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HomeMy WebLinkAboutMIN AUG 14 2001 M I N U T E S - CITY OF BEAUMONT Lulu L.Smith DAVID W. MOORE, MAYOR Guy N.Goodson,Mayor Pro Tem Andrew P. Cokinos CITY COUNCIL MEETING Becky Ames Bobbie J.Patterson August 14, 2001 Audwin Samuel Lane Nichols,City Attorney Stephen J. Bonczek,City Manager Barbara Liming,City Clerk The City Council of the City of Beaumont, Texas, met in a regular session on August 14,2001, at the City Hall Council Chambers, 801 Main Street, Beaumont, Texas, at 1:30 p.m.to consider the following: OPENING " Invocation Pledge of Allegiance Roll Call Presentations and Recognition Public Comment: Persons may speak on scheduled agenda items Consent Agenda Mayor Pro Tern Goodson called the meeting to order at 1:37 p.m. The Reverend John Adolph, Antioch Baptist Church, gave the invocation. Councilmember Cokinos led the pledge of allegiance. Present at the meeting were: Mayor Pro Tern Goodson, Councilmembers Smith, Cokinos, Ames, Samuel (arrived at 2:05 p.m. and left at 2:22 p.m.), and Patterson. Mayor Moore was absent. Also present were Stephen J. Bonczek, City Manager, Lane Nichols, City Attorney; and Barbara Liming, City Clerk. Mayor Pro Tern Goodson announced that Mayor Moore is attending a company required training session and that Councilmember Samuel is in a court session and will arrive late. Presentations and Recognitions - No proclamations were issued. Public Comment: Persons may speak on scheduled agenda items. Mr.Allen Lee, 5095 Maddox, addressed Council to speak in favor of Agenda Items 1 and 2 and to question if Item 3 included the budget and appropriate for citizen comment. Mayor Pro Tern Goodson informed Mr. Lee that, as usual, citizens may speak on any business item and that Item 3 is the FY2002 budget. Ms. Regina Lindsey, the new Executive Director for the South East Texas Arts Council, addressed Council to express her impression of the strong commitment the city has for ensuring the presence of a vibrant arts community. She reported that the Texas Arts Commission on the Arts cited SETAC as the best managed and most effective arts council in the state. Ms. Lindsey spoke of the City's contribution in their success, continued collaboration with CVB, and discussed receipt of a grant to implement a new arts magazine that would integrate arts into travel plans. She further explained that Santa Fe, New Mexico has led in promoting cultural tourism, that SETAC will use their program as a model, and requested not reducing SETAC's funding. Ms.Carmen McCumby, (no address given),formerly of Santa Fe,New Mexico,addressed Council to discuss working with the New Mexico Magazine, circulation statistics,tourism, and advertising revenue. She stated the purpose of the magazine is to educate readers and promote New Mexico as a tourist destination by utilizing upscale advertising to encourage shopping and attracting select conferences, conventions, and retreats, and requested full funding of SETAC and their effort to bring additional revenue to Beaumont. Ms. Gethrel Williams, 4495 Fortune Lane, addressed Council in opposition to delaying implementation of the employee compensation plan recommended in the Condrey compensation report, previous Council commitment to employees, and voiced support of the"budget not being balanced on the backs of dutiful everyday common working people." Mr. Bruce Hoffer, 2372 Calder, addressed Council to state understanding of the budget shortfall of anticipated revenues and proposed funding reductions tothe South East Texas Arts Council. He acknowledged participation in the grant funding process, spoke of programs and benefits funded by various arts programs in the community, and urged Council to fully fund the original designated amount to the Arts Council. Mr. Greg Busceme, 2110 Victoria, addressed Council regarding the proposed funding reduction of South East Texas Arts Council, spoke of our growing arts community being nationally recognized as a hot spot for the arts,and stated it is not the time to cut funding, but time to consider additional funding. He acknowledged the many organizations that are funded by the Arts Council,and requested assistance to promote Arts Council expansion and keeping the arts community active. Ms. Marigene McLaughlin, 520 Janette, addressed Council to express concerns about proposed arts and public transportation service reductions, and thanked volunteers and Council for the many community events. Mr. David Cargill,2304 Gladys, addressed Council as a committee member of the South East Texas Arts Council, suggested that we "keep Beaumont growing to keep it an interesting place," as it has in the last fifty years. Mr. Cargill claimed if growth ceases, young adults will move to more active communities. Mayor Pro Tern Goodson congratulated SETAC Director Regina Lindsey for the community support extended to her program and invited supporters in the audience to stand for acknowledgment. * Consent Agenda * Approval of minutes - July 31, 2001 * Confirmation of committee appointments- Reappointments: Lonnie Hood, term expiring July 5, 2003, and Randy Reece, term expiring June 28, 2003, to the Airport Advisory Committee;Dora Nisby,Community Development Advisory Committee,term expiring July Minutes August 14.2001 Paga 2 5, 2003; and Dr. Richard LeBlanc, Convention and Tourism Advisory Committee, term expiring July 26, 2003 - Resolution No. 01-181 A) Authorize the Chief of Police and the City Manager to execute all documents necessary to apply for and accept a Local Law Enforcement Block Grant from the Department of Justice Bureau of Justice Assistance(in the amount of$315,252 to purchase equipment and pay overtime for special projects)- Resolution No. 01-182 B) Approve a contract for furnishing janitorial services in buildings in the Downtown Municipal Complex(with Texas Industrial Contractor's, Inc.d.b.a.SanServe Building Services in the amount of$130,530.31)- Resolution No. 01-183 C) Authorize the City Attorney or his designee to file a lawsuit against James Rideaux,d.b.a. JR's Automotive to collect on a delinquent Small Business Revolving Loan(in the amount of$41,909.79) - Resolution No. 01- 184 D) Approve a bid for roof replacement and painting of structural steel at the Beaumont Municipal Airport North Hangar($34,834 to Swain Company, Inc. for replacement of the metal roof system and $23,872 to Civil Constructors for reconditioning and painting of structural steel) - Resolution No. 01-185 Councilmember Smith moved to approve the Consent Agenda. Councilmember Cokinos seconded the motion. MOTION PASSED. Ayes: Mayor Pro Tern Goodson, Councilmembers Smith, Cokinos, Ames, and Patterson Noes: None GENERAL BUSINESS 1. Consider approving a three-year lease agreement with Lamar University relating to Fire/Rescue Training Center (Councilmember Samuel arrived at 2:05 p.m. during presentation of Item 1.) Councilmember Cokinos moved to approve Resolution No.01-186 authorizing a contract with Lamar University for training, equipment and facilities at the Fire/Rescue Training Center beginning September 1, 2001 and ending August 31, 2004 for monthly payment of $21,500 and for the purchase option of recycled fuel at $0.60 per gallon. Councilmember Ames seconded the motion. MOTION PASSED. Ayes: Mayor Pro Tern Goodson, Councilmembers Smith, Cokinos, Ames, Samuel, and Patterson Noes: None 2. Consider a resolution recognizing College Street(US 90)from IH-10 East to Main Street as the Old Spanish Trail Minutes August 14,2001 Page 3 Councilmember Samuel expressed appreciation for the designation, stated the idea was generated from residents in the Avenues and the College Street Corridor,specifically from Mr. Chelette who supplied much information about the naming. In talking with residents in the area, Councilmember Samuel said, "it is likened unto a vein going into the heart, with the city downtown area being the heart of our city." With the revitalization of Crockett Street and the Riverfront Park area and Crockett Street being deep rooted in history, he said the designation fits with a scheme of Texas history for future development, and possibly designating the area from Fourth Street to M. L. King as the Old Spanish Trail District. Councilmember Samuel thanked Mr. Walter Crook from the Texas Department of Transportation, Senator Bernsen, and Council colleagues for their support of the designation. Councilmember Samuel moved to approve Resolution No. 01-187 designating College Street as the Old Spanish Trail from IH-10 to Main Street. Councilmember Patterson seconded the motion. MOTION PASSED. Ayes: Mayor Pro Tem Goodson, Councilmembers Smith, Cokinos, Ames, Samuel, and Patterson Noes: None 3. Receive the FY 2002 proposed Budget and schedule a public hearing Mr. Bonczek gave a PowerPoint presentation of the City Manager's proposed FY 2002 budget with an overview of Strategic Directions for 2002;FY 2002 Budget Challenges;FY 2002 Action Plan;Good News/Bad News;Fund Summaries;Revenues;and Expenditures as shown in Exhibit"A." After presentation of the Good News issues, Councilmember Samuel explained that he is midway in a Court trial and the judge allowed him a twenty minute recess to attend a portion of City Council and excused himself from the meeting at 2:22 p.m. after he confirmed that the budget will be presented in Ward meetings. Before Councilmember Samuel left the meeting,Mr. Bonczek interjected that this budget includes restoration of bus service from 6:00 p.m. to 9:00 p.m. during the week and on Saturday. The only reductions are for off peak times between 9:00 a.m. and 3:00 p.m. during the week. Immediately following presentation of the proposed FY 2002 budget, the City Manager used PowerPoint to present the FY 2002 Capital Improvement Program as shown in Exhibit"B." Mr. Bonczek informed Council that efforts are made to focus on cash flow to fund current projects, and said this budget proposes no new capital improvements. In the event federal funds are received to extend Delaware Street from Dowlen to Major Drive, there is $700,000 for the City's portion, and there are TIF monies to improve downtown with streetscape and archways for Crockett Street development. There has been no additional capacity generated for other capital improvements. Councilmember Smith complimented the City Manager and staff for doing an excellent job and working diligently on the many budget changes. Minutes August 14,2001 Page 4 Mayor Pro Tern Goodson also expressed appreciation to the City Manager and staff for the presentation and reiterated previous concerns of receiving surprises and asked that ordinary and extraordinary budgeting issues be addressed. As a point of fact, Mayor Pro Tern Goodson requested that liability issues and any compensation owed as part of an interlocal agreement with the Jefferson County Navigation District also be addressed. He stated this budget year has been very instructive, and issues presented must be monitored and reviewed throughout the year. Special funds and unanticipated revenues are being used to balance the budget. He spoke about sales tax trends, being vigilant not to rely on special funds or good fortune to balance the budget, but to look at permanent solutions to budget challenges, performance based budgeting by each department, containment of costs, and exploring other methods of controlling costs such as out- sourcing services i.e. collections and EMS in an effort to assure citizens of the best utilization of tax dollars. Mayor Pro Tern Goodson expressed a desire to look at continuing capital projects, budgets and necessary continued improvements throughout the city out of increased revenue streams from sales and ad valorem taxes. According to the Texas Municipal League, compared to ten years ago, sales taxes and ad valorem taxes are equally relied upon for city budgets. Mayor Pro Tern Goodson advocated continued work with the sales tax issue because of its budget impact. Councilmember Smith moved to approve Resolution No. 01-188 scheduling a public hearing on September 11,2001 to review the FY 2002 Proposed Budget. Councilmember Ames seconded the motion. MOTION PASSED. Ayes: Mayor Pro Tern Goodson, Councilmembers Smith, Cokinos, Ames, and Patterson Noes: None The City Manager stated this will be a most difficult budget to manage because of limited flexibility. There is a balance, but not a lot of resources in the event of unexpected revenue shortfalls or expenditures. He said the budget will be developed daily throughout the fiscal year to increase financial capacity. He announced that tentative neighborhood budget meetings have been scheduled:Ward I, September 10, Old Town Neighborhood Association;Ward 11, September 5,ACORN Neighborhood Association;Ward 111,August 22, M. L. K. Neighborhood Association; and Ward IV, August 23, South Park Baptist Church. All information gained at these meetings will be brought to the public hearing on September 11, 2001. 4. Schedule a public hearing on the FY 2002 Capital Improvement Program Councilmember Ames moved to approve Resolution No. 01-189 scheduling a public hearing on September 11, 2002 to review the FY 2002 Capital Improvement Program. Councilmember Smith seconded the motion. MOTION PASSED. Ayes: Mayor Pro Tern Goodson, Councilmembers Smith, Cokinos, Ames, and Patterson Noes: None Minutes August 14,2001 Page 5 COMMENTS * Councilmembers comment on various matters Mayor Pro Tern Goodson commented that he was unable to attend weekend events because of taking his daughter to college, but reported a large turnout at several events that included a motor car rally, a celebrity bike race, and a diversity of interest and activities. He expressed hopes that downtown redevelopment will encourage more diversity. * City Manager Report-McLean/Roberts Parks Improvements Funding;Beaumont Finalist for SETRPC Building Site; Neighborhood Budget Meetings City Manager Bonczek added comments about the classic car cruise and Mayor Moore winning the celebrity bike event. He reported receiving notification from Senator Gramm's office of a $200,000 funding award through the National Park Service - Urban Park and Recreation Recovery(UPARR). Texas Parks and Wildlife will provide ten percent of the match, $20,000, for park improvements at McLean and Roberts Parks. The City's match will be $30,000. Improvements include playground equipment, accessible surfacing, drainage improvements, refurbished sidewalks, site work and grading, landscaping, a drinking fountain,and a water spray device to replace the existing wading pool at Roberts Park for a total of$250,000 in improvements. Mr. Bonczek reported that Beaumont is a finalistfor construction site of the new South East Texas Regional Planning Commission's building, and the City of Beaumont will make a proposal presentation on September 4. * Public Comment (Persons are limited to three (3) minutes). Mr. George Bullington, 1822 Broadway, addressed Council concerning Beaumont Police Officer Ken Hobbs being critically injured in an off-duty motor cycle accident. Mr. Bullington spoke of Officer Hobbs' community volunteer activities and commitment, and, as a representative of the Old Town Historical Society, spoke in favor of more pay for public employees and in support of Officer Hobbs receiving worker's compensation pay. Reverend LeDay, 7498 Boyt Road and 1445 Lindberg Drive, addressed Council concerning statements relating to enhancing the lifestyle of citizens, spoke in opposition to funding reductions for public transportation and art programs, and invited Council to attend a Justice Department meeting August 21 at 7:00 p.m. at Our Mother of Mercy Church. (Councilmember Smith left Council Chambers at 3:12 p.m.) Mr. Allen Lee, 5095 Maddox, addressed Council to announce that representatives from the U. S. Justice Department of Community Relations Services will conduct a community forum on August 21, at Our Mother of Mercy Catholic Church, 3390 Sara Street, at 7:00 p.m. Mr. Lee announced that issues relating to racial profiling, denied services, jobs, education, housing, street repairs, environmental racism, reduction of public transit services, police abuse, tax revenue abuse, equal protection, equal representation, and Minutes August 14,2001 Page 6 equal justice under the law may be addressed. He reported that a news conference will be held tomorrow regarding African-American contractors not receiving bids, and said there will be changes. Mr. Leroy Lewis III, (no address given),addressed Council in support of the arts program, requested prayers for Officer Hobbs,and extended appreciation to volunteers for helping repair the park at Martin Elementary School. Mr. Lewis commented on vandalism, crime, additional police patrols, keeping bus services, loud music, stray animals, street repairs, and mosquitos, suggested private contributions to assist with budget recovery, providing cold water for bus patrons, and reported a truck ramp under water at 1420 M.L. King. Mr. Clarence Provost,2170 Washington Boulevard,addressed Council to report meeting with Police Department staff and others with a proposal to air pictures of convicted criminals on Channel 6's Crime Stoppers television segment and spoke of law and order. Mr. Gene Martin, 856 Palermo Drive, addressed Council to complain about slow bus service, related a personal long wait and unpleasant experience, and requested not changing bus schedules. He stated that many Lamar University students rely on bus transportation and presented a petition in opposition to reduction of bus service with approximately 141 signatures circulated at Saint Matthew's Episcopal Student Center. Mr. Benny Mendoza, 5655 South Kenneth, addressed Council concerning construction of five new homes on Florida and requested widening of Florida and Kenneth Streets. Mr. Mark Williford, 6395 Westgate, addressed Council to request that the Public Health Department not administer mercury based vaccines. He related circumstances of his daughter receiving a vaccine resulting in autism and limiting her ability to ever go to college. He quoted statistics and referred to a letter written by Congressman Dan Burton to Donna Shalala, Secretary of Health and Human Services, requesting a recall of all thimerosal-containing vaccines and again asked Council to ban use of mercury based vaccines at the Public Health Department. Ms. Ann Marie Edwards, 4045 Treadway, addressed Council to state that she originally located in Beaumont because of a business opportunity,but has chosen to remain mostly because of the arts community and spoke in support of full funding for SETAC. Mr. Robert Preston, 1190 Iowa, addressed Council concerning a past presidential order forbidding discrimination, ongoing administration, being threatened of arrest for reporting violations of law in his neighborhood,claimed instances of felony perjury by police officers, falsification of cases, and refusal of police officers to enforce warrants and unpaid fines. Ms. Jayne Bordelon, 8530 Frazier, addressed Council to announced school opening, Communities and Schools'first expansion school at Martin Elementary,and a playground built with the help of Home Depot,Outback Steak House,Cumulus,the Coast Guard,and other volunteers. Ms. Sonja Lemoins, 1325 Calvin, addressed Council regarding budget issues, the City Manager controlling funds, her previous written requests for explanation of fund expenditures,costs for public information,and complained of being ignored. Ms.Lemoins Minutes August 14.2001 Page 7 applauded the arts program,claimed layoffs are in Black communities,said children need library services,and addressed non-representation of communities. She requested review of certain City cancelled checks,claimed the Beaumont Enterprise only reports on select criminals, and that prosecutors are criminals. Ms. Sharon Braquet, Bra-K Wrecker Service,addressed Council to explain ownership of the wrecker service since the recent death of her husband,difficulty in transferring the tow truck permit, loss of wages from not being on the rotation list, and requested Council assistance in resolving the problem. EXECUTIVE SESSION Consider matters related to contemplated or pending litigation in accordance with Section 551.071 of the Government Code: State of Texas v. Joe F. Ball, et all Claim of Shaffer Manufacturing There being no further business, the meeting adjourned at 3:51 p.m. Guy N. Goodson, Mayor Pro Tern Barbara Liming, City Clerk Minutes August 14,2001 Pape 8 C S PROPO UDGET ,Ifl l�Y iiii 1. i 1 P � gyp F � Presentation to the Mayor, Councilmembers and the Citizens of Beaumont City Hall, Council Chambers City Manager, Stephen J. Bonczek EXHIBIT "A" g= Purpose of Presentation Discuss strategic financial issues facing the City Identify alternative courses of action for a balanced budget ➢ Provide for citizen participation in the development of the FY2002 Budget Overview Strategic Directions for 2002 FY 2002 Budget Challenges )-e- FY 2002 Action Plan Good News/Bad News Fund Summaries Revenues v Expenditures Strategic Directions For FY 2002 Build and Diversify the Economic Base :- Revitalize Neighborhoods Improve the Visual Appearance of the City Maintain Financial Stability FY 2402 Budget Challenges Maintain the quality of City services Provide for the repayment of debt Maintain sufficient fund balances Control the cost of government FY 2002 Action Plan Reduce the size of government Implement alternative revenue sources Adjust existing fees and charges ip! jl .. Good News ➢ Growth of beginning fund balance ➢ Personnel cost savings ➢ Building permits growth ➢ Economic development incentive impact ➢ Appraised values ➢ Improved financial performance in Enterprise Funds ➢ Successful theatrical series ➢ Increased state/private grants ➢ Increased elevation of the landfill ➢ Decline in gasoline prices ➢ Increased softball tournament participation ➢ Sale of City assets I Bad News • It°' ➢ Sales tax revenue short of projection Reduction in state transit subsidy ➢ Reduced EMS collections ➢ 2000 Census population loss ➢ Rising health care cost ➢ Fiscal impact of GASB 34 ➢ Increase in liability claims ■ a Fund S Balance Balance Fund 10/01/01 Revenues Expenditures 09/30/02 General $ 7,163,084 703376,200 7158269000 597135284 Debt Service 2,3035274 1399429400 1357269500 2,5199174 Enterprise 819369852 3297289000 33,0675600 895979252 TOTAL $ 1894039210 11750469600 11896209100 1658299710 �I Total Revenues $80 $70 r, $60 ,, $50 N C ` y 2000 Actual z �F titrt ifs s�sti - �L� � $40 ❑ 2001 Estimated •- $30 El 2002 Projected $20 $10 3 General Fund Water Fund Solid Waste Fund Total Expenditures $80 , ., • $70 $60 5 2S; y $40 `��� El 2000 Actual $30 ❑ 2001 Estimated 2002 Projected $20 " $10 ., $0 General Water Fund Solid Waste Fund Fund General Fund Revenues El Sales & Use Tax $2697529000 11 .7% 7.2% Property Tax 38.0% $129213,000 9.0% i Yt- o Industrial Payments t � ��� $11 ,728J00 r Wit` 1 uc. a— Gross Receipts Tax 16.7% $693509000 ° 17. ° Utility Fund Transfer $5,100,000 0 Other $8,232,500 Us e Tax Sales Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 2694819128 2691079000 26,7529000 6459000 38.O% t Taxes Property Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 13,076,734 12,485,000 12,213,000 (2729000) t 4 r N Asi f SX., 17.4% Industrial Payments L a 4 Actual Estimated FY Budgeted Increase FY 2000 2001 FY 2002 (Decrease) 1099699064 1152615900 1197285700 4665800 y 161% rr \ mazy y �a ri : m ii i `* i r Gross Receipts Taxes Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 597709315 790779100 69350,000 (727,100) 9.0% MW S sftiS l Transfer Utility lot Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 35650,000 452505000 5,100,000 8505000 7.2% Fund Expenditures n e ra e Public Safety 9.2 /o o $33,7249700 0 Public Services 16.8 /o $11 ,822,100 47.3% l 0 Community Services 3��A 222 5 t��. SS filly Ft tt zttt, ,F ,5r $7 7 7 219 100 t � 3 �rt�yf�r r sz� _ Y i vvs sst, 10.1 % Administrative $129003,200 16.6% Ej Transfers $6,525,500 ■ P l c Safety u w rya' 1 R�` S ➢ Fire & Rescue • Fire prevention & suppression • Emergency rescue • Education & training ➢ Police • Patrol • Criminal investigation • Special services P iil ly'� I III Public Safety y�,aY Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 3153665665 3298309200 3357245700 8945500 _ 47.3% ............ ty s 35 ry 'i 1 g5K1 55 '` r 711 1 avvAiv�ya v z Public Services ,C ����r r Public Works • Building permits • Street maintenance • Drainage maintenance • Transportation • Parks Public Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 10,868,842 12,117,500 11 ,822,100 (2955400) 16.6% a n, f�lll CommunityServices ➢ Library System .............. • Libraries • Literacy Program G5 ➢ Recreation • Recreational activities ➢ Public Health • EMS • Health programs 3 • Restaurant inspections j'i'I'�p'tf' j'ir • Animal control Community.............`11',.- Services Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 637459357 790643900 792199100 1549200 10.1 % VMS ys tt554j f �,Iftfff$frff ;;;; Administrative x'1111111-1, 111, Central Services City Attorney City Clerk City Manager Economic Development Finance Human Resources IV'PV Administrative Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 1194719771 1196169100 12,0039200 3879100 z 16.8% : f 3iSS5 lu '�" fffff�ti} r Ir'iv1 '�� {•at- sS t v �-��hr "^ r�z nFF� ,�•.. cfs l�f r� l`1L v5 f�f �i Shit Transfers Capital Reserve Municipal Transit Dependent Health Care Workers Compensation General Liability hyI Transfers Actual Estimated Budgeted Increase FY 2000 FY 2001 FY 2002 (Decrease) 596019700 697707500 790567900 2867400 t 9.2% 3 } ` t?Ft3.Ord Fiscal Year End Fund i B $9 555551 SL Sw :\ \ \ f \ $8 \ $ �� $6 cn $ O 9i •� �� mm fir \\� � t�( f. $41 $3 ro n $2 v $1 $0 V General Fund Water Fund Solid Waste Fund 0 2000 Actual ❑ 2001 Estimated 0 2002 Projected is" it i�V Balancing the FY 2002 Budget FY 2001 Projections General Fund Revenues $68,547,500 General Fund Expenditures 7053995200 Use of Fund Balance 198515700 A Historical Perspective Major Issues Occurring in FY 2000 - Increased EMS collections - Fees increased and/or reinstated - Increased revenues in Gross Receipts and Sales Tax - Vacant positions eliminated - Addition of fifth EMS unit - Additional fire station - Shift of $.01 from General Fund to Debt Service Historical Perspective FY 2001 Issues Shift 2 cents from General Fund to Debt Service $ 7403000 Six additional firefighters 3009000 Fifth EMS unit 4009000 Compensation Study (Phase I) 5753000 Retiree COLA 1753000 Economic Development 1503000 Sales Tax Shortfall 19700,000 Total $ 430409000 Historical Perspective FY 2002 Issues Shift 2 cents from General Fund to Debt Service (FY 01) $ 7609000 Six Firefighters 3009000 Fifth EMS Unit 4009000 Compensation Study (Phase I) 6509000 Retire COLA 175,000 Health Benefit Increase 4759000 Employee Merit Increase 9509000 Economic Development 1509000 Sales Tax Impact ___ Compensation Study (Phase II) ** Deferred ** 1609000 Shift additional 2 cents from General Fund to Debt Service (FY 02) 7609000 Total 393559000 Budget Reduction Strategies Reduce staffing Modify transit service hours Generate new revenue through new and/or increased fees Energy management Eliminate recycling Increase collections Weekend closure of the main library Reduce departmental operating expenses General Fund Revenue Enhancements Industrial district agreements Water connection fees Increase transfer from Enterprise Funds Increase existing fees Aggressive collections Sale of city assets Proposed Reductions/ Revenue Enhancements Public Safety $ 5205000 Public Works 6975000 Health Services 2885400 Community Services 929100 General Government 4429000 City-Wide 157885000 Total $ 450415000 Proposed Reductions Publi c � { Safety Budget to reflect vacancy trend Sworn positions $ 1359000 Eliminated position 409000 Funding changed for position 289000 Reduce fire apparatus level 3179000 Total Reductions $ 5209000 Proposed r Public Works Increase Transit fares $ 144,000 Charge Transit social services 1003000 Modify service hours 1003000 Eliminate vacant positions 104,500 Renegotiate street lighting contract 403500 General operating expenses 759100 Parks general maintenance 733300 Streets & Drainage heavy materials 159200 Increase parking violation fees 443400 Total Reductions $ 6973000 Proposed Reductions .......... Health Services Increase charge for vital statistic $ 56,900 records Eliminate vacant position 515500 Increase EMS rates 80,000 Improve EMS collections & 100,000 operational efficiencies Total Reductions $ 2885400 Departmental Reductions Community Services Automated library circulation system $ 165200 Eliminate vacant position 405800 General operating expenses 195300 Eliminate underutilized recreation programs 155800 Total Reductions $ 929100 Departmental Reductions General Government Art Museum ground maintenance $ 31600 General operating expenses 149500 Change in funding sources 499100 Eliminate vacant positions 2049800 Defer capital purchases 79500 Eliminate GTTD listing 29500 Aggressive collections 1009000 Cancel contract with Municipal Services Bureau 609000 Total Reductions $ 4429000 Other Alternatives Explored Stormwater utility fee Property tax increase Privatization of EMS Closing of Fare Station No. 11 Eliminate 'Transit Saturday service Reduce Transit service hours Eliminate service awards Eliminate Literacy Program Capoital m ...........- ... ....... ...t� r l r v r}rss 3 ��.. CiTy I /"'� r 5i�y s155 O f FfFr t B EAU MO T, - r � tf ' .......... 1 > rF ttr�` 'M" t �; �� am P IT i Moore } 7 sbr j PRC>N/El ENT P-D=wy �. CIRAM c 'mod 200' ................ y� f7 ........... =� UJ rt s .......... Wv '. . r Q 0 C! 0 0 # El rl D El [ I n 11 gg EXHIBIT "B" dj a ital t Program p f Current Scheduled Projects Projects Total General Improvements $ 3,810,000 - 0 - 398109000 Public Works 2393609000 9,2009000 3295609000 Total $ 2791709000 992009000 3693709000 I Improvements General Current Projects Charlton Pollard Neighborhood Park * $ 5005000 Miller Library Addition * 8009000 Perlstein Park (Phase 1) 2609000 Playground Renovations (Phase 1) 3009000 T. R. Johns, Sr. Branch Library Construction * 199509000 Total $ 398109000 Scheduled Projects None Scheduled $ 0 Total $ 3,810,000 * Denotes other funding Public Works Improvements Current Projects Major Drive * $ 4,0009000 Neches River Hike & Bike Trail 39400,000 Concord Phase II (includes Delaware outfall) 991505000 Concord Phase III (includes Concord North outfall) 593109000 Downtown Improvements 195009000 Total $ 2393609000 Scheduled Projects Phelan Boulevard - Major Drive to west of Westbrook $ 195009000 Caldwood Outfall 3,7009000 Moore Street Relief 490009000 Total $ 992009000 Total Public Works Projects $ 3295609000 Analysis of Outstanding Debt r Total Indebtedness - $130,248,598 r Outstanding Principal - $8092769091 v Debt Limit - $49,497,480 annually FY 2002 Debt Payment — $13,716,356 fill iIV De bt Service wt Fund Balance 23.1 % $390009000 $2,500,000 $2,000,000 \ 3 \ 0' $1 ,500,000 a i1 3 $150009000— s a IM $5009000 ay. 2000 2001 2002 2003 Cost of City Services Average Monthly Tax Rate of $36.20 provides for: • 24 Hour Police, Fire, EMS • Funding for major capital improvements • Library & Park facilities/services • Animal control • Restaurant inspections • Building code enforcements, inspections & permits • Public health services • Emergency and disaster management • Street lighting � Cost o f Compare monthly tax of $36.20 to the cost of: Cable TV with expanded basic service $50.00 +1 premium channel for one month One night at the movies for 4 with $37.50 popcorn & drinks Average monthly expenditure for one $86.83 person to eat out Beaumont Nederland Pt Neches Groves Pt Arthur Orange N w 44h Ln 0 d rt <D O 74n O 7 N 0 Mz x } Assessed V y � in M $49000 $39500 $3,000 .., $29500 r $29000 ■ Property \ $19500 ❑ Real\ $19000 H. $500 $0 FY 2000 FY 2001 FY 2002 End Result Balanced Budget NO Stormwater Fee NO Property Tax Increase Maintenance of essential services Financial stability