HomeMy WebLinkAboutWS Item 01 - FY2016 Proposed BudgetFY2016 City Manager's
Proposed Budget
Agenda
Goals
Budget Principles
Fund summaries & department highlights
Debt
8/21/2015
1
Guiding Principles
Responsiveness/Service delivery
QOL
PCMF
PSMF
Competitiveness
Compensation, benefits
IT, Fleet
Facility maintenance & infrastructure
Guiding Principles =MIN,t
Sustainability
Preservation of fund balance
> Use of cash to fund capital
y Effective tax rate
Innovation — savings, increase tax base
through economic development
r Protect Golf, Lake Parks from future financial
stresses
E
8/21/2015
F]
All Funds Summary'�=��
Expenditures
Total Operating Budget $168,881,086
Lake Parks
Stormwater 1,862,489_
Drainage 1 %
1,193,336 _
1%
Economic Golf Course
Development 2,946,532
3,492,872 Z 2%
2%
General
62,102,234_
37%
000
Utility Enterprise—�Allllllw
24,240,936
14%
'B Incentives
4,409,738
3%
CCPD
13,991, 737
8%
Debt Service
14,750,609
9%
CVB
46 Transit 19,169,205
20,721,398 11%
12%
s
All Funds Summary lkz
Expenditures ��
��:� ,
Total Operating Budget $168,881,086
80,000,000 - - - - -
62,102,234 - -
60,000,000 --- -
40,000,000 - -
20,000,000 --___ 1,193,336
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8/21/2015
3
All Funds Summary
All funds increase $11.31VI
4B Transit, CVB Incentives increase
$10.1 M, 6.4%
4B Fund Increase mostly due to anticipated
rail station construction beginning in FY16
$6,562,406
Use of additional 1 % HOT to encourage new
hotel development and attract new group
business
All other funds increase 0.9%
8/21/2015
0
All
Funds Summary
�3R A'j1,
Expenditures
- --h
c..
General Fund
59,983,842 62,102,234
3.5%
Utility Enterprise
23,616,280 24,240,936
2.6%
4B Transit
13,296,999 20,721,398
55.8%
CVB
18,484,011 19,169,205
3.7%
Debt Service
16,020,932 14,750,609
-7.9%
CCPD
13,816,290 13,991,737
1.3%
CVB Incentives
1,707,600 4,409,738
158.2%
Golf Course
3,360,547 2,946,532
-12.3%
Economic Development
3,063,830 3,492,872
14.0%
Lake Parks
2,135,051 1,862,489
-12.8%
Storm Water Drainage
1,839,147 1,193,336
-35.1%
Municipal Court Technology
55.825 0
TOTAL
157,380,354 168,881,086
All Funds Summary
All funds increase $11.31VI
4B Transit, CVB Incentives increase
$10.1 M, 6.4%
4B Fund Increase mostly due to anticipated
rail station construction beginning in FY16
$6,562,406
Use of additional 1 % HOT to encourage new
hotel development and attract new group
business
All other funds increase 0.9%
8/21/2015
0
17% General employees at maximum
63% Police at maximum
51 % Fire at maximum
New 3% step in FY16, FY17 for Police and Fire
`All employees must successfully pass the annual evaluation to receive Merit/Step increases
9
Compensation GUDIN
Expanded Step Plan
Example
4%--
3%
2%
1%
0% - — �- -
X �iLO'�19f� /�1911, Pf,
io
8/21/2015
6"
Compensation
�-
���
General
3% N/A 2%
5%
Police & Fire
N/A 5% 2%
7%
General
1% N/A 2%
3%
Police & Fire
N/A 3% 2%
5%
17% General employees at maximum
63% Police at maximum
51 % Fire at maximum
New 3% step in FY16, FY17 for Police and Fire
`All employees must successfully pass the annual evaluation to receive Merit/Step increases
9
Compensation GUDIN
Expanded Step Plan
Example
4%--
3%
2%
1%
0% - — �- -
X �iLO'�19f� /�1911, Pf,
io
8/21/2015
6"
General Fund AY
Revenue Highlights �•��
General Fund revenues remain strong
Reduced Ad Valorem Tax Rate from
.332439 per $100 of valuation to effective
rate of .328437
Sales Tax continues to beat expectations
and increases 7.0% from FY15
Current year sales are 4.4% over budget
> FY16 increase 2.6% over FY15 projections
0
8/21/2015
[.1
INS;
�C,R.0
General Fund
(Tab 1)
11
General Fund AY
Revenue Highlights �•��
General Fund revenues remain strong
Reduced Ad Valorem Tax Rate from
.332439 per $100 of valuation to effective
rate of .328437
Sales Tax continues to beat expectations
and increases 7.0% from FY15
Current year sales are 4.4% over budget
> FY16 increase 2.6% over FY15 projections
0
8/21/2015
[.1
General Fund�',1
FY16 Proposed Property Tax Rates
1.00000 --- - -
0.85500
0.80000 -- -
0.60000 - - - - -- ---- -
0.40000 0.32751
0.20000 --- -
G, C'oSo F4 A� 6e o �.o 20, o
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8/21/2015
7
General Fund
Revenue Highlights
s4• a
Ad Valorem
$8,458,046 $8,494,947 0.44% $8,526,389
0.37%
Sales Tax
26,611,200 27,785,847 4.41% 28,500,000
2.57%
Mixed Beverage
1,615,000 1,671,371 3.49% 1,695,892
1.47%
Franchise Fees
6,350,000 6,550,360 3.16% 6,679,719
1.97%
Licenses and Permits
1,231,626 1,333,506 8.27% 1,356,173
1.70%
Charges for Services
9,265,167 9,414,248 1.61% 9,780,653
3.89%
Intergovernmental
86,482 86,482 0.00% 86,482
0.00%
Fines and Forfeitures
2,202,393 2,064,442 -6.26% 2,066,696
0.11%
Transfers IN
3,408,836 3,408,836 0.00% 3,415,718
0.20%
Misc. Revenue
621,736 680,706 9.48% 714,500
4.96%
Total
$59,850,486$61,483,559 2.73%$62,822,222
2.13%
13
General Fund�',1
FY16 Proposed Property Tax Rates
1.00000 --- - -
0.85500
0.80000 -- -
0.60000 - - - - -- ---- -
0.40000 0.32751
0.20000 --- -
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8/21/2015
7
8/21/2015
General Fund=�'°
Sales Tax History ��'•'
35,000000
30,000,000 28,500,000
25,000000 -------- --- — ----
20,000,000
15, 000, 000
10,000,000 10 984,584
5,000,000 --- - --
A SP) A)
0& 00 00 07 01:1 00 OV 015, 00 01, 06 00 70 77 72 70 7Q 76.,70-
G 'o
a .o
15
General Fund
Revenues by Source p.1
Revenues
Intergovernmental Miscellaneous Licenses &
86,482 714,500 Permits
0% 1% 1,356,173
20/6
$62,8221222
Fines &
Forfeitures
2,066,696
3%
:ed Beverage
1,695,892
3%
Sales Taxes
-Transfers In
28,500,000
3,415,718
45%
5%
Franchise Fees
Services
6,679,719
9,780,653
11%
16%
Ad Valorem
8,526,389
14%
16
General Fund
Expenditures by Category p.1
Proposed Budget
Capital Outlay Maintenance
62,000 983,093
Personnel 0% 2%
29,075,349
47%
$62,102,234
Supplies
3,302,423
5%
Transfers Out
7,814,670
13%
Services
10,148,499
16%
Insurance
10,716,200
17% 17
General Fund x
Distribution by Department/Function
Mayor & Council $141,715 0.2%
Y'.
City Secretary $351,484 0.6%
Human Resources $704,012 1.1%
Development $1,361,327 2.2%
Xfer to Equipment $1,535,670 2.5%
Library $1,753,191 2.8%
Police (Admin, Animal Ctrl) $1,831,704 2.9%
Fiscal Services $2,495,147 4.0%
Xfer to QOL $3,000,000 4.8%
Xfer to PCMF & PSMF $3,279,000 5.3% 1
CMO, IT, Non -Dept) $3,945,838 6.4% '
Public Works $8,376,099 13.5%�
Parks $10,053,006 16.2%
�-
Insurance $11,051,649 17.8% N
Fire $12,222,392 19.7%
Total $62,102,234 100%
1
is
8/21/2015
E
t411-A2�i 1_�P.,.
General Fund:., , , ,
City Manager's Office p.4 ;� , ,'
IT - GIS Applications Programmer $37,656 1.00
> GIS mapping critical during flood, enhanced lake safety, over 11,000
internet hits
Convert one contract employee to permanent currently budgeted at
$35,950
> Total annual cost is $73,606
19
General Fund kJ�1Y�0i-.
City Manager's Office p.4��,'�
IT— Laserfiche Phase II $83,665 0.00
> Continuation of the Citywide Laserfiche system implementation to
provide a unified solution for management of documents and
records. Laserfiche provides a user friendly interface,
comprehensive security of documents, intelligent search capabilities,
integration with current third -party applications, business process
automation, and mobility/web tools to allow mobile access.
Other increases
IT Consulting Services $30,000
20
8/21/2015
10
...
. • ..
Budget
$3,911,659
$3,945,838
$34,179
0.87%
FTE
15.50
15.50
0.00
0.0%
Part -Time
4.50
4.50
0.00
0.0%
Total
20.00
20.00
0.00
0.0%
IT - GIS Applications Programmer $37,656 1.00
> GIS mapping critical during flood, enhanced lake safety, over 11,000
internet hits
Convert one contract employee to permanent currently budgeted at
$35,950
> Total annual cost is $73,606
19
General Fund kJ�1Y�0i-.
City Manager's Office p.4��,'�
IT— Laserfiche Phase II $83,665 0.00
> Continuation of the Citywide Laserfiche system implementation to
provide a unified solution for management of documents and
records. Laserfiche provides a user friendly interface,
comprehensive security of documents, intelligent search capabilities,
integration with current third -party applications, business process
automation, and mobility/web tools to allow mobile access.
Other increases
IT Consulting Services $30,000
20
8/21/2015
10
General Fund`;`'','' r
City Secretary's Office p.16;'' l
.y
-
Budget
•...
$373,312
General Fund=,
�1=
Mayor and Council p.14J
FTE
Budget $142,282 $141,715 ($567)
-0.40%
Mayor & 7.00 7.00 0.00
0.00%
Council
0.00
Part -Time 0.00 0.00 0.00
0.00%
Total staff 7.00 7.00 7.00
0.00%
Travel decreases $1,000 due to non
-legislative
session year
0.00%
21
General Fund`;`'','' r
City Secretary's Office p.16;'' l
.y
-
Budget
•...
$373,312
. • .. 11111112T
$351,484
M,
($21,828)
-5.85%
FTE
4.00
4.00
0.00
0.00%
Part -Time
0.00
0.00
0.00
0.00%
Total staff
4.00
4.00
4.00
0.00%
City Council Conference Room Audio & $18,577 0.00
Visual Broadcast System
> Audio & Visual broadcasting will allow for public meetings/workshops
to be held in the City Council Conference room. Project cost
includes cameras, microphones, and setup.
M
8/21/2015
11
General Fund
City Secretary's Office p �16
Personnel Services decrease $16,859 due
to recent retirements
Supplies decrease $3,481 based on
anticipated need and historical trends
Professional services decrease $1,488
based on anticipated need and historical
trends
8/21/2015
12
General Fund'='1.s
Human Resources p.1911,
'
Budget $671,240 $704,012 $32,772
4.88%
FTE 5.00 5.00 0.00
0.00%
Part -Time 0.57 0.57 0.00
0.00%
Total staff 5.57 5.57 0.00
0.00%
Upgrade Part -Time to HR Analyst II $72,480
.525
Analyst II will focus on issues regarding classification and
compensation, reorganization and reclassification requests,
and HR
policy creation
Y Total annual cost is $87,208; previously budgeted part-time costs
reduce by $17,278
*FY15 Adopt included in Fiscal Services Department
24
8/21/2015
12
General Fund
GE
Human Resources p.19
c4,.
-3.40%
FTE
25.00
Services increase $15,508 for background
1.00
checks, IT Services, and tuition
Part -Time
reimbursement
0.085
Personnel costs increase $13,258 due to
compensation
Office supplies, copy services increase
$4,456
PH
General Fund ,7xarll-rY
}
Fiscal Services p.23
Budget
INZI-IFT.
$14,024,166
$13,546,796
(477,370)
-3.40%
FTE
25.00
26.00
1.00
4.00%
Part -Time
1.085
0.085
(1.00)
-92.17%
Total staff
26.085
26.085
0.00
0.00%
Decrease of $671,240 due to HR
becoming separate department
8/21/2015
13
General Fund`�"'��'��
Fiscal Services p.23 L"'• t
> Services cost increase $19,135 primarily
for time keeping software
Supplies costs increase of $1,100 for
Court computer
> Security fee - $3 per citation (new)
$45,000 total impact
> Without this, the General Fund will have to
absorb Bailiff costs in FY17
General Fund'x�
Fiscal Services p.23 `•��;
Insurance is $11,051,649 of the General
Fund, 17.8%
Health insurance increases $326,750
> 3.6% City increase v. 8% national trend
> Workers' Compensation decreases $96,000
> Result of lower modifier based on actual claims
Property & Casualty costs decrease $65,400
8/21/2015
14
General Fund .Th!tp,'I
Police p.36
Community Outreach Coordinator $27,796 1.0
> New programs and expansion of existing programs have elevated
use of COC
Coordinator will manage growing programs and partnerships
Total annual cost is $82,796; contractual costs reduce by $55,000
Budget increase primarily attributed to
compensation $42,357
General Fund .ialp:l.
� Y
Fire p.43 '^
.•..
Budget $11,919,443 $12,222,392 302,949 2.54%
FTE 104.00 104.00 0.00 0.00%
Part -Time 1.17 1.17 0.00 0.00%
Total staff 105.17 105.17 0.00 0.00%
IT Technical Support Specialist $66,974 1.0
Support Specialist will support systems unique to Fire Department
such as CAD, AVL, Knox Box Med Vault, Life -Pak 15s, Protected
Healthcare Information (PHI) security, and patient data transmission
to hospitals.
u
8/21/2015
15
Budget
$1,785,522
$1,831,704
46,182
2.59%
FTE
15.00
15.00
0.00
0.00%
Part -Time
0.09
0.09
0.00
0.00%
Total staff
15.09
15.09
0.00
0.00%
Community Outreach Coordinator $27,796 1.0
> New programs and expansion of existing programs have elevated
use of COC
Coordinator will manage growing programs and partnerships
Total annual cost is $82,796; contractual costs reduce by $55,000
Budget increase primarily attributed to
compensation $42,357
General Fund .ialp:l.
� Y
Fire p.43 '^
.•..
Budget $11,919,443 $12,222,392 302,949 2.54%
FTE 104.00 104.00 0.00 0.00%
Part -Time 1.17 1.17 0.00 0.00%
Total staff 105.17 105.17 0.00 0.00%
IT Technical Support Specialist $66,974 1.0
Support Specialist will support systems unique to Fire Department
such as CAD, AVL, Knox Box Med Vault, Life -Pak 15s, Protected
Healthcare Information (PHI) security, and patient data transmission
to hospitals.
u
8/21/2015
15
General Fund
♦�lM
Fire p.43 "' ;`
Budget increase primarily due to
compensation $336,933
Increase of $19,586 for fire recruits' tuition
costs for paramedic school
Supplies decrease $9,110 related to
decrease in Computer Equipment &
Supplies
Maintenance increase of $4,540 for AED
services
8/21/2015
16
General Fund
E'
��
Y
Parks and Recreation p.57ff
I_ k. '• A 1 S. ti'
MIT ... . - .. SENT M.
Budget $8,742,976 $10,053,006 1,310,030
14.98%
FTE 46.50 46.50 0.00
0.00%
Part -Time 50.39 50.39 0.00
0.00%
Total staff 96.89 96.89 0.00
0.00%
PARD Concession Stand Recreation $56,644
1.0
Specialist
> Recreation Specialist will manage all concession stand operations,
reserve complex for corporate events/meetings, and help other
divisions with all Food & Beverage orders
Projected revenue increase of $80,000
32
8/21/2015
16
General Fund
<< t:
Parks and Recreation p.57°'�•" `r
U
Increase primarily related to The REC full -
year funding
L $30 million capital investment
> Memberships beyond expectation
> Achieved goal within 4 months of operation
Currently 13,500
General Fund `7''jh
Parks and Recreation p.57 �''�' '
Revenues $636,774 $491,465 $605,500 $2,000,000
Expenditures 1,242,609 1,450,708 2,215,684 2,913,210
Surplus/(Gap) ($605,835) ($959,243)($1,610,184) ($913,210)
% Offset by Revenue 51% 34% 27% 69%
The REC: Revenue to Expenditures
$3,500,000- ----
$3,000,000 ---- — 80%
$2,500,000 --- --- ------ 60%
$2,000,000 ---
$1,500,000 --- - 40%
$1,000,000 - -- - 20%
$500,000
$0 0%
FY13 FY14 FY15 Bud FY16 Prop
Revenues Expenditures —% Offset by Revenue
34
8/21/2015
17
General Fundpx=p,�.
Library p.82 ,\
.-..
Budget $1,746,269 $1,753,191 6,922 0.40%
FTE 11.00 11.00 0.00 0.00%
Part -Time 13.92 13.92 0.00 0.00%
Total staff 24.92 24.92 0.00 0.00%
Personnel costs decrease $5,754 in due to
changes in staff scheduling of Part-time
employees
36
8/21/2015
HE:
General Fund
Parks and Recreation p.57
i,�p ;
Department -wide Revenue to Expenditure
O_/
$12,000,000
-- --
- -- - --
35.00%
$10,000,000
- - -- - -
-
30.00%
$8,000,000
25.00%
_
20.00%
$6,000,000
_ ____— _ ___-_-
15.00
$4,000,000
—
10.00%
$2,000,000
5.00%
$0
0.00%
FY12 FY13 FY14 FY15 Bud FY16 Prop
=Revenues c Expenditures —% Offset by Revenue
35
General Fundpx=p,�.
Library p.82 ,\
.-..
Budget $1,746,269 $1,753,191 6,922 0.40%
FTE 11.00 11.00 0.00 0.00%
Part -Time 13.92 13.92 0.00 0.00%
Total staff 24.92 24.92 0.00 0.00%
Personnel costs decrease $5,754 in due to
changes in staff scheduling of Part-time
employees
36
8/21/2015
HE:
Other increases in Facilities for janitorial,
maintenance, and utilities $375,124
Compensation increases $162,500
M
General Fund
Development Services p.108
.•..
Budget $1,318,265 $1,361,327 43,062 3.27%
FTE 15.00 15.00 0.00 0.00%
Part -Time 0.00 0.00 0.00 0.00%
Total staff 15.00 15.00 0.00 0.00%
Personnel costs increase $50,062
primarily due compensation
Fuel costs decrease $7,000
38
8/21/2015
19
General Fund
'GE
Public Works p.86
��'•�
Budget
$7,838,948 $8,376,099 537,151
6.85%
FTE
61.00 61.00 0.00
0.00%
Part -Time
4.82 4.82 0.00
0.00%
Total staff
65.82 65.82 0.00
0.00%
Other increases in Facilities for janitorial,
maintenance, and utilities $375,124
Compensation increases $162,500
M
General Fund
Development Services p.108
.•..
Budget $1,318,265 $1,361,327 43,062 3.27%
FTE 15.00 15.00 0.00 0.00%
Part -Time 0.00 0.00 0.00 0.00%
Total staff 15.00 15.00 0.00 0.00%
Personnel costs increase $50,062
primarily due compensation
Fuel costs decrease $7,000
38
8/21/2015
19
General Debt Service Fund:.r ,
(I&S) p.115
Healthy Reserve provides
AS reserves can only be used to pay for
debt service
Provides opportunity to strengthen Golf,
Lake Parks WHILE protecting General
Fund and Quality of Life from future events
> Detailed plan outlined in Golf, Lake Parks
funds
General Debt Service Fund
(I&S) p.115
y Reserve can only be used to pay Principle and Interest
Golf balance $1,764,650
Lake Parks balance $3,872,681
M
8/21/2015
20
General Fund; r .
PCMF/PSMF p.117
Budget $3,279,000 $3,279,000 $0 0.00%
Total staff 0.00 0.00 0.00 0.00%
$1,595,000 Capital Maintenance Fund
500,000 General Facilities Maintenance
> 1,095,000 Parks Facilities Maintenance
$1,684,000 Street Maintenance Fund
1,255,000 Annual Maintenance & Overlay
y 429,000 Signals, Striping & Signage
41
Special Revenue
Funds
(Tab 2)
0
42
8/21/2015
21
Convention
& Visitors
Convention & Visitors
hMPEo INE
FY16 Revenue
$19,491,048
Bureau Fund p.1'�
c,
;j�/
Visitor Shuttle Misc.
372,500 Sales & Merch
153,000 359,892
Revenues
$18,496,915 $19,491,048 $994,133
5.37%
Expenditures
18,484,011 19,169,205 685,194
3.71%
Surplus/(Gap)
$12,904 $321,843
4%
FTE
64.00 64.00 0.00
0.00%
Part -Time
17.87 17.87 0.00
0.00%
Total staff
81.87 81.87 0.00
0.00%
3,300,000
Ago
43
Convention
& Visitors
Bureau Fund
p.1 �•'
FY16 Revenue
$19,491,048
Transfers In
Visitor Shuttle Misc.
372,500 Sales & Merch
153,000 359,892
2% 542,026
1% 2%
3%
Facility Rental
829,000
4%
HOT
Train Ops
12,242,880
1,691,750
63%
8%
Festivals
3,300,000
Ago
17%
44
8/21/2015
22
Convention & Visitors
Bureau Fund p.1 L'�•�'
Vintage Railroad increases $275,750 for
North Pole Express and Day Out with
Thomas
Personnel costs increase $206,833 for
compensation
Website redesign $100,200
45
Convention & Visitors kzTa, �-
Bureau Incentives Fund p.25 �
.-..fit
Revenues $4,200,000 $4,409,738 $209,738 4.99%
Expenditures 1,707,600 4,409,738 2,702,138 158.24%
Surplus/(Gap) $2,492,400 $0
Total staff 0.00 0.00 0.00 0.00%
Use of the additional 1 % HOT to
encourage new hotel room development
and attract new group business as part of
Economic Development efforts
46
8/21/2015
23
Storm Water Utility Fund p.28'1 :; ,
..
Revenues $1,390,624 $1,401,438 $10,814 0.78%
Expenditures 1,839,147 1,193,336 (645,811) -35.11%
Surplus/(Gap) ($448,523) $208,102
FTE 8.00 8.00 0.00 0.00%
Part -Time 0.00 0.00 0.00 0.00%
Total staff 8.00 8.00 0.00 0.00%
47
Storm Water Utility Fund p.28"I,1:1 1
Fully retired debt reduced the transfer to
debt service by $318,735
Drainage System Improvements decrease
$180,000 (projects completed in FY15)
Capital Outlay for Machinery & Equipment
decrease of $70,500 due to lower need
Fuel costs decrease $15,000
Services costs decrease $10,502
48
8/21/2015
24
Subsidy
General Fund subsidy since FY09
r FY15 subsidy was $700,000
FY16 —no subsidy
49
CCPD Fund p.33 rr�,:;.
Services costs decrease $151,165
Personnel costs increase $140,660
primarily for compensation
Supplies increase of $88,952 for
apparatus & tools
Maintenance costs reduction of $28,000
for Radio Infrastructure maintenance.
8/21/2015
25
CCPD Fund
p.33
eft"AP,T
Revenues
$13,816,290
$14,415,000
$598,710
4.33%
Expenditures
13,941,290
13,991,737
50,447
0.36%
Surplus/(Gap)
($125,000)
$423,263
FTE
121.00
121.00
0.00
0.00%
Part -Time
2.34
2.34
0.00
0.00%
Total staff
123.34
123.34
0.00
0.00%
Subsidy
General Fund subsidy since FY09
r FY15 subsidy was $700,000
FY16 —no subsidy
49
CCPD Fund p.33 rr�,:;.
Services costs decrease $151,165
Personnel costs increase $140,660
primarily for compensation
Supplies increase of $88,952 for
apparatus & tools
Maintenance costs reduction of $28,000
for Radio Infrastructure maintenance.
8/21/2015
25
Lake Parks Fund p.45 s
Revenues
..:
Lake Parks Fund p.45:,
Protect General Fund, Quality of Life from-
future
romfuture events
1. Establish Fund Balance Reserve
2. Eliminate annual debt transfer ($145,942) by
leveraging I&S reserves
3. Cash finance future improvements through
line -item transfer (beginning in FY17)
w
4B Transit Fund p.50
Revenues
...
$13,332,644
. - ..
$14,256,000 $923,356
6.93%
Expenditures
13,296,999
20,721,398 7,424,399
55.84%
Surplus/(Gap)
$35,645
($6,465,398)
Total staff
0.00
0.00 0.00
0.00%
Train Station (TexRail) reservation
appropriation $6,465,398 in anticipation of
station construction beginning in 2016
M
8/21/2015
27
Economic Development ,4 _" ,
Fund p.54 ;�';�
�``
Revenues
.,
$3,346,411
.-..
$3,504,872
$158,461
4.74%
Expenditures
3,063,830
3,492,872
429,042
14.00%
Surplus/(Gap)
$282,581
$12,000
FTE
3.50
3.50
0.00
0.00%
Part -Time
0.00
0.00
0.00
0.00%
Total staff
3.50
3.50
0.00
0.00%
Economic Development
Fund p.54
Funding Sources
y Transfers in from 4B Fund
Significant changes
Gen Fund Admin fee of $261,651 (previously
paid from 4B Fund)
56
8/21/2015
Enterprise Funds
(Tab 3)
M
Utility Fund p.1MUM
• ..
Revenues $24,531,410 $24,939,685 $408,275 1.66%
Expenditures 23,616,280 24,240,936 624,656 2.65%
Surplus/(Gap) $915,130 $698,749
FTE 51.00 51.00 0.00 0.00%
Part -Time 0.28 0.28 0.00 0.00%
Total staff 51.28 51.28 0.00 0.00%
ss
8/21/2015
29
Utility Fund p.1 Ar
Debt Service payments increase $637,46
Professional services decrease $119,214
Personnel costs increase $67,021 for
compensation
Fuel costs decrease $23,225
Capital Outlay for vehicles increase
$20,750
Maintenance costs increase $5,610
59
m
8/21/2015
We
Golf Fund
p.26
cnm��
• • •
®®
Revenues
$3,304,955
$3,177,655
($127,300)
-3.85%
Expenditures
3,360,547
2,946,532
(414,015)
-12.32%
Surplus/(Gap)
($55,592)
$231,123
FTE
20.00
19.00
-1.00
-5.00%
Part -Time
6.14
6.14
0.00
0.00%
Total staff
26.14
25.14
-1.00
-3.83%
m
8/21/2015
We
Golf Fund p.26
Significant Changes
> Revenues reduced to align with past
performance
> Reduction of debt transfer $435,150
> Elimination of one vacant Greens
Superintendent $54,522
61
Golf Fund p.26 k
Sustainability Strategy
Protect General Fund, Quality of Life from
future events
1. Establish Fund Balance Reserve
2. Eliminate annual debt transfer ($435,150) by
leveraging I&S reserves
3. Cash finance future improvements by
committing rate increases (not yet included
in FY16 figures)
62
8/21/2015
31
Golf Fund p.26
Golf Summary
Increases are need to accomplish fund
balance reserve strategy
The last rate increase was in 2003
Rate increases consistent with market
63
8/21/2015
32
Golf Fund p.26
kEVIN
Rates
WeekdayNormal
.-
Current
$39.00
$45.00
Proposed
43.20
50.00
$ Change
$4.20
$5.00
Normal Weekend
w/18cart
Non -Resident
Current
$43.00
$50.00
Proposed
50.40
59.00
$ Change
$7.40
$9.00
64
8/21/2015
32
.P�.
Golf Fund p.26;x
Non-Resident Normal Weekday w/18cart
Proposed Rates
$200.00 -- -
$180.00 - -- -
$160.00 -- - - - -
$140.00 ----- —
$120.00 — -- - - -- -
$100.00 -- --- - -
$80.00 - - ----
$60.00 _$50.00 $49.00 -
$40.00 -f -
$20.00
G G G e G G G e G G r G e e G G G 1 0 0 0 r G O
o�G°a.G�
G�OGo°S�a�Goo Gae Gr oacO oOQ-O°aG °eC� `�-aeC�eaeC� KG s �a�ay o G�Ja�FGaeG
e e e d e �a , e r a e
oar eQac Q'aoe e� Jai G Q` ,ae�yGtGr , GG a'°o cy ca J,o 4 G `o Q o
G 'Cra a�,G�q°+O°ay\a�GG Gee°e�a°.�e�G,ca���a �acq 01\y\a °G�om y\°yo�e �a Oy wee JY�e
r
65
VIN
Golf Fund p.26 k , N
Non -Resident Normal Weekend w/18cart','";
Proposed Rates
$200.00
$180.00
$160.00 --- --
$140.00 -
$120.00 - - - —
$100.00 - - -
$80.00 - --- -
$60.00 ti
$59.00
$40.00 — —
$20.00
cp
GcaO°��o`�-�Ogaao+Gary SaRQG�o yawa�y°aaoa�a°e��aGemsac°eJ��GGfrGoy 00 d
GcaaG'GJ\�o°GHGceGG JH` G
a°%°rGa
r
C; e5 a A�rOp;o G°h�°°p°odC9e
G°oaG ao aQ� 60
°aaA
G
y�9 a� as QaN' O.\yo aa� aa� eac � O
O`or � G yoo ��a ear ooh 0
66
8/21/2015
33
8/21/2015
34
Golf Fund 26Gp»�E
Rates
•.N,
WeekdaySenior
Weekend w/cart
Current
$27.80
$31.00
Twilight
•. .
• •
Current
$30.20
$34.00
Proposed
32.80
37.00
$ Change
Twilight Weekend
$2.60
w/18cart
$3.00
Non -Resident
Current
$31.80
$36.00
Proposed
36.00
41.00
$ Change
$4.20
$5.00
67
8/21/2015
34
Golf Fund p.26
Rates
•.N,
WeekdaySenior
Weekend w/cart
Current
$27.80
$31.00
Proposed
31.20
35.00
$ Change
Weekdayjunior
$3.40
.-
$4.00
Weekend
Current
1
$12.80
$16.00
Proposed
15.20
19.00
$ Change
$2.40
$3.00
68
8/21/2015
34
Community Organizations
Organization
Golf Fund p.26
ar,.,�
$9,238
Rates
15,000
Cart Fee for 18
35,000
Non -Resident
Current
$15.00
$15.00
Proposed
16.00
16.00
$ Change
,Cart Fee .Non
$1.00
$1.00
-Resident
Current
$8.00
$8.00
Proposed
9.00
9.00
$ Change
$1.00
$1.00
69
Community Organizations
Organization
Alliance for Children
$9,238
Grace
15,000
Grapevine Chamber of Commerce
35,000
Chamber Business Retention and Expansion
Program
12,000
Metroport Meals on Wheels
12,000
One Safe Place
10,000
Rotary Flags Program
7,500
CVB Funded Organizations
35,000
Total
$135,738
70
8/21/2015
35
Certificates of Obligation
2000 Freightliner FL70 Pothole truck
1999 Freightliner FL70 Flatbed dump
2000 Sterling L7501 single axle 6/8 yd dump truck
2000 Freightliner FL70 single axle 6/8 yd dump
truck
2008 Pumper Fire Truck
Self-contained Leaf Collector Vehicle
IT Equipment/Storage/Structure
Total
Quality of Life
$160,000
115,000
120,000
120,000
688,293
175,000
2,502,496
$3,880,789
Remaining QOL Fund Balance $7,872,212
71
;A
8/21/2015
36
1
Trails
$65,000
2
Polic and Fire Protective Equipment
130,536
3
Street Improvements
TBD
4
Police and Fire Technology
164,356
5
Sidewalk Additions and Improvements
200,000
6
Animal Shelter Improvements
33,000
7
Christmas Decorations
50000
8
Dog Park
430,000
9
Wildlife Viewing Areas
TBD
10
WiFi in Public Spaces
40,000
Total
$1,212,892
Remaining QOL Fund Balance $7,872,212
71
;A
8/21/2015
36
GE akREV I �E
FY2016 City Manager's
Proposed Budget
8/21/2015
37