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HomeMy WebLinkAboutItem 01 - Budget ���� � MEMO TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL FROM: BRUNO RUMBELOW, CITY MANAGER �Z' MEETING DATE: SEPTEMBER 2, 2008 SUBJECT: PUBLIC HEARING ON THE FY 2008-2009 BUDGET RECOMMENDATION: That the City Council conduct a public hearing on the proposed FY2008-2009 annual budget. The budget contains fund expenditures in the following amounts: General Fund $52,847,569 Utility Enterprise Fund 20,615,391 Debt Service Fund 12,502,332 Convention & Visitors Bureau Fund 18,662,024 Lake Enterprise Fund 3,070,435 Streets & Drainage Capital Projects 1,921,990 Permanent Street Maintenance Fund 1,380,000 General Permanent Capital Maintenance Fund �819,000 Utility Permanent Capital Maintenance Fund 750,000 Stormwater Drainage Fund 1,389,831 Lake Parks Fund 837,568 Water and Wastewater System Capital Projects 308,066 4B Fund 8,767,871 Crime Control & Prevention District Fund 12,271,735 Community Quality of Life Fund 10,550,000 Buildings & Facilities Capital Projects 5,612,000 Traffic Improvements Capital Projects 548,999 Capital Equipment Acquisitions 4,114,817 BACKGROUND: Pursuant to the Charter of the City of Grapevine, Texas, Section 907, a public hearing on the annual budget shall be held to allow all interested persons to be heard for or against any item or the amount of any item therein contained. The public hearing shall commence on September 2, 2008 and final action on the budget shall be taken at a special meeting on September 16, 2008. A copy of the proposed FY 09 budget summary is attached hereto. � . CITY OF GRAPEVINE,TEXAS FY 2008-09 PROPOSED OPERATING BUDGET � SUNINLARY TABLE OF ALL FUNDS -- GENERAL GOI�ERNMENT FUNDS -- Debt Capital/Street Total General Service Maintenance All Fund Fund Fund Funds REVENUES AND OTI�R FINANCING SOURCES: Property TaYes 7,545,458 11,482,147 19,027,605 Sales&Use Taxes 24,700,000 24,700,000 Licenses,Fees&Permits 7,604,331 7,604,331 Fines and Forfeitures 2,060,125 2,060,125 Charges for Services 7,261,175 7,261,175 Intergovernmental/Inter-Agency 78,552 78,552 Interest Income 210,182 150,000 360,182 Transfers In 3,046,684 1,010,185 2,199,000 6,255,869 Miscellaneous 770,400 770,400 Total Revenues 53,276,907 12,642,332 2,199,000 68,118,239 EXPENDITLTRES AND OTHER FINANCING USES: Personnel 24,648,980 24,648,980 Supplies 2,432,619 2,432,619 Maintenance 709,496 709,496 Services 7,297,871 7,000 7,304,871 Insurance 7,871,153 7,871,153 Debt Service 12,495,332 12,495,332 Transfers Out 9,887,450 9,887,450 Permanent Capital/Street Maint. 2,199,000 2,199,000 Total Eacpenditures 52,847,569 12,502,332 2,199,000 67,548,901 1 Revised 8/18/08 CITY OF GRAPEVINE,TEXAS FY 2008-09 PROPOSED OPERATING BUDGET SUMMARY TABLE OF ALL FUNDS ,.��, -- SPECIAL REVENUE FUNDS -- Convention Stormwater Crime Control Lake 4B Economic Total &Visitors Drainage &Prevention Parks Development All Fund Fund Fund Fund Fund Funds REVENUES AND OTI�R FINANCING SOURCES: Sales Taxes 11,700,000 11,700,000 23,400,000 Occupancy Taxes 13,149,434 13,149,434 Licenses,Fees&Permits 1,334,831 892,360 2,227,191 Charges for Services 5,268,690 5,268,690 Interest Income 35,000 55,000 66,016 66,016 222,032 Miscellaneous 208,900 16,250 225,150 Total Revenues 18,662,024 1,389,831 11,766,016 908,610 11,766,016 44,492,497 EXPENDITURES AND O'TI�R FINANCING USES: �:��,: Personnel 4,734,565 417,440 9,324,302 113,287 14,589,594 Supplies 5,588,942 96,719 675,218 60,800 6,421,679 Maintenance 267,852 134,400 17,500 419,752 Services 5,079,300 266,102 2,016,015 428,759 150,000 7,940,176 Transfers Out 2,850,365 609,570 79,800 217,222 219,375 3,976,332 Intergovernmental/Inter-Agency 8,398,496 8,398,496 Capital Outlay 141,000 42,000 183,000 Total Eacpenditures 18,662,024 1,389,831 12,271,735 837,568 8,'767,871 41,929,029 .�,��. 218 �..,�.�. �:,,�. �.�_r,� ,.�..��. ,,,, .��.,� ��,�� ,�� �.��.. CITY OF GRAPEVINE,TEXAS FY 2008-09 PROPOSED OPERATING BUDGET SUMMARY TABLE OF ALL FUNDS -- ENTERPRISE FUNDS -- Utility Lake Total Enterprise Enterprise All Fund Fund Funds REVENLTES AND OTI�R FINANCING SOURCES: Licenses,Fees&Permits 88,367 3,500 91,867 Charges for Services 19,052,073 3,036,685 22,088,758 Interest Income 472,191 10,250 482,441 Transfers In 63,012 63,012 Miscellaneous 252,250 20,000 272,250 Total Revenues 19,927,893 3,070,435 22,998,328 EXPENDITURES AND OTF�R FINANCING USES: ° Personnel 2,839,961 1,413,882 4,253,843 .,��:� Supplies 931,111 249,184 1,180,295 Maintenance 414,078 75,481 489,559 Services 10,984,488 659,400 11,643,888 Debt Service 2,737,954 469,444 3,207,398 Transfers Out 1,832,399 203,044 2,035,443 Permanent Capital Maintenance 750,000 750,000 Capital Outlay 125,400 125,400 Total Expenditures 20,615,391 3,070,435 23,685,826 CITY OF GRAPEVINE,TEXAS FY 2008-09 PROPOSED OPERATING BUDGET SUMMARY TABLE OF ALL FUNDS � -- CAPITAL IMPROVEMENT PROGRAM FUNDS -- Capital Total Streets Buildings Quality Water& Equipment& All &Drainage &Facilities Traffic of Life Wastewater Replacement Funds REVEMJES AND OTF�R FINANCING SOURCES: General Obligation Bonds 1,683,990 91,9�2 1,775,942 CertificatesofObligation �,23�,000 1,482,000 6,717,000 Utility Revenue Bonds 142,610 142,610 Federal/State Funds&Grants 175,000 158,067 333,067 Interlocal/Inter-Agency 298,980 298,980 Transfers from Operating Funds 63,000 377,000 10,��0,000 16�,456 2,632,817 13,788,273 Total Revenues 1,921,990 5,612,000 548,999 10,550,000 308,066 4,114,817 23,055,872 EXPENDITURES AND OTHER FINANCING USES: ��a,, Engineering/Design 57�,931 102,000 246,699 600,000 308,066 1,832,696 Right-of-Way Acquisition 20,�50 635,000 65�,550 Construction 770,35� 4,322,800 9,198,000 14,291,155 EnvironmentaUSurveying/Testing 65,906 65;906 Furnishings/Equipment 69,500 302,300 752,000 4,114,817 5,238,617 Contingency 489,248 482,700 971,948 Total Expenditures 1,921,990 5,612,000 548,999 10,550,000 308,066 4,114,817 23,055,872 ��