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HomeMy WebLinkAboutItem 01 - FY2014 Operating BudgetMEMO TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL FROM: BRUNO RUMBELOW, CITY MANAGER MEETING DATE: Y110.11 SEPTEMBER 10, 2013 FY 2014 OPERATING BUDGET ADOPTION Staff recommends Council consider an ordinance adopting the FY 2013 -2014 City of Grapevine Annual Budget. The budget includes the programs discussed at the City Council workshop held on August 19, 2013; the public hearing on September 3, 2013; and contains fund expenditures in the following amounts: General Fund Municipal Court Technology Fund Convention & Visitors Bureau Fund Stormwater Drainage Fund Crime Control & Prevention District Fund Lake Parks Special Revenue Fund 4B Economic Development Fund Debt Service Fund Utility Enterprise Fund Lake Enterprise (Golf) Fund General Permanent Capital Maintenance Fund Permanent Street Maintenance Fund Community Quality of Life Capital Project Fund Streets, Drainage & Traffic Capital Projects Buildings & Facilities Capital Projects Water & Wastewater Capital Projects Capital Equipment Acquisitions $58,339,600 35,857 19,754,407 2,362,410 13, 730, 075 2,109,711 9,204,163 14,428,596 22,389,885 3,389,586 1,251, 000 1,558,000 2,854,057 5,252,113 16, 939, 871 9,757,225 1,886,000 The FY 2013 -2014 budget, as proposed, is presented for your consideration. The budget presented requires a tax rate of $0.3425. The required public hearing to solicit input was held on September 3, 2013 as required by the City Charter. September 4, 2013 (1:06PM) CITY OF GRAPEVINE, TEXAS FY 2013 -14 PROPOSED OPERATING BUDGET SUMMARY OF ALL FUNDS - Budget At -A-Glance - 2010 -11 2011 -12 2012 -13 2012 -13 2013 -14 EXPENDITURES BY FUND: Actual Actual Budget Estimate Proposed General 52,891,216 52,955,391 56,639,937 56,218,449 58,339,600 Municipal Court Technology 619 82,217 39,910 40,160 35,857 Convention & Visitors Bureau 16,906,724 18,118,924 20,620,973 18,984,871 19,754,407 Stormwater Drainage 1,016,752 1,581,928 2,863,088 2,541,943 2,362,410 Crime Control & Prevention 11,878,360 12,534,979 13,223,004 13,404,445 13,730,075 Lake Parks 1,919,569 1,765,262 1,753,462 1,788,445 2,109,711 4B Transit & Economic Development 8,211,548 8,408,691 8,327,728 8,875,245 9,204,163 Community Quality of Life 192,408 1,720,976 5,756,750 6,095,577 2,854,057 Debt Service 12,117,919 10,465,668 10,733,150 18,215,769 14,428,596 Capital / Street Maintenance 1,323,210 2,084,574 2,809,000 2,391,100 2,809,000 Utility Enterprise 20,847,037 19,455,155 22,640,111 22,815,814 22,389,885 Lake Enterprise (Golf) 3,308,608 3,599,758 3,446,099 3,289,892 3,389,586 Streets, Drainage & Traffic Capital Projects 1,795,222 381,703 3,414,445 1,028,913 5,252,113 Buildings & Facilities Capital Projects 7,097,688 1,363,879 668,817 1,967,232 16,939,871 Water & Wastewater Capital Projects 1,887,701 1,076,725 3,855,000 2,570,235 9,757,225 Capital Equipment Acquisition 1,906,750 3,145,379 5,191,190 5,191,190 1,886,000 TOTAL 143,301,330 138,741,209 161,982,664 165,419,280 185,242,556 2010 -11 2011 -12 2012 -13 2012 -13 2013 -14 PERSONNEL BY FUND: Actual Actual Budget Estimate Proposed (I> General 346.85 346.58 346.12 349.24 352.13 Special Revenue 0.60 0.60 0.60 0.60 0.60 (2> Convention & Visitors Bureau 75.09 75.09 76.86 76.86 80.36 Stormwater Drainage 8.00 8.00 8.00 8.00 8.00 Crime Control & Prevention 120.43 120.43 122.43 122.43 122.43 Lake Parks 1.69 1.69 2.69 2.69 2.69 Utility Enterprise 51.04 51.04 51.04 51.04 52.04 Lake Enterprise (Golf) 26.14 26.14 26.14 26.14 26.14 TOTAL 629.84 629.57 633.88 637.00 644.39 (11 In fiill -time equivalents (2) Funding for Municipal Court Bailiff (24 hours per week) is provided by Municipal Court Security Fee Revenues, which were collected prior to 2011, but are not a current revenue stream. ORDINANCE NO. AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF GRAPEVINE, TEXAS ADOPTING THE BUDGET FOR THE CITY OF GRAPEVINE, TEXAS FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2013 AND ENDING SEPTEMBER 30, 2014; PROVIDING FOR INTRA- AND INTERDEPARTMENTAL FUND TRANSFERS; PROVIDING FOR INVESTMENT OF CERTAIN FUNDS; DECLARING AN EMERGENCY; AND PROVIDING AN EFFECTIVE DATE WHEREAS, a notice of public hearing on the budget for the City of Grapevine, Texas for the Fiscal Year 2013 -2014 (FY 2014) was heretofore published in accordance with law; and WHEREAS, a public hearing was duly held and all interested persons were given an opportunity to be heard for or against any item therein. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF GRAPEVINE, TEXAS: Section 1. That the appropriation amounts for the FY2013 -2014 budget for the different funds of the City of Grapevine are hereby fixed as follows: General Fund $58,339,600 Municipal Court Technology Fund 35,857 Convention & Visitors Bureau Fund 19,754,407 Stormwater Drainage Fund 2,362,410 Crime Control & Prevention District Fund 13,730,075 Lake Parks Special Revenue Fund 2,109,711 4B Economic Development Fund 9,204,163 Debt Service Fund 14,428,596 Utility Enterprise Fund 22,389,885 Lake Enterprise (Golf) Fund 3,389,586 General Permanent Capital Maintenance Fund 1,251,000 Permanent Street Maintenance Fund 1,558,000 Community Quality of Life Capital Project Fund 2,854,057 Streets, Drainage & Traffic Capital Projects 5,252,113 Buildings & Facilities Capital Projects 16,939,871 Water & Wastewater Capital Projects 9,757,225 Capital Equipment Acquisitions 1,886,000 Section 2. That the City Council hereby adopts the revised budget for the fiscal year ending September 30, 2013 and the proposed Annual Operating Budget for the fiscal year ending September 30, 2014 and appropriates the funds contained therein. Section 3. That a copy of the official adopted FY2013 -2014 budget document shall be kept on file in the office of the City Secretary and the City of Grapevine website. Section 4. That the City Manager be and is hereby authorized to make intea and inter - departmental fund transfers during the fiscal year as becomes necessary in order to avoid over - expenditure of a particular object code. Section 5. That the City Manager is authorized to approve expenditures up to $15,000. Any expenditure over the $15,000 limit requires the approval of the City Council. Each expenditure authorized by the City Manager in Account 100 - 44701 -120 -1 in FY2013 and FY2014 is approved. Section 6. That the City Manager is authorized to reclassify personnel positions within city service as warranted. Section 7. That the City Manager, and /or Assistant City Manager and /or Director of Administrative Services and /or designated investment officer are authorized to invest any funds not needed for current use, whether operating funds or bond funds in Official City Depositories, in any investment instrument authorized by the City's Investment Policy and Investment Strategy and allowed by the Texas Public Funds Investment Act. Section 8. That the reserve requirement for the Lake Enterprise Fund is suspended for FY2013 and FY2014. Section 9. That the fact that the fiscal year begins on October 1, 2013 requires that this ordinance be effective upon its passage and adopted to preserve the public peace, property, health and safety and shall be in full force and effect from and after its passage and adoption, and an emergency is hereby declared. PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF GRAPEVINE, TEXAS on this the 10th day of September, 2013. SK0 s ORD. NO. 2 ATTEST: ya= � • 00 •