Loading...
HomeMy WebLinkAboutORD 86-95 ORDINANCE NO. ENTITLED AN ORDINANCE AMENDING THE BUDGET OF THE CITY OF BEAUMONT FOR THE FISCAL PERIOD COMMENCING OCTOBER 1 , 1985 AND ENDING SEPTEMBER 30, 1986; PROVIDING FOR SEVERABILITY AND PROVIDING FOR REPEAL. Section 1 . That the budget of the City of Beaumont for the fiscal period commencing October 1 , 1985 and ending September 30, 1986 be, and the same is hereby, amended as shown in the column headed "FY 1986 Estimate" on Exhibit "A" attached hereto and made a part hereof for all purposes and the amounts therein shown are hereby allocated and appropriated to the purposes therein indicated. Section 2 . 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 invalid, such invalidity shall not affect the remaining portions of this ordinance, and to such end the various portions and provisions of this ordinance are declared to be severable. Section 3 . That all ordinances or parts of ordinances in conflict herewith are repealed to the extent of the conflict only.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 day of 1986. Mayor - ANNUAL BUDGET CITY OF BEAUMONT, TEXAS FISCAL YEAR OCTOBER 1, 1986 - SEPTEMBER 30, 1987 CITY COUNCIL Maurice Meyers, Mayor David W. Moore, Mayor Pro-Tem Nell Pruitt Weisbach, Ward I Mike Brumley, Ward II Audwin Samuel, Ward III Bob Lee, Jr., At Large Andrew P. Cokinos, At Large Albert E. Haines, City Manager Exhibit "A' Public Works Organizational Chart ..................................... 50 Budget Summary ........................................... 52 Parks & Recreation Organizational Chart ..................................... 56 Budget Summary ........................................... 58 Library Organizational Chart ..................................... 62 Budget Summary ........................................... 64 Health Organizational Chart ..................................... 68 Budget Summary ........................................... 70 Resource Management Organizational Chart ..................................... 74 Budget Summary ........................................... 76 Non-Departmental Budget Summary ........................................... 80 SPECIAL REVENUE FUNDS Community Development Block Grant Fund Balance Summary ..................................... 84 Organizational Chart ..................................... 86 Budget Summary ........................................... 88 W.I.C. Program Fund Balance Summary ..................................... 92 Organizational Chart ..................................... 94 Budget Summary ........................................... 96 Miscellaneous Special Revenues Tax Increment Financing Fund ............................. 100 State Health Grant Fund ... 101 Transportation Grants Fund................................ 102 Misc. Public Safety Grants Fund .......................... 103 S.T.E.P. Program Fund .................................... 104 MURL's Grant Fund ........................................ 105 E.D.A. Grant Fund ........................................ 106 Confiscated Goods Fund ................................... 107 Hotel-Motel Tax Fund ..................................... 108 Revenue Sharing .......................................... 109 DEBT SERVICE FUND Fund Balance Summary ........................................ 110 Summary of Resources and Uses ............................... 111 ENTERPRISE FUNDS Water Fund Working Capital Summary .................................. 112 Summary of Resources and Uses ............................ 113 Organizational Chart ..................................... 114 Budget Summary ........................................... 116 ii TABLE OF CONTENTS BUDGET SUMMARY All Funds Budget Summary Fiscal Year 1987 Budget S1 All Funds Budget Summary Fiscal Year 1986 Estimate .......... S3 Resources By 'Type ........................................... S5 Uses By Type ................................................ S6 Uses By Fund ................................................ S7 Assessed Value and Estimated Actual Value of Taxable Property - Prior Ten Years ............................. S8 Property Levies and Collections Last Ten Years S9 Schedule of Property Tax Rates Last Ten Years .......... Slo AllFunds Personnel Summary ................................. S11 City's Organizational Chart ................................. S12 GENERAL FUND Fund Balance Summary ........................................ 2 Summary of Resources and Uses ............................... 3 _ Resources By Type ........................................... 4 Uses By Type ................................................ 5 Uses By Department .......................................... 6 Executive Organizational Chart ..................................... 8 Budget Summary ........................................... 10 Legal Organizational Chart ..................................... 14 Budget Summary ........................................... 16 City Clerk Organizational Chart ...................................... 20 Budget Summary ........................................... 22 Finance Organizational Chart ..................................... 26. Budget Summary ........................................... 28 Community Development Organizational Chart ..................................... 32 Budget Summary ........................................... 34 Police Organizational Chart ..................................... 38 Budget Summary ........................................... 40 Fire Organizational Chart ..................................... 44 . Budget Summary ........................................... 46 i Sanitation Fund Working Capital Summary .................................. 120 Summary of Resources and Uses ............................ 121 Organizational Chart ..................................... 122 Budget Summary ........................................... 124 Convention Facilities Fund Working Capital Summary ................................ 128 Summary of Resources and Uses ............................ 129 Organizational Chart ..................................... 130 Budget Summary ........................................... 132 Transit Fund Working Capital Summary .................................. 136 Summary of Resources and Uses ............................ 137 Organizational Chart .................................... 138 Budget Summary ........................................... 140 Landfill Fund Working Capital Summary .................................. 142 Summary of Resources and Uses ............................ 143 Organizational Chart ..................................... 144 Budget Summary ........................................... 146 Fire Training Grounds Fund Working Capital Summary .................................. 150 Summary of Resources and Uses ............................ 151 Organizational Chart ..................................... 152 Budget Summary ........................................... 154 Fleet Fund Working Capital Summary .................................. 158 . Summary of Resources and Uses ............................ 159 Organizational Chart ..................................... 160 Budget Summary ........................................... 162 Central Stores Working Capital Summary .................................. 166 Summary of Resources and Uses ............................ 167 Organizational Chart ..................................... 168 Budget Summary ........................................... 170 Insurance Fund Fund Balance Summary ..................................... 174 Summary of Resources and Uses ............................ 175 Organizational Chart ..................................... 176 Budget Summary ........................................... 178 TRUST & AGENCY FUND Library Trust Fund ....................................... 181 Library Endowment Trust Fund 182 Retired Employees Insurance Trust Fund 183 Fire Department Historical Museum Fund ................... 184 Community Donations Fund ................................. 185 Liability Insurance Fund ................................. 186 Julie Rogers Trust Fund .................................. 187 iii CAPITAL PROJECTS FUND Capital Projects Budget Summary ............................. 189 MISCELLANEOUS Executive Employees Monthly Salary Schedule.................. 191 Civilian Employees Annual Salary Schedule ................... 192 iv � t BUDGET SUMMARIES o d6 y} CITY OF BEAUMONT, TEXAS ALL FUNDS BUDGET SUMMARY - FISCAL YEAR 1987 RESOURCES, USES AND BALANCES ENTERPRISE FUNDS CETiR: L WATER SANITATION LANDFILL TRANSIT FIRE CONVENTION ACCOUNT NT NAME FUND FUND FUND FUND FUND "j.PJ0 1.1G FACILITIES Taxes $12,893,040 $ - $ - $ - $ - $ - $ - Gross Receipts Tax 4,928,570 - - - - - - Sales and Use Tax 9,471,000 - - - - - Ink2,stri al Payments 9,290,040 - - - - - Licenses and Permits 436,460 350 - - - - - Charges for Services 854,440 14,020,150 3,258,300 1,915,000 395,000 100,000 - Fines and Forfeits 1,288,00 - - - - Recreational Activities 81,880 - - - - - - Canmmity Facilities - - - - - - 593,000 Intergovernmental 15,730 - - - 526,650 - -, Interest Earnings 509,400 150,000 - 30,000 1,000 - - Miscellaneous 440,040 6,000 - - - - - OPERATING REVENUES 40,208,600 14,176,500 3,258,300 1,945,000 922,650 100,000 593,000 Transfers In 47,280 - - - 666,650 - 916,670 Recovery - E.S.M. - - - - - _ - OTHER RESOURCES 47,280 - - - 666,650 - 916,670 TONAL RESOURCES $40,255,880 $14,176,500 $3,258,300 $1,945,000 $1,589,300 $100,000 $1,509,670 Personnel $29,410,030 $ 4,199,630 $1,440,470 $ 489,390 $ - $ 40,470 $ 611,060 Supplies 2,296,340 870,570 107,400 101,310 - - 67,250 Services 9,031,010 2,163,090 1,536,230 440,980 1,467,300 45,000 831,360 Capital Outlay 410,890 131,240 2,500 12,000 - - - Other Expenditures (1,652,910) 6,153,620 171,700 901,320 (19,000) - - OPERATING EXPENDITURES 39,495,360 13,518,150 3,258,300 1,945,000 1,448,300 85,470 1,509,670 Transfers Out 1,033,180 135,000 - - - - - Uses of Working Capital - 403,750 TOTAL OTHER USES 1,033,180 538,750 - - - - _ TOTAL USES $40,528,540 $14,056,900 $3,258,300 $1,945,000 $1,448,300 $ 85,470 $1,509,670 Net for Year (272,660) 119,600 0 0 141,000 14,530 0 Beginning Balance 2,590,450 1,176,720 259,710 126,910 299,300 0 0 Ecxiing Balance $ 2,317,790 $ 1,296,320 $ 259,710 $ 126,910 $ 440,300 $ 14,530 $ 0 ` S1 TNTP'.R m SERVICE FUNDS SPECIAL REVENUE FUNDS FLEET CENTRAL, INSURANCE DEBT TRUST TOTAL FUND ST FM FUND SERVICE FIENDS OTHER C.B.D.G. ALL FUNDS $ - $ - $ - $6,498,410 $500,000 $ 35,500 $ - $19,926,950 - - 920,000 - 5,848,570 - - 9,471,000 - - - 9,290,040 - - - 436,810 3,654,420 197,070 - - - - - 24,394,380 - - - 1,288,000 - - - 81,880 - - - 593,000 - - - - - 600,910 1,960,940 3,104,230 1,000 - 8,000 380,000 14,950 500 - 1,094,850 200 - 4,963,520 129,020 161,960 24,600 - 5,725,340 3,655,620 197,070 4,971,520 7,007,430 676,910 1,581,510 1,960,940 81,255,050 - - 225,000 66,950 - - - 1,922,550 - 225,000 66,950 - - - 1,922,550 $3,655,620 $197,070 $5,196,520 $7,074,380 $676,910 $1,581,510 $1,960,940 $83,177,600 $ 653,700 $ 53,360 $ 149,500 $ - $ - $ 560,470 $ 469,740 $38,077,820 1,166,300 76,000 10,150 - 9,700 17,010 15,750 4,737,780 335,740 37,210 238,540 - - 168,290 33,360 16,328,110 1,499,880 30,500 1,000 - - 60,100 1,610 2,149,720 - - 4,797,330 7,069,640 644,000 - 1,440,480 19,506,180 3,655,620 197,070 5,196,520 7,069,640 653,700 805,870 1,960,940 80,799,610 - - - - 47,280 775,140 - 1,990,600 - - - 403,750 - - - 47,280 775,140 - 2,394,350 $3,655,620 $197,070 $5,196,520 $7,069,640 $700,980 $1,581,010 $1,960,940 $83,193,960 0 0 0 4,740 (24,070) 500 0 (16,360) 559,070 300 133,950 1,048,670 406,800 57,250 0 6,659,130 $ 559,070 $ 300 $ 133,950 $1,053,410 $382,730 $ 57,750 $ 0 $ 6,642,770 S2 0 W-�s CITY OF BEAUMONT, TEXAS ALL FUNDS BUDGET SUMMARY - FISCAL YEAR 1986 ESTIMATE RESOURCES, USES AND BALANCES E UERPRISE FUNDS WNIE12AL VU= SANIMION LANDFILL TRANSIT REVENUE ACCOUNT NAME FUND FUND FUND FUND FUND Sinuu2 G Taxes $13,254,760 $ - $ - $ - $ - $ - Gmss Receipts Tax 4,637,950 - - - - - Sales and Use Tax 9,582,300 - - - - - Industrial Payments 9,159,310 - - - - - Licenses and Permits 476,950 300 - - - - Charges for Services 849,840 12,249,270 3,628,350 1,899,700 395,000 - Fines and Forfeits 1,417,910 - - - - - Recreational Activities 81,980 - - - Caumuiity Facilities 523,000 - - - - - Intergovermental 17,000 - - - 507,050 1,406,270 Other Proceeds - - - - - - Interest Earnings 464,750 400,190 800 150,000 1,400 - Miscellaneous 359,840 8,090 - - - - OPERATING REVENUES 40,825,590 12,657,850 3,629,150 2,049,700 903,450 1,406,270 Transfers In 630,230 - - - 507,050 - Recovery - E.S.M. 4,023,030 1,862,970 - - - - OTHER RESOURCES 4,653,260 1,862,970 - - 507,050 - TOT11L RESOURCES $45,478,850 $14,520,820 $3,629,150 $2,049,700 $1,410,500 $1,406,270 Personnel $29,246,670 $ 3,982,590 $1,596,530 $ 482,070 $ - $ - Supplies 2,326,120 842,250 129,630 132,540 - - Services 9,906,200 2,108,760 1,659,630 507,740 1,429,100 - Capital Outlay 507,040 97,890 - 1,200 - - Other Expenditures (1,247,130) 6,298,410 170,000 883,050 (20,500) - OPERATING EXPENDITURES 40,738,900 13,329,900 3,555,790 2,006,600 1,408,600 - Transfers Out 1,007,050 135,000 - - - 1,406,270 Uses of Working Capital - 359,860 - - _ - TOTAL OTHER USES 1,007,050 494,860 - - - 1,406,270 TOTAL USES $41,745,950 $13,824,760 $3,555,790 $2,006,600 $1,408,600 $1,406,270 Net for Year 3,732,900 696,060 73,360 43,100 1,900 0 Beginning Balance (1,142,450) 480,660 186,350 83,810 297,400 0 Ending Balance $ 2,590,450 $ 1,176,720 $ 259,710 $ 126,910 $ 299,300 $ 0 S3 n?IE NAL SERVICE FUNDS SPBCTnr. REDS FLEET CENTRAL INSURANCE DEBT TRUST TOTAL FIND STCRES FUND SERVICE FUNDS OTHER C.B.D.G. ALL FUNDS $ - $ - $ - $6,440,200 $ - $ 59,250 $ - $19,754,210 887,490 - 5,525,440 - - 9,582,300 ' - - 9,159,310 - - 477,250 3,534,000 170,120 - - - - - 22,726,280 23,010 - 1,440,920 - - 81,980 - - 523,000 632,030 2,217,830 4,780,180 150,880 - - - - - - 150,880 1,700 - 12,000 750,000 14,760 300 - 1,795,900 250 - 5,671,150 127,680 268,050 - - 6,435,060 3,686,830 170,120 5,683,150 7,317,880 282,810 116021080 2,217,830 82,432,710 240,000 56,950 - - 1,434,230 5,886,000 - 240,000 56,950 - - - 7,320,230 $3,686,830 $170,120 $5,923,150 $7,374,830 $282,810 $1,602,080 $2,217,830 $89,752,940 $ 569,760 $ 48,060 $ 55,790 $ - $ - $ 594,840 $ 451,340 $37,027,650 1,013,740 75,880 8,250 - - 39,090 14,500 4,582,000 360,540 37,310 58,510 - - 491,800 61,910 16,621,500 1,144,720 1,870 - - - 81,100 - 1,833,820 - 5,960,500 6,971,880 100,800 - 1,690,080 20,807,090 3,088,760 163,120 6,083,050 6,971,880 100,800 1,206,830 2,217,830 80,872,060 - - - 8,850 404,790 - 2,961,960 - 359,860 8,850 404,790 - 3,321,820 $3,088,760 $163,120 $6,083,050 $6,971,880 $109,650 $1,611,620 $2,217,830 $84,193,880 598,070 7,000 (159,900) 402,950 173,160 (9,540) 0 5,559,060 (39,000) (6,700) 293,850 645,720 233,640 66,790 0 1,100,070 $ 559,070 $ 300 $ 133,950 $1,048,670 $406,800 $ 57,250 $ 0 $ 6,659,130 S4 ALL FUNDS RESOURCES $83,177,600 TRANSFERS IN 2.3% SALES & USE TAX 11.4% COMMUNITY ACIL FACILITIES t _E S PR P O ERTY A 24 % T X 0 0 _ — INTEREST - RE ST 1 3 MISCELLANEOUS LLA NE OUS 9 INDUSTRIAL >;;st{,:.,�;;Fr.;.•'rz:.rre;:&:;.:;r>:.:>,' »>'>::>>:>;::>;:>::>:<.:%::>>::><:s>::> :>::>::>::a:»><:::;::>i:.;;:.<:r;:>:<:;>:;:>::»:::. PAYMENTS S 11 2 INTERGOVERNMENTAL CHARGES FOR 3.7% SERVICES 29.3% GROSS RECEIPTS TAX 7.0% LICENSES & PERMITS 0.5% 4 FINES & FORFEITS 1.6% —RECREATIONAL ACTIVITIES 0.1% BY TYPE S5 ALL FUNDS USES $83,193,960 TRANSFERS OUT 2'.4% OTHER EXPENDITURES 23.4% PERSONNEL 45.8% SUPPLIES 5.7% SERVICES 19.6% USES OF WORKING CAPITAL 0.5% CAPITAL OUTLAY 2.6% BY TYPE S6 ALL FUNDS USES $83,193,960 INSURANCE 6.3% SANITATION 3.9% LANDFILL 2.4% v "" FLEET 4.4% w. ,: .' GENERAL 48.7% s. C.D.B.G. 2.4% •'° OTHER SPECIAL REVENUES 1.9% DEBT SERVICE 8.5% TRANSIT 1.7$ TRUST 0.8% WATER 16.9$ l CONVENTION FACILITIES 1.8% BY FUND _ CENTRAL STORES 0.2% _. FIRE TRAINING 0.1% S7 ASSESSED VALUE AND ESTIMATED ACTUAL VALUE OF TAXABLE PROPERTY LAST TEN FISCAL YEARS Personal Fiscal Real Property Prcperty Assessed Estimated Assess. Year Assessed Value Assessed Value Value Actual Value Ratio 1976-77 $ 432,904,200 $ 113,510,040 $ 546,414,240 $ 910,690,400 60% 1977-78 468,985,730 121,380,547 590,366,277 983,943,795 60% 1978-79 535,670,130 135,804,115 671,474,245 1,119,123,741 600 1979-80 571,215,590 156,918,660 728,134,250 1,213,557,083 600 1980-81 625,647,980 174,182,430 799,830,460 1,333,050,767 60% 1981-82 1,211,371,445 341,668,869 1,553,040,314 1,553,040,314 100% 1982-83 1,865,666,640 526,213,668 2,391,880,308 2,391,880,308 100% 1983-84 1,972,717,781 556,407,579 2,529,125,360 2,529,125,360 100% 1984-85 2,065,943,887 552,571,122 2,588,397,802(1) 2,588,397,802 100% 1985-86 2,360,281,120 506,721,475 2,867,002,595 2,867,002,595 100% 1986-87 N/A N/A 2,868,966,060 2,868,966,060 100% (1) Assessed Value Excluding Taxable Bank Shares: Net Taxable Value $2,648,762,592 Less: Taxable Bank Share Value (60,364,790) Assessed Value $2,588,397,802 S8 —J�4-( PROPERTY LEVIES AND COLLECTIONS LAST TEN FISCAL YEARS Total Ratio of Total Fiscal Municipal Total Tax Collections To Year Levy Collections Current Tax Levy 1976-77 $10,601,807 $10,558,752 99.6 1977-78 11,039,849 10,957,753 98.2 1978-79 12,556,568 12,471,376 99.3 1979-80 13,616,110 13,321,816 97.8 1980-81 14,966,705 14,804,506 99.1 1981-82 17,268,650 16,936,427 98.1 1982-83 18,116,624 17,729,617 97.9 1983-84 19,213,753 18,778,101 97.7 1984-85 20,189,501(1) 19,171,663(2) 95.0 1985-86 19,782,318 18,695,428(3) 94.5 (1) Municipal levy $20,660,346 Less: Bank share levy (470,845) Total Municipal Levy $20,189,501 (2) Total current tax collections Adjusted for bank share receipts: Total current tax collections $19,411,794 Less: Funds received from bank share values (240,131). Total Current Taxes Collected from Adjusted Levy $19,171,663 (3) Total current collection through June 30, 1986 59 SCHEDULE OF PROPERTY TAX RATES LAST TEN FISCAL YEARS Liability Capital Fiscal General Debt Insurance Projects Total Year Fund Service Trust Funds Tax Rate 1976-77 $ 1.295 $ .625 -- .02 $ 1.94 1977-78 1.155 .695 -- .02 1.87 1978-79 1.33 .54 -- -- 1.87 1979-80 1.33 .54 -- -- 1.87 1980-81 1.33 .54 -- __ 1.87 1981-82 .79 .33 -- -- 1.12 1982-83 .51 .24 -- -- .75 1983-84 .51 .25 -- -- .76 1984-85 .51 .27 -- -- .78 1985-86 .4646 .2254 -- -- .69 1986-87 .4462 .2254 .0184 -- .69 S10 Dz � -�� FY 1987 AUTHORIZED PERSONNEL SUMMARY FY 1987 FY 1986 VARIANCE EXECUTIVE 5 4 1 LEGAL 9 7 2 CITY CLERK 20 20 p FINANCE 43 41 2 COMMUNITY DEVELOPMENT 25 25 0 POLICE 260 259 1 FIRE 245 246 1 PUBLIC VdORKS 141 139 2 PARKS & RECREATION 49 50 1 LIBRARY 30 28 2 HEALTH 53.5 53.5 p RESOURCE MANAGEMENT 43 43 p GENERAL FUND TOTAL 923.5 915.5 8 PUBLIC UTILITIES 147 148 —1 SANITATION 53 54 —1 CONVENTION FACILITIES 15 10 5 LANDFILL 17 17 p FLEET 23 23 0 CENTRAL STORES 2 2 p INSURANCE 4.5 1.5 3 C.D.B.G. 14 14 0 W.I.C. 7 7 p FIRE TRAINING 1 0 1 TOTAL 283.5 276.5 7 ALL FUNDS TOTAL 1207.0 1192.0 15 S11 CITY OF BEAUMONT ORGANIZATIONAL CHART FY 1987 p� C7IZENS of BEAUMONr Accyountang �� ���` R�tant Central' lee s ���at � C�t�xa1 Stc�:res N A�nina.stonistxatior3ainttx � Engax�eearing �?i�nar�g/I��1�.t Reerea�.c� :' ��ty Heai.�= ���e ..< S'�x'eets �!3 wit rdc xata .tsyee ltd t Se7 is uTil `�rc�r�xtt �istxF��c�x •; ,Au�n�r,.isat�,gBCi ': �.x�s�arat.on .�strata.cux': Sup�ressigxa - Pa�►i !A'ater �ei.� �`aa.�.i�� fxat.c�na �ra7 7nve xg�tiw Wat2X1 A t btxticin C v ti ism Wax�ic�ti . WatPx 2�.am�ataan ''. THIS PAGE LEFT BLANK INTENTIONALLY t GENERAL FUND fi -d645 UNRESERVED FUND BALANCE SUMMARY GENERAL FUND AMEMC ED FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL TOTAL RESOURCES $ 40,255,880 $ 45,478,850 $ 44,521,510 $ 42,691,993 TOT%' USES 40,528,540 41,745,950 42,485,040 39,410,029 NET FOR YEAR (272,660) 3,732,900 2,036,470 3,281,964 WINNING BALM= 2,590,450 (1,142,450) (1,741,470) 1,533,384 ESM LOSS ALLOCATION — — — (7,529,457) AEGUSTMENTS _ _ - 1,571,655 (a) ENDING BALANCE $ 2,317,790 $ 2,590,450 $ 295,000 $ (1,142,454) (a) ADJUSTMENTS: �rrmr.rn n m OF BANK STOCK $ 1,500,000 ADJUST. IN F/B FOR MWENTORY 71,655 $ 1,571,655 2 SUMMARY OF RESOURCES AND USES GENERAL FUND At�IDID FY 1987 FY 1986 FY 1986 FY 1985 RESOURCES BUDGET ESTIMATE BUDGET ACTUAL PROPERTY TAXES $ 12,893,040 $ 13,254,760 $ 12,610,470 $ 13,066,792 GROSS SIP'S TAX 4,928,570 4,637,950 4,724,000 4,607,963 SUM & USE TAX 9,471,000 9,582,300 9,740,000 9,639,970 INDUSTRIAL PAYMENTS 9,290,040 9,159,310 9,262,510 8,337,522 LICENSES & PERMITS 436,460 476,950 524,360 467,070 CHARGES FM SERVICES 854,440 849,840 1,294,720 861,720 FINES & ErPMI'TG 1,288,000 1,417,910 1,802,890 1,853,932 REC. ACTIVITIES 81,880 81,980 87,510 87,753 ac)bt NITY FACILITIES 523,000 625,000 506,662 INTERGOVE2ISIML REV, 15,730 17,000 616,630 11,451 INTEREST EARNINGS 509,400 464,750 321,830 694,624 MISCT TAN YIUS 440,040 359,840 413,420 323,633 OPERATING REVENUES 40,208,600 40,825,590 42,023,340 40,459,086 TRANSFERS IN 47,280 630,230 1,398,170 2,232,901 RECOVERY--ESM 4,023,030 1,100,000 OTHER RESOURCES 47,280 4,653,260 2,498,170 2,232,901 TOM RESOURCES $ 40,255,880 $ 45,478,850 $ 44,521,510 $ 42,691,993 AMEBIDID FY 1987 FY 1986 BUDGET FY 1985 USES BUDGET ESTIMATE 1986 ACTUAL TOTAL PERSOhIIUL $ 29,410,030 $ 29,246,670 $ 30,592,500 $ 29,498,843 TOTAL SUPPLIES 2,296,340 2,326,120 2,274,510 2,104,732 TOM SERVICES 9,031,010 9,906,200 9,819,070 7,680,174 CAPITAL OUTLAY 410,890 507,040 458,190 169,654 OTHER EXPENDITURES (1,652,910) (1,247,130) (659,230) (606,024) OPERATING EXPENDITURE 39,495,360 40,738,900 42,485,040 38,847,380 TRANSFERS OUT 1,033,180 1,007,050 562,650 OTHER USES 1,033,180 1,007,050 0 562,650 ® TOTAL USES $ 40,528,540 $ 41,745,950 $ 42,485,040 $ 39,410,029 3 U 6� GENERAL FUND RESOURCES $40,255,880 SALES AND USE TAX PROPERTY TAX 2.3.5 32.0% INTEREST 1.3% MISCELLANEOUS 1,1g RECREATIONAL ` ACTIVITIES 0.2% 1 CHARGES FOR 111111111, SERVICES 2.1% INDUSTRIAL PAYMENTS 23.1% FINES AND FORFEITS TRANSFERS IN 0.1% 3.2$ INTERGOVERNMENTAL - LICENSES AND LESS THAN 0.1% PERMITS 1.1% GROSS RECEIPTS TAX 12.2% BY TYPE 4 GENERAL FUND USES $40,528,540 CAPITAL OUTLAY 1.0% i SERVICES 22.3% PERSONNEL 72.6% TRANSFERS OUT 2.5% SUPPLIES 5.7% 7 BY TYPE NOTE: NET OF REIMBURSEMENTS = -4.1% 5 0 pz �s E s GENERAL FUND USES $40,528,540 EXECUTIVE ' ,2.08 LEGAL 1.8% CITY CLERK 1.6% PUBLIC WORKS 17.2% r x x ?v RESOURCE MANAGEMENT . rz x xxax„x a4N�z . x� 4.6% xNYi �, z x ry ixHz,�z `x FINANCE 6.-1% PARKS AND Z x x RECREATION 6.2% POLICE 26.1$ COMMUNITY DEVELOPMENT 2.3 NON-DEPARTMENTAL 2.5% HEALTH 4.5% FIRE 22.0% f LIBRARY 3.1% BY DEPARTMENT 6 A lb?lda,6 qw_ L]if � BEAUMONT.JEXAS c EXECUTIVE fj �b9S EXECUTIVE ORGANIZATIONAL CHART FY 1987 MAYOR/CITY COUNCIL 0 OFFICE OF CITY MANAGER ECONOMIC DEVELOPMENT Now DEPARTMENT: EXECUTIVE TOTAL BUDGET $ 812,130 The FY 1987 Executive Department's budget reflects changes in the organizational structure of this Department. In addition to funds for the compensation of elected Council members and the day-to-day operations of the Council's and City Manager's office, a new division of Economic Development has been established to provide leadership and support for economic development activities in the City. The restructuring of this department has resulted in the transfer of four positions to other City departments, while two new positions were added to enhance the City's economic development efforts. The City's internal audit function, which was administered by the Office of the City Manager, was transferred in mid FY 1986 to the Finance Department and the Resource Management Department. The Aid to Other Agencies division has been eliminated and these funds have now been budgeted in the Economic Development Department, Hotel-Motel Fund, or the Convention Facilities Department. Other decreases in the Executive Department's budget relate to the discontinuance of the Employee Transition Accounts. These divisions were eliminated February 14, 1986. 9 EXECUTIVE DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 284,890 784,050 1,009,710 255,916 SUPPLIES 26,420 23,600 25,800 27,995 SERVICES 500,820 353,570 813,620 150,222 CAPITAL OUTLAY 8,000 8,000 1,085 REIMBURSEMENTS OTHER TOTAL BUDGET 812,130 1,169,220 1,857,130 435,218 DEPARTMENT/DIVISION FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL CITY COUNCIL 292,680 269,900 229,000 138,011 AID TO OTHER AGENCIES 72,380 613,460 CITY MANAGER 246,380 250,690 309,180 297,207 ECONOMIC DEVELOPMENT 273,070 COMMUNITY DEV.-EMPL. TRANS. 19,250 21,270 POLICE-EMPL. TRANS. 172,850 214,450 FIRE-EMPL. TRANS. 41,310 59,670 PUBLIC WORKS-EMPL. TRANS. 192,780 214,340 COMMUNITY SERV.-EMPL. TRANS. 102,990 134,580 ADMIN. SERVICES-EMPL. TRANS. 47,070 61,180 TOTAL BUDGET 812,130 1,169,220 1,857,130 435,218 10 EXECUTIVE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. City Manager City Manager. A4 1 Administrative Assistant 16 1 Executive Secretary 11 1 Total 3 Economic Development Economic Development Manager 21* 1 Sr. Secretary 09* 1 Total 2 DEPARTMENT TOTAL 5 *New positions for FY 1987. 11 THIS PAGE LEFT BLANK INTENTIONALLY � c LEGAL LEGAL ORGANIZATIONAL CHART FY 1987 CITY ATTORNEY snow LEGAL e f DEPARTMENT: LEGAL TOTAL BUDGET $ 748,880 The City Attorney and staff provide legal counsel and representation for the City Council, City Manager, Planning and Zoning Commission and other appointed boards and commissions, city administrators and various city departments. Services provided by this department include preparation and review of ordinances, resolutions, contracts, deeds, liens and other legal documents. Formal and informal opinions are given on questions of law pertaining to city operations. The Legal Department is responsible for prosecuting cases in Municipal Court and representing the city in eminent domain proceedings, damage suits, injunction suits, injury claims, arbitration and other litigations. Representation is provided also in hearings conducted by federal and state agencies. The department furnishes a variety of legal services relating to tax enforcement, zoning and land use regulations, traffic and parking control, utility rates, railroads, tax natters, bond sales and other matters requiring legislative action or involving interpretation of and application of law. _ 15 LEGAL DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 w BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 391,860 288,250 299,380 284,547 SUPPLIES 15,100 14,100 15,350 49,092 SERVICES 1,140,560 1,210,070 431,820 582,799 CAPITAL OUTLAY 3,390 REIMBURSEMENTS (798,640) (761,600) (300,860) (334,910) OTHER TOTAL BUDGET 748,880 750,820 445,690 584,918 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL LEGAL 337,110 310,420 291,550 297,226 CITY-WIDE CHARGES 411,770 440,400 154,140 287,692 TOTAL BUDGET 748,880 750,820 445,690 584,918 16 LEGAL DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Legal City Attorney A3 1 First As City Attorney 24 1 Sr. Assistant City Attorney 22* 2 Assistant City Attorney II 17 1 Assistant City Attorney I 16 1 Claims Adjuster 16* 1 Legal Secretary 10 2 DEPARTMENT TOTAL 9 *One Sr. Assistant City Attorney and Claims Adjuster are new positions in FY 1987. 17 THIS PAGE LEFT BLANK INTENTIONALLY CITY CLERK o tbvs CITY CLERK ORGANIZATIONAL CHART FY 1987 CITY CLERK N 0 MUNICIPAL COURT DEPARTMENT: CITY CLERK TOTAL BUDGET $ 644,580 The City Clerk's office maintains the City's official legislative records. Much of the activity of the department has to do with the recording, filing, and storage and retrieval of documents and official information for the City Council, City Manager, City Departments and the public. The City Clerk is also the Clerk of the Municipal Court. The City Clerk conducts all elections called by the city and schools, receives competitive bids in response to advertising for all departments, and performs other functions as dictated by Charter. The Clerk also serves as the Acting Civil Service Director. The Municipal Court Division has jurisdiction over traffic and parking violations and Class C misdemeanors, offenses subject to fines of not more than $200. The court processes complaints, issues citations, collects fines and hold trials. Records are maintained on all traffic and misdemeanor complaints and convictions. Preparations for trials are made by the administrative staff of the court including scheduling, posting of the docket and processing of juries. Warrants are issued in cases of failure to appear within tine limits specified on tickets. Staff also processes overdue notices and contacts witnesses and attorneys. 21 --6PI -�S CITY CLERK DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 539,400 506,060 513,800 506,001 SUPPLIES 19,650 17,820 18,700 17,424 SERVICES 67,180 70,950 70,200 82,440 CAPITAL OUTLAY 18,350 2,000 1,600 4,469 REIMBURSEMENTS OTHER TOTAL BUDGET 644,580 596,830 604,300 610,334 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL CITY CLERK 175,300 173,770 170,880 178,425 MUNICIPAL COURT 469,280 423,060 433,420 431,909 TOTAL BUDGET 644,580 596,830 604,300 610,334 22 CITY CLERK DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. City Clerk City Clerk A2 1 Senior Secretary 09 2 Total 3 Municipal Court Municipal Judge * 1 Court Administrator 19 1 Court Operations Supervisor 12 1 Secretary 08 2 Deputy Court Clerk II 08 5 Deputy Court Clerk I . 05 7 Total 17 DEPARTMENT TOTAL 20 *Salary paid for under contract for professional services 23 THIS PAGE LEFT BLANK INTENTIONALLY REAUMONTTEXAS FINANCE D 66 -pS FINANCE ORGANIZATIONAL CHART FY 1987 FINANCE ADMINISTRATION ACCOUNTING FINANCIAL INFORMATION & DEVELOPMENT PURCHASING INTERNAL AUDIT CENTRAL COLLECTIONS INFORMATION SYSTEMS ${iti INTFRML SERVICE FUM a DEPARTMENT FINANCE TOTAL BUDGET $ 2,462,560 The Department of Finance was reorganized late in FY 1986 in an effort to consolidate all of the financial resources of the City in one department in order to implement a new financial management system. The system of finance includes the following functions: budgeting, accounting, auditing, financial reporting, cash management and banking relations, debt management property management, financial management, and information systems. The department is made up of Administration, Financial Information & Development, Auditing, Accounting, Central Collections, Purchasing, and Information Systems divisions. The primary goals of this department are to develop and strengthen the accounting function, to provide more informative interim financial reports, to coordinate the financial activities of the City, and to provide data processing services to other city departments. Specifically, the Department intends to: Develop and update the departmental policies and procedures manual; Participate in the national recognition programs for financial statements and budgets sponsored by the Governmental Finance Officer's Association; Prepare interim financial reports on a quarterly basis, and Institute an automated receivable and insurance billing system for the Emergency Medical Services; and Install and implement a conversion of the City's current computer hardware and software. 27 FINANCE DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,456,120 1,188,630 1,315,310 1,073,150 SUPPLIES 120,400 98,180 991910 62,683 SERVICES 799,140 647,470 523,940 594,088 CAPITAL OUTLAY 86,900 274,100 280,700 30,501 REIMBURSEMENTS OTHER 250,000 288,000 384,333 TOTAL BUDGET 2,462,560 2,458,380 2,507,860 2,144,755 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL - I FINANCE ADMINISTRATION 270,020 468,450 452,410 580,741 FINANCIAL INFORMATION & DEV. 102,050 130,190 144,620 158,845 INTERNAL AUDIT 51,660 56,890 82,650 ACCOUNTING 361,880 319,500 345,100 207,125 CENTRAL COLLECTIONS 542,240 485,350 487,580 460,620 PURCHASING 137,690 132,000 129,340 176,690 INFORMATION SYSTEMS 997,020 866,000 866,160 560,734 TOTAL BUDGET 2,462,5601 2,458,380 2,507,860 2,144,755 28 FINANCE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Finance Administration Finance Officer E2 1 Cash Manager 15 1 Property Manager 14 1 Sr. Secretary 09 2 Total 5 Financial Information & Development Financial Information Manager 21 1 Financial Information Coordinator 13 1 Total 2 Auditing Internal Auditor 18 1 Total 1 Controller Controller 22 1 Accounting Supervisor 18 1 Accountant/Analyst 13 2 Accounting Technician 10 2 Account Clerk I 04 4 Clerk Typist 03 1 Total 11 29 FINANCE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. - Central Collections Collections Supervisor 16 1 Sr. Cashier 07 1 Account Clerk II 06 2 Clerk/Cashier 05 2 Billing/Collection Clerk 05* 4 Total 10 Purchasing Purchasing Agent 17 1 Buyer 12 1 Senior Clerk 07 1 Account Clerk I 04 1 Total 4 Information Systems M.I.S. Manager 22 1 Sr. Systems Analyst 18 1 Systems Analyst 15 2 Senior Programmer 14 1 Programmer 11 2 Computer Operator 07 2 Sr. Word Processing Clerk 06 1 Total 10 DEPARTMENT TOTAL 43 *One Billing/Collection Clerk transferred from EMS and one from Water Commercial 30 BEAZWONTTEXAS COMMUNITY DEVELOPMENT Gees COMMUNITY DEVELOPMENT ORGANIZATIONAL CHART FY 1987 COMMUNITY DEVELOPMENT ADMINISTRATION w N PHYSICAL PLANNING/ HOUSING/CODE DEVELOPMENT SERVICES ENFORCEMENT SnncIM REVFIM FUM r a t e DEPARTMENT: COMMUNITY DEVELOPMENT TOTAL BUDGET $ 923,170 Community Development Administration: Manages the activities of the Department. Plans, organizes and directs the activities of the department including Administration, Planning, Housing, and C.D.B.G. Develops the overall policy in the areas of Planning/Development Services, Housing/Code Enforcement, and C.D.B.G. and guides the division heads in the development of policy and methods of cperations for their divisions. Prepares departmental budgets; maintains good public relations and assures maximum utilization of allotted personnel, facilities and funds. In addition, coordinates departmental activities and resolves work problem. Planning/Development Services: Prepares neighborhood conservation and redevelopment plans and site specific developmnt plans and projects. Other functions include coordination of the Capital Improvements Programs, development of demographic and socioeconomic studies, collection and distribution of market study data and preparation of various elements of the Comprehensive Plan. Administers the City's zoning ordinance and subdivision regulations, conducts land use and zoning studies, reviews subdivision plats and requests for abandonments of right-of-way or easements, and coordinates the centralized permitting program. Also, reviews requests for zoning variances and appeals from administrative decisions. Housing/Code Enforcement Develop and administers policies that provide 'minimum standards of health, safety, and welfare for the homes of this community and the commercial, industrial, and other enterprise structures of this City. Uniformly administers building, electrical, plumbing, mechanical, and minimum housing codes. Improves coordination of inspection in order for public convenience. Encourages rehabilitation of structures and elimination of blighted and/or dangerous structures. 33 COMMUNITY DEVELOPMENT DEPARTMENTAL BUDGET SUMMARY v EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 809,200 804,200 1,203,690 835,354 SUPPLIES 35,670 38,140 52,530 32,687 SERVICES 133,250 113,620 153,610 87,370 CAPITAL OUTLAY 5,050 7,350 350 1,638 REIMBURSEMENTS (60,000) (56,320) OTHER TOTAL BUDGET 923,170 906,990 1,410,180 957,049 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL COMMUNITY DEVELOPMENT ADMIN. 89,210 106,150 126,860 85,231 PLANNING/DEVELOPMENT SERVICES 275,530 277,120 357,910 304,217 HOUSING/CODE ENFORCEMENT 558,430 523,720 560,690 567,601 HOUSING REHABILITATION . 173,070 C.D.B.G. 191,650 TOTAL BUDGET 923,170 906,990 1,410,180 957,049 34 COMMUNITY DEVELOPMENT DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL POSITION TITLE FY 1987 GRADE NO. Community Development Community Development Director E4 1. Secretary 08 1 Total 2 Planning/Development Services City Planner 22 1 Sr. Planner 18 2 Planner 14 2 Sr. Secretary 09 1 Sr. Clerk Typist 07 1 Planning Technician 06 1 Drafting Technician 06 1 Total 9 Housing Code Enforcement Building Official 19 1 Asst. Building Official 14 1 Code Inspector II 11 3 Code Inspector I 09 5 Sr. Clerk 07 1 Clerk Typist 03 3 Total 14 DEPARTMENT TOTAL 25 35 DEPARTMENT POLICE TOTAL BUDGET $ 10,565,070 The primary functions of the Police Department are: The protection of life and property; the apprehension of criminals; preservation of the peace; and the enforcement of local, state, and federal laws. To handle these tasks, the department is divided into four divisions: (1) Administrative Division, (2) Patrol, (3) Investigative, and (4) Services. The Administrative Division formulates and implements department policies and objectives, investigates complaints of police misconduct, coordinates in-service training, and firearms qualifications, and is responsible for the recruitment and selection of police applicants. The Patrol Division makes the primary response to calls for service and the initial investigation of incidents, conducts follow-up investigations, handles hit and run accidents, and processes the large volume of warrants. The Investigative Division conducts follow-up investigations, files criminal charges, initial investigation of certain offenses, and administers the Crime Stoppers Program. The Services Division provides support services such as communications, records, uniform supplies, etc. Over the past three years, 41 positions have been deleted from the department's budget. However, 11 officers were returned to line duty with jail consolidation, with the net result of thirty positions being removed from authorized strength. At the same time, crime has increased both nationally and locally. In 1985, violent and serious crimes increased 8%, calls for service increased 13%, and reporting of incidents was 22% above the previous year. But even with the shortage of human resources and a more demanding workload, the department attempts to maximize its resources. For example, the 'National Commission on Police Productivity" states, "To be highly productive, seventy-five percent of an organization's personnel should be assigned to line units." The Police Department currently has seventy-eight percent of its personnel in such positions. The budget for Fiscal Year 1987 will allow the department to maintain services as currently provided. The only anticipated operational change is an evaluation of the response to calls for service, and the feasibility of implementing a Differential Police Response (DPR) Program. DPR will not significantly change the service level of the Department, but will match the Department's response to the nature of the call. The department has applied for two grants for next year. One would add an officer to investigate cases where a juvenile is the victim. The other grant would add a Community Relations Officer who will develop procedures for dealing with the unique problems faced by police in dealing with the Vietnamese Community. This knowledge will be incorporated into a model, pilot program for the benefit of our city and other cities with similar problems. Our FY 1987 budget request of $10,565,070 represents less than a 1% increase over the previous year and is based on the known inflation factors which directly affect our operation. The FY 1987 budget includes an increase of .7% which is directly attributable to the step raises for sworn personnel as provided by contract between the City and Beaumont Police Officers Association. The budget is "bare bones", and provides no funds for any unforseen contingencies which might arise. 39 � BEAUMONT, TEXAS, c POLICE o e6 fs POLICE ORGANIZATIONAL CHART FY 1987 POLICE ADMINISTRATION w PATROL SERVICES INVESTIGATIVE POLICE DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 y BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 8,622,090 8,814,130 8,846,470 8,704,658 SUPPLIES 532,090 560,270 546,770 490,467 SERVICES 1,415,530 1,096,630 1,092,830 801,832 CAPITAL OUTLAY 59,100 129,350 114,350 55,108 REIMBURSEMENTS (63,740) (139,270) (41,920) (25,064) OTHER TOTAL BUDGET 10,565,070 10,461,110 10,558,500 10,027,001 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL POLICE ADMINISTRATION 902,290 844,030 809,850 587,323 PATROL DIVISION 5,562,760 5,602,770 5,666,050 5,099,192 INVESTIGATIVE DIVISION 2,253,230 2,308,730 2,079,780 21149,724 SERVICES DIVISION 1,846,790 1,705,580 2,002,820 2,190,762 TOTAL BUDGET 10,565,070 10,461,110 10,558,500 10,027,001 40 � BEAUMONT, TEXAS c FIRE o -e6-ys POLICE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Administration Police Chief E3 1 Major 20 1 Captain IV 1 Sergeant II 4 Patrolmen I 3 Sr. Secretary 09 1 Secretary 08 1 Sr. Clerk Typist 07 3 Total 15 Patrol Major 20 1 Captain IV 3 Lieutenant III 3 Sergeant. II 21 Patrolmen I 118 Secretary 08 1 Total 147 Investigation Major 20 1 Captain IV 1 Lieutenant III 5 Sergeant II 24 Patrolmen I* 17 Special Services Technician 10 1 Clerical Supervisor 09 1 Secretary 08 1 Sr. Clerk Typist 07 2 ID Criminoligist Technician 06 2 Data Entry Clerk 03 1 Total 56 41 POLICE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Services Major 20 1 Captain IV 3 Lieutenant III 2 Sergeant II 17 Patrolmen I 2 Programmer 11 1 Clerical Supervisor 09 1 Sr. Clerk Typist 07 2 Dispatcher II 06 1 Traffic Clerk 03 2 Clerk Typist 03 8 Vehicle Inspector 03 1 Custodian II 02 1 Total 42 DEPARTMENT TOTAL 260 *Funded by new grant program 42 FIRE ORGANIZATIONAL CHART FY 1987 FIRE ADMINISTRATION FIRE SUPPRESSION EMERGENCY_ MEDICAL SERVICES DEPARTMENT FIRE TOTAL BUDGET $ 8,917,960 The proposed budget enables the Fire Department to maintain the same level of service provided in fiscal year 1986. Excluding the proposed expenditures for fixed assets which have been severely curtailed for the last several years, the total request for all other accounts - personnel, supplies, and services - totals $8,834,620 or about 2% more than the 1986 budget amount, holding all else equal for purposes of comparisons. The requested personnel budget makes changes which will enhance our ability to maintain proper control. The total authorized strength reflects a clerk transferred to the Finance Department, Central Collections, and a request for an additional secretary to the Administration Budget at a cost of about $21,510. Personnel adjustments, along with some reassignment of duties and reorganization, will better satisfy the needs of this Department. The proposed budget reflects an increase in services due mainly to fleet rental charges. Excluding fleet rental, the increase is less than 1%. Proposed expenditures for Capital Outlay total $83,340. Of this amount, $20,000 is for a new breathing air system used to fill air bottles, and $14,000 is for replacement of a rescue tool on Car 52. The proposed budget including fixed assets totals $8,917,960 for FY 1987. Because of the current economic condition, restoration of some of the 20 positions cut from suppression over the last several years (13 last year) has not been included. This department has, so far, managed to keep all 11 stations open; however, the number of occasions with only two men at a station is becoming more frequent and is a concern to this department. Such conditions are not in keeping with the practices of a first class Fire Department and merit further discussion, which is requested to be reviewed in the near future. 45 FIRE DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 7,966,910 7,691,060 7,868,950 81018,100 SUPPLIES 180,200 170,450 182,020 104,041 SERVICES 687,510 559,490 660,540 430,140 CAPITAL OUTLAY 83,340 30,150 30,240 23,017 REIMBURSEMENTS OTHER TOTAL BUDGET 8,917,960 8,451,150 8,741,750 8,575,298 DEPARTMENT/DIVISION FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL FIRE ADMIN. & SUPPORT 1,087,620 1,039,560 1,088,050 982,383 FIRE SUPRRESSION 7,260,170 6,868,060 7,063,260 7,041,006 EMS 570,170 543,530 590,440 551,909 TOTAL BUDGET 8,917,960 8,451,150 8,741,750 8,575,298 46 FIRE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Fire Administration & Support Fire Chief E3 1 Administrative Assistant 16 1 Equipment Mechanic Leader 11 1 Equipment Mechanic II 09 2 Sr. Secretary 09 1 Secretary 08 1 Sr. Clerk Typist 07 2 District Chief IV 3 Fire Captain III 10 Fire Engineer II 2 Fire Fighter I 3 Total 27 Fire Suppression Assistant Chief VI 1 Deputy Chief V 3 District Chief IV 9 Fire Captain III 33 Fire Engineer II 69 Fire Fighter I 90 Total 205 Emergency Medical Services EMS Manager 19 1 Paramedic 08 6 EMT 05 6 Total 13 DEPARTMENT TOTAL 245 c 47 Q 00 l THIS PAGE LEFT BLANK INTENTIONALLY � c PUBLIC WORKS O -F6 YS PUBLIC WORKS ORGANIZATIONAL CHART FY 1987 PUBLIC WORKS ADMINISTRATION STREETS ENGINEERING cn 0 DRAINAGE AIRPORT TRAFFIC AFF I C . :...:........ DEPARTMENT PUBLIC WORKS TOTAL BUDGET $ 6,977,690 The Public Works Department provides an integrated system of transportation and drainage activities for the citizens. There are three field service divisions (Drainage, Streets, and Traffic/Street Lighting) ; two support divisions (Administration and Engineering) ; and two "contract" activities (Transit and Airport). The Administration Division provides coordination and support through development of policies, procedures, budgets and employee training programs. Administration of Transit and Airport service contracts, with the advice of the Transit Advisory and Airport Advisory Committees, is also provided. The Engineering Division plans, organizes, directs and supervises activities including establishing policies, and procedures, is responsible for ROW acquisition and disposal of City-owned properties; prepares studies and field data for long-range capital improvements; design and constructs streets, storm sewer and bridges; reviews subdivision plats, inspects and accepts for the City completed subdivisions; reviews building permit applications; issues and reviews access permit applications for activities on ROV]; coordinates ROW construction with emergency services; handles public information and requests on streets and drainage; performs engineering consulting services for other City departments, including design, surveys, and construction control. The Drainage Division provides for construction and maintenance of ditches, driveway, street crossovers and drainage pipes; construction of catch basins and repair of cavities. The Street Division maintains asphalt, concrete and unimproved roads within the City. It also installs and repairs underground signal facilities and installs and maintains traffic control signs along City streets. The Traffic Division performs the City's traffic engineering functions, including traffic signals, freeway lighting, traffic studies, parking control and school safety. It also processes requests for the installation of street lights by Gulf States Utilities. Included in the Public Works Budget are two functions that were not budgeted during fiscal year 1986. The two functions are School Safety and Hazardous Sidewalk Repair and Joint Sealing. The School Safety Program is to provide for the safety of children traveling to and from school. The Hazardous Sidewalk Repair and Joint Sealing Program involves the repair of sidewalks that have been identified by the Street Division as being hazardous and the sealing of joints and cracks in concrete and asphalt streets. 51 d0 7_t> PUBLIC WORKS DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 4,206,460 3,764,020 3,862,980 4,342,338 SUPPLIES 785,000 725,000 683,680 890,402 SERVICES 2,435,010 2,339,170 2,850,850 2,408,563 CAPITAL OUTLAY 76,250 33,760 2,000 19,214 REIMBURSEMENTS (525,030) (374,530) (604,450) (633A7,027,203 314) OTHER TOTAL BUDGET 6,977,690 6,487,420 6,795,060 DEPARTMENT/DIVISION FY 1987 FY, 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PUBLIC WORKS ADMINISTRATION 154,690 150,480 155,990 232,807 ENGINEERING 694,510 656,220 672,290 652,286 DRAINAGE DIVISION 1,976,620 1,862,550 1,879,160 2,075,330 STREETS DIVISION 2,108,590 1,782,730 1,762,420 1,905,991 TRAFFIC DIVISION 1,971,230 .1,978,740 2,245,790 2,083,667 AIRPORT 72,050 56,700 79,410 77,122 TOTAL BUDGET 6,977,690 6,487,420 6,795,060 1 7,027,203 52 PUBLIC WORKS DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Public Works Administration ,Public Works Director E3 1 Program Coordinator 13 1 Sr. Secretary 09 1 Sr. Clerk 07 1 Public Works Clerk 02 1 Total 5 Drainage Drainage Superintendent 20 1 General Foreman 12 1 Foreman 10 2 Welder 09 1 Equipment Operator Leader 08 5 Sr. Clerk 07 1 Equipment Operator II 06 6 Crew Leader I 06 4 Equipment Operator I 05 11 Maintenance Worker I 01 14 Total 46 Streets Street Superintendent 20 1 General Foreman 12 1 Foreman 10 2 Crew Leader II 08 2 Sr. Clerk 07 1 Equipment Operator II 06 5 Crew Leader I 06 11 Equipment Operator I 05* 4 Sign Fabricator 05 1 Sign Installer/Repairer 03 2 Sign Fabrication Aide 02 1 Maintenance Worker I 01* 14 Total 45 53 PUBLIC WORKS DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL POSITION TITLE FY 1987 GRADE NO. Traffic Traffic Engineer 21 1 Signal Superintendent 13 1 General Foreman 12 1 Civil Engineer I 1 Engineering Technician 1 11 1 1 Traffic Design Technician 10 1 Electrician Electronics Technician II 09 2 Secretary 08 5 Meter Repairer 08 1 Traffic Technician 03 1 Parking Control Officer 01 1 Ol 2 Total 18 Engineering City Engineer 24 1 Civil Engineer III 20 2 Civil Engineer II 16 2 Real Property Specialist II 13 Field Supervisor 1 Civil Engineer I l2 1 Real Property Specialist I 11 1 Construction Inspector II 11 1 Engineering Technician 11 4 Engineering Assistant I 10 1 Draftin g Supervisor Su 10 1 1 Construction Inspector I 10 Survey Party Chief 10 1 Secretary 10 2 Survey Technician 08 1 Drafting Technician 08 2 Word Processing Clerk 06 3 Survey Aide 04 1 01 1 Total 27 DEPARTMENT TOTAL 141 *New positions in FY 1987. =_ 54 PARKS AND RECREATION DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL POSITION TITLE FY 19$7 GRADE N®. Parks Parks Manager 19 1 Assistant Parks Manager 17 1 Foreman 10 1 Sr. Secretary 09 1 Crew Leader II 08 3 Crew Leader I 06 3 Maintenance Worker III 06 1 Equipment Operator II 06 1 Equipment Operator I 05 14 Custodian II 02 1 Maintenance Worker I 01 17 b Total 44 Recreation Recreation Manager 17 1 Community Center Supervisor 14 1 Program Coordinator - BYC 14 1 Athletic Supervisor 14 1 Sr. Clerk Typist 07 1 Tennis Pro * -- Total 5 DEPARTMENT TOTAL 49 59 az " DEPARTMENT : PARKS & RECREATION TOTAL BUDGET $ 2,533,560 The 1986-87 Parks budget reflects the same service levels as the 1985-86 budget. The reductions in the 1985-86 budget resulted in elimination of City-owned vacant lot cutting, which had been done by this department. It is recommended that the vacant City lot mowing be contracted out at an estimated cost of $60,000. When the vacant lot cutting was done by the Parks Department the cost was $86,000. The $60,000 is included in the special services line-item account. The Parks Department will continue the Bermuda release program which was begun in 1984. The increase in fleet rental and insurance is due to anticipated replacement of equipment. A concentrated effort will be made to increase productivity and maintenance standards with available personnel and supplies. Beautification of boulevards will continue and extra effort will be made to clean up and improve the appearance of the downtown area as well as other highly visible areas. The fixed asset request is basically the same as was requested in the 1985-86 budget which was not funded. 57 gs PARKS & RECREATION DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,490,090 1,890,200 1,860,730 1,887,046 SUPPLIES 120,760 185,440 166,120 149,389 SERVICES 891,360 1,385,150 1,523,190 1,492,935 CAPITAL OUTLAY 27,350 1,860 780 27,380 REIMBURSEMENTS OTHER 4,000 10,000 2,929 TOTAL BUDGET 2,533,560 3,472,650 3,550,820 3,559,679 DEPARTMENT/DIVISION FY 1987 FY- 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL COMMUNITY SERVICES ADMIN. 85,700 87,860 PARKS & RECREATION ADMIN. 110,773 PARKS DIVISION 2,126,350 1,985,160 2,111,060 2,006,513 RECREATION DIVISION 407,210 - 343,560 357,810 348,305 COMMUNITY FACILITIES 1,058,230 994,090 1,094,088 TOTAL BUDGET 2,533,560 3,472,650 3,550,820 J3,559,6 58 THIS PAGE LEFT BLANK INTENTIONALLY � c LIBRARY oe6yS LIBRARY ORGANIZATIONAL CHART FY 1987 BEAUMONT PUBLIC LIBRARY N MILLER BRANCH TYRRELL HISTORICAL DEPARTMENT: LIBRARY TOTAL BUDGET $ 1,253,530 The City Library System includes the main Beaumont Public Library, Tyrrell Historical Library and Miller Memorial Branch Library. These libraries offer a wide range of educational, cultural and recreational resources. The library buildings provide facilities for meetings and programs and activities sponsored iii' the libraries. Many of these are funded through grants from organizations and foundations such as the Mobil Foundation, Inc. , a long-time donor. Library services and materials on loan are made available through a library mobile which makes regular visits to nursing homes. An active Summer Reading Club Program is held each summer for children. The Beaumont Public Library Endowment Fund and Trust Fund both allow long term gifts for the Library System. The contributions to these funds along with memorial gifts allow the citizens of Beaumont to avail themselves of improved library services and collections. The Library System has more than 218,000 volumes in its book collection and more. than 40,000 active library cards. Reference services answer approximately 3,500 questions a month. The reinstatement of the audio-visual Department will provide records, cassette tapes, 16mm films, filmstrips, and video tapes to the citizens of Beaumont. This will add two Clerk I positions to the staff. The total cost of this service is $50,000. 63 LIBRARY DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 768,430 597,380 647,580 700,313 SUPPLIES 194,230 153,700 168,010 96,923 SERVICES 283,670 262,100 280,850 182,765 CAPITAL OUTLAY 7,200 5,000 REIMBURSEMENTS OTHER TOTAL BUDGET 1,253,530 1,018,180 1,096,440 980,001 DEPARTMENT/DIVISION FY 1987 FY- 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL t LIBRARY 1,253,530 1,018,180 1,096,440 980,001 TOTAL BUDGET 1 ,253,530 1,018,180 1,096,440 980,001 64 LIBRARY DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Library Library Director E5 1 Librarian III 17 1 Librarian II 14 3 Librarian I 10 7 Sr. Secretary 09 1 Sr. Clerk Typist 07 1 Sr. Library Clerk 06 1 Custodian Leader 06 1 Library Clerk 03 12 Custodian II 02 1 Custodian I 01 1 DEPARTMENT TOTAL 30 65 0 0 P THIS PAGE LEFT BLANK INTENTIONALLY � c HEALTH cv -�s-Ps HEALTH ORGANIZATIONAL CHART FY 1987 HEALTH ADMINISTRATION o� COMMUNITY HEALTH CLINIC PUBLIC HEALTH NURSING ANIMAL CONTROL ENVIRONMENTAL HEALTH ® SPECIAL REVENUE FUND INTERNAL SERVICE FUND DEPARTMENT ; HEALTH TOTAL BUDGET $ 1,810,550 Services performed by the Beaumont Health Department contribute to an overall program for providing health care, preventing disease and maintaining a healthy environment. The Health Department's Administrative and Supportive Services Division provides medical and administrative supervision for its specialized divisions. The Beaumont Community Health and Dental clinics provide diagnostic services and outpatient care for the indigent. The Environmental Health Division regulates and enforces environmental codes, including food service inspections, weed and litter violations, and corrections of public health nuisances. The Animal Control Division enforces the City's animal control ordinances and protects the population from the threat of rabies and other diseases. The Nursing Division provides direct nursing services to the public, including immunizations, well child clinics, and other specialized services. WIC Nutrition provides a federally-funded nutrition supplement, screening and education program for qualified participants. Employee Health Services provides services to City employees for on-the-job injuries, pre-employment and annual physical exams as required, health . screenings and wellness-related activities. Other divisions include Vital Statistics, which is responsible for validating and maintaining records of births and deaths; a laboratory that runs bacteriological and chemical tests for other divisions and agencies; Health Education Section which conducts classes for schools and eating establishments and offers films and educational programs; EPSDT, a diagnostic and testing progam, and a building and grounds maintenance sections. 69 HEALTH DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,501,110 1,341,640 1,616,900 1,400,929 SUPPLIES 132,580 117,670 121 ,700 92,528 SERVICES 381,360 350,090 294,380 256,770 CAPITAL OUTLAY 5,000 7,470 12,170 3,267 REIMBURSEMENTS (209,500) (175,410) OTHER TOTAL BUDGET 1,810,550 1,641,460 2,045,150 1,753,494 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL HEALTH ADMIN. 454,090 374,900 451,630 496,575 ANIMAL CONTROL 251,440 254,100 247,390 254,948 EPSD TREATMENT 13,800 COMMUNITY HEALTH CLINIC 304,970 290,450 293,450 252,019 PUBLIC HEALTH NURSING 223,660 199,570 313,470 215,396 ENVIRONMENTAL HEALTH 576,390 522,440 504;610 534,554 W.I.C. PROGRAM 220,800. TOTAL BUDGET 1,810,550 1,641,460 2,045,150 1,753,494 70 HEALTH DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL POSITION TITLE FY 1987 GRADE NO. Health Admin. & Support Services Health Director El 1 Laboratory Supervisor 14 1 Health Administrative Supervisor 14 1 Sr. Health Educator 14 1 Laboratory Technician II 10 1 Community Safety Program Coordinator 10 1 Laboratory Technician I 09 1 Sr. Secretary 09 1 Registrar Vital Statistics 06 1 Clerk/Cashier 05 1 Deputy Registrar 04 1 Clerk Typist 03 1 Custodian I 01 2 Total 14 Community Health Clinic Health Clinic Supervisor 14 1 Public Health Nurse I 12 1 Licensed Vocational Nurse 10 1 Medical Records Clerk 06 1 Community Health Clerk 06 1 Custodian I 01 1 Clinic Physician * 1 Physician * 1 Total 8 Public Health Nursing Nurse Practitioner 15 1 Public Health Nurse II 14 1 Public Health [Nurse I 12 4 Licensed Vocational Nurse 10 1 Sr. Clerk Typist 07 1 Clerk Typist 03 1 Physician * .5 Total 9.5 71 d _0 �_ �� HEALTH DEPARTMENTAL BUDGET SUMMARY , AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Animal Control Animal Control Supervisor 15 1 Animal Control Officer 06 5 Dispatcher I 05 1 Total 7 Environmental Health Chief Sanitarian 16 1 Asst. Chief Sanitarian 14 1 Environmental Specialist 13 1 Environmental Inspection Supervisor 12 1 Sanitarian II 11 2 Health Inspector 09 1 Environmental Inspector 08 4 Secretary 08 1 Environmental Health Clerk 05 2 Word Processing Clerk 04 1 Total 15 DEPARTMENT TOTAL 53.5 *Salary paid for under contract for professional services. 72 � BEAUMONT, TEXAS C RESOURCE MANAGEMENT RESOURCE MANAGEMENT ORGANIZATIONAL CHART FY 1987 RESOURCE MANAGEMENT PERSONNEL BUILDING MAINTENANCE RISK MANAGEMENT FLEET , C INTERNAL SERVICE FUND DEPARTMENT RESOURCE MANAGEMENT TOTAL BUDGET $ 1,845,680 The Resource Management Department was established from the reorganization of the Office of the City Manager and the old Administrative Services Department. It consists of the following divisions: Resource Management Administration, Personnel, Building Maintenance and Fleet. Increases in the department's personnel and supplies budgets reflect the additional funding for five positions transferred from the Office of the City Manager. Funds transferred in prior years for general liability insurance are no longer reflected in this department's budget thus reflecting a decrease in the department's services expenditures. Service level increases for FY 1987 include the installation of a personnel class compensation study. 75 RESOURCE MANAGEMENT DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,373,470 1,179,050 1,220,370 1,490,487 SUPPLIES 134,240 105,750 108,050 91,101 SERVICES 295,620 833,890 737,740 610,250 CAPITAL OUTLAY 42,350 1,000 1,000 585 REIMBURSEMENTS OTHER TOTAL BUDGET 1,845,680 2,119,690 2,067,160 2,192,423 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL RESOURCE MANAGEMENT 169,630 PERSONNEL 320,980 808,900 748,900 619,284 BUILDING MAINTENANCE 1,355,070 1,310,790 1,318,260 1,573,139 TOTAL BUDGET 1,845,680 1 2,119,690 2,067,160 2,192,423 76 RESOURCE MANAGEMENT DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Resource Management Resource Management Director E2 1 Performance Auditor 19 1 Sr. Secretary 09 1 Response Clerk 06 1 Total 4 Personnel Personnel Manager 21 1 Personnel Analyst 15 2 Personnel Technician 11 1 Secretary 08 1 Sr. Clerk 07 2 Total 7 Building Maintenance Bldg. Maintenance Manager 20 1 Communication Supervisor 15 1 Communication Technician II 12 1 Electrical Foreman 12 1 Heating and Cooling Foreman 11 1 Carpentry Foreman 10 1 Electrician II 10 2 Communication Technician I 09 2 Painting Foreman 09 1 Heating and Cooling Technician II 09 1 Carpenter II 08 2 Secretary 08 1 Electrician I 08 2 Electronics Technician II 08 1 Heating and Cooling Technician I 07 1 Painter I 05 4 Building Maintenance Foreman 04 1 Heating/Cooling Helper 03 1 Maintenance Worker I 01 1 Custodian I 01 6 Total 32 DEPARTMENT TOTAL 43 77 THIS PAGE LEFT BLANK INTENTIONALLY � 1EAUMONT. TEXAS IX, NON-DEPARTMENTAL E RTMENT NON-DEPARTMENTAL TOTAL BUDGET $ 1,033,180 The FY 1987 non-departmental budget includes interfund transfers not included in specific departmental budgets. These transfers include $666,650 to the Beaumont Transit Fund $225,000 to the Insurance Fund and $141,530 to the Convention Facilities Fund. The FY 1986 totals include costs for Hurricane Bonnie in addition to normal interfund transfers. 80 NON-DEPARTMENTAL DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 398,000 326,630 SUPPLIES 116,000 85,870 SERVICES 684,000 385,500 CAPITAL OUTLAY 7,000 7,000 REIMBURSEMENTS OTHER 1,033,180 1 ,007,050 562,650 TOTAL BUDGET 1,033,180 2,212,050 805,000 562,650 DEPARTMENT/DIVISION FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL HURRICANE BONNIE DISASTER 1,205,000 805,000 INTERFUND TRANSFERS 11033,180 1,007,050 562,650 TOTAL BUDGET 1,033,180 2,212,050 805,000 562,650 81 THIS PAGE LEFT BLANK INTENTIONALLY � t SPECIAL REVENUES FUND c COMMUNITY DEVELOPMENT BLOCK GRANT FUND BALANCE SUMMARY C.D.B.G. PROGRAM FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTD%TE BUDGET ACTUAL TOTAL RESOURCES $ 1,960,940 $ 2,217,830 $ $ 1,669,940 TOTAL USES 1,960,940 2,217,830 1,669,940 NET FOR YEAR 0 0 0 BEGINNING BALANCE 0 0 0 ENDING BALANCE $ 0 $ 0 $ $ 0 84 SUMMARY OF RESOURCES AND USES C.D.B.G. PROGRAM FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMAM BUDGET AFL RESOURCE'S IIVRERGOVERUM1TAL REVENUE $ 1,960,940 $ 2,217,830 .$ $ 1,669,940 TOTAL RESOURCES $ 1,960,940 $ 2,217,830 $ $ 1,669,940 USES TOTAL PERSCI EL+ $ 469,740 $ 451,340 $ $ 382,070 'DOTAL SUPPLIES 15,750 14,500 17,660 TOTAL SERVICES 33,360 61,910 33,800 CAPITAL OUILAY 1,610 OTHER E'EWITURES 1,440,480 1,690,080 1,236,410 T0M USES $ 1,960,940 $ 2,217,830 $ $ 1,669,940 85 C.D.B.G. ORGANIZATIONAL CHART FY 1987 COMMUNITY DEVELOPMENT ADMINISTRATION w w COMMUNITY DEVELOPMENT BLOCK GRANT DEPARTMENT : COMMUNITY DEVELOPMENT TOTAL BUDGET $ 1,960,940 BLOCK GRANT The purpose of the Community Development Block Grant Program is to aid in the development of viable urban communities ty providing decent housing, a suitable living environment and expanding economic opportunities, principally for persons of low and moderate income. Specific Objectives: Elimination of slums and blight and prevention of blighting influences. Elimination of conditions which are detrimental to health, safety and public welfare. Conservation and expansion of the nation's housing stock. Expansion and improvement of the quantity and quality of community services. A more rational utilization of land and other natural resources. Reduction of the isolation of income groups within communities and promotion of an increase of diversity of neighborhoods. Restoration and preservation of properties of special value for historic, architectural and esthetic reasons. Alleviation of physical and economic distress through stimulation or private investment. 87 d --Jb - �s COMMUNITY DEVELOPMENT BLOCK GRANT DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 469,740 451 ,340 382,070 SUPPLIES 15,750 14,500 17,660 SERVICES 33,360 61 ,900 33,800 CAPITAL OUTLAY 1,610 0 0 REIMBURSEMENTS 0 0 0 OTHER 1,440,480 1 -690,080 1,236,410 TOTAL BUDGET 1,960,940 2,217,830 1,669,940 DEPARTMENT/DIVISION FY 1987 'FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL HOUSING REHABILITATION 192,870 286,674 198,390 C-D.B.G. ADMINISTRATION 273,230 173,070 '176,210 CODE ENFORCEMENT 32,000 32,000 28,930 PLANNING & MANAGEMENT 32,360 36,000 30,000 PROJECT COSTS 1,440,480 1,690,082 1,236,410 TOTAL BUDGET 1,960,940 2,217,830 1,669,940- ,669,940 88 COMMUNITY DEVELOPMENT BLOCK GRANT DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Community Development Block Grant C.D.B.G. Administrator 18 1 Housing Rehab. Administrator 18 1 Community Affairs Administrator 14 1 Planner 14 3 Accountant/Analyst 13 1 Rehabilitation Loan Officer II 13 1 Rehabilitation Specialist II 11 1 Rehabilitation Loan Officer I 11 1 Code Inspector II 11 1 Rehabilitation Specialist I 08 1 Sr. Clerk Typist 07 2 FUND 'TOTAL 14 89 THIS PAGE LEFT BLANK INTENTIONALLY cd dk 16 16 W.I.C. PROGRAM FUND BALANCE SUMMARY W.I.C. PROGRAM FUND FY 1987 EY 1986 FY 1986 FY 1985 BUDGET ESPIh=. BUD= ACIML TMAL RFSOURCES $ 229,040 $ 214,580 $ $ 206,341 ZOML USES 229,040 214,580 214,824 NEr FOR YEAR 0 0 (8,483) ti BMINN= BAIMC E 0 0. 8,483 EMING BALANCE $ 0 $ 0 $ $ 0 92 SUMMARY OF RESOURCES AND USES W.I.C. PROGRAM FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET AC'AlAL RESOURCES MTEMOVEMMML REUE WE $ 229,040 $ 214,580 $ $ 206,341 TOTAL RESOURCES $ 229,040 $ 214,580 $ 206,341 USES TOE' PERSomm $ 220,350 $ 200,910 $ $ 204,252 TOTAL SUPPLIES 3,500 5,550 7,014 TOTAL SERVICES 5,190 8,120 2,563 CAPITAL OUTLAY ,995 TOTAL USES $ 229,040 214,580 $N 214,824 93 W.I.C. PROGRAM ORGANIZATIONAL CHART FY 1987 HEALTH ADMINISTRATION cc W.I.C. PROGRAM DEPARTMENT: W.I.C. PROGRAM TOTAL BUDGET $ 229,040 The Special Supplemental Feeding Program for Women, Infants, and Children (WIC) is a federally funded program locally serving all north Jefferson County residents. The program provides low income, pregnant and breast-feeding women, infants and children up to five years of age with specific high nutrient foods designed to supplement those high risk and rapid growth periods. Additionally, WIC instructs participants in nutrition, food economics, and health needs. The local agency screens participants each six months to determine eligibility. Presently, WIC is allowed to provide a set of food vouchers and nutrition education to a maximum of 3,100 persons. 95 W.I.C. PROGRAM DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 220,350 200,910 204,252 SUPPLIES 3,500 5,550 7,014 SERVICES 5,190 8,120 2,563 CAPITAL OUTLAY 995 REIMBURSEMENTS OTHER TOTAL BUDGET 229,040 214,580 214,824 DEPARTMENT/DIVISION FY 1987 FY- 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL W.I.C. PROGRAM 229,040 214,580 214,824 TOTAL BUDGET 229,040 214,580 214,824 96 W.I.C. DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. WIC Program WIC Nutrition Supervisor 15 1 Nutritionist 10 1 Public Health Nurse II 14 1 Public Health Nurse I 12 1 Nutrition Clerk 06 1 Clerk Typist 03 2 FUND TOTAL 7 97 THIS PAGE LEFT BLANK INTENTIONALLY W.I.C. DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. WIC Program WIC Nutrition Supervisor 15 1 'Nutritonist 10 1 Public Health Nurse II 14 1 Public Health Nurse I 12 1 Nutrition Clerk 06 1 Clerk Typist 03 2 FUND TOTAL 7 97 THIS PAGE LEFT BLANK INTENTIONALLY c MISCELLANEOUS SPECIAL REVENUE FUNDS G -86- Ys BUDGET SUMMARY TAX INCREMENT FINANCING FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET BUDGET ACIUAL RESOURCES PROPERTY TAXES $ 35,500 $ 59,250 $ $ INZMESP EARNIIr.S 500 300 MCSCELLANMUS 24,600 66,783 TOTAL RESOURCES 60,600 59,550 66,783 USES CAPITAL OUTLAY 60,100 69,100 TOTAL USE'S 60,100 69,100 0 NET YEAR END BALANCE 500 (9,550) 66,783 BEGINNING BALAN M 57,240 66,790 0 EMI UM BAIAMM $ 57,740 $ 57,240 $ $r 66,783 100 BUDGET SUMMARY STATE HEALTH GRANT FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BST RESOURCES INTERGOVERNMENTAL REVENUE $ 159,700 $ 156,010 $ $ 128,180 TOTAL RESOURCES 159,700 156,010 120180 USES TOTAL PERSONNEL 151,500 149,310 127,369 TOTAL SUPPLIES 367 TOTAL SERVICES 8,200 6,700 1,900 CAPITAL OUTLAY 21,160 TOTAL USES 159,700 156,010 150 796 NET YEAR END BALANCE 0 0 (22,616) BEGINNING BALANCE 0 0 22,616 ENDING BALANCE $ 0 $ 0 $ $ 0 101 BUDGET SUMMARY TRANSPORTATION GRANTS FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET FzMam BUDGET ACTUAL RESOURCES INTEMOVERI ' R--VENUE $ 62,000 $ 66,000 $ $ 80,000 TOE' RESOURCES 62,000 66,000 80,000 USES TOTAL PE RSMEEL, 62,000 66,000 TOTAL SERVICES 43,782 795 OPERATING EXPENDITURE 62,000 66,000 44,577 TRANSFERS OUT 35,423 OTBER USES 35,423 TOTAL USES 62,000 66,000 _ 80,000 NET YEAR END BALANCE 0 0 0 BEGINNING BALANCE 0 0 0 ENDING BALANCE $ 0 $ 0 $ $ 0 102 BUDGET SUMMARY MISC. PUBLIC SAFETY GRANTS FUNDS FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESPLMAZE BUDGET ANAL, RESOURCES DNIE%OVE'RI1MENTAL REVENUE $ 82,300 $ 21,900 $ $ TOML RESOURCES 82,300 21,900 USES TOML PERSCUIEL 66,620 14,740 T= SUPPLIES 5,890 2,920 TOM SERVICES 9,790 4,240 TOTL USES 82,300 21,900 NEfi YEAR END BALANCE 0 0 BEGIl` IM BALANCE 0 0 =111 BALANCE $ 0 $ 0 $ $ 103 a _d6-�s BUDGET SUMMARY CONFISCATED GOODS FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTDATE BUDGET ACTUAL RESOURCES MES AND FORFEITS $ 0 $ 23,010 $ $ TOTAL RESOURCES 0 23,010 USES TOTAL SUPPLIES 0 23,000 TOTAL USES 0 23,000 NET YEAR END BALANCE 0 10 BEGE ING BALANCE 10 0 ELIDING BALANCE $ 10 $ 10 $ $ 107 BUDGET SUMMARY MURL'S GRANT FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESMIATE BUDGET ACTUAL RESOURCES MERGOVEMMMAL REVENUE $ 7,870 $ 7,870 $ $ 2,262 TOM RESOURCES 7,870 7,870 2,262 USES =1L SUB IES 7,620 7,620 2,262 TMAL SEE-VICES 250 250 TOTAL USES 7,870 7,870 2,262 NET YEAR MM BALANCE 0 0 0 BMITIlUM BALANCE 0 0 0 ENDING BALANCE $ 0 $ 0 $ $ 0 105 6 j6) ^�S BUDGET SUMMARY E.D.A. GRANT FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET FSTDR E BUDGET ACPUAL RESOURCES IN'ZEPMVQMIMML REVENUE $ 60,000 $ 68,320 $ $ 16,676 TOIL RESOURCES 60,000 68,320 16,676 USES TOM PFRmZm 60,000 56,320 TOTAL SUPPLIES 39,505 TOTAL SERVICES 1,371 CAPITAL OUTLAY 800 12,000 TOTAL USES 60,000 68,320 41,676 NET YEAR END BALANCE 0 0 (25,000) BEGINNING BALANCE 0 0 25,000 ENDING BALANCE $ 0 $ 0 $ $ 0 106 BUDGET SUMMARY HOTEL-MOTEL TAX FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET F=4ATE BUDGET ACTUAL RESOURCES GROSS RE=IPTS TAX $ 920,000 $ 887,490 $ $ 912,853 TOM RESOURCES 920,000 887,490 912,853 USES TKYML PERSCIIVII' 17,810 510,201 TOML SERVICES 144,860 464,890 OPERATIlVG EXPRMIIME 144,860 482,700 510,201 TRANSFERS OUT 775,140 404,790 402,652 OTHER USES 775,140 404,790 402,652 TOTAL USES 920,000 887,490 912,853 NET YEAR END BALANCE 0 0 0 BEGINNING BALANCE 0 0 0 ENDING BALANCE $ 0 $- 0 $ $ 0 108 BUDGET SUMMARY REVENUE SHARING FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL RESOURCES INTERGOVERNMENTAL $ $ 1,406,270 $ 1 687 000 $ 1,670,315 INTEREST EARNED 8,737 TOTAL RESOURCES 1,406,270 1,687,000 1,679,052 USES CAP1 AL INP•"GENREMRAK 239,000 267,000 118,500 VITAL INF'•"SUREET 349,100 349,100 80,000 WATER FUND-CONT. 361,580 361,580 INSURANCE FUND-CONT. 240,003 240,000 GENERAL FUND-OONT• 216,590 469,320 1,542,237 TOIL USES 1,406,270 1,687,000 1,740,737 NET YEAR END EALNNNCE 0 0 (61,685) BEGINNING BALANCE 0 0 61,685 ENDING BALANCE $ $ 0 $ 0 $ 0 G 109 THIS PAGE LEFT BLANK INTENTIONALLY � c DEBT SERVICE FUND i7 t6i` FUND BALANCE SUMMARY DEBT SERVICE FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL TOTAL F:FSOURCES $ 7,074,380 $ 7,374,830 $ 7,174,930 $ 62,649,265 TOE' USES 7,069,640 6,971,880 6,961,640 64,411,007 NET FOR YEAR 4,740 402,950 213,290 (1,761,742) BEGINNING BALANCE 1,048,670 645,720 457,265 2,407,460 ENDING BALANCE $ 1,053,410 $ 1,048,670 $ 670,555 $ 645,718 .110 SUMMARY OF RESOURCES AND USES DEBT SERVICE FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET EYMUM BUDGET ACTUAL RESOURCES PROPERTY TAXES $ 6,498,410 $ 6,440,200 $ 6,305,250 $ 6,960,500 nTiEREST EARM 380,000 750,000 742,000 842,911 NiISCEMAlmDUS 129,020 127,680 127,680 331,569 OPERATING REVENUES 7,007,430 7,317,880 7,174,930 8,134,980 TRANSFERS IN 66,950 56,950 BOM PRO=s - 50,163,550 GA3N/LOSS ADV. REFUZIM 4,350,735 OTHER RESOURCES 66,950 56,950 54,514,285 TOTAL RESOURCES $ 7,074,380 $ 7,374,830 $ 7,174,930 $ 62,649,265 USES OTHER EXPENDITURES $ 7,069,640 $ 6,971,880 $ 6,961,640 $ 64,411,007 TOTAL USES $ 7,069,640 $ 6,971,880 $ 6,961,640 $ 64,411,007 111 � 8 E A U M ON T T EA AS c ENTERPRISE FUNDS Ci 66 YS � c WATER FUND WORKING CAPITAL SUMMARY WATER FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL TOTAL RESOURCES $ 14,176,500 $ 14,520,820 $ 13,645,670 $ 13,672,034 TOTAL USES 14,056,900 13,824,760 13,757,490 13,800,445 NET MR YEAR 119,600 696,060 (111,820) (128,411) BB;nOTIM BALANCE 1,176,720 480,660 1,301,820 2,761,560 ESM LASS ALLOCATION - - - (2,152,491) EM= BALANCE $ 1,296,320 $ 1,176,720 $ 1,190,000 $ 480,658 112 SUMMARY OF RESOURCES AND USES WATER FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIPME BUDGET ACTUAL RESOURCES C X:GM- FCC SERVICES $ 14,020,150 $ 12,249,270 $ 13,430,070 $ 13,232,894 150,000 400,190 214,000 399,467 6.000 8,090 1,200 39,113 LICENSES & PERMITS 350 300 400 560 OPTING RE't7F = 14,176,500 12,657,850 13,645,670 13,672,034 RECOVERY - ESM 1,862,970 OTHER RESOURCES 1,862,970 TOTAL RESOURCES $ 14,176,500 $ 14,520,820 $ 13,645,670 $ 13,672,034 a' USES TOTAL PERSalNEt, $ 4,199,630 $ 3,982,590 $ 4,282,290 $ 4,500,187 TOTAL SUPPLIES 870,570 842,250 851,810 794,931 TOTAL SERVICES 2,163,090 2,108,760 2,072,570 1,692,720 CAPITAL OUTLAY 131,240 97,890 110,450 18,648 0THER EXPENDITURES 6,153,620 6,298,410 6,305,370 5,815,840 OPERATING EXPENDITURES 13,518,150 13,329,900 13,622,490 12,822,326 TRANSFERS OUT 135,000 135,000 135,000 987,500 INC. IN RESTRICTED ASSEST 502,430 191,580 374,357 DEC. IN RESTRICI D LIAB. (98,680) 168,280 (400,468) DEC. IN OTHER LIM. 168730 OTHER USES 538,750 494,860 135,000 978,119 TOTAL USES $ 14,056,900 $ 13,824,760 $ 13,757,490 $ 13,800,445 113 �(o t7 WATER ORGANIZATIONAL CHART FY 1987 WATER UTILITIES ADMINISTRATION WATER COMMERCIAL WATER PRODUCTION WATER DISTRIBUTION WATER RECLAMATION SEWER MAINTENANCE e DEPARTMENT : WATER TOTAL BUDGET $ 14,056,900 Departmental objectives consist of providing an adequate supply of high quality potable water for domestic, ccmmercial and industrial uses as well as providing fire protection to all areas of the City. Collections, transportation and treatment of all sewage generated with the City to standards established by the Texas Water Commission and the U. S. Environmental Protection Agency. Preventative maintenance as well as major repair work on 660 miles of water, 616 miles of sewer line, three deep water wells, 30 WD Water Treatment Plant, 30 NOD Wastewater Treatment Plant, 37 wastewater pump stations, 4 water pump stations and 7 s tormwater pump stations. Administer and enforce the City's Industrial Waste Ordinance and Water Pollution Control Program. Major wkrk programs for the 1986-87 fiscal year consist of; conversion of the utility billing system from the Prime 450 to the proposed IBM 38 computer, and installing a new meter reading na nagement system; relocation of 2971 feet of 12" water main for the proposed Spur 380 project; complete the sanitary sewer capital improvements programs under the EPA Grant Program; reestablish the water system improvements programs to improve fire protection, and begin a sanitary sewer rehabilitation program; install a new process control system for the Wastewater Treatment Plant. 115 0 cl� s WATER DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 4,199,630 3,982,590 4,282,290 4,500,187 SUPPLIES 870,570 842,250 851,810 794,931 SERVICES 2,163,090 2,108,760 2,072,570 1,692,720 CAPITAL OUTLAY 131,240 97,890 110,450 18,648 REIMBURSEMENTS (26,000) (26,000) (26,000) OTHER 6,718,370 6,819,270 6,466,370 6,793,959 TOTAL BUDGET 14,056,900 13,824,760 13,757,490 3,800,445 DEPARTMENT/DIVISION FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL WATER ADMINISTRATION 260,860 252,610 254,970 298,813 WATER COMMERCIAL 883,690 834,590 854,410 873,001 WATER DISTRIBUTION 1,645,590 1,463,210 1,586,390 1,634,001 WATER PRODUCTION 1,722,520 1,669,800 1,708,860 1,498,998 SEWER MAINTENANCE 1,219,220 . 1,135,160 1,183,400 1,359,891 WATER RECLAMATION 1,381,650 1,288,900 1,360,430 1,286,782 NON-OPERATING 6,943,370 7,054,720 6,614,820 6,848,959 WATER-EMPL. TRANS. 125,770 194,210 TOTAL BUDGET 14,056,900 13,824,760 13,757,490 13,800,445 116 WATER DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Administration Water Utilities Director E4 1 Environmental Engineer 17 1 Engineering Assistant II 12 1 Construction Inspector II 11 1 Sr. Secretary 09 1 Drafting Technician 06 1 Total 6 Water Commercial Water Commercial Supervisor 17 1 Utility Billing Supervisor 12 2 Secretary 08 1 Customer Service Worker I 06 5 Billing/Collection Clerk 05 1 Customer Service Clerk 04 6 Account Clerk I 04 2 Meter Reader II 03 2 Meter Reader I 01 6 Total 26 Water Distribution Water Utilities System Superintendent 18 1 General Foreman 12 2 Equipment Coordinator 10 1 Foreman 10 1 Storekeeper II 09 1 Equipment Operator Leader 08 1 Crew Leader II 08 8 Secretary 08 1 Dispatcher II 06 1 Equipment Operator II 06 4 Equipment Operator I 05 2 Water Meter Repairer 03 3 Maintenance Worker II 03 12 Maintenance Worker I 01 3 Total 41 117 0 �"-( S WATER DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Water Production Water Production Superintendent 17 1 Laboratory Supervisor 14 1 General Foreman 12 1 Plant Operator II 09 4 Plant Operator I 08 4 Crew Leader I 06 1 Equipment Operator I 05 1 Maintenance Worker II 03 1 Maintenance Worker I 01 2 Total 15 Sewer Maintenance Assistant Water Utilities System Superintendent 13 1 General Foreman 12 1 Foreman 10 1 Crew Leader II 08 8 Equipment Operator II 06 2 Maintenance Worker II 03 13 Custodian II 02 1 Maintenance Worker I 01 8 Total 35 Water Reclamation Water Reclamation Superintendent 17 1 Plant Maintenance Superintendent 16 1 Laboratory Supervisor 14 1 General Foreman 12 4 Plant Maintenance Mechanic 10 5 Plant Operator II 09 2 Dispatcher II 06 1 Equipment Operator I 05 1 Maintenance Worker II 02 3 Maintenance Worker I 01 4 Total 23 DEPARTMENT TOTAL 147 118 c SANITATION FUND WORKING CAPITAL SUMMARY SANITATION FUND FY 1987 FY 1986 FY 1987 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL MTV RESOURCES $ 3,258,300 $ 3,629,150 $ 3,514,500 $ 4,462,515 TOM USES 3,258,300 3,555,790 3,426,700 3,636,972 NET FOR YEAR 0 73,360 87,800 825,543 BDGIr NngG BAUA.NC:E 259,710 186,350 33,650 (639,189) SIDING BFIANCE $ 259,710 $ 259,710 $ 121,450 $ 186,354 120 SUMMARY OF RESOURCES AND USES SANITATION FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL RESOURCES SANITATION CHARMS 3,258,300 3,628,350 3,514,500 4,457 218 INTEREST 800 OPERATING REV I-W 3,258,300 3,629,150 3,514,500 4,457,218 OTHER PROCEEDS 5,296 OTHER RESOURCES 5,296 TOTAL RESOURCES 3,258,300 3,629,150 3,514,500 4,462,514 USES TOTAL Pte, $ 1,440,470 $ 1,596,530 $ 1,592,170 $ 1,914,049 TOTAL SUPPLIES 107,400 129,630 126,720 139,995 TOTAL SERVICES 1,536,230 1,659,630 1,537,810 1,492,065 CAPITAL OUTLAY 2,500 OTHER EXPENDITURES 171,700 170,000 170,000 90,863 TOTAL USES 3,258,300 3,555,790 3,426,700 3,636,972 121 SANITATION ORGANIZATIONAL CHART FY 1987 PUBLIC WORKS ADMINISTRATION N N SANITATION ADMINISTRATION RESIDENTIAL COLLECTION [:BRUSH COLLECTION DEPARTMENT : SANITATION TOTAL BUDGET $ 3,258,300 Over the past several years this department has been very successful in reducing the operational expenses associated with both collection and disposal activities the reduction in expenses has eliminated a $1.4 million deficit and has provided for contribution to the General Fund of $175,000 annually. The development of work policies and safety programs has allowed for further decreases in workmen's compensation cast. We intend to evaluate new methods of technologies introduced by the solid waste industry. For example, the automated refuse system will be tested during this budget year for possible implementation on a City-wide basis, in the future. 123' SANITATION DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,440,470 1,596,530 1,592,170 1,914,048 SUPPLIES 107,400 129,630 126,720 139,995 SERVICES 1,536,230 1,659,630 1,537,810 1,492,065 CAPITAL OUTLAY 2,500 REIMBURSEMENTS OTHER 171,700 170,000 170,000 90,863 TOTAL BUDGET 3,258,300 3,555,790 3,426,700 3,636,971 DEPARTMENT/DIVISION FY 1987 FY- 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL SANITATION ADMINISTRATION 449,110 452,990 452,380 342,266 RESIDENTIAL COLLECTION 2,270,040 2,429,870 2,372,040 2,496,680 BRUSH COLLECTION 539,150 565,540 475,050 798,025 SANITATION - EMPL. TRANS. 107,390 127,230 TOTAL BUDGET 3,258,300 3,555,790 3,426,700 3,636,971 124 SANITATION DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Sanitation Administration Sanitation Manager 20 1 Sanitation Supervisor 13 1 Clerical Supervisor 09 1 Dispatcher I 05 1 Vehicle Inspector 03 1 Custodian II 02 1 Total 6 Residential Collection Refuse Collection Supervisor 10 2 Equipment Operator I 05 39 Total 41 Brush Collection Sr. Clerk 07 1 Equipment Operator II 06 3 Equipment Operator I 05 2 Total 6 FUND TOTAL 53 125 THIS PAGE LEFT BLANK INTENTIONALLY REAUKONTITEXAS CONVENTION FACILITIES FUND 6 db -Y.s WORKING CAPITAL SUMMARY CONVENTION FACILITIES FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET EST DILATE BUDGET ACTUAL TOT AL RESOURCE $ 1,509,670 $ $ $ TOTAL USES 1,509,670 NET FOR YEAR 0 BEGMIONG BALD ENDING BALANCE $ 0 $ $ $ 128 SUMMARY OF RESOURCES AND USES CONVENTION FACILITIES FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ES'IIMATR. BUDGET ACTUAL RESOURCES COIN14UNITY FACILITIES $ 593,000 $ $ $ OPERATING REVENUES 593,000 TRANSFERS IN 916,670 OTHER RESOURCES 916,670 DOTAL RESOURCES $ 1,509,670 $ $ $ Y USES TOM PERSONNEL $ 611,060 $ $ $ TOTAL SUPPLIES 67,250 TOTAL SERVICES 831,360 TOTAL USES $ 1,509,670 $ $ $ 129 CONVENTION FACILITIES ORGANIZATIONAL CHART FY 1987 CONVENTION FACILITIES ADMINISTRATION w 0 FACILITY OPERATIONS CONVENTION & TOURISM DEPARTMENT: CONVENTION FACILITIES TOTAL BUDGET $ 1,509,670 The Convention Facilities Department is organized to provide facilities and staff assistance for development and support of public assembly activities, and the promotion of tourism. The department's Administration and Facility Operations divisions, previously the Community Facilities Department, schedule, operate, and maintain the City's public assembly facilities including: the Civic Center, the Julie Rogers Theatre, Fair Park Coliseum, the Harvest Club and other City facilities that are used for special events. The Administration Division budget includes salary and funding for the Art Museum Curator position, previously funded through Aid to Other Agencies, and funding for Art Museum contractual lease payments. The Convention and Tourism Division is a new activity, replacing the Chamber of Commerce-operated Convention and Visitor's Bureau. This new division will promote the City as a site for conventions, trade shows, meetings, special k events, and as a tourist destination in order to enhance the beneficial economic impacts to the community of tourisim and convention activity. 131 -6 (:::;1 - �s CONVENTION FACILITIES DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 611,060 SUPPLIES 67,250 SERVICES 831,360 CAPITAL OUTLAY REIMBURSEMENTS OTHER TOTAL BUDGET 1,509,670 DEPARTMENT/DIVISION FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL ADMINISTRATION 380,800 FACILITY OPERATIONS 735,690 CONVENTION & TOURISM DIVISION 393,180 TOTAL BUDGET 1,509,670 132 CONVENTION FACILITIES DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Administration Convention Facilities Director E5 1 Technical Director 15 1 Business Manager 15 1 Sr. Clerk Typist 07 1 Ticket Clerk 06 1 Art Center Curator * 1 Total 6 Facility Operations Operations Manager 15 1 Foreman 10 1 Custodial Leader 06 2 Maintenance Worker II 03 1 Total 5 Convention & Tourism Convention & Tourism Manager 19** 1 Event Coordinator 14** 2 Clerk Typist 03** 1 Total 4 FUND TOTAL 15 *Transferred from Aid to Other Agencies. **New position in FY 1987. 133 � BEAUMONT, TEXAS, c POLICE o e6 fs POLICE ORGANIZATIONAL CHART FY 1987 POLICE ADMINISTRATION w PATROL SERVICES INVESTIGATIVE POLICE DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 y BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 8,622,090 8,814,130 8,846,470 8,704,658 SUPPLIES 532,090 560,270 546,770 490,467 SERVICES 1,415,530 1,096,630 1,092,830 801,832 CAPITAL OUTLAY 59,100 129,350 114,350 55,108 REIMBURSEMENTS (63,740) (139,270) (41,920) (25,064) OTHER TOTAL BUDGET 10,565,070 10,461,110 10,558,500 10,027,001 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL POLICE ADMINISTRATION 902,290 844,030 809,850 587,323 PATROL DIVISION 5,562,760 5,602,770 5,666,050 5,099,192 INVESTIGATIVE DIVISION 2,253,230 2,308,730 2,079,780 21149,724 SERVICES DIVISION 1,846,790 1,705,580 2,002,820 2,190,762 TOTAL BUDGET 10,565,070 10,461,110 10,558,500 10,027,001 40 � BEAUMONT, TEXAS c FIRE o -e6-ys POLICE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Administration Police Chief E3 1 Major 20 1 Captain IV 1 Sergeant II 4 Patrolmen I 3 Sr. Secretary 09 1 Secretary 08 1 Sr. Clerk Typist 07 3 Total 15 Patrol Major 20 1 Captain IV 3 Lieutenant III 3 Sergeant. II 21 Patrolmen I 118 Secretary 08 1 Total 147 Investigation Major 20 1 Captain IV 1 Lieutenant III 5 Sergeant II 24 Patrolmen I* 17 Special Services Technician 10 1 Clerical Supervisor 09 1 Secretary 08 1 Sr. Clerk Typist 07 2 ID Criminoligist Technician 06 2 Data Entry Clerk 03 1 Total 56 41 POLICE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Services Major 20 1 Captain IV 3 Lieutenant III 2 Sergeant II 17 Patrolmen I 2 Programmer 11 1 Clerical Supervisor 09 1 Sr. Clerk Typist 07 2 Dispatcher II 06 1 Traffic Clerk 03 2 Clerk Typist 03 8 Vehicle Inspector 03 1 Custodian II 02 1 Total 42 DEPARTMENT TOTAL 260 *Funded by new grant program 42 FIRE ORGANIZATIONAL CHART FY 1987 FIRE ADMINISTRATION FIRE SUPPRESSION EMERGENCY_ MEDICAL SERVICES DEPARTMENT FIRE TOTAL BUDGET $ 8,917,960 The proposed budget enables the Fire Department to maintain the same level of service provided in fiscal year 1986. Excluding the proposed expenditures for fixed assets which have been severely curtailed for the last several years, the total request for all other accounts - personnel, supplies, and services - totals $8,834,620 or about 2% more than the 1986 budget amount, holding all else equal for purposes of comparisons. The requested personnel budget makes changes which will enhance our ability to maintain proper control. The total authorized strength reflects a clerk transferred to the Finance Department, Central Collections, and a request for an additional secretary to the Administration Budget at a cost of about $21,510. Personnel adjustments, along with some reassignment of duties and reorganization, will better satisfy the needs of this Department. The proposed budget reflects an increase in services due mainly to fleet rental charges. Excluding fleet rental, the increase is less than 1%. Proposed expenditures for Capital Outlay total $83,340. Of this amount, $20,000 is for a new breathing air system used to fill air bottles, and $14,000 is for replacement of a rescue tool on Car 52. The proposed budget including fixed assets totals $8,917,960 for FY 1987. Because of the current economic condition, restoration of some of the 20 positions cut from suppression over the last several years (13 last year) has not been included. This department has, so far, managed to keep all 11 stations open; however, the number of occasions with only two men at a station is becoming more frequent and is a concern to this department. Such conditions are not in keeping with the practices of a first class Fire Department and merit further discussion, which is requested to be reviewed in the near future. 45 FIRE DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 7,966,910 7,691,060 7,868,950 81018,100 SUPPLIES 180,200 170,450 182,020 104,041 SERVICES 687,510 559,490 660,540 430,140 CAPITAL OUTLAY 83,340 30,150 30,240 23,017 REIMBURSEMENTS OTHER TOTAL BUDGET 8,917,960 8,451,150 8,741,750 8,575,298 DEPARTMENT/DIVISION FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL FIRE ADMIN. & SUPPORT 1,087,620 1,039,560 1,088,050 982,383 FIRE SUPRRESSION 7,260,170 6,868,060 7,063,260 7,041,006 EMS 570,170 543,530 590,440 551,909 TOTAL BUDGET 8,917,960 8,451,150 8,741,750 8,575,298 46 FIRE DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Fire Administration & Support Fire Chief E3 1 Administrative Assistant 16 1 Equipment Mechanic Leader 11 1 Equipment Mechanic II 09 2 Sr. Secretary 09 1 Secretary 08 1 Sr. Clerk Typist 07 2 District Chief IV 3 Fire Captain III 10 Fire Engineer II 2 Fire Fighter I 3 Total 27 Fire Suppression Assistant Chief VI 1 Deputy Chief V 3 District Chief IV 9 Fire Captain III 33 Fire Engineer II 69 Fire Fighter I 90 Total 205 Emergency Medical Services EMS Manager 19 1 Paramedic 08 6 EMT 05 6 Total 13 DEPARTMENT TOTAL 245 c 47 Q 00 l THIS PAGE LEFT BLANK INTENTIONALLY � c PUBLIC WORKS O -F6 YS PUBLIC WORKS ORGANIZATIONAL CHART FY 1987 PUBLIC WORKS ADMINISTRATION STREETS ENGINEERING cn 0 DRAINAGE AIRPORT TRAFFIC AFF I C . :...:........ DEPARTMENT PUBLIC WORKS TOTAL BUDGET $ 6,977,690 The Public Works Department provides an integrated system of transportation and drainage activities for the citizens. There are three field service divisions (Drainage, Streets, and Traffic/Street Lighting) ; two support divisions (Administration and Engineering) ; and two "contract" activities (Transit and Airport). The Administration Division provides coordination and support through development of policies, procedures, budgets and employee training programs. Administration of Transit and Airport service contracts, with the advice of the Transit Advisory and Airport Advisory Committees, is also provided. The Engineering Division plans, organizes, directs and supervises activities including establishing policies, and procedures, is responsible for ROW acquisition and disposal of City-owned properties; prepares studies and field data for long-range capital improvements; design and constructs streets, storm sewer and bridges; reviews subdivision plats, inspects and accepts for the City completed subdivisions; reviews building permit applications; issues and reviews access permit applications for activities on ROV]; coordinates ROW construction with emergency services; handles public information and requests on streets and drainage; performs engineering consulting services for other City departments, including design, surveys, and construction control. The Drainage Division provides for construction and maintenance of ditches, driveway, street crossovers and drainage pipes; construction of catch basins and repair of cavities. The Street Division maintains asphalt, concrete and unimproved roads within the City. It also installs and repairs underground signal facilities and installs and maintains traffic control signs along City streets. The Traffic Division performs the City's traffic engineering functions, including traffic signals, freeway lighting, traffic studies, parking control and school safety. It also processes requests for the installation of street lights by Gulf States Utilities. Included in the Public Works Budget are two functions that were not budgeted during fiscal year 1986. The two functions are School Safety and Hazardous Sidewalk Repair and Joint Sealing. The School Safety Program is to provide for the safety of children traveling to and from school. The Hazardous Sidewalk Repair and Joint Sealing Program involves the repair of sidewalks that have been identified by the Street Division as being hazardous and the sealing of joints and cracks in concrete and asphalt streets. 51 d0 7_t> PUBLIC WORKS DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 4,206,460 3,764,020 3,862,980 4,342,338 SUPPLIES 785,000 725,000 683,680 890,402 SERVICES 2,435,010 2,339,170 2,850,850 2,408,563 CAPITAL OUTLAY 76,250 33,760 2,000 19,214 REIMBURSEMENTS (525,030) (374,530) (604,450) (633A7,027,203 314) OTHER TOTAL BUDGET 6,977,690 6,487,420 6,795,060 DEPARTMENT/DIVISION FY 1987 FY, 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PUBLIC WORKS ADMINISTRATION 154,690 150,480 155,990 232,807 ENGINEERING 694,510 656,220 672,290 652,286 DRAINAGE DIVISION 1,976,620 1,862,550 1,879,160 2,075,330 STREETS DIVISION 2,108,590 1,782,730 1,762,420 1,905,991 TRAFFIC DIVISION 1,971,230 .1,978,740 2,245,790 2,083,667 AIRPORT 72,050 56,700 79,410 77,122 TOTAL BUDGET 6,977,690 6,487,420 6,795,060 1 7,027,203 52 PUBLIC WORKS DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Public Works Administration ,Public Works Director E3 1 Program Coordinator 13 1 Sr. Secretary 09 1 Sr. Clerk 07 1 Public Works Clerk 02 1 Total 5 Drainage Drainage Superintendent 20 1 General Foreman 12 1 Foreman 10 2 Welder 09 1 Equipment Operator Leader 08 5 Sr. Clerk 07 1 Equipment Operator II 06 6 Crew Leader I 06 4 Equipment Operator I 05 11 Maintenance Worker I 01 14 Total 46 Streets Street Superintendent 20 1 General Foreman 12 1 Foreman 10 2 Crew Leader II 08 2 Sr. Clerk 07 1 Equipment Operator II 06 5 Crew Leader I 06 11 Equipment Operator I 05* 4 Sign Fabricator 05 1 Sign Installer/Repairer 03 2 Sign Fabrication Aide 02 1 Maintenance Worker I 01* 14 Total 45 53 PUBLIC WORKS DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL POSITION TITLE FY 1987 GRADE NO. Traffic Traffic Engineer 21 1 Signal Superintendent 13 1 General Foreman 12 1 Civil Engineer I 1 Engineering Technician 1 11 1 1 Traffic Design Technician 10 1 Electrician Electronics Technician II 09 2 Secretary 08 5 Meter Repairer 08 1 Traffic Technician 03 1 Parking Control Officer 01 1 Ol 2 Total 18 Engineering City Engineer 24 1 Civil Engineer III 20 2 Civil Engineer II 16 2 Real Property Specialist II 13 Field Supervisor 1 Civil Engineer I l2 1 Real Property Specialist I 11 1 Construction Inspector II 11 1 Engineering Technician 11 4 Engineering Assistant I 10 1 Draftin g Supervisor Su 10 1 1 Construction Inspector I 10 Survey Party Chief 10 1 Secretary 10 2 Survey Technician 08 1 Drafting Technician 08 2 Word Processing Clerk 06 3 Survey Aide 04 1 01 1 Total 27 DEPARTMENT TOTAL 141 *New positions in FY 1987. =_ 54 PARKS AND RECREATION DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL POSITION TITLE FY 19$7 GRADE N®. Parks Parks Manager 19 1 Assistant Parks Manager 17 1 Foreman 10 1 Sr. Secretary 09 1 Crew Leader II 08 3 Crew Leader I 06 3 Maintenance Worker III 06 1 Equipment Operator II 06 1 Equipment Operator I 05 14 Custodian II 02 1 Maintenance Worker I 01 17 b Total 44 Recreation Recreation Manager 17 1 Community Center Supervisor 14 1 Program Coordinator - BYC 14 1 Athletic Supervisor 14 1 Sr. Clerk Typist 07 1 Tennis Pro * -- Total 5 DEPARTMENT TOTAL 49 59 az " DEPARTMENT : PARKS & RECREATION TOTAL BUDGET $ 2,533,560 The 1986-87 Parks budget reflects the same service levels as the 1985-86 budget. The reductions in the 1985-86 budget resulted in elimination of City-owned vacant lot cutting, which had been done by this department. It is recommended that the vacant City lot mowing be contracted out at an estimated cost of $60,000. When the vacant lot cutting was done by the Parks Department the cost was $86,000. The $60,000 is included in the special services line-item account. The Parks Department will continue the Bermuda release program which was begun in 1984. The increase in fleet rental and insurance is due to anticipated replacement of equipment. A concentrated effort will be made to increase productivity and maintenance standards with available personnel and supplies. Beautification of boulevards will continue and extra effort will be made to clean up and improve the appearance of the downtown area as well as other highly visible areas. The fixed asset request is basically the same as was requested in the 1985-86 budget which was not funded. 57 gs PARKS & RECREATION DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,490,090 1,890,200 1,860,730 1,887,046 SUPPLIES 120,760 185,440 166,120 149,389 SERVICES 891,360 1,385,150 1,523,190 1,492,935 CAPITAL OUTLAY 27,350 1,860 780 27,380 REIMBURSEMENTS OTHER 4,000 10,000 2,929 TOTAL BUDGET 2,533,560 3,472,650 3,550,820 3,559,679 DEPARTMENT/DIVISION FY 1987 FY- 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL COMMUNITY SERVICES ADMIN. 85,700 87,860 PARKS & RECREATION ADMIN. 110,773 PARKS DIVISION 2,126,350 1,985,160 2,111,060 2,006,513 RECREATION DIVISION 407,210 - 343,560 357,810 348,305 COMMUNITY FACILITIES 1,058,230 994,090 1,094,088 TOTAL BUDGET 2,533,560 3,472,650 3,550,820 J3,559,6 58 THIS PAGE LEFT BLANK INTENTIONALLY � c LIBRARY oe6yS LIBRARY ORGANIZATIONAL CHART FY 1987 BEAUMONT PUBLIC LIBRARY N MILLER BRANCH TYRRELL HISTORICAL DEPARTMENT: LIBRARY TOTAL BUDGET $ 1,253,530 The City Library System includes the main Beaumont Public Library, Tyrrell Historical Library and Miller Memorial Branch Library. These libraries offer a wide range of educational, cultural and recreational resources. The library buildings provide facilities for meetings and programs and activities sponsored iii' the libraries. Many of these are funded through grants from organizations and foundations such as the Mobil Foundation, Inc. , a long-time donor. Library services and materials on loan are made available through a library mobile which makes regular visits to nursing homes. An active Summer Reading Club Program is held each summer for children. The Beaumont Public Library Endowment Fund and Trust Fund both allow long term gifts for the Library System. The contributions to these funds along with memorial gifts allow the citizens of Beaumont to avail themselves of improved library services and collections. The Library System has more than 218,000 volumes in its book collection and more. than 40,000 active library cards. Reference services answer approximately 3,500 questions a month. The reinstatement of the audio-visual Department will provide records, cassette tapes, 16mm films, filmstrips, and video tapes to the citizens of Beaumont. This will add two Clerk I positions to the staff. The total cost of this service is $50,000. 63 LIBRARY DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 768,430 597,380 647,580 700,313 SUPPLIES 194,230 153,700 168,010 96,923 SERVICES 283,670 262,100 280,850 182,765 CAPITAL OUTLAY 7,200 5,000 REIMBURSEMENTS OTHER TOTAL BUDGET 1,253,530 1,018,180 1,096,440 980,001 DEPARTMENT/DIVISION FY 1987 FY- 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL t LIBRARY 1,253,530 1,018,180 1,096,440 980,001 TOTAL BUDGET 1 ,253,530 1,018,180 1,096,440 980,001 64 LIBRARY DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Library Library Director E5 1 Librarian III 17 1 Librarian II 14 3 Librarian I 10 7 Sr. Secretary 09 1 Sr. Clerk Typist 07 1 Sr. Library Clerk 06 1 Custodian Leader 06 1 Library Clerk 03 12 Custodian II 02 1 Custodian I 01 1 DEPARTMENT TOTAL 30 65 0 0 P THIS PAGE LEFT BLANK INTENTIONALLY � c HEALTH cv -�s-Ps HEALTH ORGANIZATIONAL CHART FY 1987 HEALTH ADMINISTRATION o� COMMUNITY HEALTH CLINIC PUBLIC HEALTH NURSING ANIMAL CONTROL ENVIRONMENTAL HEALTH ® SPECIAL REVENUE FUND INTERNAL SERVICE FUND DEPARTMENT ; HEALTH TOTAL BUDGET $ 1,810,550 Services performed by the Beaumont Health Department contribute to an overall program for providing health care, preventing disease and maintaining a healthy environment. The Health Department's Administrative and Supportive Services Division provides medical and administrative supervision for its specialized divisions. The Beaumont Community Health and Dental clinics provide diagnostic services and outpatient care for the indigent. The Environmental Health Division regulates and enforces environmental codes, including food service inspections, weed and litter violations, and corrections of public health nuisances. The Animal Control Division enforces the City's animal control ordinances and protects the population from the threat of rabies and other diseases. The Nursing Division provides direct nursing services to the public, including immunizations, well child clinics, and other specialized services. WIC Nutrition provides a federally-funded nutrition supplement, screening and education program for qualified participants. Employee Health Services provides services to City employees for on-the-job injuries, pre-employment and annual physical exams as required, health . screenings and wellness-related activities. Other divisions include Vital Statistics, which is responsible for validating and maintaining records of births and deaths; a laboratory that runs bacteriological and chemical tests for other divisions and agencies; Health Education Section which conducts classes for schools and eating establishments and offers films and educational programs; EPSDT, a diagnostic and testing progam, and a building and grounds maintenance sections. 69 HEALTH DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,501,110 1,341,640 1,616,900 1,400,929 SUPPLIES 132,580 117,670 121 ,700 92,528 SERVICES 381,360 350,090 294,380 256,770 CAPITAL OUTLAY 5,000 7,470 12,170 3,267 REIMBURSEMENTS (209,500) (175,410) OTHER TOTAL BUDGET 1,810,550 1,641,460 2,045,150 1,753,494 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL HEALTH ADMIN. 454,090 374,900 451,630 496,575 ANIMAL CONTROL 251,440 254,100 247,390 254,948 EPSD TREATMENT 13,800 COMMUNITY HEALTH CLINIC 304,970 290,450 293,450 252,019 PUBLIC HEALTH NURSING 223,660 199,570 313,470 215,396 ENVIRONMENTAL HEALTH 576,390 522,440 504;610 534,554 W.I.C. PROGRAM 220,800. TOTAL BUDGET 1,810,550 1,641,460 2,045,150 1,753,494 70 HEALTH DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL POSITION TITLE FY 1987 GRADE NO. Health Admin. & Support Services Health Director El 1 Laboratory Supervisor 14 1 Health Administrative Supervisor 14 1 Sr. Health Educator 14 1 Laboratory Technician II 10 1 Community Safety Program Coordinator 10 1 Laboratory Technician I 09 1 Sr. Secretary 09 1 Registrar Vital Statistics 06 1 Clerk/Cashier 05 1 Deputy Registrar 04 1 Clerk Typist 03 1 Custodian I 01 2 Total 14 Community Health Clinic Health Clinic Supervisor 14 1 Public Health Nurse I 12 1 Licensed Vocational Nurse 10 1 Medical Records Clerk 06 1 Community Health Clerk 06 1 Custodian I 01 1 Clinic Physician * 1 Physician * 1 Total 8 Public Health Nursing Nurse Practitioner 15 1 Public Health Nurse II 14 1 Public Health [Nurse I 12 4 Licensed Vocational Nurse 10 1 Sr. Clerk Typist 07 1 Clerk Typist 03 1 Physician * .5 Total 9.5 71 d _0 �_ �� HEALTH DEPARTMENTAL BUDGET SUMMARY , AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Animal Control Animal Control Supervisor 15 1 Animal Control Officer 06 5 Dispatcher I 05 1 Total 7 Environmental Health Chief Sanitarian 16 1 Asst. Chief Sanitarian 14 1 Environmental Specialist 13 1 Environmental Inspection Supervisor 12 1 Sanitarian II 11 2 Health Inspector 09 1 Environmental Inspector 08 4 Secretary 08 1 Environmental Health Clerk 05 2 Word Processing Clerk 04 1 Total 15 DEPARTMENT TOTAL 53.5 *Salary paid for under contract for professional services. 72 � BEAUMONT, TEXAS C RESOURCE MANAGEMENT RESOURCE MANAGEMENT ORGANIZATIONAL CHART FY 1987 RESOURCE MANAGEMENT PERSONNEL BUILDING MAINTENANCE RISK MANAGEMENT FLEET , C INTERNAL SERVICE FUND DEPARTMENT RESOURCE MANAGEMENT TOTAL BUDGET $ 1,845,680 The Resource Management Department was established from the reorganization of the Office of the City Manager and the old Administrative Services Department. It consists of the following divisions: Resource Management Administration, Personnel, Building Maintenance and Fleet. Increases in the department's personnel and supplies budgets reflect the additional funding for five positions transferred from the Office of the City Manager. Funds transferred in prior years for general liability insurance are no longer reflected in this department's budget thus reflecting a decrease in the department's services expenditures. Service level increases for FY 1987 include the installation of a personnel class compensation study. 75 RESOURCE MANAGEMENT DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 1,373,470 1,179,050 1,220,370 1,490,487 SUPPLIES 134,240 105,750 108,050 91,101 SERVICES 295,620 833,890 737,740 610,250 CAPITAL OUTLAY 42,350 1,000 1,000 585 REIMBURSEMENTS OTHER TOTAL BUDGET 1,845,680 2,119,690 2,067,160 2,192,423 DEPARTMENT/DIVISION FY 1987 FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL RESOURCE MANAGEMENT 169,630 PERSONNEL 320,980 808,900 748,900 619,284 BUILDING MAINTENANCE 1,355,070 1,310,790 1,318,260 1,573,139 TOTAL BUDGET 1,845,680 1 2,119,690 2,067,160 2,192,423 76 RESOURCE MANAGEMENT DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Resource Management Resource Management Director E2 1 Performance Auditor 19 1 Sr. Secretary 09 1 Response Clerk 06 1 Total 4 Personnel Personnel Manager 21 1 Personnel Analyst 15 2 Personnel Technician 11 1 Secretary 08 1 Sr. Clerk 07 2 Total 7 Building Maintenance Bldg. Maintenance Manager 20 1 Communication Supervisor 15 1 Communication Technician II 12 1 Electrical Foreman 12 1 Heating and Cooling Foreman 11 1 Carpentry Foreman 10 1 Electrician II 10 2 Communication Technician I 09 2 Painting Foreman 09 1 Heating and Cooling Technician II 09 1 Carpenter II 08 2 Secretary 08 1 Electrician I 08 2 Electronics Technician II 08 1 Heating and Cooling Technician I 07 1 Painter I 05 4 Building Maintenance Foreman 04 1 Heating/Cooling Helper 03 1 Maintenance Worker I 01 1 Custodian I 01 6 Total 32 DEPARTMENT TOTAL 43 77 THIS PAGE LEFT BLANK INTENTIONALLY � 1EAUMONT. TEXAS IX, NON-DEPARTMENTAL E RTMENT NON-DEPARTMENTAL TOTAL BUDGET $ 1,033,180 The FY 1987 non-departmental budget includes interfund transfers not included in specific departmental budgets. These transfers include $666,650 to the Beaumont Transit Fund $225,000 to the Insurance Fund and $141,530 to the Convention Facilities Fund. The FY 1986 totals include costs for Hurricane Bonnie in addition to normal interfund transfers. 80 NON-DEPARTMENTAL DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 398,000 326,630 SUPPLIES 116,000 85,870 SERVICES 684,000 385,500 CAPITAL OUTLAY 7,000 7,000 REIMBURSEMENTS OTHER 1,033,180 1 ,007,050 562,650 TOTAL BUDGET 1,033,180 2,212,050 805,000 562,650 DEPARTMENT/DIVISION FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL HURRICANE BONNIE DISASTER 1,205,000 805,000 INTERFUND TRANSFERS 11033,180 1,007,050 562,650 TOTAL BUDGET 1,033,180 2,212,050 805,000 562,650 81 THIS PAGE LEFT BLANK INTENTIONALLY � t SPECIAL REVENUES FUND c COMMUNITY DEVELOPMENT BLOCK GRANT FUND BALANCE SUMMARY C.D.B.G. PROGRAM FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTD%TE BUDGET ACTUAL TOTAL RESOURCES $ 1,960,940 $ 2,217,830 $ $ 1,669,940 TOTAL USES 1,960,940 2,217,830 1,669,940 NET FOR YEAR 0 0 0 BEGINNING BALANCE 0 0 0 ENDING BALANCE $ 0 $ 0 $ $ 0 84 SUMMARY OF RESOURCES AND USES C.D.B.G. PROGRAM FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMAM BUDGET AFL RESOURCE'S IIVRERGOVERUM1TAL REVENUE $ 1,960,940 $ 2,217,830 .$ $ 1,669,940 TOTAL RESOURCES $ 1,960,940 $ 2,217,830 $ $ 1,669,940 USES TOTAL PERSCI EL+ $ 469,740 $ 451,340 $ $ 382,070 'DOTAL SUPPLIES 15,750 14,500 17,660 TOTAL SERVICES 33,360 61,910 33,800 CAPITAL OUILAY 1,610 OTHER E'EWITURES 1,440,480 1,690,080 1,236,410 T0M USES $ 1,960,940 $ 2,217,830 $ $ 1,669,940 85 C.D.B.G. ORGANIZATIONAL CHART FY 1987 COMMUNITY DEVELOPMENT ADMINISTRATION w w COMMUNITY DEVELOPMENT BLOCK GRANT DEPARTMENT : COMMUNITY DEVELOPMENT TOTAL BUDGET $ 1,960,940 BLOCK GRANT The purpose of the Community Development Block Grant Program is to aid in the development of viable urban communities ty providing decent housing, a suitable living environment and expanding economic opportunities, principally for persons of low and moderate income. Specific Objectives: Elimination of slums and blight and prevention of blighting influences. Elimination of conditions which are detrimental to health, safety and public welfare. Conservation and expansion of the nation's housing stock. Expansion and improvement of the quantity and quality of community services. A more rational utilization of land and other natural resources. Reduction of the isolation of income groups within communities and promotion of an increase of diversity of neighborhoods. Restoration and preservation of properties of special value for historic, architectural and esthetic reasons. Alleviation of physical and economic distress through stimulation or private investment. 87 d --Jb - �s COMMUNITY DEVELOPMENT BLOCK GRANT DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 469,740 451 ,340 382,070 SUPPLIES 15,750 14,500 17,660 SERVICES 33,360 61 ,900 33,800 CAPITAL OUTLAY 1,610 0 0 REIMBURSEMENTS 0 0 0 OTHER 1,440,480 1 -690,080 1,236,410 TOTAL BUDGET 1,960,940 2,217,830 1,669,940 DEPARTMENT/DIVISION FY 1987 'FY' 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL HOUSING REHABILITATION 192,870 286,674 198,390 C-D.B.G. ADMINISTRATION 273,230 173,070 '176,210 CODE ENFORCEMENT 32,000 32,000 28,930 PLANNING & MANAGEMENT 32,360 36,000 30,000 PROJECT COSTS 1,440,480 1,690,082 1,236,410 TOTAL BUDGET 1,960,940 2,217,830 1,669,940- ,669,940 88 COMMUNITY DEVELOPMENT BLOCK GRANT DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. Community Development Block Grant C.D.B.G. Administrator 18 1 Housing Rehab. Administrator 18 1 Community Affairs Administrator 14 1 Planner 14 3 Accountant/Analyst 13 1 Rehabilitation Loan Officer II 13 1 Rehabilitation Specialist II 11 1 Rehabilitation Loan Officer I 11 1 Code Inspector II 11 1 Rehabilitation Specialist I 08 1 Sr. Clerk Typist 07 2 FUND 'TOTAL 14 89 THIS PAGE LEFT BLANK INTENTIONALLY cd dk 16 16 W.I.C. PROGRAM FUND BALANCE SUMMARY W.I.C. PROGRAM FUND FY 1987 EY 1986 FY 1986 FY 1985 BUDGET ESPIh=. BUD= ACIML TMAL RFSOURCES $ 229,040 $ 214,580 $ $ 206,341 ZOML USES 229,040 214,580 214,824 NEr FOR YEAR 0 0 (8,483) ti BMINN= BAIMC E 0 0. 8,483 EMING BALANCE $ 0 $ 0 $ $ 0 92 SUMMARY OF RESOURCES AND USES W.I.C. PROGRAM FUND FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET AC'AlAL RESOURCES MTEMOVEMMML REUE WE $ 229,040 $ 214,580 $ $ 206,341 TOTAL RESOURCES $ 229,040 $ 214,580 $ 206,341 USES TOE' PERSomm $ 220,350 $ 200,910 $ $ 204,252 TOTAL SUPPLIES 3,500 5,550 7,014 TOTAL SERVICES 5,190 8,120 2,563 CAPITAL OUTLAY ,995 TOTAL USES $ 229,040 214,580 $N 214,824 93 W.I.C. PROGRAM ORGANIZATIONAL CHART FY 1987 HEALTH ADMINISTRATION cc W.I.C. PROGRAM DEPARTMENT: W.I.C. PROGRAM TOTAL BUDGET $ 229,040 The Special Supplemental Feeding Program for Women, Infants, and Children (WIC) is a federally funded program locally serving all north Jefferson County residents. The program provides low income, pregnant and breast-feeding women, infants and children up to five years of age with specific high nutrient foods designed to supplement those high risk and rapid growth periods. Additionally, WIC instructs participants in nutrition, food economics, and health needs. The local agency screens participants each six months to determine eligibility. Presently, WIC is allowed to provide a set of food vouchers and nutrition education to a maximum of 3,100 persons. 95 W.I.C. PROGRAM DEPARTMENTAL BUDGET SUMMARY EXPENDITURES CATEGORY FY 1987 FY 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL PERSONNEL 220,350 200,910 204,252 SUPPLIES 3,500 5,550 7,014 SERVICES 5,190 8,120 2,563 CAPITAL OUTLAY 995 REIMBURSEMENTS OTHER TOTAL BUDGET 229,040 214,580 214,824 DEPARTMENT/DIVISION FY 1987 FY- 1986 FY 1986 FY 1985 BUDGET ESTIMATE BUDGET ACTUAL W.I.C. PROGRAM 229,040 214,580 214,824 TOTAL BUDGET 229,040 214,580 214,824 96 W.I.C. DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. WIC Program WIC Nutrition Supervisor 15 1 Nutritionist 10 1 Public Health Nurse II 14 1 Public Health Nurse I 12 1 Nutrition Clerk 06 1 Clerk Typist 03 2 FUND TOTAL 7 97 THIS PAGE LEFT BLANK INTENTIONALLY W.I.C. DEPARTMENTAL BUDGET SUMMARY AUTHORIZED PERSONNEL FY 1987 POSITION TITLE GRADE NO. WIC Program WIC Nutrition Supervisor 15 1 'Nutritonist 10 1 Public Health Nurse II 14 1 Public Health Nurse I 12 1 Nutrition Clerk 06 1 Clerk Typist 03 2 FUND TOTAL 7 97