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7.e.
Commissioners Court Meeting
Meeting Date:
12/08/2025
Submitted for:
Angelica Morales
Prepared by:
Angelica Morales
Department:
Auditor

Subject:

Discussion and possible action to approve, by Order, the following budget amendment (line item transfers) within the General Fund for prior year major open purchase orders:
 
  Acct. Number Acct. Name Adopted Request Current End Bal.
From: 1001-1130-001-431007-025 Operational Reserve Encumbrances Contigency $10,500,000.00 $9,318,687.59 $10,500,000.00 $1,181,312.41
             
To: 1001-1130-001-431007-010 Operational Reserve Operational Reserve $2,000,000.00 $112,810.00 $1,780,140.47 $1,892,950.47
  1001-1130-001-432001 Professional Services 817,000.00 763,239.99 203,815.15 967,055.14
  1001-1130-001-443000-035 Repairs & Maintenance Equipment 250,000.00 38,597.43 250,000.00 288,597.43
  1001-1130-001-470000 Capital Outlay 3,224,075.00 5,647,430.11 2,089,680.81 7,737,110.92
  1001-1280-001-443000-010 Repairs & Maintenance Software 1,580,000.00 215,100.00 235,569.41 450,669.41
  1001-2290-001-470000 Capital Outlay 0.00 99,003.08 0.00 99,003.08
  1001-3010-001-443000-405 Repairs & Maintenance Public Safety Equip 100,000.00 49,112.32 86,143.00 135,255.32
  1001-3010-001-456305 Uniforms 200,000.00 60,262.87 178,811.53 239,074.40
  1001-3010-001-470000 Capital Outlay 515,000.00 1,634,775.50 515,000.00 2,149,775.50
  1001-3050-001-456305 Uniforms 22,000.00 19,055.38 22,000.00 41,055.38
  1001-3150-001-470000 Capital Outlay 0.00 49,417.05 0.00 49,417.05
  1001-3160-001-443000-075 Repairs & Maintenance Vehicles 35,000.00 19,719.91 25,564.84 45,284.75
  1001-3190-001-470000 Capital Outlay 347,000.00 312,384.36 347,000.00 659,384.36
  1001-4070-001-443000-020 Repairs & Maintenance Buildings 230,000.00 24,504.57 201,371.96 225,876.53
  1001-4070-001-456305 Uniforms 50,000.00 43,862.51 44,864.00 88,726.51
  1001-4070-001-470000 Capital Outlay 1,500,000.00 182,862.00 1,500,000.00 1,682,862.00
  1001-5040-001-470000 Capital Outlay 432,000.00 41,623.00 432,000.00 473,623.00
  1001-3190-001-456305 Uniforms 6,000.00 4,927.51 6,000.00 10,927.51
    Total:   $9,318,687.59    

Issue: Line item transfer is needed to cover prior year major open purchase orders that have been carried over to FY-2026.

Solution: Funding is available in contingency reserve for encumbrances to cover prior year purchase orders for goods or services that have not been received.

Result: With court approval of budget line item transfer, vendors will be paid in a timely manner.

Fiscal Impact

Budget Account Number:
1001-1130-001-431007
Funding Source:
1001
Balance:
10,500,000.00

Financial Impact:

N/A

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