410 410773 73110
Engineering 60,764 410 410077 73211
Engineering 1,567,800 410 410077 73211
Operations & Maintenance 418,254 410 410242 73211
Parking Division 229,212 410 410514 73210
Park Division 630,200 410 410395 73310
Park Division 100,000 410 410395 73211
9,286,845
Amendment
Bond Funds
O/M Shop Additlon
O/M Shop AddEion
Operations & Maintenance 340,509 470
Operations & Maintenance 10,000 470
Subtotal, Refuse Collection Fund 350,509
470669
470669
73210
62711
Annex Boiler Replacement Building
Subtotal, Cable TV Fund
7,000 540
7,000
540868
73410
Welcome Center Plaza Repair-Part of Riverwalk Engineering
Subtotal, Perking/Dock Fac. Dept.
812
812387
73211 Fund Change
TOTAL CAPITAL BUDGET CARRYOVERS 44,540,373
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity
Object
09/12/2001
OPERATING BUDGET CARRYOVERS
Airport Marketing
Airport Telephone System
Code Books
Software License Fee
Education and Training
Education and Training
Eduoatlon and Training
Web Page Development
Shetving
Printer/Scanner/Copier
Elestronic Data Collector
Printing and Binding
Travel Prefesslonal Conference
Education and Training
Travel Professional Conference
Respiratory Disease Trust Funds to VNA
Peripherals, Computer
Overtime for Conversion Work
Microcomputer
Human Rights Commission Banquet
HUD Contract-Stall Training
HUD Contract-Misc. Outreach Efforts
HUD Contract-Training initiatives
HUD Contract-Printing and Binding
Loss Control Expert Training
Retention of Utility Truck for Vehicle M~int.
Wellness Program
Workshop Threats and Violence
Lose Control Expert Training
Sensitivity Training
Loss Control Expert Training
Scanner for laserfiche
Replace Bookshelves
Paint Office
Storage Cabinets
Police Intern
Camera Equipment
Camera Equipment
Police Vehicles
Visibar Lights
1999 Criminal Justice Block Grant
1999 Criminal Justice Block Grant
1999 Criminal Justice Block Grant
1999 Criminal Justice Block Grant
Airport 14,211 010 51100 62140
Airport 5,566 010 51400 72418
Building Services 3,880 010 57100 62170
Building Services 9,100 010 57100 62663
Building Services 1,443 010 57200 62360
Building Services 3,994 010 57400 62360
Building Services 2,883 010 57700 62360
City Manager'sOffice 30,000 010 72100 62731
Engineering 382 010 55400 71225
Engineering 19,660 010 55400 71110
Engineering 3,100 010 55400 72415
Health Services 698 010 17100 62090
Health Services 336 010 17100 62310
Health Services 184 010 17300 62360
Health Services 221 010 17300 62310
Health Services 1,734 010 17600 62731
Housing Services 2,235 010 61700 71120
Housing Services 308 010 61700 61050
Housing Services 1,725 010 61700 71124
Human Rights 1,000 010 16400 62734
Human Rights 36,392 010 16402 62753
Human Rights 8,212 010 16402 62731
Human Rights 9,384 010 16402 62360
Human Rights 3,665 010 16402 62090
Oporations and Malntenanc 800 010 54100 62731
Operations and Maint. 7,500 010 54430 71314
Personnel 1,000 010 72700 62731
Pemonnel 600 010 72700 62731
Personnel 2,500 010 72700 62731
Personnel 3,000 010 72700 62752
Personnel 400 010 72700 62731
Planning Services 500 010 62400 71110
Planning Services 2,500 010 62400 71215
Planning Services 2,000 010 62400 62431
Police Department 4,000 010 11190 71215
Police Department 3,900 010 11190 62669
Police Department 420 010 11300 72417
Police Department 600 0t0 11700 72417
Police Department 65,600 010 11700 72210
Police Department 4,491 010 11700 72210
Police Department 6,420 010 11761 61050
Police Department 7,681 010 11761 62360
Police Department 3,585 010 11761 61010
Police Department 4,922 010 11761 62671
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 o6/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
2000 Criminal Justice Block Grant
2000 Criminal Justice Block Grant
2000 Criminal Justice Block Grant
2000 Criminal Justice Block Grant
Traffic Safety Grant
Police Department
Police Department
Police Department
Police Department
Police Department
TOTAL GENERAL FUND OPERATING
AMOUNT FD Activity
Object
3,289 010 11762 62010
8,353 010 11762 62671
10,000 010 11762 61050
5,000 010 11762 62360
17,436 010 11763 61010
326,810
Job Access Reverse Commute (JMRC)-Federal Grant Transit
Payments to Project Concern for Paratranslt Service
Temporary Assistance for Needy Families. State Grant Transit
TOTAL TRANSIT FUND
168,534 050 53400 62772
8,409 050 53400 62761
58,172 050 53400 62772
23~115
Vehicle Retention for Maintenance Shop
Office Furniture for Office Addition
Office Furniture for Office Addition
Office Furniture for Office Addition
Telephone System
Prlnte r/Scanne r/Copier
Software
Survey Equipment
Operations and Maint 2,500 150 54401 71314
Operations and Maint 500 150 54101 71156
Operatloneand Maint 2,000 150 54101 71212
Operations and Maint 4,600 150 54101 71213
Engineering 500 150 55402 72418
Engineering 36,000 150 55402 71110
Engineering 7,678 150 55402 71123
Engineering 11,678 150 55402 71412
66,466
TOTAL ROAD USE TAX FUND
Neighborhood Develc
Neighborhood Develo
Neighborhood Develo
Neighborhood Develo
Neighborhood Develo
Neighborhood Develo
Neighborhood Deve[o
)ment--Leadership Training
}ment--Postage
~ment--Planning Services
~ment--Misc Operating
~ment--Telephone
)merit--Education
)ment--Travel Prof Conference
Neighborhood Development--Copying
Neighborhood Developm ent--Printing
Neighborhood Development--Office Supplies
Neighborhood Development--Life Insurance
Neighborhood Development--SS
Neighborhood Development--IPERS
Neighborhood Development--Wages
Neighborhood Development--Health
Neighborhood Development..Worker's Comp
Neighborhood Development--Education
Neighborhood Development-~Copying
Neighborhood Development--Travel Prof Conference
Neighborhood Development--Leadership Training
Neighborhood Development--Telephone
Neighborhood Development--Mlsc Operating
Neighborhood Development--Postage
Economic Develo )ment
Economic Develo )ment
Economic Develo )merit
Economic Develo )ment
Economic Develo )ment
Economic Develo )ment
Economic Develo )ment
Economic Develo )merit
Economic Develo )merit
Economic Develo )ment
Economic Develo )ment
Economic Develo )merit
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
Economic Development
(5,000) 210 60500 62755
(700) 210 60500 62030
(10,000) 210 60500 62834
( 1,050) 210 60500 62671
(200) 210 60500 62421
(500) 210 60500 62360
(1,000) 210 60500 62310
(200) 210 60500 62 t 10
(1,000) 210 60500 63090
(200) 210 60500 62010
(100) 210 60500 61450
(3,835) 210 60500 61320
(2,882) 210 60500 61310
(50,128) 210 60500 61010
(5,916) 210 60500 61410
(50) 210 60500 61430
500 210 72800 62360
200 210 72800 62110
1,000 210 72800 62310
5,000 210 72800 62755
200 210 72800 62421
1,050 210 72800 62671
700 210 72800 62030
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
Neighborhood Development--Printing
Neighborhood Development--Planning Services
Neighborhood Development--Offlce Supplies
Neighborhood Development--Llfe Insurance
Neighborhood Development--Worker's Comp
Neighborhood Development-.Health
Neighborhood Development--SS
Neighborhood Development--IPERS
Neighborhood Development--Wages
Microcomputer
Overtime for Conversion Work
Peripherals for Computer
AMOUNT FD Activity Object
TOTAL COMM. DE% FUND
Econornlc Development 1,000 210 72800 62090
Economic Development 10,000 210 72800 62834
Economic Development 200 210 72800 62010
Economic Development 100 210 72800 61450
Economic Development 50 210 72800 61430
Economic Development 5,916 210 72800 61410
Economic Development 3,835 210 72800 61320
Economic Development 2,882 210 72800 61310
Economic Development 50,128 210 72800 61010
Housing Services 1,725 210 61701 71124
Housing Services 307 210 61701 61050
Housing Services 2,235 210 61701 71120
4,267
Grants
Housing Services
TOTAL LEAD BASED PAINT GRANT
1,533,602 215 61200 52765
1,533,602
Housing LHAP Grant
Housing Services
TOTAL STATE RRP LOAN
5,000 270 61304 62764
5,000
GDDC Marketing Contract
Purchase of Services 32,288 220 79300 62761
TOTAL UDAG Funda 32,288
Major Repair Work Water Pollution Control
Landfill Fees Water Pollution Control
Miscellaneous Services Water Pollution Control
Flow Through Samplere Water Pollution Control
Repair/Replacement of Laboratory Fixtures Water Pollution Control
TOTAL SEWER OPERATING FD
23,000 460 43400 62612
40,000 460 43400 62692
21,500 460 43400 62731
9,600 460 43400 71413
4,500 460 43700 71413
98,600
Residential Permits-Printing Parking System
Software-Meter Trax Software Parking System
Software and Server Parking System
Sweeper Trailer Parking System
TOTAL PARKING OPERATING FD
2,000 490 46420 62090
5,802 490 46420 71123
8,949 490 46300 71124
3,000 490 46300 71324
19,751
Dog Track Capital Improvements Purchase of Service
TOTAL DOG TRACK DEPRECIATION FUND
174,858 810 79250 73210
174,868
Educator payments to Loras Operations and Maint, 40,000 940 54220 62737
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT. AMOUNT FD
HHW Recycler Services Operations and Maint. 20,000 940
TOTAL LANDFILL OPER. FUND 60,000
TOTAL OPERATING BUDGET CARRYOVERS 2,555,747
June 30, 2001 Outstanding Purchase Orders 11,005,348
TOTAL CARRYOVERS AND ENCUMBRANCES 58,101,468
Activity Object
54220 62761
Includes $26,946 In Non-Program Expense
09/12/2001
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity
Object
09/12/2001
TRANSFER IN
Transfer Golf Deficit for FY 01 to General Fund
Special Assessments on 5th Street
Transfer of Land Sales to Street Constr, Site B
Special Assessments on Cedar Cross Sidewalks
Special Assessments on FY 2000 Street Program
JFK Reconstruction--Special Assessments
Special Assessments on Salina Street
Special Assessments on Highway 20 Annexation
Special Assessments on Rockda[e Rd San.
Speclsf Assessments on Chicago St San
Special Assessments on Oak and Rising
Special Assessments on Moore Heights San. Sewer
Transfer of Land Sales to Sanitary Constr, Site F
Special Assessments on Madison Ave, San.
Transfer for Clifford and Lagen Storm Sewer
Transfer of Land Sales to Street Constr, Site B
Transfer of O/M Building for Spmule Decision
Revenue Bond Proceeds for Eagle Window
108 Loan for Eagle Window
Transfer of PFC Funds for Runway 18/36 & Taxiway
Transfer to America's River Gen Fd rel carryovers
Transfer to America's River CDBG Fd tel carryovers
Transfer to America's River UDAG Fd rel carryovers
Transfer Bond Proceeds for America's River Proj
Transfer to America's River for Welcome Ctr Plaza
Transfer to America's River for Welcome Ctr Plaza
Recreation 13,935 010 00010 59430
Engineering 25,000 300 300495 59650
Engineering 780,000 300 00300 59360
Engineering 16,000 300 300723 59650
Engineering 290,351 300 300970 59650
Engineering 60,000 300 300204 59650
Engineering 99,992 300 300213 59650
Engineering 279,000 310 310735' 59650
Engineering 60,000 310 310328 59650
Engineering 37,845 310 310753 59650
Engineering 34,567 310 310677 59650
Engineering 30,000 310 310836 59650
Engineering 370,000 310 00310 59360
Engineering 21,000 310 310837 59650
Engineering 115,000 320 320668 59010
Water 348,000 340 00340 59360
Economic Development 180,000 360 360360 59010
Economic Development 269,787 360 360267 59127
Economic Development 2~030,000 360 360267 59210
Airport 467,592 390 390030 59391
Engineering 6,526,233 410 00410 59010
Engineering 245,000 410 00410 59210
Engineering 1,450,000 410 00410 59220
Engineering 9,901,550 410 00410 59440
Engineering 100,000 410 00410 59812
Engineering 93,740 410 00410 59350
Transfer to America's River Project-Cable TV Funds Engineering
Transfer to America's River Project. Water Constr Fds Engineering
Transfer to America's River Project-Sanitary Constr Engineering
Transfer to America's River Prejest-Salee Tax Fds Engineering
Transfer to America's River-General Fund-Five Flags Engineering
Transfer from General Fund-June 30th Enc Engineering
Transfer San. Sewer Conetr-June 30th Enc Engineering
Transfer Parking Constr-June 30th Enc Engineering
Transfer Water Sever Constr-June 30th Enc Engineering
Transfer Sales Tax Sewer Constr-June 30th Enc Engineering
Transfer Cable Franchise-June 30th Enc Engineering
TOTAL TRANSFERS IN
TRANSFER OUT
Transfer for Clifford and Lagen Storm Sever
300,000 410 00410 59540
193,200 410 00410 59340
127,100 410 00410 59310
100,000 410 00410 59350
764,347 410 00410 59010
396,618 410 00410 59010
3,589 410 00410 50310
4,496,958 410 00410 59330
79,910 410 00410 59340
93,904 410 00410 59350
42,837 410 00410 59540
30,443,055
Amendment
Engineering 115,000 010 00010 91320
Transfer Side of Fund 410 America's River Project Entries 6,526,233 010 00010 91410
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
Transfer Side of Fund 410 America's River Project Entries
Transfer Side of Fund 410 America's River Project Entries
Transfer Bond Proceeds for Amedca's River ProJ Engineering
Transfer to America's River for Welcome Ctr Plaza Engineering
Transfer to America's River for Welcome Ctr Plaza Engineering
Transfer to America's River Project-Cable TV Funds
Transfer to America's River Project-Water Constr Fda
Transfer to America's River Project-Sanitary Constr
Transfer to America's River Project-Sales Tax Fda
Transfer to America's River Project-Sales Tax Fda
Transfer to Amerlca'e River-General Fund-Five Flags
Transfer of O/M Building for Sproule Decision
Engineering
Engineering
Engineering
Engineering
Engineering
Engineering
Economic Development
Transfer of Revenue Bond Proceeds for Eagle Window Economic Development
Revenue Bond Proceeds for Eagle Window
Transfer of Land Sales to Street Consfr. Site B
Transfer of Land Sales to San. Sewer Constr. Site F
Transfer of PFC Funds for Runvwy 18/36 & Taxiway
Transfer out for Sanitary Sewer Assessments
Transfer out for Street Related Spec. Assess.
Transfer Golf Deficit for FY 01 to General Fund
Economic Development
Economic Development
Economic Development
Airport
Engineering
Engineering
Recreation
Transfer from General Fund-June 30th Enc
Transfer San. Sev,~r Conetr-June 30th Enc
Transfer Parking Sewer Constr-June 30th Eric
Transfer Water Sewer Constr-June 30th Enc
Transfer Sales Tax Sewer Constr-June 30th Enc
Transfer Cable Franchise-June 30th Enc
Engineering
Engineering
Engineedng
Engineering
Engineering
Engineering
AMOUNT
FD Activity
Object
245,000 210 60705 91410
1,450,000 220 00220 91410
9,901,550 440 00440 91410
100,000 812 79260 91410
93,740 350 00350 91410
300,000 540 75400 91410
193,200 340 00340 91410
127,100 310 00310 91410
100,000 350 00350 91410
100,000 010 00010 91410
664,347 010 00010 91410
180,000 010 00010 91360
269,787 127 60010 91360
2,030,000 210 60705 91360
1,128,000 360 360359 91300
370,000 360 360360 91310
467,592 391 · 00391 91390
462,412 650 00650 91310
491,343 650 00650 91300
13,935 430 00430 91010
396,618 010 00010 91410
3,589 310 00310 91410
4,496,958 330 00330 91410
79,910 340 00340 91410
93,904 350 00350 91410
42,837 640 75400 91410
Amendment
09t12/2001
TOTAL TRANSFERS OUT 30,443,055
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002 09/12/2001
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT
AMENDMENT ITEMS--AMERICA'S RIVER PROJECT RELATED
Budgeted Project Expense Being Moved to America's River Project Fund
Convention Canter Study Five Flags
Replaoe Promenade Carpet Five Flags
Replace Stage Curtain Five Flags
Motorize Pipe Battens Five Flags
Theater Fly Rail System Five Flags
Remodel Main Office Five Flags
Sidewalk Replacement Five Flags
Master Site Plan Phase II and iii Engineering
Riverwalk and Amenities-Amphitheater and Plaza Engineering
Riverwalk and Amenities-Amphitheater and Plaza Engineering
Total, General Fund Amendments
(50,000) 010
(41,7t0) 010
(18,000) 010
(60,000) 010
(20,400) 010
(7,500) OlO
(10,000) 010
(100,000) 010
(70,000) 010
(388,737) 010
(764,347)
Port of Dubuque Infrastructure-Sewer Ext. Engineering
Total, Sanitary Sewer Constr. Fund
(127,100) 310
(127,100)
Port of Dubuque Intrastrueture-Water Ext Engineering
Total, Water Construction Fd
(193,200) 340
(193,200)
FD Activity
Object
010427
010527
010528
010529
010571
010572
010712
010077
010077
010077
310401
340401
62731
71223
73411
73411
73411
73210
73211
62712
62811
73211
73211
73510
Por~ of Dubuque Infrastructure-Fiber Conduit Engineering
Total, Cable TV
(300,000) 540
(300,000)
540401
73510
Riverwalk and Amenitles-Floodwall Facade Impr Engineering
Total, Sales Tax Fd (20%)
Convention Center Study Five Flags
Replace Promenade Carpet Five Flags
Replace Stage Curtain Five Flags
Motorize Pipe Battens Five Flags
Theater Fly Rail System Five Flags
Remodel Main Office Five Flags
Sidewalk Replacement Five Flags
RIverwalk and Amenities-Amphitheater and Plaza Engineering
Riverwalk and Amenities-Amphitheater and Plaza Engineering
Port of Dubuque Infrastructure-Sewer Ext. Engineering
Port of Dubuque Infrastructure-Water Ext Engineering
Port of Dubuque infrastructure-Fiber Conduit Engineering
Rlverwalk and Amenitiee-Floodwall Facade Impr Engineering
Master Site Plan Phase ]1 and Itl Engineering
Total, America's River Project Fund
(100,000) 350
(100,000)
50,000 410
41,710 410
16,000 410
60,000 410
20,400 410
7,500 410
10,000 410
70,000 410
388,737 410
127,100 410
193,200 410
300,000 410
100,000 410
100,000 410
1,484,647
350077
410427
410527
410528
410529
410571
410572
410712
410077
410077
410401
410401
410401
410077
410077
73211
62731
71223
73411
73411
73411
73210
73211
62811
73211
73211
73510
73510
73211
62716
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity Object
09/12/2001
Bond Issuance Expense Engineering
Total, Bond Proceeds Fund
225,000 440 410764 62731
225,000
Adjustment to Conference Center Budget to Reflect Prior Year Land Acq. and FY 03 ClP Expense
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Conference and Education Center
Engineering (2,878,109) 010 010764
Engineering (369,234) 010 010764
Engineering (27,265,750) 010 010764
Engineering (3,376,430) 010 010764
Engineering (300,000) 010 010764
Engineering (2,400,000) 010 010764
Engineering (1,045,400) 010 010764
(37,634,923)
Subtotal, General Fund Deducts
62711
62811
73210 Refiectereduced coM. & spread overtwoyeare
73211
73310
73411
73510
DeduCing $37,634,923fororignalect.
Project Manager Costs-Conference Center Engineering
Construction Costs Engineering
Contingency Engineering
Architectural Services Engineering
Eligible Furniture and Fixtures Engineering
Subtotal, America's River Project Fund
750,000 410 410764 62712
23,501,469 410 410764 73210
1,740,000 410 410764 73211
1,510,000 410 410764 73310
2,400,000 410 410764 73411
29,901,469
$600,000 budgeted in FY 03
Conference and Education Center lees
$1,809,681 budgeted in FY 03
Outstanding Purohase Orders June 30th Moved to America's River ProJeot Fund
Riverwalk
Rlverwalk
Heritage Trail.22nd to Mines of Spain
Leasehold Improvements
Leasehold Improvements
Additional Parking Lot-Ice Harbor
Relocate Sewer Ice Harbor
Sewer Related to Ramp
Additional Parking Ramp
Additional Parking Ramp
Additional Parking Ramp
Additional Parking Ramp
(150,687) 010 010077 62712
(170,577) 010 010077 73211
(6,448) 010 010242 62716
(11,570) 010 010366 62716
(9,036) 010 010366 62731
(48,300) 010 010727 73211
(396,618)
(2,620) 310 310401
(969) 310 310514
(3,569)
73211
62671
(23,884) 330 330514 62711
(11;798) 330 330514 62731
(8,912) 330 330514 62741
(4,223,152) 330 330514 73210
(4,267,746)
FISCAL YEAR 2001 CARRYOVERS INTO FISCAL YEAR 2002
DEPARTMENT & ITEM DESCRIPTION DEPT.
AMOUNT FD Activity
Object
09/12/2001
Water Line Ice Harbor
Parking Lot Maintenance Ice Harbor
Port of Dubuque Telecommunications
Rlverwalk
Riverwalk
Heritage Trall-22nd to Mines of Spain
Leasehold Improvements
Leasehold Improvements
Additional Parking Lot-Ice Harbor
Relocate Sewer Ice Harbor
Sewer Related to Ramp
Additional Parking Ramp
Additional Parking Ramp
Additional Parking Ramp
Addltlenal Parking Ramp
Water Line Ice Harbor
Parking Lot Maintenance Ice Harbor
Port of Dubuque Telecommunications
TOTAL AMENDMENTS REL TO FUND CHANGES FY 02 BUDGET & ENC.
TOTAL CARRYOVERS & AMENDMENT ITEMS
CERTIFIED BUDGET
TOTAL AMENDED BUDGET
AMENDMENTS TO FUND TRANSFERS
(79,910) 340 340401
(79,910)
(93,904) 350 350767
(93,904)
(42,837) 540 540401
(42,837)
73211
73211
73211
11~290,886
167,883,900
301443,055
50,593,014 50,593,014
(7,508,454)
150,687 410 410077 62712
170,577 410 410077 73211
6,448 410 410242 62716
11,570 410 410366 62716
9,036 410 410366 62731
48,300 410 410727 73211
2,620 410 410401 73211
969 410 410514 62671
23,884 410 410514 62711
11,798 410 410514 62731
8,912 410 410514 62741
4,223,152 410 410514 73210
79,910 410 410401 73211
93,904 4t0 410767 73211
42,837 410 410401 73211
4,884,604
MEMORANDUM
September 27, 2001
TO:
FROM:
SUBJECT:
The Honorable Mayor and City Council Members
Michael C. Van Milligen, City Manager
Fiscal Year 2002 Budget Amendment
Administrative Services Manager Pauline Joyce is recommending that a public hearing
be set for October 15, 2001, to consider the Fiscal Year 2002 Budget Amendment.
I concur with the recommendation and respectfully request Mayor and City Council
approval.
Michael C. Van I~lilli~]en
MCVM/jh
Attachment
cc: Barry Lindahl, Corporation Counsel
Cindy Steinhauser, Assistant City Manager
Pauline Joyce, Administrative Services Manager
MEMORANDUM
September 14, 2001
TO:
FROM:
SUBJECT:
Michael C. Van Milligen, City Manager
Pauline Joyce, Administrative Services Manager ,(~
l
Fiscal Year 2002 Budget Amendment
The purpose of this memorandum is to inform you of Fiscal Year 2001 capital
projects which were not completed during the fiscal year and will be carried
forward into Fiscal Year 2002 and to begin the process for amending the Fiscal
Year 2002 budget.
The attached summary includes operating budget carryovers of (;2,555,747,
capital budget carryovers of $44,540,373 (covered by continuing appropriation
authority), June 30th Outstanding Purchase Orders of $11,005,348 and
amendment items of -(;7,508,454. Estimated revenues associated with the
carryovers and amendment items are being increased by (;16,788,379. These
items are being presented for the purpose of amending the Fiscal Year 2002
budget. There will then be a second budget amendment around April or May,
2002 to pick up the balance of City Council actions requiring amendments to the
current fiscal year.
The most significant changes being presented through the amendment process
include: Riprow Valley ((;1,091,000), Bus Replacements ((;1,419,724), New
Operations and Maintenance Facility ((;3,310,000), Community Development Block
Grant related carryovers ((;1,349,603), Manson Road Bridge ((;957,911), Brunskill
Bridge ($315,000), Fengler Street Bridge ((;845,565), other Street Projects
(approximately (;4,400,000), Treatment Plant and Sanitary Sewer projects
((;3,965,255), Eagle Window federal loan funds, Mississippi Riverwalk project
((;3,346,568), Riverfront Leasehold Improvements ((;1,030,000), and the Brewery
Acquisition funds ((;2,107,608).
The action step is for the continuing appropriation (capital carryovers), operating
budget carryovers and amendment items to be forwarded to City Council for their
information and to forward the attached resolution for City Council action to set
the public hearing date for the formal budget amendment process as required by
Section 384.16 of the Code of Iowa. The attached resolution authorizes the City
Clerk to publish notification for a public hearing to be held October 15, 2001.
Attachments
CC'
Cindy Steinhauser, Assistant City Manager
Barry Lindahl, Corporation Counsel
Ken TeKippe, Finance Director