Attachment A - Draft Ordinance - Tentative Adoption of the 2021-22 Operating Budget.pdf
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Attachment A
THIS IS A DRAFT COPY ONLY AND IS NOT AN OFFICIAL COPY OF THE FINAL,
ADOPTED ORDINANCE.
ORDINANCE S-
AN ORDINANCE ADOPTING THE TENTATIVE
ESTIMATES OF THE AMOUNTS REQUIRED FOR PUBLIC
EXPENSE OF OPERATING FUNDS FOR THE CITY OF
PHOENIX FOR THE FISCAL YEAR 2021-2022; ADOPTING
A TENTATIVE BUDGET; SETTING FORTH THE
RECEIPTS AND EXPENDITURES AND THE AMOUNTS
ESTIMATED AS COLLECTIBLE FOR THE FISCAL YEAR,
AND THE AMOUNT PROPOSED TO BE RAISED BY
DIRECT PROPERTY TAXATION FOR PRIMARY AND
SECONDARY PURPOSES; GIVING NOTICE OF THE TIME
AND PLACE FOR HEARING TAXPAYERS AND FOR
ADOPTION OF THE BUDGET AND FIXING THE TAX
LEVIES.
_____________
WHEREAS, by the provisions of the City Charter an ordinance adopting
the tentative budget for the fiscal year 2021-2022 is required to be adopted on or before
the last day of June, which date complies with A.R.S. §§ 42-17101, 17102, 17103, and
17104.
NOW THEREFORE, BE IT ORDAINED BY THE COUNCIL OF THE CITY
OF PHOENIX as follows:
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Ordinance S-
SECTION 1. That the statement and schedules hereinafter set forth and
hereby adopted for the purpose as hereinafter set forth as the tentative budget for the
City of Phoenix for the fiscal year 2021-2022.
SECTION 2. That the City Clerk is hereby authorized and directed to
publish in the manner prescribed by law the estimates of expenditures, as hereinafter
set forth, together with a notice that the City Council will meet for the purpose of final
hearing by taxpayers and for adoption of the 2021-2022 annual budget for the City of
Phoenix on the 16th day of June 2021 at the hour of 2:30 p.m. in the City Council
Chambers of the City of Phoenix, 200 West Jefferson, Phoenix, Arizona, and will further
meet for the purpose of fixing tax levies on the 1st day of July 2021 at the hour of
10:00 a.m. in said Council Chambers.
SECTION 3. That the sums to be raised by primary taxation, as specified
herein, do not in the aggregate amount exceed that amount as computed pursuant to
A.R.S. § 42-17102(C).
SECTION 4. Upon the approval of the City Manager, funds may be
transferred within purposes set forth in Section 9.
SECTION 5. Upon recommendation by the City Manager and with the
approval of the City Council, expenditures may be made from the appropriation for
contingencies.
SECTION 6. In the case of an emergency, the City Council may authorize
the transfer of funds between purposes set forth in Section 9, if funds are available and
the transfer does not conflict with the limitations provided by law (A.R.S. § 42-17102).
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Ordinance S-
SECTION 7. The City Council may authorize appropriation increases, if
funds are available, for purpose of expenditures that are exempt from limitation provided
in Article IX, Section 20, Constitution of Arizona.
SECTION 8. Money from any fund may be used for any of these
purposes set forth in Section 9, except money specifically restricted by State law or by
City Charter or City ordinances and resolutions.
SECTION 9. That the purposes of expenditures set forth in this section
are necessary for the conduct of the business of the government of the City of Phoenix
and such amounts are hereby adopted as tentative appropriations for the 2021-2022
fiscal year.
CITY OF PHOENIX, ARIZONA
PURPOSES OF PROPOSED PUBLIC EXPENSE
Purpose
Amount of Appropriation
2021-2022
GENERAL FUNDS
General Government
$168,222,524
Public Safety
999,730,206
Criminal Justice
39,858,267
Transportation
23,476,431
Community Development
29,344,401
Community Enrichment
29,069,292
Environmental Services
24,481,917
Contingencies
123,219,420
Unassigned Vacancy Savings
Capital Improvements
(11,000,000)
24,052,012
Total General Funds
$1,450,454,470
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Ordinance S-
Purpose
Amount of Appropriation
2021-2022
PARKS AND RECREATION FUNDS
Parks and Recreation Operations and Maintenance.
$108,229,050
Contingencies
945,000
Total Parks and Recreation Funds
$109,174,050
LIBRARY FUNDS
Library Operations and Maintenance, and Capital
Improvements.
$44,820,358
CABLE COMMUNICATION FUNDS
Cable Communication Operations and Maintenance.
$3,168,877
ARIZONA HIGHWAY USER REVENUE FUNDS
Street Maintenance, Major Street Improvements, Traffic
Improvements and other Street Improvements.
$175,337,671
AVIATION FUNDS
Aviation Operations and Maintenance, Debt Service and
Capital Improvement Expenditures.
$567,241,921
Contingencies
20,000,000
Total Aviation Funds
$587,241,921
CAPITAL CONSTRUCTION FUNDS
Capital Improvements in the Street Transportation and
Environmental Programs, and related Operations and
Maintenance.
$20,519,777
CITY IMPROVEMENT FUND
Debt Service Payments for Transit Facilities and
Improvements; Vehicles; Downtown Arena; Municipal
Court Building; IGC/TGen Facility; City Hall; Public Safety
Communication Systems; Property Acquisitions; Security
Access Control; Adams Street and Other Garages; LED
Streetlight Conversion; Telephone System and Data
Network Replacement; Street Improvements;
Amphitheater; Personnel Building; Elevator Rehabilitation;
$70,420,934
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Ordinance S-
ASU College of Nursing; Police Training Academy and
Precincts; City Technology Upgrades; Local Alcohol
Rehabilitation Center; Miscellaneous Redevelopment
Projects; Other Equipment, Office, Service and Training
Facilities and Improvements.
COMMUNITY REINVESTMENT FUNDS
Community Reinvestment Operations and Maintenance,
and Capital Improvement Expenditures.
$9,862,269
COURT AWARD FUNDS
Criminal Justice Programs.
$5,463,755
DEVELOPMENT SERVICES FUNDS
Development Services Operations and Maintenance, and
Capital Improvement Expenditures.
$79,357,250
Contingencies
7,000,000
Total Development Services Funds
$86,357,250
FEDERAL COMMUNITY DEVELOPMENT FUNDS
Community Development Program.
$70,581,150
FEDERAL OPERATING TRUST FUNDS
Federal and State Grant Programs.
$512,224,775
FEDERAL TRANSIT FUND
Transit Operations and Maintenance, and Capital
Improvements.
$240,755,810
GOLF COURSE FUNDS
Golf Course Operations and Maintenance, and Capital
Improvements.
$6,223,650
HOPE VI FEDERAL GRANT FUNDS
$15,115,075
HUMAN SERVICES FEDERAL TRUST FUNDS
Human Services Program.
$86,581,471
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Ordinance S-
Purpose
Amount of Appropriation
2021-2022
NEIGHBORHOOD PROTECTION FUNDS
Eligible Police, Fire, and Block Watch Operations and
Maintenance Expenditures Funded with Privilege License
and Excise Taxes in accordance with Ordinance G-3696.
$45,671,187
OTHER RESTRICTED FUNDS
Other Restricted Funds Operations and Maintenance, and
Capital Improvement Expenditures.
$79,185,939
PARKS AND PRESERVES FUNDS
Parks and Preserves Operations and Maintenance, and
Capital Improvement Expenditures Funded with Privilege
License and Excise Taxes in accordance with the Phoenix
Parks and Preserves initiative approved by the Phoenix
voters in a ballot measure on May 20, 2008.
$72,691,141
PHOENIX CONVENTION CENTER FUNDS
Phoenix Convention Center Operations and Maintenance,
$82,123,372
Debt Service, and Capital Improvement Expenditures.
Contingencies
3,000,000
Total Phoenix Convention Center Funds
$85,123,372
PUBLIC HOUSING FUNDS
Public Housing Operations and Maintenance, and Capital
Improvement Expenditures.
$112,751,559
PUBLIC SAFETY ENHANCEMENT FUNDS
Police, Fire, and Emergency Management Operations and
Maintenance Expenditures Funded with Privilege License
and Excise Taxes in accordance with Ordinance S-31877.
$30,481,955
PUBLIC SAFETY EXPANSION FUNDS
Police and Fire Personnel and Service Expansion Funded
with Privilege License and Excise Taxes in accordance
with Ordinance G-4987.
$96,706,039
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Ordinance S-
Purpose
Amount of Appropriation
2021-2022
REGIONAL TRANSIT FUNDS
Regional Transportation Operations and Maintenance,
and Capital Improvement Expenditures.
$38,959,335
REGIONAL WIRELESS COOPERATIVE FUNDS
Operations and Maintenance of the Regional Wireless
Cooperative.
$5,484,955
SECONDARY PROPERTY TAX FUNDS
Debt Service on and Early Redemption of Outstanding
Bonds and Long-Term Obligations.
$129,714,319
SOLID WASTE FUNDS
Solid Waste Operations and Maintenance, Debt Service
and Capital Improvement Expenditures.
$197,151,493
Contingencies
1,000,000
Total Solid Waste Funds
$198,151,493
SPORTS FACILITIES FUNDS
Sports Facilities Operations and Maintenance, and Capital
Improvement Expenditures.
$5,082,877
Contingencies
20,000,000
Total Sports Facilities Funds
$25,082,877
TRANSPORTATION 2050 FUNDS
Transit and Streets Operations and Maintenance, and
Capital Improvement Expenditures Funded with Privilege
License and Excise Taxes in accordance with Ordinance
G-6051.
$396,035,691
Contingencies
4,000,000
Total Transportation 2050 Funds
$400,035,691
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Ordinance S-
Purpose
Amount of Appropriation
2021-2022
WASTEWATER SYSTEM FUNDS
Wastewater System Operations and Maintenance, Debt
$259,010,031
Service and Capital Improvement Expenditures.
Contingencies
12,500,000
Total Wastewater Funds
$271,510,031
WATER FUNDS
Water System Operations and Maintenance, Debt Service
and Capital Improvement Expenditures.
$528,668,231
Contingencies
12,000,000
Total Water Funds
$540,668,231
TOTAL APPROPRIATIONS 2021-2022
$5,626,521,387
PASSED by the Council of the City of Phoenix on this 2nd day of
June 2021.
____________________________________
M A Y O R
ATTEST:
City Clerk
APPROVED AS TO FORM:
Acting City Attorney
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Ordinance S-
REVIEWED BY:
City Manager