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HomeMy WebLinkAboutWS Item 02- Major IssuesMEMO TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL FROM: BRUNO RUMBELOW, CITY MANAGER DATE: JULY 25, 2015 SUBJECT: 2015 BUDGET — MAJOR ISSUES Attached, please see the 2015 Major Issues Budget Report to be reviewed/discussed on Tuesday evening, July 29 at 6:30 pm. 2015 Proposed Budget — Major Issues The City of Grapevine has weathered the economic downturn and is slowly showing signs of recovery. The opening of the DFW Connector project has led to small but important increases in retail sales. In addition, property tax values are also showing signs of increasing. The City Manager's Proposed Budget for 2015 attempts to address operating and equipment costs associated with new facilities and services that will be coming online next year. The budget also attempts to address growth needs that have been accumulating over the past several years. Not all needs could be addressed with the resources available and priority decisions were incorporated. The City Manager's Proposed Budget for next year was developed taking into consideration that some improvement exists but demand continues to outpace available resources. A foundation for the budget was developed using core building blocks which set the ground rules for budget development. The basic assumptions incorporated are as follows: - Maintain the fund balances as defined in the adopted fiscal policies. The General Fund requirement is 20%. - Fund the Permanent Capital and Permanent Street Maintenance Funds with cash. - Appropriately fund bonds for Public Safety Building and Community Activities Center - Continue with the funding of the eight year TM RS payoff phased program in order to bring the funded liability to 80%. - Keep the annual transfer to the Quality of Life Fund at $3,000,000. - Fund reasonable fleet and technology purchases with cash except for large purchases. - Keep salary increases in line with the surveyed surrounding cities and national average recommendation. - Transfer to the CCPD Fund from the General Fund an amount to balance the Fund. (Approximately $900,000) - Appropriate funding levels for all line -item budgets. For example, General Fund line items only grew by only 1.6% in the proposed budget. Most fund line item budgets experienced less growth than the current rate of inflation. Once the foundation for the budget was established, departments presented to the City Manager and the Budget staff essential needs and justification for any increases in operating line items and Increased Service Level (ISL) requests. The next level of review for funding was prioritized as: - The amount needed for salary adjustments - New capital and technology funding - Increased Service Level requests After reviewing all of the requests and departmental presentations, staff prepared the draft 2015 Proposed Budget. The budget will be presented to City Council at a workshop on August 14th. The draft budget will be 1 provided to you on Friday, August 1. The review will consist of a discussion of issues by fund and will solicit input in order to finalize the proposed budget. (See Exhibit 1.) General Fund 1. Ad Valorem Tax Rate — The proposed budget will require $48,458,046 for the General Fund Maintenance and Operation portion of the tax rate. The General Debt Service portion of the tax will require $12,680,041 for current debt payments, including an amount for the proposed $2,215,000 for vehicles and equipment Certificates of Obligation. Early preliminary tax roll valuations have shown an overall increase in taxable values. If this holds for the final roll, the effective rate (i.e. the rate required to produce the same amount of tax revenue as the current year) would be lower than this year's current rate. As Council chose to do this current fiscal year — it may be prudent to drop the tax rate - but not to the effective rate level. 2. Sales Tax - The recovery from the recession has been slow and sporadic and has caused monthly Sales Tax collections to fluctuate between positive and negative growth compared to pre 2008 receipts. The amount of Sales Tax collected has improved with the opening of the DFW Connector Project; however, monthly collections continue to fluctuate. Current year to date collections as compared to the same period last year are up a total of 5.0%. Projecting 5% growth for the rest of the fiscal year, the estimated amount of collections for this fiscal year is $51.2 million. Using this number as the base the proposed budget includes a 3% increase in Sales Tax. 3. New Positions — There is a total of 10.5 full-time equivalent (FTE) new positions in the proposed budget. This includes 8 FTE's for the General Fund and 2.5 FTE's for all other funds. All but two of the General Fund positions are in public safety — 3 for the police department take our Crime Prevention activity and fully staff it with three civilian employees, who will be paid considerably less than sworn officers and yet still perform the necessary function. This frees up three Senior Officers to go to Patrol and CID where demands have been increasing. This will add officers, something we have not had the ability to do for the last several years. In Fire, we are adding one Battalion Chief that will manage all EMS activities of the department and will significantly help in shoring up the EMS management and administration function (which comprise 70% of emergency calls) of the department. In addition two firefighter positions are being added — but those are being fully funded out of decreased overtime line item expense. These positions will provide shift coverage needed because of normal leave (i.e. sick, vacation, FMLA, etc.). The two other positions — LAN/WAN Administrator and the GIS Applications Programmer - are due to the ever-increasing demand on our Information Technology division. (See Exhibit 2.) 4. TMRS — The Texas Municipal Retirement System administration has changed the actuarial calculation methodology for funding the plan. The result was a drop in the amount of coverage for funded liability. The administration has developed an eight year payback period that would allow cities to bring their funded liability to an 80% level. This budget will incorporate the seventh year of the eight 2 year period. The new rate increases from 18.96 % to 19.15%. This is an increase to the General Fund of $41,000. 5. Merit and Step Pay Increases — The budget includes a 3% merit increase and a 5% public safety step increase. The increases appear to be in line with the average amounts being recommended by our comparison cities. Not all of the cities have responded but a majority have and some have indicated that they actually gave more of an increase for the current year than what they reported to us last year. (See Exhibit 2.) 6. Funded Increased Service Level Requests - The total amount of requests submitted was $2,751,741 that includes 26.205 full time equivalent position requests. The total amount included in the budget is $1,109,900 with a total of 10.5 positions. (See Exhibit 2.) 7. Impact of new CAC on the Operating Budget- The additional positions required, prorated for FY2015, add $463,132. Other line items, non -personnel, for the Senior Center, Aquatics and CAC are $220,202 with a large share of this increase in one-time expense for the CAC annex rental on William D. Tate Avenue. Increases to the Parks PCMF Accounts total $395,000 with most of this cost being the exterior landscaping and irrigation of the new building. This work will be done by City crews and the materials purchased on existing city contracts. It was always anticipated that this approach would be lower in cost than having it in the original project budget. Additional utility costs for the significantly larger building are $42,000. The prorated increased revenue attributable to the CAC is also included in the budget. The expenditures and revenue included are directly derived from the business plan presented and accepted by Council in July 2012 by Leon Younger of Pros Consulting. Quality of Life Fund The Quality of Life Fund is projected to have an unencumbered ending fund balance of approximately $6,000,000 at the end of this fiscal year. The proposed budget also includes a transfer of $3,000,000 from the General Fund for 2015. Some project funds have already been committed to multi-year projects, which is $831,715 and detailed in Exhibit E. Also provided are additional projects from which to select should Council choose to do so. (See Exhibit 3.) Conventions and Visitors Bureau Fund Hotel occupancy tax collections are projected to increase by $247,000 (2%) in the upcoming year. The 1% increase is projected to generate an additional $2,191,124 in revenue which will be budgeted in a CVB Incentives Fund. The proposed budget includes funding for one additional position and the reinstatement of funding for a previously authorized position. In the proposed budget, the ending fund balance provides for 45 days of working capital. (See Exhibit 1.) 3 Capital Equipment, Vehicle and Technology Replacements The proposed budget includes $748,233 in capital equipment acquisitions, of which $293,233 is in the General Fund. The budget also includes $2,843,000 in vehicle acquisitions, which are comprised of 16 replacement vehicles and three additions to the fleet. Of the fleet acquisitions, $1,058,000 will be cash funded and $1,785,000 will be funded by Certificates of Obligation. Technology equipment acquisitions of $557,000 are proposed for the upcoming year. (See Exhibit 4.) Crime Control and Prevention Fund The fund has expenditures of $13,990,270 which are funded through the % cent Crime Control District Sales Tax and a projected General Fund transfer of $900,000. There are no additional positions proposed for next year. The Crime Control District Sales Tax was approved by the voters for a 15 year period. (See Exhibit 1.) Utility Enterprise Fund The Utility Fund anticipates an increase in working capital of $541,695. Revenues are projected to decrease by $38,135 and expenses are projected to increase by $842,785. The budget includes $1,000,000 for Water and Wastewater Permanent Capital Maintenance projects. Although TRA raw water and wastewater charges are increasing by 3% and 3.6% respectively. The budget does not include any adjustment of current rates but should Council choose to pass these additional costs through this year, the average rate payer (based upon average consumption) would see an increase of .73 cents for water and .61 cents for wastewater per month. (See Exhibit 1.) Lake Park Special Revenue Fund Included in the budget is Increased Service Level funding for a Park Crew Leader and a half of a Park Foreman. This one half funding increase creates a full-time position equally shared by the General Fund and the Lake Parks Fund. (See Exhibit 1.) 4B Fund The 4B fund includes $290,000 to begin preliminary rail station design. It also includes a transfer of $3,326,411 to the Economic Development Fund to fund the note payment on the 185 acre city property along with funding for the newly created deal -closing fund as recommended in the TxP report. (See Exhibit 1.) Lake Enterprise Fund The Lake Enterprise (Golf) Fund has no additional ISL requests and equipment is on a replacement basis. Equipment replacements in the amount of $115,000 will be cash funded. (See Exhibit 1.) 2 PCMF & PSMF All of the projects are funded with cash. (See Exhibit 5.) - Facilities Permanent Capital Maintenance Plan - $550,000. - Parks Permanent Capital Maintenance Plan - $1,096,000. - Annual Street Maintenance and Overlay Plan - $1,255,000. - Traffic, Signal & Signage maintenance Plan- $378,000. Stormwater Drainage Utility Fund Total expenditures in the fund are $1,839,472 with revenues of $1,390,624. The ending projected fund balance of $313,219. Projects include: Large Box Culvert System crossing Shady Brook ($60,000); Drainage Pipe and Inlet to drain Daniel Street to Main ($50,000); Pipe Crossing Oak Grove Loop from Shannon ($20,000); Gabion Retaining Wall for Spring Creek Drive Erosion ($25,000); Gabion Structures for Western Oaks Channel ($110,000); and Rustic Drive Project ($100,000). (See Exhibit 1.) 5 EXHIBIT' FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE GENERALFUND 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 9,607,816 11,940,983 11,375,229 11,375,229 11,459,015 OPERATING REVENUE: 55,288,559 57,010,641 57,840,512 58,442,131 60,274,570 Ad Valorem Taxes 8,752,782 8,494,995 8,970,000 8,477,757 8,458,046 Sales Taxes 23,750,003 24,596,040 25,275,000 25,836,200 26,611,200 Mixed Beverage Taxes 1,051,264 1,158,625 1,113,150 1,584,069 1,615,000 Franchise Fees 6,106,331 6,618,333 6,200,000 6,376,238 6,350,000 Licenses & Permits 1,532,750 1,267,206 1,288,349 1,192,789 1,231,626 Charges for Services 8,373,313 8,986,686 8,642,566 8,629,776 9,575,266 Intergovernmental 134,055 100,284 86,482 82,252 86,482 Fines and Forfeitures 1,817,775 2,022,984 2,051,030 2,117,170 2,202,393 Miscellaneous 700,501 964,405 777,700 759,384 792,500 Total Operating Revenue 52,218,775 54,209,558 54,404,277 55,055,635 56,922,513 TRANSFERS IN: Admin. Fee - Utility Fund 1,444,541 1,271,724 1,785,938 1,731,308 1,757,952 Admin. Fee - CVB Fund 1,024,323 966,247 1,025,100 1,041,010 961,043 Admin. Fee - Lake Ent. Fund 232,120 198,896 118,125 110,589 118,125 Administrative Fee - SDUS 104,225 91,668 103,900 104,025 104,206 Administrative Fee - Lake Parks Fund 0 0 158,250 155,475 159,375 Administrative Fee - 4B Fund 264,575 272,548 244,922 244,089 251,356 Total Transfers In 3,069,783 2,801,083 3,436,235 3,386,496 3,352,057 TOTAL REVENUE AND TRANSFERS 55,288,559 57,010,641 57,840,512 58,442,131 60,274,570 OPERATING EXPENDITURES: Permanent Capital Maintenance 1,171,500 1,251,000 1,251,000 1,251,000 Personnel 24,877,196 25,529,272 26,809,224 25,830,301 27,679,064 Supplies 2,452,688 2,609,645 2,904,157 2,734,309 3,110,410 Maintenance 734,005 713,363 886,035 866,806 903,053 Services 8,187,354 8,872,413 9,015,713 9,526,803 9,622,485 Capital Outlay 210,096 358,102 150,226 146,316 123,708 Insurance 8,182,252 8,618,063 9,914,245 9,768,809 10,454,850 Total Operating Expenditures 44,643,590 46,700,859 49,679,600 48,873,345 51,893,570 TRANSFERS OUT: To Permanent Capital Maintenance 1,171,500 1,251,000 1,251,000 1,251,000 1,646,000 To Permanent Street Maintenance 1,400,000 1,558,000 1,558,000 1,558,000 1,633,000 To Capital Equipment Acquisition Fund 1,240,301 1,596,650 1,676,000 1,676,000 1,202,000 To Community Quality of Life Fund 3,000,000 3,000,000 3,000,000 3,000,000 3,000,000 To Crime Control & Prevention District Fund 1,500,000 1,300,000 1,175,000 1,000,000 900,000 To Economic Development Fund 0 0 1,000,000 1,000,000 0 To Capital Improvement Projects Fund 0 2,169,886 0 0 0 Total Transfers Out 8,311,801 10,875,536 9,660,000 9,485,000 8,381,000 TOTAL EXPENDITURES AND TRANSFERS 52,955,391 57,576,395 59,339,600 58,358,345 60,274,570 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 2,333,167 (565,754) (1,499,088) 83,787 0 ENDING FUND BALANCE: 11,940,983 11,375,229 9,876,141 11,459,015 11,459,016 FUND BALANCE REQUIREMENT: 8,806,407 9,212,224 9,799,812 9,640,769 10,236,540 * Fund balance requirement is 20% of total budgeted expenditures (72 days of operation). The FY 2014-15 projected Ending Fund Balance represents 22% of total budgeted expenditures (84 days of operation). FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE MUNICIPAL COURT TECHNOLOGY FUND Total Operating Revenue TRANSFERS IN: 46,318 47,552 48,250 47,715 48,050 0 0 0 0 0 TOTAL REVENUE AND TRANSFERS 46,318 47,552 48,250 47,715 48,050 OPERATING EXPENDITURES: Personnel 2011-12 2012-13 2013-14 2013-14 2014-15 Supplies Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 87,728 51,830 75,910 75,910 92,018 Services 16,800 0 12,250 0 0 OPERATING REVENUE: 0 0 0 0 0 Court Technology Fees 45,966 47,459 48,000 47,665 48,000 Interest Income 352 93 250 50 50 Total Operating Revenue TRANSFERS IN: 46,318 47,552 48,250 47,715 48,050 0 0 0 0 0 TOTAL REVENUE AND TRANSFERS 46,318 47,552 48,250 47,715 48,050 OPERATING EXPENDITURES: Personnel 0 0 0 0 0 Supplies 42,971 750 0 8,000 0 Maintenance 0 0 0 0 0 Services 16,800 0 12,250 0 0 Capital Outlay 0 0 0 0 0 Total Operating Expenditures 59,771 750 12,250 8,000 0 TRANSFERS OUT: Transfer to Debt Service Fund 22,446 22,722 23,607 23,607 55,825 Total Transfers Out 22,446 22,722 23,607 23,607 55,825 TOTAL EXPENDITURES AND TRANSFERS 82,217 23,472 35,857 31,607 55,825 ;URPLUS (DEFICIT) OF REVENUE )VER (UNDER) EXPENDITURES: (35,899) 24,080 12,393 16,108 (7.775 ENDING FUND BALANCE: 51,830 75,910 88,303 92,018 84,243 FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE CONVENTION AND VISITORS BUREAU FUND 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 4,615,086 5,424,087 4,706,140 4,706,140 1,859,917 OPERATING REVENUE: Occupancy Taxes 12,245,051 12,772,217 12,899,724 12,903,000 11,141,548 Facility Rental Income 641,889 679,306 826,000 785,000 884,000 Interest Income 12,423 10,340 9,000 8,000 5,200 Sales & Merchandise 288,417 349,708 410,871 368,000 418,200 Train Operations 1,555,903 1,658,218 1,663,400 1,750,000 1,765,000 Festivals & New Vintage 3,074,203 3,006,894 3,280,000 3,153,239 3,447,000 Visitor Shuttle System 139,439 126,629 148,000 135,000 148,000 Miscellaneous Income 621,655 315,332 299,000 538,400 343,158 Total Operating Revenue 18,578,979 18,918,644 19,535,995 19,640,639 18,152,106 TRANSFERS IN: 25,000 40,000 30,000 30,000 25,000 Transfer from 4B Economic Devl. Fund 348,945 298,819 385,458 323,940 344,809 Transfer from General Fund 0 15,041 0 0 0 Total Transfers In 348,945 313,861 385,458 323,940 344,809 TOTAL REVENUE & TRANSFERS 18,927,924 19,232,505 19,921,453 19,964,579 18,496,915 OPERATING EXPENDITURES: Personnel 4,501,700 4,630,206 5,429,119 5,246,078 5,630,419 Supplies 3,048,356 3,032,949 2,860,240 2,337,279 949,750 Maintenance 151,922 204,898 212,690 198,170 225,600 Services 3,345,401 3,491,886 3,342,908 3,271,173 4,431,576 Festival & Train Operations 3,997,994 3,897,417 3,953,350 4,150,000 4,149,800 Capital Outlay 13,159 8,976 108,500 145,400 40,000 Total Operating Expenditures 15,058,531 15,266,332 15,906,807 15,348,100 15,427,145 TRANSFERS OUT: Transfer to General Fund - Admin Fee 1,024,323 966,247 1,025,100 1,041,010 961,043 Transfer to GTRP Fund 25,000 40,000 30,000 30,000 25,000 Trans. To 4B Fund 0 244,460 0 0 0 Trans. to Debt Service Fund 1,966,070 2,085,317 2,087,900 2,087,900 2,008,963 Transfer to Capital Projects Fund 45,000 828,029 669,600 669,600 0 Transfer to Permanent Capital Maint. 0 70,068 35,000 35,000 0 Transfer to Capital Equip Acquisition Fund 0 450,000 0 0 0 Total Transfers Out 3,060,393 4,684,120 3,847,600 3,863,510 2,995,006 TOTAL EXPENDITURES & TRANSFERS 18,118,924 19,950,452 19,754,407 19,211,610 18,422,151 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 809,000 (717,947) 167,046 752,969 74.764 ENDING FUND BALANCE: 5,424,087 4,706,140 4,873,186 5,459,109 1,934,681 FUND BALANCE REQUIREMENT: 2,475,375 2,509,534 2,614,818 2,522,975 2,535,969 } * Fund balance requirement is 16.4% of total budgeted expenditures (60 days of operation). �,/ The FY 2014-15 projected Ending Fund Balance represents 45 days of operation. FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE CONVENTION & VISITORS BUREAU INCENTIVES FUND TOTAL REVENUE AND TRANSFERS 0 0 0 0 4,200,000 OPERATING EXPENDITURES: Personnel 0 l) Supplies 0 Maintenance 0 Services 1,707,600 Capital Outlay 0 Total Operating Expenditures 0 0 0 0 1,707,600 TRANSFERS OUT: 0 0 0 0 0 TOTAL EXPENDITURES AND TRANSFERS 0 0 0 0 1,707,600 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 0 0 0 0 2,492,400 ENDING FUND BALANCE: 0 0 0 0 6,091,592 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 0 0 0 0 3,599,192 OPERATING REVENUE: Occupancy Taxes - Gaylord 1,555,200 Occupancy Taxes - Great Wolf 450,000 Occupancy Taxes - All Other (1%) 2,191,124 Interest Income 3,676 Total Operating Revenue 0 0 0 0 4,200,000 TRANSFERS IN: 0 0 0 0 0 TOTAL REVENUE AND TRANSFERS 0 0 0 0 4,200,000 OPERATING EXPENDITURES: Personnel 0 l) Supplies 0 Maintenance 0 Services 1,707,600 Capital Outlay 0 Total Operating Expenditures 0 0 0 0 1,707,600 TRANSFERS OUT: 0 0 0 0 0 TOTAL EXPENDITURES AND TRANSFERS 0 0 0 0 1,707,600 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 0 0 0 0 2,492,400 ENDING FUND BALANCE: 0 0 0 0 6,091,592 FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE STORMWATER DRAINAGE UTILITY FUND 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 3,007,049 3,181,522 2,026,203 2,026,203 762,067 OPERATING REVENUE: Drainage Utility Fees 1,380,285 1,388,412 1,385,329 1,387,000 1,389,412 Interest Income 10,552 3,460 5,000 1,000 1,166 Interest Income - 2000 C.O. 380 120 400 45 46 Miscellaneous 365,186 5,600 0 (75) 0 Total Operating Revenue 1,756,402 1,397,591 1,390,729 1,387,970 1,390,624 TRANSFERS IN: 0 0 0 0 0 TOTAL REVENUE AND TRANSFERS 1,756,402 1,397,591 1,390,729 1,387,970 1,390,624 OPERATING EXPENDITURES: 104,225 91,668 103,900 104,025 104,206 Personnel 465,963 468,404 496,233 429,845 482,754 Supplies 52,618 36,438 59,700 54,900 59,700 Maintenance 199,352 107,145 125,000 95,000 125,000 Services 242,529 259,307 248,141 243,900 313,577 Capital Outlay 78,378 903,960 800,000 1,195,000 435,500 Total Operating Expenditures 1,038,840 1,775,254 1,729,074 2,018,645 1,416,531 TRANSFERS OUT: Transfer to General Fund - Admin Fee 104,225 91,668 103,900 104,025 104,206 Transfer to Debt Service Fund 113,863 113,988 319,436 319,436 318,735 Transfer to Equipment Acquisition Fund 325,000 572,000 210,000 210,000 0 Total Transfers Out 543,088 777,656 633,336 633,461 422,941 TOTAL EXPENDITURES AND TRANSFERS 1,581,928 2,552,910 2,362,410 2,652,106 1,839,472 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 174,474 (1,155,319) (971,681) (1,264,136) (448,848) ENDING FUND BALANCE: 3,181,522 2,026,203 1,054,522 762,067 313,219 FUND BALANCE REQUIREMENT: 170,768 291,823 284,231 331,832 232,854 * Fund balance requirement is 16.4% of total budgeted expenditures (60 days of operation). The FY 2014-15 projected Ending Fund Balance represents8l days of operation. FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE CRIME CONTROL & PREVENTION DISTRICT 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 308,373 714,144 861,919 861,919 1,074,938 OPERATING REVENUE: Sales Tax (1/2 cent) 11,286,914 11,958,485 12,350,000 12,511,031 12,887,770 Commercial Vehicle Enforcement 150,181 187,226 200,000 180,000 200,000 Interest Income 3,435 2,464 5,075 2,500 2,500 Miscellaneous 220 1,980 0 141,570 138,800 Total Operating Revenue 11,440,750 12,150,154 12,555,075 12,693,531 13,090,270 TRANSFERS IN: 146,040 291,122 0 0 0 Transfer from General Fund 1,500,000 1,300,000 1,175,000 1,000,000 900,000 Total Transfers In 1,500,000 1,300,000 1,175,000 1,000,000 900,000 TOTAL REVENUE AND TRANSFERS 12,940,750 13,450,154 13,730,075 13,693,531 13,990,270 OPERATING EXPENDITURES: Personnel 9,491,241 9,763,541 10,436,389 10,075,920 10,612,885 Supplies 574,421 689,760 926,915 839,202 691,708 Maintenance 106,875 108,975 142,300 141,570 138,800 Services 2,216,402 2,447,481 2,224,471 2,423,820 2,546,877 Capital Outlay 146,040 291,122 0 0 0 Total Operating Expenditures 12,534,979 13,300,880 13,730,075 13,480,512 13,990,270 TRANSFERS OUT: Transfer to Special Revenue Fund 0 1,500 0 0 0 Total Transfers Out 0 1,500 0 0 0 TOTAL EXPENDITURES AND TRANSFERS 12,534,979 13,302,380 13,730,075 13,480,512 13,990,270 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 405,771 147,775 0 213,019 0 ENDING FUND BALANCE: 714,144 861,919 861,919 1,074,938 1,074,938 FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE LAKE PARKS SPECIAL REVENUE FUND 2011-12 2012-13 201344 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: (1,121,838) (958,738) (820,930) (820,930) (752,342) OPERATING REVENUE: 153,353 161,759 187,168 181,821 214,316 Boat Ramp Fees 146,061 146,480 150,000 135,000 150,000 Pavilion Fees 45,318 53,110 60,000 58,000 70,000 Camping Fees 1,294,892 1,369,574 1,525,000 1,500,000 1,525,000 Entrance Fees 356,505 345,371 375,000 380,000 380,000 Merchandise Sales 72,063 72,658 90,000 93,000 90,000 Interest & Misc. Income 13,523 53,346 25,000 40,000 30,000 Total Operating Revenue 1,928,362 2,040,540 2,225,000 2,206,000 2,245,000 TRANSFERS IN: Total Transfers In 0 0 0 0 0 TOTAL REVENUE AND TRANSFERS 1,928,362 2,040,540 2,225,000 2,206,000 2,245,000 OPERATING EXPENDITURES: Personnel 153,353 161,759 187,168 181,821 214,316 Supplies 209,746 226,804 196,500 197,600 156,100 Maintenance 96,174 90,536 122,500 168,500 117,500 Services 969,423 1,095,982 1,013,320 1,018,320 1,167,441 Capital Outlay 0 0 108,000 91,723 18,000 Total Operating Expenditures 1,428,696 1,575,081 1,627,488 1,657,964 1,673,357 TRANSFERS OUT: Transfer to General Fund - Admin Fee 0 0 158,250 155,475 159,375 Transfer to Debt Service Fund 336,566 327,651 323,973 323,973 326,564 Total Transfers Out 336,566 327,651 482,223 479,448 485,939 TOTAL EXPENDITURES AND TRANSFERS 1,765,262 1,902,732 2,109,711 2,137,412 2,159,296 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 163,100 137,808 115,289 68,588 85,704 ENDING FUND BALANCE: (958,738) (820,930) (705,641) (752,342) (666,638) l FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE 4B TRANSIT FUND 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 7,592,619 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 27,000 27,000 Miscellaneous 0 0 0 19,500,000 0 Total Operating Revenue 11,667,922 12,308,066 12,675,000 32,445,101 13,332,644 TRANSFERS IN: 1,050,000 100,000 0 100,000 0 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 32,445,101 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 (8,562,159) 35,644 ENDING FUND BALANCE: 12,896,954 16,154,778 17,625,615 7,592,619 7,628,263 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 7,012,987 7,048,631 Total Reserves 12,896,954 16,154,778 17,625,615 7,592,619 7,628,263 FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE ECONOMIC DEVELOPMENT FUND 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING FUND BALANCE: 0 0 0 0 3,532,460 OPERATING REVENUE: Interest Income 20,000 Total Operating Revenue 0 0 0 0 20,000 TRANSFERS IN: Transfer in from General Fund Transfer in from 4B Fund 1,000,000 1,000,000 2,000,000 2,000,000 3,326,411 Transfer in from TIF 1 Fund 1,000,000 1,000,000 0 0 4,000,000 4,000,000 3,326,411 TOTAL REVENUE AND TRANSFERS 0 0 4,000,000 4,000,000 3,346,411 OPERATING EXPENDITURES: Personnel Supplies 0 67,927 12,351 318,724 0 5,000 2,500 5,000 Services 0 0 600,000 10,000 166,200 Total Operating Expenditures 0 0 672,927 24,851 489,924 TRANSFERS OUT: Transfer to Debt Service Fund 0 0 0 442,689 1,594,027 Transfer to Capital Equip Fund 0 0 0 0 38,000 Total Transfers Out 0 0 0 442,689 1,632,027 TOTAL EXPENDITURES AND TRANSFERS 0 0 672,927 467,540 2,121,951 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 0 0 3,327,073 3,532,460 1,224,460 ENDING FUND BALANCE: 0 0 3,327,073 3,532,460 4,756,920 FY 2014-15 PROPOSED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE UTILITY ENTERPRISE FUND 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING WORKING CAPITAL: 6,453,485 6,625,733 6,253,108 6,253,108 8,545,833 OPERATING REVENUE: Water Sales 12,333,770 12,058,529 15,252,164 14,960,700 15,116,500 Wastewater Sales 6,533,301 6,629,881 7,802,336 7,802,336 7,899,865 Tap & Inspection Fees 80,860 137,145 48,000 106,064 48,000 Reconnects & Transfers 201,134 180,945 200,000 200,000 200,000 Interest Income 70,162 139,910 175,000 15,000 175,000 Miscellaneous Income 408,177 559,582 335,000 979,766 335,000 Total Operating Revenue 19,627,403 19,705,991 23,812,500 24,063,866 23,774,365 TRANSFERS IN: 0 0 TOTAL REVENUE AND TRANSFERS 19,627,403 19,705,991 23,812,500 24,063,866 23,774,365 OPERATING EXPENDITURES: Personnel 2,830,002 2,916,458 3,155,414 3,012,248 3,180,498 Supplies 597,025 632,368 836,700 726,222 789,874 Maintenance 391,585 433,868 417,647 420,019 423,109 Services 10,230,706 11,635,415 13,299,959 13,021,723 13,974,912 Debt Service 2,984,329 2,859,089 1,376,227 1,376,227 1,734,325 Permanent Capital Maint. 896,235 329,694 1,000,000 1,001,000 1,000,000 Capital Outlay 80,733 0 518,000 482,394 372,000 Total Expenditures 18,010,614 18,806,893 20,603,947 20,039,833 21,474,718 TRANSFERS OUT: Transfer to General Fund - Admin Fee 1,444,541 1,271,724 1,785,938 1,731,308 1,757,952 Total Transfers Out 1,444,541 1,271,724 1,785,938 1,731,308 1,757,952 TOTAL EXPENDITURES AND TRANSFERS 19,455,155 20,078,616 22,389,885 21,771,141 23,232,670 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: 172,248 (372,625) 1,422,615 2,292,725 541,695 ENDING WORKING CAPITAL: 6,625,733 6,253,108 7,675,723 8,545,833 9,087,528 FUND BALANCE REQUIREMENT: 2,960,649 3,091,544 3,386,950 3,294,219 3,530,091 * Fund balance requirement is 16% of total net budgeted expenses or 60 days of operation. The FY 2014-15 projected Ending Working Capital Balance represents 154 days of operation. FY 2014-15 APPROVED OPERATING BUDGET STATEMENT OF REVENUE, EXPENDITURES AND CHANGES IN FUND BALANCE LAKE ENTERPRISE FUND 2011-12 2012-13 2013-14 2013-14 2014-15 Actual Actual Budget Estimate Proposed BEGINNING WORKING CAPITAL: (2,773,954) (2,979,377) 3,120,963) (3,120,963) (3,135,168) OPERATING REVENUE: Cart and Club Rentals 802,690 792,887 820,000 780,000 825,000 Tournament Fees 3,850 5,400 6,000 6,000 7,000 Driving Range 167,446 161,287 175,000 175,000 185,000 Golf Pro Shop Sales 199,098 203,833 227,000 212,000 247,000 Golf Course Green Fees 1,566,778 1,525,024 1,575,000 1,474,518 1,575,000 Annual Green Fee Memberships 93,401 172,350 165,000 169,925 175,000 Restaurant % of Sales 43,046 40,498 47,800 40,000 47,800 Lesson Income 13,754 11,741 15,000 10,500 20,000 Interest Income 666 371 565 155 155 Golf Sub -Lease 171,315 184,953 200,000 185,000 200,000 Miscellaneous Income 17,825 21,867 23,000 21,545 23,000 Total Operating Revenue 3,079,867 3,120,210 3,254,365 3,074,643 3,304,955 TRANSFERS IN: 0 0 0 0 0 TOTAL REVENUE AND TRANSFERS 3,079,867 3,120,210 3,254,365 3,074,643 3,304 955 OPERATING EXPENDITURES: Personnel 1,253,907 1,287,063 1,3 83,780 1,127,326 1,340,071 Supplies 367,030 347,341 379,683 379,683 384,028 Maintenance 93,310 106,165 96,869 98,169 111,089 Services 812,912 837,545 843,910 821,362 834,852 Debt Service 526,012 484,786 437,719 437,719 433,150 Capital Outlay 0 0 129,500 114,000 115,000 Total Operating Expenditures 3,053,170 3,062,900 3,271,461 2,978,259 3,218,190 TRANSFERS OUT: Transfer to General Fund - Admin Fee 232,120 198,896 118,125 110,589 118,125 Total Transfers Out 232,120 198,896 118,125 110,589 118,125 TOTAL EXPENDITURES AND TRANSFERS 3,285,290 3,261,796 3,389,586 3,088,848 3,336,315 SURPLUS (DEFICIT) OF REVENUE OVER (UNDER) EXPENDITURES: (2052423) (141,586) (135,221) (14,205) (31,360) ENDING WORKING CAPITAL: (2,979,377) (3,120,963) (3,256,184) (3,135,168) (3,1661528) INCREASED SERVICE LEVEL POSITION DESCRIPTIONS EXHIBIT FY 2015 Dept Division Title Description FTE Lan/Wan administrator is responsible for installing, maintaining, and repairing City's LAN/WAN infrastructure, Cisco equipment, wireless networks, and CMO I.T. Assistant LAN / WAN telephone system. Lan/Wan administrator responsibilities have expanded in volume and scope to include a large stationary wireless network that is continually 1.000 Administrator growing with the Citywide Fiber expansion project. GIS Department continues to update and maintain our GiS layers. As more maps and applications are pushed out to our employees and citizens, additional help is needed to meet this growing demand. Duties include the following: GIS Applications 1. Develop and maintain all GiS base layers used throughout the city (road centerlines, parcels, building footprints, topographic information, business 1,000 CMO I.T. Programmer locations, etc.) 2. Development of GiS Internet and Intranet sites (by department) by populating with new and changing maps and applications used by users internally and externally. The Department currently uses existing personnel with multiple responsibilities to manage social media (Twitter, Facebook, Nixle) as well as local media relations (live interviews, press releases). This presents a problem when those personnel are called to handle other responsibilities delaying our ability to 1.000 Police Admin Media Manager publish timely communications to the community and media. A Media Manager would alleviate the burden from existing personnel and allow the Department to actively manage our communications with social media community and local media outlets, while using the swom personnel to manage the incident. Crime Prevention The Department could convert the current crime prevention function from sworn personnel to civilian at a great cost benefit and return the existing sworn 2,000 Police Admin Specialist positions to uniform operations for reassignment where the positions would be of greater use to the community. Captains for EMS management and incident safety (I /shift) will directly manage EMS personnel and the EMS ops of the dept. They will serve in incident Battalion Chief -EMS command and safety roles. EMS is over 70% of the emergency work of the dept., 85% of the non -emergency, and $1.4 million in revenue. EMS requires full Fire Operations Management & time daily mgmt attention which is not possible now. Dept. has had no EMS management position in 35 year history of EMS service and can't continue to 1.000 Incident Safety operate at 1970's level. EMS mgmt at Capt. or BC level was recommended in the 2011 staffing study. TX Dept. Health EMS Compliance review of GFD recommended mgmt position in Dept. By maintaining the minimum staffing level at 26 per day the total net effect will be the reduction of approximately $123,000 in projected overtime costs for Firefighter / 2015. Additionally, two FF/PM per shift will increase the number of four person companies available throughout the year thus increasing safety, increasing 2,000 Fire Operations Paramedics effectiveness of company operations up to 40%, and improving service to the community significantly. Four person staffing is the national standard for fire apparatus according to all national fire service standards and recommendations. Total General Fund 5.000 The job description for this position was developed in FY 14. The position is at a grade 23 (FY14 range is 35,389 - 49,544). This position was established to C VB GVRR Railroad Management develop a candidate to the level of expertise that will be able to takeover the position of Train Master. With the unique skills required, we have been unable to 1.000 Trainee hire a qualified candidate and want to develop the trainee within GVRR system. Total Convention & Visitors Bureau Fund 1.000 Park Foreman This request is being submitted to add a Park Foreman to Parks and Lake Parks which will report to the Manager Park Services. Half of the positions salary Parks Lake Parks 50/50 split with Gen will be paid through the general fund and the other half will be paid through the Lake Park Enterprise Fund. This position will directly supervise one crew 0.500 Fund leader paid from the general fund and another crew leader paid from the enterprise fund. This request is being submitted to supplement the maintenance and programming needs of the Lake Park Enterprise Fund through the addition of 2 new Parks Lake Parks Lake Parks Crew positions. The Crew Leader will report to the Park Foreman to handle maintenance issues in Lake Parks. The Lake Park Event Coordinator will report to the 1.000 Leader Enterprise Fund/Vineyard Supervisor and will add programs to increase revenue. Total Lake Parks Fund 1'500 TOTAL FULL-TIME EQUIVALENTS FTE 10.500 EXHIBIT " FY 15 SALARY INCREASES OF COMPARISON CITIES Conducted by the City of Grapevine July 7, 2014 Updated July 25, 2014 Public Safety General Topped Out CitV EmnlnvPPs Fmnlnvana 1:Mnl^\/ Bedford Check Aug8 Check Auq 8 Check Aug8 Carrollton 6.60% 2.00% 0.00% Colle ville Check Aug4 Check Aug4 Check Aug4 Co ell 4.00% 4.00% 2.00% Dallas 8.78% 3.00% 3.00% Denton 8.00% 3.00% �Auq 5 Euless 3.50% 3.50% 0.00% Farmers Branch Pending 3.00% $500 or $1000 Flower Mound 5.63% 4.50% 3.00% Fort Worth 5.66% Study underway 0.00% Irvinq 5.00% 3.50% Unknown Keller 4.00% 4.00% 0.00% Lewisville 5.52% 5.60% 3.00% NRH 4.00% 4.00% Possibly $500 Plano Unknown Unknown Unknown Richardson Unknown Unkknown Unknown Southlake 3.00% 3.00% 3.00% University Park 8.00% 6.00% 0.00% Average Increases 1 5.510 3.78% 1.40% Grapevine Proposed 5.00% 3.00% 3.00% Bedford - Large increase in insurance premiums FY 15. Carrollton - All employees are on step. Colleyville -New comp system last year capped employees at 10%. Still need to bring some employees to new minimum. Public Safety has open ranges Coppell - Public Safety has open ranges. Flower Mound - Public Safety has 3% steps. Comp philosophy 65th percentile. Fort Worth - Police governed by Texas "Meet and Confer". Fire governed by Collective Bargaining Agreement. Keller - Public Safety has open ranges. Southlake - Public Safety has open ranges. Comp philosophy 60th percentile. City of Grapevine, Texas BCH I B IT FY 2014-15 Proposed Budget - Ouality of Life Capital Proiects COMMITTED PROJECTS Project Name. FY2015 Budget Total Project Cost: Backlit Street Name Signs $30,000 $350,000 DESCRIPTION / JUSTIFICATION: Installation of back lit street name signs at arterial intersections & state highways. Phase 1 included the DFW Connector project limits and SH 26 from Kimball Rd to Pool Rd. Installed by City Traffic Staff. Cost approximately $3,750 per sign including free swinging mount, bracket, cantilever arm, etc.. We would propose funding this over multiple years from the Quality of Life Fund. Project Name: FY 2015 Budget Total Project Cost: Main Street Holiday Decoration $150,000 $703,494 DESCRIPTION / JUSTIFICATION: Additional holiday decorations along historic Main Street in support of the "Christmas Capital of Texas" promotion. FY 2014 additions include LED rooftop skyline lights for Main Street. These are the same lights installed on the Wallis Hotel. Project Name: FY 2015 Budget Total Project Cost: Wall -Farrar Nature Park -Phase 1 $106,715 $306,715 DESCRIPTION / JUSTIFICATION: The development of a nature park in Grapevine was one of the highest priorities of the citizens of Grapevine in the Parks & Recreation Master Plan the Council approved in May 2011. In the surveys for the update of the master plan, citizens requested nature trails, programs and exhibits. Staff did research on grants for the development of nature parks in late 2012 and discovered that the Texas Parks & Wildlife Department bad grants for trails and minor amenities associated with nature parks. The grant application deadline was January of 2013 so staff contacted MHS Planning & Design for assistance in developing a concept plan for the nature park and for the preparation of a grant application for consideration by the TPWD Commission. MHS Planning & Design has designed many nature parks in Texas and has a great reputation for securing grants for the development of nature parks. Prior to submitting the grant application, the plan was presented to the Parks & Recreation Advisory Board at their January 10, 2013 meeting. The Board discussed the concept plan and there was a consensus to submit the plan and grant application for consideration. The Board formally approved the plan at the November 21, 2013 meeting and the Council approved the plan at the December 3, 2013 meeting. The Texas Parks & Wildlife Commission approved a $200,000 grant for Phase 1 of the nature park at their May 23, 2013 meeting. The City's match is $106,715 and will come from the Quality of Life Fund. $35,765 was approved in FY 14 to this total. Project Name: FY 2015 Budget Total Project Cost: Gateway Project $295,000 $1,180,000 DESCRIPTION / JUSTIFICATION: The Gateway project is an exciting project that will add landscaping, irrigation, signage and entry features to the City of Grapevine. Several areas throughout the Connector corridor were not included in TXDOT's landscape plan for the project. These are highly visible areas and landscaping will enhance the look of Grapevine. Staff presented the idea to council at the July 16, 2013 meeting to hire a Landscape Architect to design several areas of the connector project. Council asked staff to broaden the landscape scope and incorporate entry signage/features to the scope, to encompass all major thorough fairs. SRA is currently in the design/schematic phase of tbis project. FYI will be the first phase of construction. This is a recurring project until the master plan is complete. Project Name: FY 2015 Budget Total Project Cost. CAC Multipurpose Field Improvements $250,000 $450,000 DESCRIPTION / JUSTIFICATION: This project would replace the Nash Street Soccer Field. Prior to the construction of the CAC this was the only lighted practice facility in Grapevine for Soccer. The project would add lights to the field, small restroom, and synthetic turf grass. The addition of the synthetic grass would reduce weather related field closures and would open up the possibility for more sports and programming. This is a multi -year phase project. Year 1 synthetic grass, year 2 lights and restroom. Subtotal Committed Projects FY2015 Budget Total Project Cost: $831,715 $2,990,209 l City of Grapevine, Texas FY 2014-15 Proposed Budget Ouality of Life Capital Proiects OPTIONAL PROJECTS Project Name: FY 2015 Budget Total Project Cost: Playground Shade Structures $250,000 $2,000,000 DESCRIPTION / JUSTIFICATION: This multi year project will add shade structures over playgrounds that are in full sun. Shade structures for playground equipment helps to provide cool shaded environments for children, while protecting them from harsh UV rays of the sun. Parents and care givers have peace of mind knowing that children have protection from the sun and can play for extended hours under shade structures. In FY 2015 we propose adding shade over the following parks: Bellaire, Parr Park, and Casey's Clubhouse. Each playground is unique, as a result each shade structure will need to be custom. Project Name: FY2015 Budget Total Project Cost: Kimball Sidewalks $354,546 $354,546 DESCRIPTION / JUSTIFICATION: Engineering and Construction of 150' of Retaining Wall, 410' of Sidewalk to give citizens safe access to the Wilbank's Trail System from Kimball Court and the Roaring Springs Area. 450' of Storm Drain Pipe and Inlets will also be part of the project to help with erosion and water collection up stream of the project. Project Name: FY 2015 Budget Total Project Cost: Oak Grove Park Pavilion $290,000 $290,000 DESCRIPTION / JUSTIFICATION: The Oak Grove Ball field Complex is one of the best youth baseball/softball complexes in Texas. There have been many local, regional and national tournaments at the complex. A great amenity for the complex would be a tournament pavilion that would be located in the grove of Oak trees to the north of the complex. The pavilion would be used to present the awards for tournaments and also by Grapevine residents for family reunions. This location was picked due to its proximity to an existing restroom. Project Name: FY 2015 Budget Total Project Cost: Bear Creek Park Sports Lights $107,000 $415,000 DESCRIPTION / JUSTIFICATION: One of the highest priorities of the Grapevine Youth Baseball & Softball Association is for lighted fields for practices and games. This is especially the case in the fall when it gets dark early in the evening. The youth association recently funded new fences and batting cages for the fields at Bear Creek Park. This project will add lights to both baseball/softball fields at Bear Creek Park. Price above includes purchase from Musco w/installation, 25 year warranty and electrical upgrades to park. The majority of this funding will come from open space funds in the amount of $308,000. Project Name: Community Outreach Center Sport Court FY 2015 Budget $150,000 Total Project Cost. $150,000 A proposed multi -use sport court (basketball, soccer, tennis, volleyball) at COC would further identify the Center as a community park and provide recreational opportunities. This would likely attract youth and young adults, who commonly create greater need for police services, and which are underserved by COC programs. Furthermore, this court could generate interest in tournaments and camps for area residents. Project Name: Rockledge Park Master Plan FY2015 Budget $140,000 Total Project Cost: $140,000 The City has been approached by Texas Parks & Wildlife Department (TP&W) to partner with them and several other entities to create a unique outdoor park. This outdoor park would include hunter education, archery, fishing, and other Ranger based programming. For this project to move forward the City needs to provide a Master Plan and feasibility/preformatted study for Rockledge Park. Texas Parks & Wildlife have tentatively committed 1,000,000 to fund this project. Project Name: FY2015 Budget Total Project Cost: Median Landscaping $245,000 $1,180,000 DESCRIPTION / JUSTIFICATION: Landscaping improvements to the medians in the City including Hall -Johnson, Pool Rd, Mustang Dr, Park Blvd, Silvercrest, W.D. Tate, and Dove Road. Many of the medians are aged and in need of beautification. Some of the proposed landscaping has already been designed. This is a multi year plan. l City of Grapevine, Texas FY 2014-15 Proposed Budget Ouality of Life Capital Proiects Project Name: FY 2015 Budget Total Project Cost: Botanical Garden at Heritage Park Greenhouse $165,000 $165,000 DESCRIPTION / JUSTIFICATION: A greenhouse at the Grapevine Botanical Gardens at Heritage Park was on the master plan that was approved by Council in 1999. The functional core services of the greenhouse are: expand educational opportunities, enhance garden profile and awareness, plant production, expanded volunteerism. The proposed greenhouse would be located on the east side of the Botanical Gardens in an open area. The proposed greenhouse would be 30'X48' with an attached head house. Project Name: FY2015 Budget Total Project Cost: Horseshoe Trail Restroom $65,000 $130,000 DESCRIPTION / JUSTIFICATION: This project will add two small CXT restrooms, one at the East end and one at the West end. Horseshoe Trails is one of the most popular trails in the City. The addition of restrooms are a high priority in the latest citizen survey. The proposed restrooms will replace port -a -potties at both locations. The proposed restrooms will be similar to the new restroom at Pickering Park. Project Name: FY 2015 Budget Total Project Cost. Parr Park Playground Surfacing $150,000 $150,000 DESCRIPTION / JUSTIFICATION: Replacement of the wood fiber material with poured in place rubber surfacing. This is a cost savings measure as the fiber washed away with every flood event at the park. Project Name: FY2015 Budget Total Project Cost: Trawick Pavilion Restroom & Playground $200,000 $350,000 DESCRIPTION / JUSTIFICATION: The Trawick Pavilion is one of the most popular pavilions on Lake Grapevine. Currently there is no restroom at the pavilion and patrons use port -a -potties. The old playground was removed 10 years ago due to safety issues and has not been replaced. The addition of these two amenities would make a good experience a great experience for renters of the pavilion and park users in general. The proposed playground and restroom would be similar to the playground and restroom at Meadowmere Park. Project Name: FY 2075 Budget Total Project Cost. Oak Grove Trail Extension $1,780,000 $1,780,000 DESCRIPTION / JUSTIFICATION: This proposed trail would be located in Oak Grove Park closer to the lake and would tie in the picnic and play areas along the lake. The trail would also link with the Trawick Pavilion and with the C. Shane Wilbank's Trail. This trail would be a great enhancement to the trail system in Grapevine. The proposed trail is 1.6 miles and would be a 10' concrete surface. Project Name: Town Square Gazebo Renovation FY2015 Budget $50,000 Total Project Cost: $50,000 n Square is one of the most frequented parks in Grapevine and is in the heart of downtown. The existing gazebo is aged and in need of renovation. The bo is utilized for many events throughout the year. The proposed renovation would include new electrical and sound system technology for the many events at the park. Name: -y Genealogy Room Expansion City of Grapevine, Texas FY 2014-15 Proposed Budget Ouality of Life Capital Proiects FY2015 Budget $447,000 Total Project Cost: $447,000 project is for the expansion of the Genealogy area by 1,000 square feet to accommodate the collection as it grows and grants are received. Move the Teen to the existing Periodical area and expand that area by 500 square feet to give more space for the Teen Zone collection which has out grown the current area needs additional space for study tables and shelving for the collection. This would put the expansion in the same area to reduce costs and meet the needs of areas. Project Name: FY 2015 Budget Total Project Cost. Sponsorship for Exhibit of Grand and Tower Galleries $50,000 $50,000 DESCRIPTION / JUSTIFICATION: Funds to underwrite the cost of bringing in exhibits, palace concerts, etc. to the Grand and Tower Galleries and/or Palace Theater for educational and enrichment activities for both citizens and visitors. 1a Subtotal Optional Projects Y2015 Budget Total Project Cost: $4,443,546 $7,651,546 Grand Total of All Projects FY2015 Budget Total Project Cost: $5,275,261 $10,641,755 Playground Shade Structures This project will add shade structures over playgrounds that are in full sun. Shade structures for playground equipment helps to provide cool shaded environments for children, while protecting them from harsh UV rays of the sun. Parents and care givers have peace of mind knowing that children have protection from the sun and can play for extended hours under shade structures. In FY 2015 we are proposing adding shade over the following parks: Bellaire, Parr Park, and Casey's Clubhouse. Each playground is unique, as a result each shade structure will need to be custom. This is a multi year project. Total Cost: $ 250,000 Engineering and Construction of 150' of Retaining Wall, 410' of Sidewalk to give citizens safe access to the C. Shane Wilbanks Trail System from Kimball Court and the Roaring Springs Area. 450' of Storm Drain Pipe and Inlets will also be part of the project to help with erosion and water collection up stream of the project. Total Cost: $ 355,000 Kimball Road Sidewalk ALitN r F. The Oak Grove Ballfield Complex is one of the best youth baseball/softball complexes in Texas. There have been many local, regional and national tournaments at the complex. A great amenity for the complex would be a pavilion that would be located in the grove of Oak trees to the north of the complex (no trees would be removed). The pavilion would be used to present the awards for tournaments and also by Grapevine residents for family reunions. This location was picked due to its proximity to an existing restroom and parking. Total Cost: $290,000 Oak Grove Park Pavilion 0 r Bear Creek Park Sports Lights One of the highest priorities of the Grapevine Youth Baseball & Softball Association is for lighted fields for practices and games. This is especially the case in the fall when it gets dark early in the evening. The youth association recently funded new fences and batting cages for the fields at Bear Creek Park. This project will add lights to both baseball/softball fields at Bear Creek Park. The proposed lights are similar to lights on all other sports fields in Grapevine. The lights are from Musco w/installation, 25 year warranty and electrical upgrades to park. The majority of this funding will come from open space funds. Open Space Funds: $ 308,000 FY 2015: $ 107,000 Total Cost: $ 415,000 Community Outreach Center Sport Court A proposed multi -use sport court (basketball, soccer, tennis, volleyball) at COC would further identify the Center as a community park and provide recreational opportunities. This would likely attract youth and young adults, who commonly create greater need for police services, and which are underserved by COC programs. Furthermore, this court could generate interest in tournaments and camps for area residents. Total Cost: $ 150,000 Playground J �M 4 s eA w., Sport Court Botanical Gardens Greenhouse A greenhouse at the Grapevine Botanical Gardens at Heritage Park was on the master plan that was approved by council in 1999. The functional core services of the greenhouse are: Expand Education opportunities, Enhance garden profile and awareness, Plant Production & Expanded volunteerism The proposed greenhouse would be located on the east side of the Botanical Gardens in an open area. The proposed greenhouse would be 30'x48' with an attached head house. Garden Club Donation FY 2015: Total Cost: $ 92,000 $ 165,000 $257,000 Horseshoe Trail Restrooms This project will add to two small CXT restrooms, one at '� RZ,�' " � the East end and one at the CRY `'wL*�, West end. Horseshoe Trails is UMBERLY. .,td' one of the most popular trails m ;0"44v L' R '�*` f '°�, 1 the City. The addition of M CZ RK restrooms are a high '� K,► •priority in the latest citizen survey. The proposed restrooms will replace port -a- {tip potties at both locations. The proposed restrooms will be similar to the new restroom at Pickering Park & Bear Creek KI Park. ' LO' FY 2015: $ 65,000 *�al 91 � FY 2016: $65,000 k!1 R. I:641wc.+� °rAl Total Cost: $130,000 fir= -x IMMIA y�a . A� _ lriA I Trawick Pavilion Restroom and Playground The Trawick Pavilion is one of the most popular pavilions on Lake Grapevine. Currently there is no restroom; patrons use:F £ e port -a -potties. The old playground was ,t removed 10 years ago due to safety issues and has not been replaced. The addition of these two amenities would make a good experience a great experience for renters of�= the pavilion and park users in general. The r ` I# +- proposed playground and restroom would be similar to the playground and restroom at Meadowmere Park FY 2015 Restroom: $ 200,000 FY 2016 Playground: $ 150,000 I Total Cost: $ 350,000 � t. i M�• y, S t�RL� i i k . This is a proposed hike and bike trail from Oak Grove Loop Trail east to Trawick Pavilion then south to the exercise station. The proposed trail is 1.6 miles and would be a 10' concrete surface. Total Cost: $ 1,780,000 Oak Grove Trail Extension Irk 4 JJ! elk ey�� ted+ i � .✓ i' Library Genealogy / Teen Room Expansion This project is for the expansion of the Genealogy area by 1,000 square feet to accommodate the collection as it grows and grants are received. Move the Teen area to the existing Periodical area and expand that area by 500 square feet to give more space for the Teen Zone collection which has out grown the current area and needs additional space for study tables and shelving for the collection. This would put the expansion in the same area to reduce costs and meet the needs of both areas. Total Cost: $ 447,000 r,. .." . I - I i_ I FT .. I mv— a V f Teens r Loral ttt jbo 5.F Hiztor ,� FY 2015 APPROVED CAPITAL EQUIPMENT REQUESTS EXHIBIT Det Division Item Electronic Technology / Hardware Machinery / Equipment Motor Vehicles Other Total Proposed Cost Admin Svcs Human Resources iPad and Wireless Printer 1,000 10,000 1,000 Fire Admin VDI Units for additional computing stations at fire statio 6,000 Public Works Stormwater Drainage Hydraulic Grappler Bucket 6,000 - Fire Admin Additional data drops at fire stations for VDI units 4,000 5,500 Total Stormwater Drainage Fund 4,00,0 Fire Admin Computer monitors for additional computing stations 3,600 65,000 1 70,500 3,600 Fire Admin Ruggedized tablet computers for fire apparatus 30,000 30,0_0_0 Fire Admin Ruggedized mobile hotspots for fire apparatus 36,000 36,000 422,000 Fire Operations Bullex Digital Fire Training System 22,000 Fire Operations Holmatro Hydraulic Rescue Tool Set for Quint 4 27,000 27,000 Fire Operations SCBA microphones 11,450 11,450 Fire Operations Positive pressure electric ventaltion fans 13,625 13,_625_ Fire Operations Portable radios 24,500 244500 Parks CAC Fitness Equipment Replacement Program 45,30845,308 Parks CAC & SAC Additional technology equipment for expanded CAC 39,350 39,350 Public Works Streets 8'V -Box Salt / Sand Spreader 7,900 _ _ 7,"0_ Public Works Traffic Thermoplastic handliner pavement markings applicator 11,500 _ _ 11,500 Public Works Environmental Services Self -Contained Water Quality Monitor 10,000 10,000 Total General Fund 144,450 148,783 - - 293,233 Det Division Item Electronic Technology / Hardware Machinery / Equipment Motor Vehicles Other Total Proposed Cost Public Works Stormwater Drainage Volumetric Concrete Bed and Cement Silo 10,000 65,000 _ 65,000 Public Works Stormwater Drainage Hydraulic Grappler Bucket 5,500 5,500 Total Stormwater Drainage Fund - 5,500 1 65,000 1 70,500 Det Division Item Electronic Technology/ Hardware Machinery / Equipment Motor Vehicles Other Total Proposed Cost Parks & Rec Lake Parks Golf Carts 10,000 M 10,000 Parks & Rec Lake Parks Multi -passenger Cart 8,000 8,000 Total Lake Parks Fund - 18,000 - - 18,000 2015 In 7/24/2014 10:49 AM FY 2015 APPROVED CAPITAL EQUIPMENT REQUESTS Det Division Item Electronic Technology / Hardware Machinery / Equipment Motor Vehicles Other Total Proposed Cost Public Works Water Distribution Trimble Nomad 900 LE Handheld 14,000 1_30,000 Admin Services Golf Maintenance Large Utility Vehicle 14,000 _.__. Public Works Water Distribution Door Openers for Dove Tower and Mustang Tower 14,500 Admin Services Golf Maintenance Sand Trap Rake 14,500 Public Works Water Distribution Volumetric Concrete Bed and Cement Silo 2_3,00_0 Admin Services Golf Maintenance Tee Mower 65,000 65,000 Public Works Wastewater Collection Manhole inspection camera 23,000 - 115,000 - 223,000 Public Works Wastewater Collection Generator Dooley LS 52,50052,500 Public Works Wastewater Collection Generator Denton Creek LS 82,500 82,500 Total Utility Fund 37,000 149,500 - 65,000 251,500 Det Division Item Electronic Technology / Hardware Machinery / Equipment Motor Vehicles Total Proposed Other Cost Admin Services Golf Maintenance Fairway Aerifier 30,000 1_30,000 Admin Services Golf Maintenance Large Utility Vehicle 27,000 27,000 Admin Services Golf Maintenance Sand Trap Rake 23,000 2_3,00_0 Admin Services Golf Maintenance Tee Mower 35,000 35,000 Total Lake Enterprise (Golf) Fund - 115,000 - - 115,000 TOTAL FY 2015 CAPITAL EQUIPMENT REQUESTS 1 181,4501 436,783 1 130,000 1 74$233 * The total cost of this item is $130,000 and is proposed to be split by the SDUS and Utility Funds at $65,000 each. 2015 In 7/24/2014 10:49 AM FY 2015 Vehicle Equipment and Replacement List Item Dept. Unit # Unit Description Budget Amount 50% Cost Analysis Actual Age Mileage 1 Police 209-1 92110 2010 Crown Victoria Police $47,000 50% 4 rs 2 mo 79,800 2 Police 209-1 94220 2010 Chevy Tahoe Police $47,000 50% 4 rs 5mo 112,000 3 Police 209-1 91126 2006 Chevy Impala $46,000 43% 9 rs 63,000 4 SDUS 535-1 15215 2005 Chevy 3/4 ton PU $40,000 60% 9 rs 95,400 5 PW Traffic 415-4 15259 1999 f-550 Bucket Truck $98,000 50% 15 rs 60,100 6 Devel 417-2 17135 2005 Chevy C10 PU $40,000 48% 9 rs 72,000 7 Devel 417-2 17105 2005 Trailblazer $40,000 51% 9 rs 118,000 8 WW 531-1 30108 2008 F-150 PU $35,000 20% 6 rs 3mo 108,000 9 Water 530-2 31316 2006 Chevy 1 ton service $200,000 38% 8 rs 120,000 10 Water 530-2 31 G96 1996 Portable Onan 20kw generator $50,000 70% 18yrs na 11 Water 530-2 30PUM7 1997 Gorman Ru 4" pump $50,000 100% 17yrs na 12 PW Streets 15506 1996 Blowknox paver $385,000 90% 18yrs na 13 PW Streets 15855 2005 Sterling Haul Truck $175,000 49% 9 rs 180,000 14 Fire 210-3 10309 1999 75' Quint $900,000 100% 15 rs 160,000 15 Fire 210-3 10409 2009 C4500 Ambulance $250,000 18% 5 rs 66,000 16 Fire 210-3 10402 2012 F-450 Ambulance $250,000 2% 2 rs 6mo 30,000 17 Fire 210-3 ADDITION Vehicle and Equipment for new Battalion Chief [ISL] $114,000 18 IT 101-2 ADDITION Vehicle for new Asst Lan/Wan Administrator [ISL] $38,000 19 Econ Devl ADDITION Vehicle for Economic Development $38,000 Total $2,843,000 Life CycleCost Analysis when Vehicle maintenance exceeds 51 % of the actual purchase price of vehicle or equipment The Time in Service Approximate Replacement Interval Chart does not determine vehicle replacement, it's used as a Evaluation Bench Mark Replacement is determined by Life Cycle Cost Analysis, Unit Integrity Evaluation, and Special Circumstances (safety, obsolescence, etc.) Total General Fund $645,000 Total Stormwater Drainage Fund $40,000 Total Economic Development Fund $38,000 Total Utility Fund $335,000 Total Proposed Debt Issue $1,785,000 GRAND TOTAL $2,843,000 INFORMATION TECHNOLOGY REPLACEMENTS / UPGRADES FY 2015 BUDGET CATEGORY DESCRIPTION AMOUNT COMMENTS LAN/WAN Canopy Radio Network improvements $50,750.00 Maintenance of the Canopy Radio network Citywide Infrastructure upgrades $150,000.00 Includes switch upgrades to 10 gps, additional WIFI access points and other various upgrades SERVER VIRTUALIZATION Host (Qty: 2) $24,000.00 Storage (Qty: 1) $52,000.00 VIRTUAL DESKTOPS Endpoints (Qty: 125) $37,500.00 Includes more host servers, View and windows Host (Qty: 3) $21,000.00 licenses and zero clients View Licenses (Qty: 200) $52,000.00 Windows virtual desktop licenses (Qty: 200) $31,000.00 Storage $48,750.00 SOFTWARE & EQUIPMENT Software Assurance for Office 2010 Enterprise Agree $45,000.00 Equipment replacement $45,000.00 GRAND TOTAL: $557,000.00 EXHIBIT FY 2014-15 PROPOSED OPERATING BUDGET CAPITAL / STREET MAINTENANCE PROGRAM FACILITIES MAINTENANCE PROJECTS FY 2014-15 FACILITIES MAINTENANCE PROJECTS: PROPOSED 174-74004-001 City Hall 215,000 174-74004-004 Municipal Service Center 50,000 174-74004-005 Library 100,000 174-74004-007 Fire Stations 43,000 174-74004-009 Park Facilities 30,000 174-74004-010 Police Community Outreach Center 10,000 174-74004-011 Police Substation 5,000 174-74004-012 Roof Program 57,000 174-74004-013 Emergency Fund 5,000 174-74004-016 Indoor Air Quality Testing 5,000 174-74004-018 Service Center Storage Area 10,000 174-74004-020 Electrical Maintenance & Repairs 5,000 174740004-024 Energy Efficiency Upgrades 15,000 TOTAL FACILITIES MAINTENANCE PROJECTS: $550,000 FY 2014-15 PROPOSED OPERATING BUDGET CAPITAL / STREET MAINTENANCE PROGRAM PARKS MAINTENANCE PROJECTS TOTAL PARKS MAINTENANCE PROJECTS $1,096,000 FY 2014-15 PARKS MAINTENANCE PROJECTS: PROPOSED 174-74015-051 Irrigation Systems 165,000 174-74015-052 Landscaping 155,000 174-74015-053 Electrical Replacement/Repair 10,000 174-74015-054 Court Resurfacing 30,000 174-74015-055 Atheltic Field Maintenance 30,000 174-74015-056 Trail Maintenance 2000 174-74015-057 Fence Replacement 80,000 174-74015-059 Water Drinking Fountains 30,000 174-74015-060 Park Signage Replacement 87,000 174-74015-061 Trash Receptacle Replacement 10,000 174-74015-062 SAC Equipment Replacement 15,000 174-74015-063 Park Maintenance Projects 30,000 174-74015-065 Playground Surfacing Replacement 15,000 174-74015-066 Small Park Amenities Replacement 20,000 174-74015-067 Playground Accessibility Improvements 18000 174-74015-068 Special Event Equipment Replacement 2,000 174-74015-069 CAC Equipment Replacement 65,000 174-74015-070 Aquatics Repairs and Replacements 20,000 174-74015-075 Holiday Decorations Upgrade & Replacen 20,000 174-74015-077 Park Facilty Upgrade/Improvements 50,000 174-74015-079 Oak Grove Ballfield Complex 42,000 174-74015-082 Botanical Gardens 20,000 TOTAL PARKS MAINTENANCE PROJECTS $1,096,000 FY 2014-15 PROPOSED OPERATING BUDGET CAPITAL / STREET MAINTENANCE PROGRAM STREET AND SIGNAL MAINTENANCE PROJECTS FY 2014-15 STREET & SIGNAL MAINTENANCE PROJECTS: PROPOSED 174-43301-090 Annual Street Maintenance & Overlay Program 1,255,000 174-43301-093 Traffic Signal, Signing & Striping Maintenance 303,000 TOTAL STREET & SIGNAL MAINTENANCE PROJECTS: $1,558,000