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File #: 22-1316    Version: 1
Type: Bill Status: Passed
File created: 10/10/2022 In control: Finance & Governance Committee
On agenda: 11/7/2022 Final action: 11/7/2022
Title: A bill for an ordinance making a rescission from General Fund Contingency and making appropriations to agency General Fund, Special Revenue Funds, Capital Funds, and Enterprise Funds. Rescinds $12,513,214 from General Fund Contingency and authorizes supplemental appropriations in the General Fund, Special Revenue Funds, Capital Funds, and agency Enterprise Funds to address year-end 2022 needs. The Committee approved filing this item at its meeting on 10-18-2022.
Indexes: Mar'quasa Maes
Attachments: 1. BR22-1316_DOF_BMO_Supplmentals and transfers, 2. 2022 YE Supplementals_Rescission_FINAL, 3. CB22-1316_DOF_BMO_Supplementals_and transfers, 4. 22-1316 Filed Bill_DOF_BMO_Supplementals_and transfers, 5. 22-1316 - signed, 6. 22-1316 For an ordinance making a rescission from General Fund Contingency and 6 making appropriations to agency General Fund

Finance Item/Grant Request Template

 

Date Submitted: 10-17-2022

 

Requesting Agency: Finance

                               Division:

 

Subject Matter Expert Name: Stephanie Adams
Email Address: Stephanie.Adams@denvergov.org
Phone Number:

 

Item Title & Description:

(Do not delete the following instructions)

These appear on the Council meeting agenda. Initially, the requesting agency will enter a 2-3 sentence description. Upon bill filling, the City Attorney’s Office should enter the title above the description (the title should be in bold font).

 

Both the title and description must be entered between the red “title” and “body” below.  Do not at any time delete the red “title” or “body” markers from this template.

title

A bill for an ordinance making a rescission from General Fund Contingency and making appropriations to agency General Fund, Special Revenue Funds, Capital Funds, and Enterprise Funds.

Rescinds $12,513,214 from General Fund Contingency and authorizes supplemental appropriations in the General Fund, Special Revenue Funds, Capital Funds, and agency Enterprise Funds to address year-end 2022 needs. The Committee approved filing this item at its meeting on 10-18-2022.

body

 

Affected Council District(s) or citywide? Citywide

 

Executive Summary with Rationale and Impact:

Detailed description of the item and why we are doing it. This can be a separate attachment.

 

This bill request rescinds a total of $12,513,214 from General Fund Contingency to make the following appropriations:

 

Appropriation Account

 Amount

Description

General Services

                         3,300,000

Increases to security and janitorial contracts and pay-equity increases that went into effect 2021 after the 2022 budget was set. 

Fire

                         3,000,000

Unbudgeted CBA Costs & additional class

City Attorney’s Office

                         1,662,377

Liability and Claims Fund for approved claims between June - September.

Parks and Recreation

                         1,468,837

Water Bill

Technology Services/ General Fund transfer to CIF

                         1,225,000

Salesforce for contracting system to track housing

DOF/ RISK

                         1,117,000

Replacement for totaled DPD & DOTI vehicles

Hotel TIF

                            345,000

DOF appropriated payment to DURA for the CNB Hotel TIF

Civil Service Commission

                            100,000

Additional background checking

Office of Social Equity and Innovation

                              75,000

Pay equity audits & audit response support.

Office of Special Events

                              50,000

Unbudgeted personnel expenses

Fleet SRF

                              45,000

Purchase of unbudgeted van for safe removal of RVs

Park Hill Public Health Clinic Debt Payment

                            100,000

Increased interest

Board of Ethics

                              25,000

Unbudgeted personnel expenses

 Total

             $12,513,214

 

 

 

General Fund Contingency started the year with a balance of $29,400,000.  There has been an approved $3,040,100 from General Fund Contingency year-to-date and there is currently $26,359,900 available.  Assuming the supplementals authorized through this bill request pass, the total contingency remaining will be $13,846,686.

 

 

This bill request makes appropriations in the General Government Special Revenue Fund series, Culture and Recreation Special Revenue Fund, and Aviation and Golf Enterprise Funds to account for increased usage that has resulted in increased expenditures and revenue, as follows:

 

Appropriation Account

 Amount

Description

Internal Billings and Reimbursement SRF - DFD Airport unit

                2,500,000

Additional DFD Personnel expenses at DEN

Internal Billings and Reimbursement SRF - DPD Airport unit

                   500,000

Additional DPD expenses at DEN

Aviation Hotel Fund

                2,500,000

Hotel - capital and wage increases offset by increased revenue

Golf

                   500,000

Increased usage, resulting in increased labor and revenues.

Denver Arts and Venues

                5,000,000

Increased events and attendance over those budgeted in 2022; related expenses include stagehands, janitorial services, ushers, security expenses, etc. 

Total

$ 11,000,000

 

 

 

Type (choose one: Grant; Supplemental; Fund Creation; Fund Rescission; Fund Transfer; Appropriation; Other): Rescission and appropriation

 

Amount: Rescission of $12,513,214 and appropriation of $ 11,000,000

 

Budget Year: 2022

 

Fund and Funding Source (Fund/Org/Grant Number, if applicable):

General Fund, Special Revenue Funds, Capital Funds, and agency Enterprise Funds

 

Grantor (if applicable):

 

Fund Matching Requirements (if applicable):

 

Fiscal Impact: