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HomeMy WebLinkAbout2005 03 28 Consent 202 Supplemental Appropriation for Fiscal Year 2004-2005 for the Bank Draft Utility Bill Payment Method (ACH debit COMMISSION AGENDA ITEM 202 CONSENT X INFORMATIONAL PUBLIC HEARING REGULAR March 28, 2005 Meeting MGR IV IDEPT -@ Authorization REQUEST: The Finance Department is requesting the City Commission authorize a supplemental appropriation for fiscal year 2004-2005 in the amount of $2,200 for the Bank Draft utility bill payment method (ACH debit) approved on August 23, 2004. PURPOSE: The purpose of this Agenda item is to request the City Commission authorize a supplemental appropriation in the amount of $2,200 for the Bank Draft utility bill payment method approved on August 23, 2004. CONSIDERATIONS: On August 23,2004, City Commission approved Consent Item 203, which enacted a bank draft policy and authorized staff to work with the City Attorney to create a bank draft authorization agreement form with appropriate legal disclaimers. All the appropriate tests were completed for this service and by October 2004, the bank draft policy and bank draft authorization form were mailed to all of our residents. This new service was also mentioned in the City newsletter and web site. Approximately 550 customers are now taking advantage of this service at a cost to the City of approximately $150 per month. A supplemental appropriation is needed to pay for this service. FUNDING: Funding for the Bank Draft utility bill payment method will be paid for by the Water and Sewer Utility Fund (3600). It is recommended that $200 per month be budgeted for this service in anticipation of increased demand from current as well as future customers. RECOMMENDATION: It is recommended that the City Commission authorize a supplemental appropriation in the amount of $2,200 from the Water and Sewer Utility Fund to the Bank Services line code (3600-53411). Funding for these services will be placed in the Fiscal Year 2005-2006 Budget submittal. ATTACHMENTS: N/A COMMISSION ACTION: