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HomeMy WebLinkAboutORD 01-068 ORDINANCE NO. 01-068 ENTITLED AN ORDINANCE REFERRED TO AS THE "ANNUAL APPROPRIATION ORDINANCE"ADOPTING A BUDGET FOR THE FISCAL PERIOD BEGINNING OCTOBER 1, 2001 AND ENDING SEPTEMBER 30, 2002 IN ACCORDANCE WITH THE CHARTER OF THE CITY OF BEAUMONT; APPORTIONING THE FUNDS OF THE CITY OF BEAUMONT; REPEALING ALL ORDINANCES OR PARTS OF ORDINANCES IN CONFLICT HEREWITH AND PROVIDING FOR SEVERABILITY. WHEREAS,the City Manager of the City of Beaumont submitted to the City Council a budget estimate for the revenues of said City and expenses of conducting the affairs thereof for the fiscal year beginning October 1, 2001 and ending September 30, 2002; and, WHEREAS, after notices and public hearings held in accordance with the requirements of the Charter of the City of Beaumont and the statutes of the State of Texas, the City Council is of the opinion that the budget, as attached hereto as Exhibit"A", should be adopted; NOW, THEREFORE, BE IT ORDAINED BY THE CITY OF BEAUMONT: Section 1. That the budget attached hereto as Exhibit "A" and made a part hereof for all purposes is hereby adopted and approved. Exhibit "A" is hereby adopted and approved as the budget of all the correct expenses as well as the fixed charges of the City for the fiscal period beginning the 1st day of October, 2001, and ending the 30th day of September, 2002, and the several amounts stated in Exhibit"A"as proposed expenditures shall be and become appropriated to the several objects and purposes therein named. Notices given, as required for the adoption of said budget, are hereby ratified. Section 2. That the sums indicated are appropriated from the following schedule of funds: a. General $73,326,000 b. Debt Service 13,726,500 c. Water Utilities 25,925,800 d. Solid Waste Management 7,141,800 e. Hotel Occupancy Tax 1,822,200 f. Street Maintenance 1,751,400 g. Municipal Transit 4,818,600 h. Other Special Revenue 3,092,100 I. Capital Reserve 2,397,400 j. Fleet Management 4,157,100 k. Employee Benefits 12,378,200 I. General Liability 1,704,000 Section 3. That the City Manager is hereby authorized to transfer budgeted funds from one line-item to another line item provided the transaction is not an interfund transfer. Section 4. That if any section, subsection, sentence, clause or phrase of this ordinance or the application of same to a particular set of persons or circumstances should for any reason be held to be invalid, such invalidity shall in no way affect the remaining portions of this ordinance, and to such end the provisions of this ordinance are declared to be severable. Section 5. That all ordinances or parts of ordinances in conflict herewith are repealed to the extent of the conflict only. PASSED BY THE CITY COUNCIL of the City of Beaumont this the 18th day of September, 2001. - Mayor - CITY OF BEAUMONT �.,�a.a..�._. <1. ...- �.:. ... ......•����x.tyl L7lt.^R:Nd�TN/sd0l s''Ka.JV'lR.Y•hr:A1%awl':;�::..n::Fr:s;•.t•�•::�..i,T.:,�.n:� •.., ., ...r. ... ... .. ALL FUNDS SUMMARY FY 2001 FY 2001 Balance FY 2002 FY 2002 Balance Revenues Expenditures 10/01/01 Revenues Expenditures 9130102 General Fund 68,547,500 70.399,200 7,163,084 70,376,200 71,826,000 5,713,284 Debt Service Fund 12,562,500 13,139,700 2,303,274 13,942,400 13,726,500 2,519,174 Total Governmental Funds 81,110,000 83,538,900 9,468,358 84,318,600 85,552,500 8,232,458 Water Utilities Fund 25,940,500 23,934,800 6,163,049 26,470,000 25,925,800 6,707,249 Solid Waste Management Fund 6,733,500 8,229,300 2,773,803 6,258,000 7,141,800 1,890,003 Total Enterprise Funds 32,674,000 32,164,100 8,936,852 32,728,000 33,067,600 8,597,252 Hotel Occupancy Tax Fund 1,664,000 1,615,900 163,228 1,659,000 1,822,200 28 Street Maintenance Fund 1,536,600 2.560,000 251,475 1,500,000 1,751,400 75 Municipal Transit Fund 3,309,700 3,165,400 209,151 4,506,400 4,818,600 196,951 Ottrer Special Revenue Funds 1,764,500 1,797,800 2,252,200 955,500 3,092,100 115,600 Total Special Revenue Funds 8.274,800 9,159,100 2,876,054 8,920,900 11,484,300 312,654 Capital Reserve Fund 2,167,700 2,384,100 1,171,380 1,832,600 2,397,400 806,580 Fleet Management Fund 4,238,400 4,034,100 636,489 4,084,100 4,157,100 563,489 Employee Benefits Fund 11,442,100 11,635.600 928,102 12,379,300 12,378,200 929,202 General Liability,Fund 2,056,987 784,000 1,272,987 460,000 804,000 928,987 Total Internal Service Funds 19,905,187 18,837,800 4,008,958 18,756,000 19,736,700 3,028.258 Total All Funds 141,963,987 143.699,900 25,288,222 144,723,500 149,841,100 20,170,622 EXHIBIT"A" GENERAL FUND !'�..i�'tltt�r['�N�Yti n`..V47rR-'1+11h:af!!+�RfsllMlC�+QK.�.i �ibQi�70NKMMY�4Mwisr%:trt7+WYitMrl�st�.Y,r,,,,y STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 7,915,722 8,695,922 9,014,784 7,163,084 REVENUES: Sales and use tax 26,481,128 27,615,000 26,107,000 26,752,000 Property taxes 13,076,734 12,500,000 12,485,000 12,213,000 Industrial payments 10,969,064 11,251,100 11,261,900 11,728,700 Gross receipts tax 5,770,315 6,054,600 7,077,100 6,350,000 Utility fund in lieu 3,650,000 4,250,000 4,250,000 51100,000 Other 7,206,156 7,159,500 7,366,500 8,232,500 TOTAL REVENUES 67,153,397 68,830,200 68,547,500 70,376,200 TOTAL RESOURCES AVAILABLE 75,069,119 77,526,122 77,562,284 77,539,284 EXPENDITURES: Executive Office 1,591,261 1,788,400 902,700 1,021,400 City Clerk 1,054,184 1,148,400 1,107,700 1,094,500 Legal 575,903 587,700 566,300 622,700 Economic Development — 764,900 754,100 846,100 Human Resources 719,054 649,800 648,400 678,700 Central Services 6,446,574 6,207,000 6,468,100 6,552,400 Finance 1,084,795 1,219,600 1,168,800 1,187,400 Police 17,966,543 18,997,400 18,866,200 19,494,600 Fire 13,400,122 13,964,000 13,964,000 14,230,100 Public Health 4,130,831 4,593,200 4,482,300 4,573,100 Public Works 10,868,842 11,790,300 12,117,500 11,822,100 Community Services 2,614,526 2,711,700 2,582,600 2,646,000 TOTAL EXPENDITURES 60,452,635 64,422,400 63,628,700 64,769,100 OTHER FINANCING USES: Transfers out 5,601,700 6,525,500 6,770,500 7,056,900 TOTAL APPROPRIATIONS 66,054,335 70,947,900 70,399,200 71,826,000 ENDING FUND BALANCE: Reserved for contingency — 1,500,000 — 1,500,000 Unreserved 9,014,784 5,078,222 7,163,084 4,213,284 TOTAL ENDING FUND BALANCE 3 9,014,784 6,578,222 7,163,084 5,713,284 DEBT SERVICE FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 4,367,497 2,838,897 2,880,474 2,303,274 REVENUES Property taxes 10,606,449 11,473,000 11,473,000 12,675,000 Interest earnings 275,742 280,000 250,000 240,000 Miscellaneous revenue 6,807 660,000 2,100 — Contributions from other funds 112,055 — 837,400 1,027,400 TOTAL REVENUES 11,001,053 12,413,000 12,562,500 13,942,400 TOTAL AVAILABLE RESOURCES 15,368,550 15,251,897 15,442,974 16,245,674 EXPENDITURES Principal payments 8,149,700 8,817,700 8,817,700 4,103,600 Interest payments 4,330,897 4,139,600 4,317,000 9,612,900 Service charges 7,479 10,000 5,000 10,000 Bond sale a)penses — — — — TOTAL EXPENDITURES 12,488,076 12,967,300 13,139,700 13,726,500 ENDING BALANCE $ 2,880,474 2,284,597 2,303,274 2,519,174 WATER UTILITIES FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 2,368,312 4,389,212 4,157,349 6,163,049 REVENUES Water sales 12,252,968 14,290,000 13,896,000 14,640,000 Sewer charges 8,067,986 9,410,000 9,496,000 9,904,000 Service charges 825,369 672,000 1,145,000 1,115,000 Interest 192,039 150,000 1,390,000 800,000 Miscellaneous revenue 77,319 18,000 13,500 11,000 Transfers in 548,692 -- — — TOTAL REVENUES 21,964,373 24,540,000 25,940,500 26,470,000 TOTAL AVAILABLE RESOURCES 24,332,685 28,929,212 30,097,849 32,633,049 EXPENDITURES Wages 4,629,373 4,996,700 4,963,400 5,329,100 Benefits 1,192,429 1,250,300 1,307,800 1,395,000 Supplies and equipment 2,043,607 2,018,600 1,962,700 2,116,900 Repair and maintenance 722,079 633,300 738,200 830,200 Utilities 1,341,191 1,188,200 1,466,500 1,425,100 Contract services 231,421 247,900 268,800 280,900 Equipment 338,413 1,205,900 1,310,200 1,651,700 Capital 297,762 2,426,000 853,000 1,940,000 Debt service 4,781,969 6,501,400 6,498,100 5,619,700 Other operating 3,840,892 3,650,000 3,650,000 4,350,000 Transfers out 756,200 916,100 916,100 987,200 TOTAL EXPENDITURES 20,175,336 25,034,400 23,934,800 25,925,800 Unreserved 4,157,349 3,894,812 6,163,049 6,707,249 ENDING FUND BALANCE 4,157,349 3,894,812 6,163,049 6,707,249 SOLID WASTE FUND xrw u�w.+cu+�o«r��q. ceaeV.r:aau�c+r�+4.r�•.;:x.;e.r:sy...c,o� STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 4,127,483 3,972,983 4,269,603 2,773,803 REVENUES Residential collections 4,615,431 4,635,000 4,591,000 4,591,000 Recycling 81,125 50,000 48,200 -- Landfill fees 981,937 1,000,000 1,277,000 1,282,000 Clean community fees 264,573 264,000 264,000 264,000 Interest earnings 170,005 120,000 185,000 100,000 Miscellaneous revenue 231,826 10,000 96,500 21,000 Transfers in -- - 271,800 - TOTAL REVENUES 6,344,897 6,079,000 6,733,500 6,258,000 TOTAL AVAILABLE RESOURCES 10,472,380 10,051,983 11,003,103 9,031,803 EXPENDITURES Wages 2,152,371 2,061,900 2,015,300 2,035,000 Benefits 565,879 532,200 533,900 539,000 Supplies and equipment 482,815 611,300 642,100 508,200 Repair and maintenance 1,131,995 1,191,500 1,218,600 1,231,500 Utilities 25,594 33,700 30,100 33,500 Contract services 337,155 377,600 349,500 358,300 Construction - 1,200,000 1,450,000 426,900 Equipment 519,343 35,600 431,800 630,000 Debt service 525,277 596,000 510,400 173,200 Other operating 46,348 600,000 600,000 750,000 Transfers out 416,000 447,600 447,600 456,200 TOTAL EXPENDITURES 6,202,777 7,687,400 8,229,300 7,141,800 Unreserved 4,269,603 2,364,583 2,773,803 1,890,003 ENDING BALANCE $ 4,269,603 2,364,583 2,773,803 1,890,003 HOTEL OCCUPANCY TAX FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 146,464 36,166 115,128 163,228 REVENUES Gross receipts tax 1,635,255 1,650,000 1,650,000 1,650,000 Interest earnings 8,619 5,000 11,000 8,000 Miscellaneous revenues 2,963 3,000 3,000 1,000 TOTAL REVENUES 1,646,837 1,658,000 1,664,000 1,659,000 TOTAL AVAILABLE RESOURCES 1,793,301 1,694,166 1,779,128 1,822,228 EXPENDITURES Wages 393,830 397,300 372,400 418,500 Benefits 76,057 67,300 68,500 75,100 Supplies and equipment 95,149 156,600 146,600 151,600 Repair and maintenance 36,768 18,800 21,500 14,300 Utilities 282,833 271,400 273,000 267,500 Contract services 740,092 716,500 676,500 817,600 Equipment 12,244 22,800 14,000 30,700 Transfers out 41,200 43,400 43,400 46,900 TOTAL EXPENDITURES 1,678,173 1,694,100 1,615,900 1,822,200 ENDING BALANCE $ 115,128 66 163,228 28 STREET MAINTENANCE FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 1,264,692 1,264,694 1,274,875 251,475 REVENUES Service charges 1,473,105 1,470,000 1,450,000 1,450,000 Intergovernmental revenue — -- — — Interest eamings 35,166 30,000 86,600 50,000 TOTAL REVENUES 1,508,271 1,500,000 1,536,600 1,500,000 TOTAL AVAILABLE RESOURCES 2,772,963 2,764,694 2,811,475 1,751,475 EXPENDITURES General construction 1,498,088 2,760,000 2,560,000 1,751,400 TOTAL EXPENDITURES 1,498,088 2,760,000 2,560,000 1,751,400 Unreserved 1,274,875 4,694 251,475 75 ENDING BALANCE $ 1,274,875 4,694 251,475 75 MUNICIPAL TRANSIT FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 526,503 167,903 84,851 209,151 REVENUES Service charges 562,924 550,000 595,000 847,800 Intergovernmental revenue 2,146,057 2,228,000 1,844,700 2,938,600 Interest 4,910 5,000 — — Misceilaneous revenue 3,450 30,000 25,000 — Transfer from General Fund 500,000 600,000 845,000 1,020,000 TOTAL REVENUES 3,217,341 3,413,000 3,309,700 4,806,400 TOTAL AVAILABLE RESOURCES 3,743,844 3,580,903 3,394,551 5,015,551 EXPENDITURES Contractserivices 2,989,268 2,900,000 3,150,200 3,240,000 Capital outlay 669,725 500,000 35,200 1,578,600 TOTAL EXPENDITURES 3,658,993 3,400,000 3,185,400 4,818,600 Reserved for encumbrances 186,768 186,768 186,768 186,768 Unreserved (101,917) (5,865) 22,383 10,183 ENDING BALANCE $ 84,851 180,903 209,151 196,951 OTHER SPECIAL REVENUE FUNDS Boom STATEMENT OF REVENUES AND EXPENDITURES Balance FY 2002 Balance 10101/01 Revenues Approp. 09/30/02 Confiscated Goods $ 972,300 $ 50,000 $ 1,022,300 $ _ Fire Training Grounds - 343,600 343,600 _ Tax Increment Financing 375,600 125,200 500,800 _ Municipal Airport 23,900 74,400 98,300 _ Texas Motor Carrier Violations - 26,900 26,900 _ Municipal Court Security Fee 81,600 101,000 182,600 Municipal Court Technology 212,200 126,400 338,600 Julie Rogers Theatre Endowment 218,700 11,500 130,200 100,000 Tyrrell Historical Library 21,800 900 22,700 _ Expendable Trust 183,200 34,700 217,900 _ Library Trust 130,000 49,100 179,100 Library Endowment 24,300 1,300 10,000 15,600 Historical Fire Museum 8,600 10,500 19,100 - TOTAL $_ 2,252,200 $ 955,500 $ 3,092,100 $ 115,600 CAPITAL RESERVE FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 1,743,453 1,278,853 1,387,780 1,171,380 REVENUES Services 1,504,300 1,521,100 1,502,200 1,394,100 Interest earnings 76,612 70,000 70,000 60,000 Miscellaneous revenue 22,112 40,000 37,000 20,000 Transfers in 558,500 558,500 558,500 358,500 Other financing sources 452,317 — — — TOTAL REVENUES 2,613,841 2,189,600 2,167,700 1,832,600 TOTAL AVAILABLE RESOURCES 4,357,294 3,468,453 3,555,480 3,003,980 EXPENDITURES Improvements 153,246 — 73,500 297,000 Equipment 1,050,791 627,100 644,800 266,400 Vehicles 1,469,125 1,145,200 1,079,200 1,058,400 Debt service 296,352 584,600 586,600 775,600 TOTAL EXPENDITURES 2,969,514 2,356,900 2,384,100 2,397,400 Unreserved — 1,111,553 1,213,136 648,336 ENDING BALANCE $ 1,387,780 1,111,553 1,171,380 606,580 FLEET MANAGEMENT FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 377,720 379,120 432,189 636,489 REVENUES User fees 3,954,685 3,818,800 4,232,400 4,080,100 Interest earnings 5,282 3,000 6,000 4,000 Miscellaneous revenue 1,729 2,000 - - TOTAL REVENUES 3,961,696 3,823,800 4,238,400 4,084,100 TOTAL AVAILABLE RESOURCES 4,339,416 4,202,920 4,670,589 4,720,589 EXPENDITURES Wages 867,734 913,200 856,200 933,800 Benefits 233,001 238,000 229,900 261,300 Supplies and equipment 711,507 644,300 777,200 710,300 Repair and maintenance 1,501,610 1,343,300 1,461,000 1,555,500 Utilities 40,425 45,000 68,900 52,500 Contract services 408,950 464,300 473,900 476,300 Equipment 16,500 16,600 16,600 4,100 Transfers out 127,500 150,400 150,400 163,300 TOTAL EXPENDITURES 3,907,227 3,815,100 4,034,100 4,157,100 Reserved for inventory 432,189 350,000 350,000 350,000 Unreserved -- 37,820 286,489 213,489 ENDING BALANCE $ 432,189 387,820 636,489 563,489 EMPLOYEE BENEFITS FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 1,040,540 1,146,642 1,121,602 928,102 REVENUES Interdepartmental transfers Employee health 3,182,264 3,235,700 3,235,700 .3,603,600 Dependent health 4,143,214 5,333,100 5,333,100 5,641,800 Workman's comp 990,000 1,014,800 1,014,800 1,109,900 General 267,600 290,000 290,000 410,000 Employee contribution 1,209,480 1,381,400 1,389,500 1,524,000 Interest 105,256 90,000 125,000 90,000 Insurance recoveries 331,544 - 54,000 -- TOTAL REVENUES 10,229,358 11,345,000 11,442,100 12,379,300 TOTAL AVAILABLE RESOURCES 11,269,898 12,491,642 12,563,702 13,307,402 EXPENDITURES Health Standard indemnity plan 3,733,210 4,802,000 4,620,600 5,011,000 Managed health organization 3,002,655 3,400,000 3,100,000 3,350,000 Health prescriptions 1,277,744 1,500,000 1,550,000 1,750,000 Dental 574,760 568,000 560,000 617,000 Other benefits 87,962 104,000 84,000 95,000 Total 8,676,331 10,374,000 9,914,600 10,823,000 Workers Compensation Third party administration 83,421 91,000 89,000 91,000 Claims paid 827,941 800,000 1,050,000 900,000 Excess insurance 26,667 25,000 21,000 25,000 Safety management 63,977 87,000 101,000 129,200 Total 1,002,006 1,003,000 1,261,000 1,145,200 General Unemployment 68,982 40,000 60,000 60,000 Short-term disability 400,977 250,000 400,000 350,000 Total 469,959 290,000 460,000 410,000 TOTAL EXPENDITURES 10,148,296 11,667,000 11,635,600 12,378,200 Unreserved 1,121,602 824,642 928,102 929,202 ENDING BALANCE $ 1,121,602 824,642 928,102 929,202 GENERAL LIABILITY FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2000 FY 2001 FY 2001 FY 2002 BEGINNING BALANCE $ 1,270,757 1,352,756 1,476,987 1,272,987 REVENUES Interest 67,422 60,000 80,000 60,000 Miscellaneous revenue 1,104 - - - Transfers in 600,000 500,000 500,000 400,000 TOTAL REVENUES 668,526 560,000 580,000 460,000 TOTAL AVAILABLE RESOURCES 1,939,283 1,912,756 2,056,987 1,732,987 EXPENDITURES Professional services 73,642 100,000 80,000 100,000 Claims paid 385,178 700,000 700,000 700,000 Other insurance 3,476 4,000 4,000 4,000 TOTAL EXPENDITURES 462,296 804,000 784,000 804,000 Reserved for unpaid claims - 1,000,000 - 900,000 Unreserved 1,476,987 108,756 1,272,987 28,987 ENDING BALANCE $ 1,476,987 1,108,756 1,272,987 928,987