HomeMy WebLinkAboutItem 09 - FY 2000-2001 BudgetMEMO TO:
FROM:
MEETING DATE:
SUBJECT:
RECOMMENDATION:
ITIM 0 q
HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL
ROGER NELSON, CITY MANAGER,�W
SEPTEMBER 5, 2000
PUBLIC HEARING ON THE FY 2000-2001 BUDGET
The City Council to conduct a public hearing on the proposed FY2000-2001 Annual
Budget. The budget, as amended to include the increased service levels from the City
Council workshop held on July 24, 2000 contains fund expenditures in the following
amounts:
General Fund
Utility Fund
Debt Service Fund
Convention & Visitors Bureau Fund
Lake Enterprise Fund
Insurance Fund
Fleet Services Fund
Lease Fund
General Government Capital Project Fund
Permanent Street Maintenance Fund
Permanent Capital Maintenance Fund — General
Utility & Lake Enterprise Capital Projects Fund
Utility Permanent Capital Maintenance Fund
Stormwater Drainage Utility Fund
Technology Fund
BACKGROUND:
$34,715,224
14,838,299
7,903,892
4,615,171
2,631,485
2,942,630
981,067
4,266,326
24,089,381
996,600
411,075
9,072,230
500,000
1,661,040
1,139,715
In compliance with the "truth -in -taxation" laws the City of Grapevine published its "effective"
and "rollback" tax rates in the Fort Worth Star Telegram on August 5, 2000.
Pursuant to the Charter of the City of Grapevine, Texas, Section 907, a public hearing on
the annual budget shall be held to allow all interested persons to be heard for or against
any item or the amount of any item therein contained. The public hearing shall commence
on September 5, 2000 and final action on the budget shall be taken at a special meeting
on September 12, 2000. The City Council must adopt the annual budget no later than
fifteen days prior to the beginning of the fiscal year.
WAG/cjc
H:AGMBGT20009-5
August 29, 2000 (1:28PM)
FY 2000-01 PROPOSED OPERATING BUDGET
GENERAL FUND
EXECUTIVE SUMMARY
Revenues 1997-98 1998-99 1999-2000 2000-01 Percent
Actual Actual Budget Proposed Change
Ad Valorem Taxes
9,117,023
8,058,029
8,183,540
8,275,333
1.12%
Sales & Use Taxes
10,984,584
13,520,752
14,550,000
15,600,000
7.22%
Franchise Taxes
3,234,525
3,581,621
3,937,500
3,964,385
0.68%
Licenses & Permits
1,166,539
1,086,064
1,115,117
1,358,944
21.87%
Charges for Services
1,249,044
1,322,289
1,148,934
1,279,526
11.37%
Intergovernmental Revenue
216,171
190,189
118,005
148,039
25.45%
Fines and Forfeitures
1,604,437
1,855,570
1,722,844
2,119,200
23.01%
Miscellaneous Revenue
2,214,567
2,223,011
2,148,721
2,428,901
13.04%
Total 29,786,890
31,837,525
32,924,661
35,174,328
6.83%
Expenditures 1997-98
1998-99
1999-2000
2000-01
Percent
Actual
Actual
Budget
Proposed
Change
Personnel
17,144,421
18,936,716
21,031,167
23,167,060
10.16%
Supplies
1,422,934
1,602,790
1,885,783
1,954,293
3.63%
Maintenance
1,299,333
1,306,118
1,513,315
1,457,194
-3.71%
Services
4,722,740
5,910,635
6,433,314
7,125,643
10.76%
Contingency Reserve
0
100,000
100,000
100,000
0.00%
Operating Transfers Out
3,243,466
314,000
170,000
60,000
-64.71%
Permanent Capital Maintenance
614,309
616,845
324,737
220,045
-32.24%
Permanent Street Maintenance
682,171
869,500
825,000
389,489
-52.79%
Capital Outlay
572,573
690,930
242,294
241,500
-0.33%
Total 29,701,947 30,347,534 32,525,610 34,715,224 6.73%
Contribution to Fund Balance (Revenues over Expenditures) 459,104
FY 2000-01 PROPOSED OPERATING BUDGET
GENERAL FUND
EXECUTIVE SUMMARY
NEW PROGRAMS AND SERVICESPROPOSED FOR FY 2000-01
(Included in line item totals listed above)
Projected
Increased Service Level Requests Fund Impact
Intranet Development
15,000
Hometown Coalition
35,000
Senior Officer Program
28,507
Truck Company Staffing
374,512
Additional Library Personnel
153,179
Intelligent Library Security System
80,000
Household Hazardous Waste Collection
33,000
Certification Pay
6,240
Total Increased Service Level Requests 725,438
Transfers to Capital Improvement Projects
Northwest Highway Landscaping 30,000
Park Sidewalk Construction 30,000
Total Transfers to Capital Improvement Projects 60,000
TOTAL PROGRAMS •
ADDITIONAL PROGRAMS FUNDED FROM FY -2000 FUND BALANCE
Main Street Crown Removal Project 400,000
Main Street Parking Structure Project 350,000
Permanent Street Maintenance Program 250,000
Heritage Park Botanical Garden Project 134,200
Park and Recreation Projects 142,245
Total Additional Programs 1,276,445
FY 2000-01 PROPOSED OPERATING BUDGET
GENERAL FUND
EXECUTIVE SUMMARY
1997-98 1998-99
1999-2000
2000-01
Fund Balance Summary
Actual Actual
Budget
Proposed
Beginning Fund Balance
5,316,403 5,401,346
6,891,337
5,613,943
Contribution to Fund Balance
84,943 1,489,991
399,051
459,104
Additional Funding Commitments
NA NA
(1,276,445)
NA
Ending Fund Balance
5,401,346 6,891,337
6,013,943
6,073,047
Interfund Loan to CVB Fund
Adjusted Ending Fund Balance
Fund Balance Requirement *
4y
Balance over Requirement
NA NA
5,401,346 6,891,337
(400,000)
5,613,943
(200,000)
5,873,047
5,706,612
* Fund balance requirement is 16.4% of total budgeted expenditures (60 days of operation).
The FY 2000-01 Adjusted Ending Fund Balance represents 61.75 days of operation.
166,434
FY 2000-01 PROPOSED OPERATING BUDGET
UTILITY ENTERPRISE FUND
EXECUTIVE SUMMARY
Revenues 1997-98 1998-99 1999-2000 2000-01 Percent
Actual Actual Amended Proposed Change
Miscellaneous Income
377,112
12,245
5,150
10,000
94.17%
Water Sales
6,859,541
7,188,523
8,171,850
8,590,476
5.12%
Wastewater Sales
3,784,759
4,027,597
5,313,233
5,656,788
6.47%
Water Tap Fees
94,202
203,522
72,100
75,000
4.02%
Wastewater Tap Fees
17,590
19,220
30,900
20,000
-35.28%
Utility Inspection Fee
107,055
109,764
30,000
42,000
40.00%
Reconnect and Transfer Charges
177,767
196,591
169,950
200,000
17.68%
Refuse Billing Administration Fee
113,983
(7,583)
0
0
0.00%
Sales of Salvage
1,277
1,137
0
0
0.00%
Sale of Fixed Assets
12,518
11,000
0
0
0.00%
Interest Income From Investment
447,079
404,775
450,000
450,000
0.00%
Transfer From Capital Recovery Fees
0
0
299,813
0
-100.00%
Total 11,992,883
12,166,791
14,542,996
15,044,264
3.45%
Expenditures 1997-98
1998-99
1999-2000
2000-01
Percent
Actual
Actual
Amended
Proposed
Change
Personnel
1,531,948
1,717,867
1,989,907
2,177,096
9.41%
Supplies
321,633
317,673
414,360
395,330
-4.59%
Maintenance
327,837
392,125
390,335
434,674
11.36%
Services
4,041,707
4,888,981
6,257,102
6,280,821
0.38%
Utility Bond Payments
3,192,628
3,240,008
3,778,135
3,784,184
0.16%
Permanent Capital Maintenance
745,866
282,575
500,000
500,000
0.00%
Capital Outlay
246,641
174,629
169,500
125,200
-26.14%
Transfers
1,060,148
1,026,085
1,037,857
1,140,994
9.94%
Total
11,468,407 12,039,943 14,537,196
14,838,299
2.07%
Retained Earnings
(Revenues over Expenditures)
205,965
NA
NEW PROGRAMS AND SERVICES PROPOSED FOR FY -2001
(Included in line items listed above)
Total
Increased Service Level Requests Cost
Operator Cross Training 5,800
Fund Balance Summary
1997-98 1998-99 1999-2000 2000-01
Actual Actual Amended Proposed
Beginning Working Capital Balance
4,021,959
4,546,435
4,673,283
4,679,083
Retained Earnings
524,476
126,848
5,800
205,965
Ending Working Capital Balance
4,546,435
4,673,283
4,679,083
4,885,048
Working Capital Requirement
Balance over Requirement
2,210,343
2,674,704
* Working Capital balance requirement is 16.4% of total budgeted net debt expenses or 60 days of operation.
The FY 2000-01 proposed ending working capital balance represents 132 days of operation.
FY 2000-01 PROPOSED OPERATING BUDGET
DEBT SERVICE FUND
EXECUTIVE SUMMARY
Revenues
1997-98
1998-99
1999-2000
2000-01
Percent
Actual
Actual
Actual
Approved
Proposed
Change
Ad Valorem Taxes
4,215,512
5,513,184
6,669,293
7,399,845
10.95%
Transfers from Other Funds
3,016,094
1,994,207
591,783
389,958
-34.10%
Interest Income from Investment
160,416
118,630
130,000
130,000
0.00%
Total 7,392,022 7,626,021 7,391,076 7,919,803 7.15%
Expenditures
1997-98
1998-99
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Interest Payments
4,502,645
4,352,105
4,873,834
3,847,092
Principal Payments
2,776,720
2,832,028
2,382,152
4,050,000
Fiscal Agent & Bond Fees
3,998
42,619
6,800
6,800
Total 7,283,364 7,226,751 7,262,787 7,903,892
Contribution to Fund Balance (Revenues Over Expenditures) 15,912
Fund Balance Summary
1997-98
1998-99
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Beginning Fund Balance
952,191
1,060,848
1,460,118
1,588,407
Contribution to Fund Balance
108,658
399,270
128,289
15,912
Ending Fund Balance
1,060,848
1,460,118
1,588,407
1,604,319
Fund Balance Requirement *
1,235,167
Balance Over Requirement
369,152
Percent
Change
-21.07%
70.01%
0.00%
8.83%
* Fund balance requirement is 16% of total current budgeted net debt service expenditures or 60 days of operati
FY 2000-01 approved ending fund balance represents 78 days of operation.
FY 2000-01 PROPOSED OPERATING BUDGET
CONVENTION & VISITORS BUREAU FUND
EXECUTIVE SUMMARY
Revenues
1997-98
1998-99
1999-2000
2000-01
Percent
Supplies
Actual
Actual
Approved
Proposed
Change
Hotel / Motel Tax
3,280,344
3,495,409
3,508,000
3,946,000
12.49%
Convention Center Rental
313,959
381,083
392,430
-415,000
5.75%
Interest Income
30,022
40,360
35,000
35,000
0.00%
Concourse % of Sales
34,959
27,978
35,000
35,000
0.00%
Merchandise Resale
83,172
93,443
79,000
82,167
4.01%
Catering % of Sales
31,649
42,123
30,000
30,000
0.00%
Miscellaneous Income
91,531
6,939
0
_0
0.00%
Total
Expenditures
3,865,636 4,087,335 4,079,430 4,543,167 11.37%
1997-98 1998-99 1999-2000 2000-01 Percent
Actual Actual Approved Proposed Change
Personnel
1,220,677
1,301,152
1,600,392
1,873,317
17.05%
Supplies
1,020,473
1,091,134
1,653,030
1,071,716
-35.17%
Maintenance
43,271
36,688
34,647
61,181
76.580/0
Services
616,683
529,804
502,158
510,261
1.61%
Permanent Capital Maintenance
17,494
2,497
20,000
20,000
0.00%
Transfers
966,785
765,332
772,740
1,030,696
33.38%
Capital Outlay
18,505
9,281
34,118
48,000
40.69%
Total 3,903,886 3,735,888 4,617,085 4,615,171 -0.04%
Contribution to Fund Balance (Revenues over Expenditures) (72,004)
FY 2000-01 PROPOSED OPERATING BUDGET
CONVENTION & VISITORS BUREAU FUND
EXECUTIVE SUMMARY
NEW PROGRAMS AND SERVICES PROPOSED FOR FY 2000-01
(Included in line item totals listed above)
Projected
Increased Service Level Requests Fund Impact
Sales Manager 63,784
Web Master 57,742
Total Increased Service Level Requests 121,526
Fund Balance Summary
1997-98
1998-99
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Beginning Fund Balance
856,704
818,454
1,169,901
1,032,246
Contribution to Fund Balance
(38,250)
351,447
(537,655)
(72,004)
Interfund Loan From General Fund
NA
NA
400,000
200,000
Opryland Marketing Agreement
NA
NA
NA
(300,000)
Ending Fund Balance
818,454
1,169,901
1,032,246
860,242
Fund Balance Requirement *
Balance over Requirement
101,584
* Fund balance requirement is 16.4% of total budgeted expenses or 60 days of operation.
The FY 2000-01 proposed ending fund balance represents 68 days of operation.
sm
FY 2000-01 PROPOSED OPERATING BUDGET
LAKE ENTERPRISE FUND
EXECUTIVE SUMMARY
Revenues 1997-98 1998-99 1999-2000 2000-01 Percent
Actual Actual Approved Proposed Change
Miscellaneous Income
5,259
27,137
15,300
10,000
-34.64%
Cart Rentals
564,027
558,256
567,140
540,750
-4.65%
Tournament Fees
8,050
7,800
5,500
6,250
13.64%
Driving Range
5,919
2,367
5,500
_ 5;150
-6.36%
Golf Pro Shop % of Sales
19,729
18,182
20,000
19,000
-5.00%
Golf Course Green Fees
1,129,501
1,131,469
1,130,460
1,403,026
24.11%
Restaurant % of Sales
41,659
40,920
62,000
60,000
-3.23%
Lesson Income
15,412
4,970
12,000
10,000
-16.67%
Interest Income
107,506
100,185
90,000
_ 80,000
-11.11%
Other Financing Sources - PCMF
0
0
0
874,574
NA
Total 1,890,482 1,891,286 1,907,900 3,008,750 57.70%
'),x enditures 1997-98 1998-99 1999-2000 2000-01 Percent
Actual Actual Approved Proposed Change
Personnel
758,046
850,822
1,006,314
1,238,200
23.04%
Supplies
111,640
143,209
157,271
179,770
14.31%
Maintenance
111,408
45,141
46,006
57,170
24.27%
Services
310,037
392,002
758,178
996,282
31.40%
Permanent Capital Maintenance
167,014
37,680
66,000
0
-100.00%
Capital Outlay
69
68,093
0
0
NA
Transfers
142,408
143,958
143,093
160,063
11.86%
Total
1,600,622
1,680,906 2,176,862 2,631,485
20.88%
Retained Earnings
(Revenues over Expenses)
377,265
FY 2000-01 PROPOSED OPERATING BUDGET
LAKE ENTERPRISE FUND
EXECUTIVE SUMMARY
NEW PROGRAMS AND SERVICES PROPOSED FOR FY -2001
(Included in line item totals listed abovice)
Projected
Increased Service Level Requests Fund Impact
Public Address System 7,766
Part -Time Maintenance Worker 16,814
Pro Shop & Lobby Carpet Replacement 10,640
Golf Course Expansion and Renovation 96,282
Total New Programs and Services 131,502
Fund Balance Summary
1997-98
1998-99
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Beginning Working Capital Balance
605,832
895,692
1,106,072
837,110
Retained Earnings
289,860
210,380
(268,962)
377,265
Ending Working Capital Balance
895,692
1,106,072
837,110
1,214,375
Fund Balance Requirement *
Balance over Requirement
657,871
556,503
* Fund balance requirement is 25% of total budgeted expenses or 90 days of operation.
The FY 2000-01 proposed ending working capital balance represents 168 days of operation.
FY 2000-01 PROPOSED OPERATING BUDGET
INSURANCE FUND
EXECUTIVE SUMMARY
Revenues
1997-98
1998-99
1999-2000
2000-01
Percent
Supplies
Actual
Actual
Approved
Proposed
Change
Property & Casualty Payments
705,762
755,804
755,804
798,111
5.60%
Subrogation Revenues
151,398
204,497
150,000
200,000
33.33%
Employee Contributions
1,686,851
1,913,911
1,865,450
2,105,587
12.87%
Interest Income
65,619
64,518
. 60,000
60,000
0.00%
Total 2,609,347 2,938,486 2,831,254 3,163,698 11.74%
Expenditures 1997-98 1998-99 1999-2000 2000-01 Percent
Actual Actual Approved Proposed Change
Personnel
112,738
114,095
164,375
184,192
12.06%
Supplies
11,297
19,352
10,132
10,132
0.00%
Services
13,989
143,305
33,292
33,292
0.00%
Property & Casualty
673,487
721,041
968,582
968,582
0.00%
Health Insurance
1,415,511
1,809,202
1,746,432
1,746,432
0.00%
Total
2,227,021 2,806,995 2,922,813
Contribution to Fund Balance (Revenues over Expenditures)
Fund Balance Summary 1997-98 1998-99 1999-2000
Actual Actual Approved
2,942,630
221,068
2000-01
Proposed
Beginning Fund Balance
538,112
920,438
1,051,929
960,370
Contribution to Fund Balance
382,326
131,491
(91,559)
221,068
Ending Fund Balance
920,438
1,051,929
960,370
1,181,438
0.68%
FY 2000-01 PROPOSED OPERATING BUDGET
FLEET FUND
EXECUTIVE SUMMARY
Revenues 1997-98
1998-99
1999-2000
2000-01
Percent
Actual
Actual
Approved
Proposed
Change
Charges for Services 950,402
835,424
900,000
1,000,000
11.11%
Miscellaneous Revenue 0
4,245
0
0
0.00%
Total 950,402 839,669 900,000 1,000,000 11.11%
Expenditures
1997-98
1998-99
1999-2000
2000-01
Percent
Approved
Actual
Actual
Approved
Proposed
Change
Personnel
321,989
371,913
394,839
442,026
11.95%
Supplies
250,052
277,762
308,457
323,278
4.81%
Maintenance
130,243
97,601
123,750
128,154
3.56%
Services
61,905
63,932
56,185
87,609
55.93%
Capital Outlay
12,295
0
0
0
0.00%
Transfers
913
0
0
0
0.00%
Total 777,397 811,208 883,230 981,067 11.08%
Contribution to Fund Balance (Revenues over Expenditures) 18,933
NEW PROGRAMS AND SERVICES PROPOSED FOR FY -2001
(Included in Line Item Totals listed above)
Increased Service Level Requests Fund Impact
Fleet Helper 26,107
Fund Balance Summary 1997-1998
1998-1999
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Beginning Fund Balance (233,408)
(60,403)
(31,942)
(15,172)
Contribution to Fund Balance 173,005
28,461
16,770
18,933
Ending Fund Balance (60,403) (31,942) (15,172) 3,761
Fund Balance Requirement * 127,791 133,349 145,189 161,271
Balance over Requirement N/A N/A N/A NA
* Fund balance requirement is 16.4% of total budgeted expenses or 60 days of operation.
FY 2000-01 PROPOSED OPERATING BUDGET
LEASE FUND * * *
EXECUTIVE SUMMARY
Revenues 1997-98 1998-99 1999-2000 2000-01 Percent
Actual Actual Approved Proposed Change
Departmental Lease Payments
1,215,110
1,923,753
2,811,569
2,899,903
3.14%
Interest Income
43,094
53,002
100,000
150,000
50.00%
Operating Transfers In
1,188,318
15,000
0
0
0.00%
Other Financing Sources
1,900,000
0
3,145,500
2,113,663
-32.80%
Sale of Fixed Assets
(76,095)
58,920
0
0
0.00%
Total 4,270,427
Expenditures 1997-98
Actual
2,050,675
6,057,069
5,163,566
-14.75%
1998-99
1999-2000
2000-01
Percent
Actual
Approved
Proposed
Change
Machinery & Equipment
869,716
680,002
2,400,480
1,007,372
-58.03%
Motor Vehicles
1,569,527
904,885
661,200
611,291
-7.55%
Heavy Equipment
0
0
710,000
495,000
-30.28%
Note Payments
524,667
981,698
1,885,224
2,146,663
13.87%
Miscellaneous Expenses
41,739
87,601
3,000
6,000
100.00%
Total
3,005,649
2,654,186
5,659,904
4,266,326 -24.62%
Contribution to Fund Balance (Revenues Over Expenditures)
897,240
Fund Balance Summary
1997-98
1998-99
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Beginning Fund Balance
1,141,439
2,138,056
1,534,545
1,467,613
Contribution to Fund Balance
1,264,778
(603,511)
397,165
897,240
Less Contributed Assets
(268,161)
NA
(464,097)
NA
Ending Fund Balance
2,138,056
1,534,545
1,467,613
2,364,853
*** This fund was previously titled the Lease/Technology fund, and contained financial information on regarding
the procurement, financing and lease payment of all motor vehicles, machinery and equipment purchased in
coordination with the City's internal capital leasing policies. The fund also accounted for all purchases and
replacement of technology -related machinery and equipment of the City, under the control of the Information
Technology division of the City Manager's office.
Beginning in FY -2001, the lease and technology components will be presented as separate entities, each with
an executive summary page identifying revenues, expenditures and fund balances.
Permanent Capital Maintenance
and Street Maintenance Program
GENERAL FUND PROJECTS
Fr CI L)rTIES l�IA NTEr'+ANCE Pl i Amc
GENER
FVNO
RESERVE
FUNDS _ .
PIEtIOR YR
BALANCE
FY.40121
TC)TAL COST
City Hall Repairs and Maintenance
1,942
0
8,938
10,880
Community Activities Center Repairs and Maintenance
52,394
22,305
4,301
79,000
Police / Courts Building Repairs and Maintenance
150
8,150
0
8,300
Municipal Service Center Repairs and Maintenance
0
672
10,328
11,000
Fire Station Repairs and Maintenance
16,508
12,087
6,275
34,870
Animal Control Repairs and Maintenance
1,188
813
4,599
6,600
Parks & Recreation Facilities Repairs and Maintenance
9,630
0
3,020
12,650
Police Substation Painting Improvements
0
0
1,900
1,900
Fire Alarm System Installation
0
2,243
38,132
40,375
TOTAL FACILITIES MAINTENANCE $81,812 $46,270 $77,493
$205,575
PATtKS i. AiNTENANCE PFt. (I AiV1 GEARA
FUND
RES��f
YMS
BALANCE
TOTAL COST
Centralized Irrigation System 4,216
22,092
8,692
35,000
Court Resurfacing 9,658
5,342
0
15,000
Upgrade Drinking Fountains and ADA Accessibility 3,575
3,425
0
7,000
Dove Pool Filter Replacement 91,081
1,675
1,744
94,500
Lamp Replacement at Athletic Facilities 12,178
1,675
147
14,000
Bleacher Replacement 8,325
1,675
0
10,000
Park Signage Replacement 1,025
1,675
17,300
20,000
Trash Receptacle Replacement 8,175
1,675
150
10,000
TOTAL PARKS MAINTENANCE $138,233 $39,234 $28,033
$205,500
FEMA EilT gtkftT I1MA 'T'ENANeF,
€ 'E"NERAL';
Fl3-N
RESERVE
FUNDS
MOR Y R
BALAIr'CE
TOTAL COST
Annual Street Maintenance and Overlay Program
300,000
0
450,000
750,000
Curb and Gutter Replacement
0
0
75,000
75,000
Traffic Signal, Signing & Striping Maintenance
89,489
21,600
60,511
171,600
TOTAL PERMANENT STREET MAINTENANCE $389,489 $21,600 $585,511
$996,600
$1,407,675
0
FY 2000-01 PROPOSED OPERATING BUDGET
CAPITAL IMPROVEMENT PROJECTS
EXECUTIVE SUMMARY
PROPOSED CAPITAL IMPROVEMENT PROJECT EXPENDITURES
OCTOBER 1, 2000 THROUGH SEPTEMBER 30, 2001
General Government Capital Projects
Street and Drainage Improvements $12,299,909
Buildings and Facilities $6,496,103
Parks and Beautification $1,463,200
Studies and Miscellaneous $3,830,169
Tbtal General++Governnlejlt 6 itdlPt`�jecis $24,1189, 81
Utility and Lake Enterprise Capital Projects
Water System Improvements
Wastewater System Improvements
Golf Course Improvements
$4,957,948
$2,464,282
$1,650,000
Totd Utfit dnd a; a Etter tw Cap1tat: o,lects 9, r ,2
(TOTAL FY 2000=01 CAPITAL IMPROVEMENT PROJECT EXPENDITURES $33,1619611
FY 2000 -01 i, OPERATING
STORMWATER DRAINAGE UTILITY FUND
EXECUTIVE SUMMARY
Revenues
1997-98
1998-99
1999-2000
2000-01
Percent
Actual
Actual
Approved
Proposed
Change
Drainage Utility Fees
1,059,934
1,061,732
1,152,000
1,146,394
-0.49%
Interest Income
20,059
43,613
48,000
60,000
25.00%
Miscellaneous Revenue
0
1,001
0
0
0.00%
Total Fund Revenues 1,079,993 1,106,346 1,200,000 1,206,394 0.53%
Expenditures
1997-98
1998-99
1999-2000
2000-01
Percent
Actual
Actual
Approved
Proposed
Change
Personnel
113,560
152,498
337,214
383,858
13.83%
Supplies
6,502
9,623
19,050
28,050
47.24%
Maintenance
73,806
138,884
117,784
163,194
38.55%
Services
83,905
133,730
126,263
125,281
-0.78%
Capital Outlay
1,150
0
0
0
0.00%
Transfers
0
81,473
90,000
960,657
967.40%
Total Fund Expenditures 278,923 516,207 690,311 1,661,040 140.62%
Contribution to Fund Balance (Revenues Over Expenditures)
NEW PROGRAMS AN SERVICES PROPOSED FOR FY 2000-01
(Included in line item totals listed above)
Transfer to CIP Fund --- Main Street Crown Removal Project
Fund Balance Summary
Beginning Fund Balance
Contribution to Fund Balance
1997-98 1998-99 1999-2000
Actual Actual Approved
0 801,070 1,389,029
801,070 587,959 509,689
(454,646)
870,177
2000-01
Proposed
1,898,718
(454,646)
Ending Fund Balance 801,070 1,389,029 1,898,718 1,444,072
FY 2000-01 PROPOSED OPERATING BUDGET
INFORMATION TECHNOLOGY FUND
EXECUTIVE SUMMARY
Revenues
1997-98
1998-99
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Charges for Services
914,421
Other Financing Sources
325,603
Total Fund Revenues
NA
NA
NA
1,240,024
Expenditures
1997-98
1998-99
1999-2000
2000-01
Actual
Actual
Approved
Proposed
Personnel
375,294
Supplies
45,450
Maintenance
99,392
Services
301,526
Capital Outlay
318,053
Total Fund Expenditures
NA
NA
NA
1,139,715
Contribution to Fund Balance
(Revenues Over
Expenditures)
100,309
PROGRAMS AND SERVICES PROPOSED FOR FY 2000-01
(Included in line item totals listed above)
Fund
Replacements & Enhancements Impact
This program continues the planned replacement and upgrade of the City's 222,678
technology stock. Included for FY 2001 is the replacement of 120 PCs and 50
monitors. Also includes the replacement of six servers, ten laptops, and five printers.
Departmental Requests
Requests for additional technology equipment for FY -2001 include ten PCs, 18 108,675
laptops, seven printers, application software and accessories.
TOTAL PROGRAMS AND SERVICES 331,353
Fund Balance Summary 1997-98 1998-99 1999-2000 2000-01
Actual Actual Approved Proposed
Beginning Fund Balance 464,097
Contribution to Fund Balance 100,309
Ending Fund Balance 0 0 0 564,406