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HomeMy WebLinkAboutRES CCPD 2012-01CITY OF GRAPEVINE CRIME CONTROL AND PREVENTION DISTRICT RESOLUTION NO. CCPD 2012-01 A RESOLUTION OF THE BOARD OF THE CITY OF GRAPEVINE CRIME CONTROL AND PREVENTION DISTRICT BOARD ADOPTING AND PROPOSING A BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2012 AND ENDING SEPTEMBER 30,2013; AND PROVIDING AN EFFECTIVE DATE WHEREAS, pursuant to Chapter 363 of the Texas Local Government Code (the "Code") the City of Grapevine created City of Grapevine Crime Control and Prevention District ("CGCCPD") through an election held on November 7, 2006; and WHEREAS, the CGCCPD was reauthorized for an additional fifteen (15) year period through an election held on May 14, 2011; and WHEREAS, Chapter 363.201(a) provides that the Board of Directors for the CGCCPD ("Board") shall establish the fiscal year for the CGCCPD and the CGCCPD shall v operate on the basis of that year; and WHEREAS, the fiscal year for the CGCCPD coincides with the fiscal year of the City of Grapevine, Texas, being October 1 to September 30 of each calendar year; and WHEREAS, the Board finds that all the requirements of Chapter 363 of the Code have been met; and WHEREAS, the Board has reviewed the proposed FY 2013 budget for the CGCCPD. NOW, THEREFORE, BE IT RESOLVED BY THE BOARD OF THE CITY OF GRAPEVINE CRIME CONTROL AND PREVENTION DISTRICT: Section 1. That all matters stated herein above are true and correct and are incorporated Herein by reference, as if copied in their entirety. Section 2. That the Board of Directors for the Crime Control and Prevention District hereby approves and recommends that the City Council of the City of Grapevine, Texas, approve the proposed FY 2013 budget for the CGCCPD, in accordance with the terms and conditions set forth in said plan, which is attached hereto as Exhibit "A". Section 3. That this resolution shall take effect immediately upon passage by the Board of Directors of the City of Grapevine Crime Control and Prevention District. PASSED AND APPROVED BY THE BOARD OF THE CITY OF GRAPEVINE CRIME CONTROL AND PREVENTION DISTRICT on this the 11 th day of September, 2012. APPROVED: William D. Tate, Presiding Officer Crime Control and Prevention District Board ATTEST y1.. J di 1C. Brown Ciy Secretary APPROVED AS TO FORM: 7�11 R Matthew Boyle City Attorney RES. NO. CCPD 2012-01 2 ATTACHMENT "A" FY 2012-13 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE CRUVIE CONTROL & PREVENTION DISTRICT EXHIBIT To rs 1 D! 2008-09 2009-10 2010-11 2011-12 P8Q@U4.f-2Qf Actual Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 324,598 506,441 (502,399) 308,373 308,373 494,592 �7` a�I11►C�� Sales Tax (112 cent) 9,671,146 10,146,900 10,976,699 11,350,000 11,300,000 11,665,000 Commercial Vehicle Enforcement 0 0 123,750 100,000 138,000 250,000 Interest Income 17,970 3,779 3,751 7,500 5,000 8,004 Miscellaneous 6,589 21,581 2,086,065 6,149 113 0 Total Operating Revenue 9,695,705 10,172,260 -(68) 11,104,133 11,463,649 11,443,113 11,923,004 TRANSFERS IN: Transfer from Special Revenue Fund 0 13,735 0 0 0 Transfer from Capital Equipment Fund 0 0 85,000 0 0 Transfer from General Fund 1,100,000 2,003,300 1,500,000 1,500,000 1,500,000 1,300,000 Total Transfers In 1,100,000 2,017,035 1,585,000 1,500,000 1,500,000 1,300,000 TOTAL REVENUE AND TRANSFERS 10,795,705 12,189,295 12,689,133 12,963,649 12,943,113 13,223,004 OPERATING EXPENDITURES: Personnel 8,933,357 9,184,394 9,110,676 9,657,141 9,462,405 10,056,800 Supplies 545,800 652,837 493,700 614,462 597,779 645,373 Maintenance 93,219 82,654 87,179 120,800 105,500 132,800 Services 1,932,880 2,086,224 2,086,065 2,238,578 2,206,276 2,388,031 Capital Outlay 41,687 23,344 100,740 375,747 384,935 0 Total Operating Expenditures 11,546,944 12,029,453 11,878,360 13,006,728 12,756,895 13,223,004 TRANSFERS OUT: Transfer to Debt Service 79,800 155,800 0 0 0 0 Total Transfers Out 79,800 155,800 0 0 0 0 TOTAL EXPENDITURES AND TRANSFERS 1I,626,744 12,185,253 11,878,360 13,006,728 12,756,895 13,223,004 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: (831,039) 4,042 810,772 (43,079) 186,218 0 ENDING FUND BALANCE: 506,441) (502,399) 308,373 265,294 494,592 494,592