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File #: 2022-1010    Version: 1
Type: Motion Status: Approved
File created: 9/27/2022 In control: General Legislative Session
On agenda: 12/14/2022 Final action: 12/14/2022
Title: Motion 22-427, approving a 2022 Budget Transfer in the Facilities and Fleet Management Department between programs within the Equipment Rental and Revolving Fund 502
Attachments: 1. Motion 22-427, 2. Staff Report, 3. Budget vs Actual, 4. Motion Assignment Slip
Executive/Council Action Form (ECAF)


ITEM TITLE:
Title
Motion 22-427, approving a 2022 Budget Transfer in the Facilities and Fleet Management Department between programs within the Equipment Rental and Revolving Fund 502
body

DEPARTMENT: Facilities & Fleet

ORIGINATOR: Patrick Chen

EXECUTIVE RECOMMENDATION: Approved by Ken Klein 09/29/22

PURPOSE: Budget Transfer within Equipment Rental and Revolving Fund 502 to cover budget shortfall in its Overhead Stores program.

BACKGROUND: Fleet Central Stores procure materials, supplies, and fuel at the request of departments to support their work programs. Stores purchases the supplies and fuel, holds them in inventory, and then issues them to the user department. The Stores program is, in essence, a "pass through" for these supplies and fuel acquired on behalf of other departments, with revenues offsetting expenditures. In 2022, the volume of materials and inflated prices of supplies and fuel exceeded Fleet's budgeted expectations and prior years' trends. Consequently, the Stores program budget is forecasted to exceed by approximately $3,300,000. There is, however, sufficient appropriation within the 2022 Fleet overall budget to cover the shortfall through a budget transfer action (as requested through this ECAF for the amount of $3,300,000 to cover any upcoming transactions).

Among the items purchased that caused the budget to be exceeded were fuel and road maintenance supplies. We forecast spending another $1,300,000 on materials and supplies, and another $2,000,000 on fuel through the end of 2022.

FISCAL IMPLICATIONS:
EXPEND: FUND, AGY, ORG, ACTY, OBJ, AU
CURRENT YR
2ND YR
1ST 6 YRS
502 5188403401 Items Purch Resale
+1,300,000


502 5188403405 Items Purch Resale-Fuel
+2,000,000


502 5188606000 Capital Costs
-1,300,000


502 5188606401 Machinery & Equipment
-2,000,000


TOTAL|1010|



REVENUE: FUND, AGY, ORG, REV, SOURCE
CURRENT YR
2ND YR
1ST 6 YRS
















TOTAL




DEPARTMENT FISCAL IMPACT NOTES: ...

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