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File #: 18-3142-1212    Name: Ordinance Authorizing Transfer Among Operating Funds
Type: Action Item Status: Passed
File created: 11/30/2018 In control: Board of Commissioners
On agenda: 12/12/2018 Final action: 12/12/2018
Title: ORDINANCE AUTHORIZING TRANSFERS AMONG OPERATING FUNDS
Sponsors: Budget and Management
Indexes: Transfer of Operating Funds
Title

ORDINANCE AUTHORIZING TRANSFERS AMONG OPERATING FUNDS

Body

To the Honorable Board of Commissioners of the Chicago Park District

I. Recommendation

It is recommended that the Board of Commissioners (the "Board") adopt an ordinance authorizing the transfer of funds in an amount not to exceed $3 million from the Corporate Fund Personnel Services account class to the Corporate Fund Contractual Services account class and an amount not to exceed $200,000 from the Liability Fund Personnel Services account class to the Liability Fund Other Expense account class. This transfer is authorized under Section 17(h) of the Chicago Park District Act, 70 ILCS 1505/0.01 et seq., and Chapter XII, Section C. 10 of the Code of the Chicago Park District.

II. Explanation

Pursuant to the Budget ordinance adopted on December 13, 2017 appropriating the 2018 budget, the Code of the Chicago Park District requires Board approval for transfers among appropriations. The District's Corporate Fund Personnel Services account class is expected to have a budgetary surplus in excess of $3 million. The Corporate Fund Contractual Services account class is expected to exceed budgeted levels by $3 million. The primary reason for the overage in the Corporate Fund Contractual Services account class is greater than anticipated expenses related to Soldier Field and related to winter ice damage at the harbors. At the time the fiscal year 2018 budget was crafted, expenditure estimates were formulated based on events anticipated to take place at Soldier Field. The number of events that ultimately took place during 2018 surpassed original expectations, and therefore the related expenses and revenues exceeded expectations as well. Although expenditures are expected to exceed original estimates by approximately $2.75 million, the corresponding increase in revenue is expected to exceed original revenue projections by a similar amount. In addition, damage to the harbor system caused by winter weather ...

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