File #: 20-0967    Version: 1 Name: TE#41- September 2020
Type: Resolution Status: Adopted
File created: 8/6/2020 In control: Administration
On agenda: 9/2/2020 Final action: 9/2/2020
Title: Dept/ Agency: Administration/Office of Management and Budget Action: (X) Ratifying (X) Authorizing ( ) Amending Type of Service: Temporary Emergency Appropriation Purpose: To provide funds for the operating expenses until the adoption of the 2020 Operating Budget for the City of Newark and Department of Water and Sewer Utilities. Funding Source: 2020 Budget Appropriation Amount: $53,968,815.00 Budget Year: 2020 Contract Period: September 1, 2020 through September 30, 2020 Contract Basis: ( ) Bid ( ) State Vendor ( ) Prof. Ser. ( ) EUS ( ) Fair & Open ( ) No Reportable Contributions ( ) RFP ( ) RFQ ( ) Private Sale ( ) Grant ( ) Sub-recipient (X) n/a Additional Information: Funds accepted by ResolutionN/A Operating Agency: All Departments Two-Thirds vote of full membership required.
Sponsors: Council of the Whole

Title

Dept/ Agency:  Administration/Office of Management and Budget

Action:  (X) Ratifying     (X) Authorizing     (   ) Amending

Type of Service: Temporary Emergency Appropriation

Purpose: To provide funds for the operating expenses until the adoption of the 2020 Operating Budget for the City of Newark and Department of Water and Sewer Utilities.

Funding Source: 2020 Budget

Appropriation Amount: $53,968,815.00

Budget Year:  2020

Contract Period:  September 1, 2020 through September 30, 2020  

Contract Basis: (   ) Bid   (   ) State Vendor   (   ) Prof.  Ser.   (   ) EUS  

(   ) Fair & Open   (   ) No Reportable Contributions   (   ) RFP   (   ) RFQ

(   ) Private Sale   (   ) Grant   (   ) Sub-recipient   (X) n/a   

Additional Information:

Funds accepted by ResolutionN/A

Operating Agency: All Departments

Two-Thirds vote of full membership required.

body

 

TE-#41

 

                     WHEREAS, pursuant to N.J.S.A. 40A:4-19, the Municipal Council adopted Resolution 7R1-a, dated January 22, 2020 to provide funds for the period January 1, 2020 through March 31, 2020 and, Resolution 7R1-a, dated April 7, 2020 to provide funds for the period April 1, 2020 through April 30, 2020 and, Resolution 7R1-b, dated April 21, 2020 to provide funds for the period May 1, 2020 through May 31, 2020 and, Resolution 7R1-e, dated May 20, 2020 to provide funds for the period June 1, 2020 through June 30, 2020 and, Resolution 7R1-c, dated July 8, 2020 to provide funds for the period July 1, 2020 through July 31, 2020 and Resolution 7R1-b, dated July 22, 2020 to provide funds for the period August 1, 2020 through August 31, 2020 until the adoption of the Operating Budget of the City of Newark, New Jersey; and

 

                     WHEREAS, additional appropriations will be required from September 1, 2020 through September 30, 2020 until the adoption of 2020 Operating Budget; and 

 

                     WHEREAS, a previous resolution authorizing TE #40 and prior temporary emergency appropriations submitted for Municipal Council approval totaled $379,883,013.78; and

 

                     WHEREAS, N.J.S.A. 40A:4-20 provides that the Governing Body by a two-thirds vote may make temporary emergency appropriations for any purpose for which appropriations may lawfully be made for the period between the beginning of the current fiscal year and the date of the adoption of the budget for said year; and

 

                     WHEREAS, TE #41 is to provide funds for the period of September 1, 2020 through September 30, 2020 until the adoption of the budget; and

 

                     WHEREAS, the temporary emergency appropriations adopted in 2020 pursuant to N.J.S.A. 40A:4-20 including this resolution total…………………………………………$433,851,828.78

                 

                     NOW, THEREFORE, BE IT RESOLVED BY THE MUNICIPAL COUNCIL OF THE CITY OF NEWARK, NEW JERSEY, THAT:

 

1.                     The Governing Body by a two-thirds vote of its full membership hereby amends its temporary budget by making the following emergency temporary appropriations:

 

                     Departments                     Salaries & Wages                     Other Expenses                     Total

 

Office of the Mayor and

Agencies                     $472,584                     $1,334,368                     $1,806,952

 

Office of the City Clerk

and Municipal Council                     599,606                     267,061                     866,667

 

Department of

Administration                     557,513                     548,569                     1,106,082

 

Department of Law                     344,368                     228,142                     572,510

 

Department of Finance                     472,615                     187,039                     659,654

 

Department of Public

Works                      1,918,343                     4,813,444                     6,731,787

 

Department of

Engineering                     387,568                     141,654                     529,222

 

Department of Health

and Community Wellness                           536,083                                     110,199                646,282

 

Department of

Economic and

Housing Development                     125,124                     122,323                     247,447

 

Department of Recreation,

Cultural Affairs and

Senior Services                     484,917                     307,305                     792,222

 

Department of Public

Safety                      19,416,322                     533,336                     19,949,658

 

SUB-TOTAL                     $25,315,043                     $8,593,440                     $33,908,483

 

UNCLASSIFIED OPERATIONS

 

Health Insurance                     $3,583,333                     -$0-                     $3,583,333

 

Aetna (Medicare

    Reimbursement)                     208,333                     -0-                     208,333

 

Prescription Insurance                     3,278,422                     -0-                     3,278,422

 

Dental Insurance                     241,667                     -0-                     241,667

 

Employee Assistance

 Program (EAP)                     14,583                     -0-                     14,583

 

Life Insurance                     12,500                     -0-                     12,500

 

Accrued Compensatory                     170,000                     -0-                     170,000

 Time

 

Flexible Spending Account           2,917                                          -0-                     2,917

 

Adjustment to Personnel                     416,667                     -0-                     416,667

 Compensation

 

Workmen’s Compensation                                666,667                     -0-                     666,667

 

F.I.C.A.                           724,985                     -0-                     724,985

 

Cash Waiver                     33,333                     -0-                     33,333

 

Employer’s Contribution -

 City                     33,333                     -0-                     33,333

 

Payments - Non-

 Contributory Pension                          16,667                     -0-                           16,667

 

Retroactive Salary - FLSA                           350,000                     -0-                     350,000

 

Refund of Tax Appeals                     -0-                     41,667                     41,667

 

Devils Settlement                     -0-                     225,000                     225,000

 

Credit Card Fees                     -0-                     50,000                     50,000

 

H&L Maintenance                     -0-                     12,500                     12,500

 

Emergency Medical

Services                         -0-                     185,417                     185,417

 

Settlement/US District Court                     -0-                     166,667                     166,667

 

Implementation of Enterprise

 Business System                     -0-                     87,500                     87,500

 

Homeownership Program                     -0-                     8,333                     8,333

 

Youth Community Solution                     -0-                     83,333                     83,333

 

Legal Services - Right to Counsel                     -0-                     62,500                     62,500

 

Cities of Service - Love Your Block                     -0-                     4,167                     4,167

 

Civilian Complaint Review Board                      -0-                     41,667                     41,667

 

Homeless Shelter                      -0-                     75,000                     75,000

 

Displacement Parking                      -0-                     9,000                     9,000

 

Dog Control                      -0-                     60,833                     60,833

 

Other Services - GTBM                      -0-                     91,667                     91,667

 

Disallowed Costs - Grant                     -0-                     16,667                     16,667

 

Deficit in Operation                     -0-                     437,288                     437,288

 

General Liability                     -0-                     266,667                     266,667

 

Capital Improvement                     -0-                     8,333                     8,333

 

Revaluation Study                      -0-                     41,667                     41,667

 

Special Emergency                           -0-                         266,667                     266,667

 

TOTAL UNCLASSIFIED                     $9,753,407                       $2,242,540                     $11,995,947

 

TOTAL                     $35,068,450                     $10,835,980                     $45,904,430

 

Salaries                                          Other

Water Utility                                                                                    & Wages                                          Expenses                                          Total

 

Director’s Office                     $20,083                     $217                     $20,300

 

Billing & Customer Service                     70,204                     43,899                     114,103

 

Water Supply                      498,333                     973,114                     1,471,447

 

Unclassified Purposes                     532,278                     1,048,920                     1,581,198

 

Capital Outlay                     -0-                                          524,762                     524,762

 

Total Water Utility                     $1,120,898                     $2,590,912                     $ 3,711,810

 

Salaries                                          Other

Sewer Utility                                                               & Wages                                          Expenses                                          Total

 

Billing & Customer Service                      $25,934                     $8,750                     $34,684

 

Sewer Supply                     66,119                     364,999                     431,118

 

Unclassified Purposes                     187,394                     3,639,379                     3,826,773

 

Capital Outlay                     -0-                      60,000                     60,000

 

Total Sewer Utility                     $279,447                     $4,073,128                     $4,352,575

 

2.                     This action will take effect on September 1, 2020.

 

3.                     A copy of this resolution shall be immediately filed with the Director of the Division of Local Government Services by the City Clerk.

 

 

STATEMENT

 

           This resolution authorizes and establishes a temporary emergency appropriation to provide operating funds from September 1, 2020 through September 30, 2020, until the adoption of the 2020 Municipal Budget.