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HomeMy WebLinkAboutRES 4B 2014-01A RESOLUTION OF THE GRAPEVINE 4B ECONOMIC DEVELOPMENT CORPORATION OF THE CITY OF GRAPEVINE, TEXAS, ADOPTING AND PROPOSING A BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2014 AND ENDING SEPTEMBER 30,2015; PROVIDING FOR INVESTMENT OF CERTAIN FUNDS AND PROVIDING AN EFFECTIVE DATE WHEREAS, the provisions of Article 5190.6, Texas Revised Civil Statutes, the Industrial Development Act of 1979, Section 4B, and the Corporation Bylaws adopted by the Grapevine 4B Economic Development Corporation Board of Directors requires the 4B Corporation to prepare a budget proposal; and WHEREAS, the Grapevine 4B Economic Development Corporation has adopted the same fiscal year as the City of Grapevine. WHEREAS, all legal prerequisites for the adoption of this resolution have been met, including but not limited to the Local Government Code and the Open Meetings Act; and WHEREAS, the Grapevine 4B Board hereby declares that the approval of this resolution is in the best interests of the health, safety, and welfare of the public. 1 DMIT514 luoj N kyj 1 :1101 INKS] 601 MR, &VIL• i 1• -1 Section 1. That a budget proposal has been prepared by the Grapevine 4B Economic Development Corporation Board, a copy of which is attached hereto as Exhibit "A". Section 2. That the Grapevine 4B Economic Development Corporation Board adopts the proposed operating budget for fiscal year ending September 30, 2015. Section 3. That the City Manager is hereby authorized to make appropriate expenditures, transfers and other financial transactions during the fiscal year pursuant to the Corporation bylaws. Section 4. That the City Manager, and/or Assistant City Manager and/or Director of Administrative Services and/or designated investment officer are authorized to invest any funds not needed for current use in Official City Depositories, in any investment instrument authorized by the City's Investment Policy and Investment Strategy and allowed by the Texas Public Funds Investment Act. Section 5. That this budget proposal be transmitted to the Grapevine City Council and recommended for approval and inclusion in its operating budget for Fiscal Year 2015. Section 6. That this resolution shall take effect from and after the date of its passage. PASSED AND APPROVED BY THE GRAPEVINE 4B ECONOMIC DEVELOPMENT CORPORATION BOARD OF DIRECTORS OF THE CITY OF GRAPEVINE, TEXAS on this the 10th day of September, 2014. D William D. Tate President ATTEST: Jodi d. Brown Cit/Secretary APPROVED AS TO FORM: 1�* L Matthew Boyle City Attorney NO. 4B 2014-01 2 FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE 4B TRANSIT FUND EX IBIT_Ll TOELY LfbR2-01 Page 1 of 1 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 10,687,723 12,896,954 16,154,778 16,154,778 7,590,906 OPERATING REVENUE: Sales Tax 11,637,444 12,290,417 12,637,500 12,918,101 13,305,644 Interest Income 30,478 17,649 37,500 25,287 27,000 Miscellaneous 0 0 0 19,500,000 0 Total Operating Revenue 11,667,922 12,308,066 12,675,000 32,443,387 13,332,644 TRANSFERS IN: Transfer in from Visitor Shuttle Fund 0 244,460 0 0 0 Total Transfers In 0 244,460 0 0 0 TOTAL REVENUE AND TRANSFERS 11,667,922 12,552,526 12,675,000 32,443,387 13,332,644 OPERATING EXPENDITURES: Personnel 0 0 0 0 0 Supplies 0 0 0 0 0 Services 7,283 3,491 31,116 25,932 290,000 Contractual Services - The T 3/8 Cent 7,768,204 8,619,843 8,542,667 8,758,575 9,084,424 Community Distributions 1,050,000 100,000 0 100,000 0 Capital Outlay 1,660 0 0 29,498,663 0 Total Operating Expenditures 8,827,147 8,723,334 8,573,783 38,383,170 9,374,424 TRANSFERS OUT: Transfer to Visitor Shuttle Fund 366,970 298,819 385,458 380,000 344,809 Transfer to Economic Development Fund 0 0 2,000,000 2,000,000 3,326,411 Transfer to General Fund - Admin Fee 264,575 272,548 244,922 244,089 251,356 Total Transfers Out 631,545 571,368 2,630,380 2,624,089 3,922,576 TOTAL EXPENDITURES AND TRANSFERS 9,458,691 9,294,702 11,204,163 41,007,260 13,296,999 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 2,209,231 3,257,824 1,470,837 (8,563,872) 35,644 ENDING FUND BALANCE: 12,896,954 16,154,778 17,625,615 7,590,906 7,626,550 RESERVES: Reserved for Economic Development Projects 1,729,632 2,129,632 679,632 579,632 579,632 Reserved for Train Station Improvements 11,167,322 14,025,146 16,945,983 7,011,274 7,046,918 Total Reserves 12,896,954 16,154,778 17,625,615 7,590,906 7,626,550