HomeMy WebLinkAboutMIN JUL 10 2001 M I N U T E S - CITY OF BEAUMONT
Lulu L. Smith DAVID W. MOORE, MAYOR Guy N. Goodson, Mayor Pro Tern
Andrew P. Cokinos CITY COUNCIL MEETING Becky Ames
Bobbie J. Patterson July 10, 2001 Audwin Samuel
Lane Nichols, City Attorney Stephen J. Bonczek, City Manager Barbara Liming, City Clerk
The City Council of the City of Beaumont, Texas, met in a regular session on July 10, 2001, at
the City Hall Council Chambers, 801 Main Street, Beaumont, Texas, at 1:30 p.m. to considerthe
following:
OPENING
Invocation Pledge of Allegiance Roll Call
Presentations and Recognition
Public Comment: Persons may speak on scheduled agenda items
Consent Agenda
Mayor Moore called the meeting to order at 1:34 p.m. The Reverend Vincent Tyler, Cathedral of
Faith Baptist Church, gave the invocation. Boys Scouts Kenneth Aydelotte and Chris Gonzales
with Troop 85 led the pledge of allegiance.
Present at the meeting were: Mayor Moore, Mayor Pro Tern Goodson, Councilmembers Smith,
Cokinos,Ames, Samuel, and Patterson. Also present were Stephen J. Bonczek, City Manager;
Lane Nichols, City Attorney; and Barbara Liming, City Clerk.
Presentations and Recognitions - No proclamations were issued.
Mayor Moore recognized Kenneth Aydelotte and Chris Gonzales and their families.
Kenneth and Chris are members of Boy Scout Troop 85 and are observing City Council
as part of the requirements for the Citizenship in the Community merit badge.
�k Mr.Tom Bell, secretary of the Board of Directors for Beaumont Main Street, and Executive
Director Carolyn Howard presented a certificate recognizing the City of Beaumont as a
2001 National Main Street City. Mr. Bell said that Beaumont Main Street is celebrating
their tenth anniversary in partnership with the City of Beaumont, and since 1992
reinvestment in downtown Beaumont is over$35 million and almost 900 jobs.
Ms. Howard distributed to Council copies of brochures that depict their program of work
for the next two years and a publication they distribute upon request of projects currently
underway amounting to almost$20 million of restoration . She pointed out that for every
dollar the City invests, over$30 is received in return by investors. Beaumont is one of 80
Main Street Communities in Texas and has been at the top for three consecutive years.
* Mayor Moore welcomed and recognized the attendance of Mr. Luke Jackson,the recently
retired Parks and Recreation Director.
Police Officer David Henry and Boxing Coach Jimmy Baker with the Police Activities
League (PAL) recognized the efforts of Orlan Sharpe. Orlan is 15 years of age, attends
Central High School, and boxes on the Beaumont Police Activities League Boxing Team,
and won the 178 pound championship at the Texas State Junior Olympic Boxing
Tournament held at Galena Park High School in Houston. He defeated Eric Hernandez
of the South Texas Boxing Association with a 2nd round knockout and advanced to the
National Junior Olympic Boxing Championship held June 18-23 in Marquette, Michigan
where he lost the championship by a 3-2 decision.
Officer Henry expressed appreciation for the program and said they reach about 1,200
youth and gives them opportunity to open doors to do good things. Since initiation of the
program, seven national championships have been attained by five boxers.
Coach Jimmy Baker reviewed the history of the boxing program, said they have 25 to 30
kids in the gym daily, and complimented the efforts of Orlan.
Orlan introduced his parents and expressed appreciation to the City of Beaumont, Officer
Henry and Coach Baker for the PAL program.
Mayor Moore expressed pride in Orlan for his perseverance and outstanding
representation for Beaumont, as well as his accomplishments. He complimented Officer
Henry and Coach Baker for the progress made in serving over 1,000 participants.
Public Comment: Persons may speak on scheduled agenda items. The City Manager
announced that Item C on the Consent Agenda has been pulled.
Mr. Allen Lee, 5095 Maddox, addressed Council to compliment Orlan Sharpe and his
family and encouraged him to keep up the good work. Mr. Lee referred to an article in the
Beaumont Enterprise written by him expressing views on a non-resident user fee as an
option to meet budget constraints. He further expressed opinions that included voters
keeping Council members in office, said the newspaper did not print implementation of a
non-resident user fee, placing sanctions on those not paying the fee, claimed some
Council members are corrupt, and said if they do not consider assessment of the non-
resident fee, they will be guilty of malfeasance.
Mr. C. L. Sherman (no address given) addressed Council to state that personnel staffing
for the City has increased during the past ten years, but has been reduced by
manufacturers and refineries. He stated that personnel reduction is an absolute necessity,
said he can almost guarantee a referendum if a storm water utility fee is initiated, and that
people are fed up with tax increases. He explained that he is not saying the City has too
may people working, but more than we can afford, said the biggest part of the budget is
personnel, that during the 80's there were about 15,000 lay-offs in refineries, and that we
have to learn to be leaner, meaner, and more efficient.
Consent Agenda
Approval of minutes - June 28, 2001
Confirmation of committee appointments - No committee appointments.
Minutes July 10,2001 Page 2
A) Approve the purchase of 10,000 feet of polyethylene pipe (from ACT Pipe and Supply at
$3.59 per foot, total expenditure of$35,900) - Resolution No. 01-165
B) Authorize the purchase of one diesel engine generator set and transfer switch for the
wastewater handling system and all pumps at the Beaumont Fire Training Grounds (from
Emergency Power Service in the amount of$20,440) - Resolution No. 01-166
C) Approve the purchase of promotional items for the Clean Community Department- Item
pulled
D) Authorize the City Manager to execute an agreement with C. L. Sherman and Sons
Lumber Dealers, Inc. for the lease of property for the operation of Emergency Medical
Services (EMS) Medic 1 (2510 North 11`h Street, Suite A at $1,276 per month) -
Resolution No. 01-167
Councilmember Smith moved to approve the Consent Agenda. Mayor Pro Tern Goodson
seconded the motion. MOTION PASSED.
Ayes: Mayor Moore, Mayor Pro Tern Goodson, Councilmembers Smith,
Cokinos, Ames, Samuel, and Patterson
Noes: None
GENERAL BUSINESS
1. Consider authorizing the City Manager to execute two Ground Lease Agreements for
property located at the Beaumont Municipal Airport
Councilmember Cokinos moved to approve Resolution No. 01-168 authorizing two 30-
year lease agreements with Mr. Gary Giarraputa, the airport's fixed-based operator, for
approximately 10,500 square feet of property located east of the large south hangar along
T-hangar C's taxiway and with Conn's Appliance, L. P. for approximately 21,380 square
feet east of the north hangar building ramp. Councilmember Ames seconded the motion.
MOTION PASSED.
Ayes: Mayor Pro Tern Goodson, Councilmembers Smith, Cokinos, Ames,
Samuel, and Patterson
Noes: None
Abstention: Mayor Moore
WORK SESSION
* Review and discuss FY 2002 Budget proposals
The City Manager introduced updated budget alternatives (Exhibit "A") and a budget
reduction analysis (Exhibit "B") presented to Council for review on July 6, 2001. In the
budget reduction analysis on page one (Exhibit"B"), Mr. Bonczek stated that the correct
Minutes July 10,2001 Page 3
number of vacancies listed in the Fire Department is four instead of five. Total proposed
reductions is $3,404,000 with Council concurrence for$2,518,000.
Mr. Bonczek reviewed Alternative 1 implementing a stormwater utility fee with two options.
One option is based on measured impervious surface and the other based on a tiered rate
structure. Both options generate approximately $2.6 million in revenue. Alternative 2
adopts a $.04 property tax increase, increasing the current tax rate of$.635 to $.675 and
retains the street user fee.
In response to a question by Councilmember Samuel, the City Attorney stated that he
knows of no tax deduction provision for fees, such as the proposed stormwater utility fee.
The City Manager referred to a memoorandum presented to Council containing historical
and statistical information about the EMS First Responder Program in answerto questions
asked by Councilmember Smith.
Councilmember Smith explained that she was concerned how a determination is made
that the first responder is the Fire Engine and the second EMS. She said that the Fire
Department sends out a unit on every call, and there seems to be a screening method that
could be implemented to eliminate the Fire Department making an unnecessary call.
Mayor Pro Tern Goodson interjected that in reference to comments made by Mr.Sherman,
that personnel is the way in which reductions in City government can be affected, the
circulated information shows almost 200 increased positions in the last ten years is based
on budget organizational chart positions. In the $2.5 million budget reductions reviewed
by Council in recent weeks,the majority of monetary reduction is in personnel. Mayor Pro
Tern Goodson suggested it might be beneficial to provide this information to interested
parties and to illustrate the total number of affected positions, if adopted. Also, he
commented that Fire and EMS are the only significant departments that haven't been
affected by proposed budget reductions, and a review of all our services is needed to
determine their efficiencies. He stated since the 911 service has been in place, the trend
appears to be a substantial increase in the number of calls. Mayor Pro Tern Goodson
called attention to the graph that indicates a decline of about 50 percent in responses for
nine months of this fiscal year. If this is a true decline, he said this could be an important
issue to note, and said Councilmember Smith's comments about an appropriate call out
system and screening are well taken. He also addressed the cost of our system, private
transports,the City transporting most low or no-pay customers, and looking at the entirety
of the service—the Fire response and emergency system. With our excellent response
time, Mayor Pro Tern Goodson said he would not like to do away with the service, but
does not see future substantial improvement in collections after completion of the initial
past due account collection effort. He recommended looking at every department.
Councilmember Ames stated $2.5 million in budget cuts have been made, thinks more
can be made, and said she is not ready to adopt a fee or tax increase until all areas of
potential budgets have been exhausted. She addressed personnel cuts, community
misconceptions, the stormwater fee not having capital included, elimination of the street
user fee with a stormwater fee establishment, and lack of a voice from the community for
service cuts. She discussed the stormwater utility flat fee of$2.79 per household based
on impervious surface and the tiered rate ranging from $2.50 to $4.00 as being in the
Minutes July 10,2001 Page 4
same range as a street user fee and the effects of each option on businesses, and the
street user fee staying in place with a property rate increase.
Additional discussion included the sales tax report expected to be available tomorrow,the
trend for more calls being EMS related, the approximate Fire response time being four
minutes or less, the average EMS response time about six to eight minutes, if the Fire
Department is not the first responder more EMS stations and personnel would be
required, and the cost feasibility of moving EMS into Fire is currently under review and to
be placed on a future workshop session.
Mayor Moore commented that the previous reference to 15,000 job reductions made by
corporations actually resulted in them eventually resulted in hiring contract labor near the
same rate of pay, but without paying them benefits and addressed automation within
budget parameters,continuing efforts to bring new levels of service, operating as one city,
and problems addressed in some areas and some remaining to be addressed.
The City Manager stated the City is not anti-business, but pro-community, the
manufacturing process has the ability to add a costly addition to their plant and maybe
create 75 or 100 jobs, but the City provides services rendered through personnel. During
the tenure of Mr. Bonczek, he said that a net of about $200,000 in savings has been
realized in personnel cuts and services and programs have been expanded to meet
community needs to make Beaumont a desirable place for economic development
because quality of community attracts business.
Further discussion included the contractual agreement with the Fire Union and the ability
to set the number of positions, privatization and municipality obligation to assume service
upon private company failure to operate, staff consideration, Fire and EMS being different
than revenue generating funds,equal comparisons, lack of Citytransports otherthan call-
outs, and the City transporting all or most low or no-pay customers.
Mayor Pro Tern Goodson spoke of establishing a clearance procedure on 911 calls to
insure that the City was not responding to non-emergency calls, and requested a copy of
the policy and a report of the number of calls received versus the number of transports
made.
Mayor Moore requested information about the budgetary impact of using temporary or
seasonal employees versus permanent employees during peak seasons. He also asked
the City Attorney to research information on occupancy or non-residential taxes, how they
could be applied and any challenges that could be made.
COMMENTS
* Councilmembers comment on various matters
Councilmember Cokinos reported that he was pleased to have attended an impressive
Changing of Command Ceremony at the Reserve Center this morning.
(Mayor Pro Tern Goodson left the Council Chambers at 2:47 p.m. and returned at 2:48
p.m. during Councilmember Samuel's comments.)
Minutes July 10,2001 Page 5
Councilmember Samuel questioned City recourse when contractors fail to properly clean
a construction site or provide access to residents, and City Attorney Lane Nichols stated
that full payment can be delayed until the contract has been fulfilled. Normally, City staff
will advise the contractor of problems and work out a resolution. Councilmember Samuel
informed Public Works Director Tom Warner that on Mary Street, where the Charlton-
Pollard Park is under construction,there has been a problem with accessibility created by
a contractor. He asked how citizens could be assured access to their homes and if their
vehicles get stuck, what assistance may be provided, and Mr. Warner said he would
investigate the situation. Lastly, Councilmember Samuel apologized to Beaumont Transit
employees for not arriving back in Beaumont in time to attend their meeting last Sunday
evening, but said he would meet with them as soon as possible.
Councilmember Patterson announced that the Pear Orchard Neighborhood Association
meeting will be held July 17 at 7:00 p.m. at Our Mother of Mercy Hall with the City
Manager as the guest speaker.
Mayor Moore reported that he welcomed judges and commissioners at a convention this
morning that brings over 500 visitors to our city for the next several days. Also, the
Softball Classic will be in Beaumont. He asked the City Manager for status of the trash
issue on Sarah Street so that he may respond to citizens.
* City Manager Report - FY2002 Budget Preparation Process; The New Director of
Southeast Texas Arts Council; Landfill Expansion Project; Recycling Drop Off Center;
Beaumont Police Department's Youth Academy for Law Enforcement
Mr. Bonczek reported that the Landfill Expansion Project is proceeding with engineering
services estimated from $300,000 to $400,000 to obtain an amended permit, which may
be a two to three year process, and a professional services contract with Emcon will be
prepared. He said Gulf Coast Recycling has been notified the City's curbside recycling
program is being discontinued and the opportunity for them to assist with recycling. The
Beaumont Police Department's Youth Academy will be held July 10-26 for youth,ages 12-
17. In response to a request by Mayor Moore, the City Manager said the City is working
on a special holiday program,entitled"Oh Holy Night,"and sponsorship to obtain the Rudy
Hawkins Gospel Singers for the event.
* Public Comment (Persons are limited to three (3) minutes).
Ms. Sue Gabriel, 1095 Oregon Avenue,Apartment No. 1,addressed Council in opposition
of transit service reductions. She said the quality of life should be improved for all citizens
and to move forward and not backwards. Ms. Gabriel stated that eliminating bus service
would be a step backwards. She spoke in support of evening and Saturday bus service,
against reduction of bus drivers, addressed the impact on retailers, as well as, ridership,
more routes, soliciting more federal grants, and relayed her experiences of walking when
bus service was not available.
Minutes July 10,2001 Page 6
Mr. Allen Lee, 5095 Maddox, invited Ms. Gabriel to attend a forum with the Justice
Department at Our Mother of Mercy Church on August 21 at 7:00 p.m. to make them
aware of the proposed transit reductions. Mr. Lee cited various circumstances when
Justice Department intervention made a difference and policies they are presently
reviewing. Mr. Lee claimed certain Council members to be criminals and corrupt,and said
that he will not be at City Council next week because the committee he formed will be
meeting with Justice Department officials. Mr. Lee advocated Sunday service,chastened
those who ride buses and do not vote, spoke of a petition for a Civilian Review Board not
being put on a Council agenda, higher taxes and less services, and said Justice
Department officials will be taken to the West End YMCA and the Melton YMCA. He
claimed that money has been given to the Melton Y without improvements being made.
Pastor M. L. Johnson of the House of Prayer, 3994 Pine Street, addressed Council to
speak of putting God first in decisions, spoke in support of bus service, cited examples of
those who need the service, said we must work together, and requested that if bus fares
are increased, that service is improved.
Mr. Leroy Lewis, III, 1201 Euclid, addressed Council to complain about an unsecured
structure at Irving and Jackson having garbage in it, said curbs and sidewalks in front of
Pietzch Elementary need repair, reported that the window is broken in the bus stop at
Parkdale Mall, suggested everyone contribute $2 to assist elderly citizens with air
conditioning, claimed inequity and advocated helping all ethnic races, said he has not
forgotten about his $300 million request for improvements, commented about crime in
neighborhoods and encouraged citizens to turn in drug dealers, spoke in support of bus
service even if the fare is increased, thanked the Salvation Army, Some Other Place, the
Red Cross, and Congressman Lampson for helping flood victims, and requested
assistance with gangs of stray dogs on the streets.
Mr. Luke Jackson, 4580 Cartwright, addressed Council to ask how long is long enough
to make promised street repairs, said there has been funding to make the improvements,
and requested that in budget preparations, monies be set aside for the improvements.
Mr. Cleveland Nisby, 4520 Corley, addressed Council to voice opinions about the City
Manager not balancing the budget, recalled past approval of storm sewers for flood
purposes and a present request to assess a storm water utility fee or property tax
increase. He spoke of rejection by the City Manager to place 23' Street on the CIP
because of lack of funding, inclusion by the Mayor and City Manager of prioritizing the
extension of Dowlen Road to Walden Road which he said has always been a contractor's
expense, claimed money is being given to private businesses in bad loans, and now
citizens are asked to rescue poor management. Mr. Nisby requested Council find a way
for the budget to be balanced, review administrative costs, and recognize that citizens
can't always be called upon to correct mistakes.
Ms. Kay Owens, 3910 Treadway, addressed Council to state that she utilizes bus
transportation daily as a Lamar student, a mother, and for other business. She referred
to the disability statement on the Council agenda and said that lack of transportation is a
disability for her. Ms. Owens expressed appreciation for bus service, said improved
transportation should be made for economic development, and requested that
transportation not be taken from those who need it because the budget is not in order.
Minutes July 10,2001 Page 7
Mr. W. Preston Shaw, 4630 Corley, addressed Council to state that he built his home 34
years ago and has had conversations with Councilmembers about 23' Street. Mr. Shaw
said it saddens him to speak of 231d Street after hearing comments about bus service and
is conscious of trying to help others. He shared that he knows this is a difficult time, but
said promises have been unfulfilled, and now he would like the 23rd Street project
considered. Mr. Shaw claimed residents have listened and been patient.
Mr. Richard Price, 4725 Corley, addressed Council to state that the 23rd Street has been
addressed, and said he would direct his comments to EMS. Mr. Price gave an example
of an accident in which his son was involved without injuries and because they are first
responders, the Fire Department dispatched a big Fire truck that was unnecessary.
Mrs. Cleveland Nisby, 4520 Corley, addressed Council to state that she is embarrassed
to speak because she is begging for something she deserves, something she has paid for
through very high taxes with very little services,and that is for improvements to 23rd Street.
She spoke of citizen pride in her neighborhood, stated that 23rd Street is in the same
condition as it was 30 years ago, while other streets have been paved, curbed and
guttered. Mrs. Nisby again emphasized her plea for improvements to 23rd Street.
Mayor Moore thanked the audience for their attendance and expressed that Council
prefers to keep extended bus service, and said it is this Council that initially approved
extended bus service even beyond 6:30 p.m. He addressed Council efforts in providing
activities for children and youth and said that Council wants to make improvements to 23 d
Street, Virginia Street, Delaware Street, and all streets. Mayor Moore said many
misstatements have been made. One is that the Mayor and City Manager cannot make
a decision on any street; it is a total Council decision. He reminded residents that a plan
was in place to repair 23rd Street, but residents stated that unless 23rd Street was curbed
and guttered, it was unacceptable and they wanted it done right. He reiterated that
Council has heard the requests and wants to honor them within reason, however, there
are constraints. He addressed accusations of mismanagement and some thinking there
is an endless pot of money. Mayor Moore said he has spent many hours in front of
Congressional representatives soliciting funds for our community, and that the Beaumont
Transit System was recently cut$170,000 in federal funding. Mayor Moore said with the
mandates being handed down, it is going to get tougher at the municipal level. He
referenced a comment about securing $300 million, and stated that if it was possible to
secure that amount, there would be not be a budget issue, and informed citizens that
many grant funds are distributed according to population size. He addressed working
together to face challenges, said he understands how 231 Street residents feel, reviewed
that when a privatization pilot program to reduce costs of EMS was presented, many said
"no," we want another unit added, and Council complied to that wish. Mayor Moore also
spoke of fire protection efforts for all areas, said there has only been one tax increase in
ten years, and there has also been a tax decrease. He spoke of Council budget
challenges being known for three years and of efforts made to meet them. Additionally,
he explained a matching grant for a project total of $3.5 million, the City's share being
$700,000, and other major projects at $1.5 million, or greater, under consideration as
needed. Mayor Moore spoke of emotions running high, efforts to wisely allocate money
to serve city needs, possible curtailment of projects, public safety a major expense,
encouraged continued communication, and told those who ride the bus that this Council
Minutes July 10,2001 Page 8
put together an outstanding shelter and transfer center and that 80 percent of the bus
system is funded by federal and state dollars and is a deficit running program.
EXECUTIVE SESSION
Consider matters related to contemplated or pending litigation in accordance with Section
551.071 of the Government Code:
James R. Hucker v City of Beaumont
There being no further business, the meeting adjourned at 3:35 p.m.
YY1z
David W. Moore, Mayor
Barbara Liming, City Clerk
Minutes July 10,2001 Page 9
Balancing the FY 2002 Budget
ALTERNATIVE 1
Stormwater Utility Implementation
Stormwater Fee (9 months) $1,950,000
Selective reductions in various departments 2,518,000
Increase shift in property tax dedicated to Debt
Service by approx. $.0125 (468,000)
Total to equal budget reduction target $4,000,000
♦ Stormwater Utility Fund will be established to provide funding for operation
and maintenance related to stormwater management.
♦ Stormwater Utility implemented at a rate to generate $2.6 million annually.
♦ Stormwater implementation scheduled for January 1, 2002 (9 mos. in FY02).
♦ In order to implement by January 1, the Stormwater Utility Fund would have to
be established by July 31, 2001.
♦ Department reductions based on Council consensus.
♦ No increase in the total tax rate of$.635. which is currently dedicated at $.33
General Fund and $305 Debt Service, would be required.
♦ Included in the target deficit is the required $.02 shift from the General Fund to
Debt Service for existing debt requirements.
♦ The Street User Fee would be eliminated and street rehab would become a
component of the CIP.
♦ Alternative 1 produces the capacity to increase the tax rate shifted from the
General Fund to Debt Service by $.0125. allowing for the continuation of the
Capital Improvement Program (CIP) including street rehab.
♦ The total shift from the General Fund to Debt Service would be $.0325, or
$1,235,000, effecting a rate of$.2975 dedicated to the General Fund and
$3375 dedicated to Debt Service.
1 7/6/01
EXHIBIT "A"
OPTION 1
ESTIMATED STORM WATER
UTILITY REVENUE
BASED ON MEASURED IMPERVIOUS
SURFACE
Assumptions:
• Annual Budget - $2,600,000 with No Capital
• Exemptions - County, Religious Organizations and Public Schools
• Rate per Equivalent Single Family Unit (ESU) - $2.79
• Estimated Annual ESU's - 931,900
Anticipated Revenue:
931,900 ESU's (a, $2.79/ESU = $2,600,000
Example Locations:
Monthly Annual
Location ESU's Fee Cost
Hoffbrau 18.83 $52.54 $630.48
American Valve and Hydrant 280.87 $783.63 $9,403.56
Ritter Lumber 51.51 $143.71 $1,724.52
Harbor Apartments 79.16 $220.86 $2,650.32
Fisca Convenience Store 6.29 $17.55 $210.60
2 7/6/01
OPTION 2
ESTIMATED STORM WATER
UTILITY REVENUE
BASED ON TIERED RATE STRUCTURE
Assumptions•
• . Annual Budget - $2,600,000 with No Capital
• Exemptions - County, Religious Organizations and Public Schools
• Tiered Rates
Residential Small< 1,800 sf $2.50
Medium 1,800 sf to 2,700 sf $3.25
Large> 2,700 sf $4.00
Commercial Small <4,000 sf $4.00
Large> 4,000 sf Calculated Impervious Surface
Anticipated Revenue:
Residential
Tier Estimated# Monthly Annual
Tiers Range (sf) of Accounts Rate Revenue
Small < 1,800 sf 10,860 $2.50 $325,800
Medium 1,800 sf to 2,700 sf 10,910 $3.25 $425,490
Large > 2,700 sf 11,470 $4.00 550,560
Annual Residential Revenue . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . $1,301,850
Commercial
Tier Estimated# Monthly Annual
Tiers Range s of Accounts Rate Revenue
Small <4,000 sf 598 $4.00 $ 28,704
Large > 4,000 sf 2203 Calculated * $1,290,184
Annual Commercial Revenue . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . I 1 1 18 888
* Commercial Revenue Based on Total Impervious Surface Area Calculated at$0.105 per
100sf
Total Annual Revenue . . $2,620,738
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Example Locations:
Monthly Annual
Location Area Fee Cost
Hoflbrau 56,475 $59.30 $711.60
American Valve and Hydrant 842,608 $884.74 $10,616.88
Ritter Lumber 154,542 $162.27 $1,947.24
Harbor Apartments 237,480 $249.35 $2,992.20
Fisca Convenience Store 18,870 $19.81 $237.72
3 7/6/01
Balancing the FY 2002 Budget
ALTERNATIVE 2
$.04 Property Tax Increase
Property Taxes - $.02 for Debt Service $760,000
Property Taxes - Approx. $.02 for General Fund 722,000
Selective reductions in various departments 2,518,000
Total to equal budget reduction target $4,000.000
♦ Current property tax rate of$.635 is dedicated $33 General Fund and $305
Debt Service.
♦ Property tax rate dedicated to Debt Service increased by $.02 to fund existing
debt service requirements.
♦ Property tax rate dedicated to General Fund increased by $.02 to provide
funding required to reach $4 million target.
♦ Total property tax rate would total $.675 with $35 dedicated to the General
Fund and $325 dedicated to Debt Service.
♦ An increase in the total property tax rate should have a positive financial
impact on industrial district payments.
♦ Department reductions based on Council consensus.
♦ No Stormwater Utility Fund established.
♦ A division in Public Works (General Fund) will be established to account for
operating and maintenance costs associated with stormwater.
♦ The Street User Fee would be retained as there is no identified funding for this
$1.5 million program in this alternative.
4 7/6/01
Property Tax Adjustment Impact Analysis
4 cent
Property Property Tax
Value Increase
Residential Home $ 50,000 $ 20.00
Residential Home 100,000 40.00
Residential Home 150,000 60.00
Residential Home 200,000 80.00
Residential Home 250,000 100.00
Fisca Convenience Store 158,990 63.60
4015 Eastex Freeway
Ritter Lumber 350,440 140.18
2970 Washington Blvd.
Hoffbrau Steaks
2310 N 1 1 th St. 355.600 142.24
American Valve & Hydrant
Hollvwood & I I th St
(10 accts on tax roll) 1.370,340 548.14
Harbor Apartments 3,479,830 1,391.93
4040 Crow
5 07/06/2001
FY 2002 Budget Analysis
Departmental Reductions
Departments offered several proposals in order to provide Council options for program/service cutbacks
to achieve the 3% or more tarzet reductions necessary to balance the FY 2002 budget. Items in bold have
Council consensus.
3% Potential
FY01 Target Savings/Rev
Reduction Strategies Budget Amount To=Target
Police $18,997,400 5570,000
1. Budget to reflect vacancy trend $135,000
for sworn positions
Eliminate Secretary I Position 40,000
(vacant)
Budget to reflect vacancy trend
for civilian positions $100,000
Community Resource
Specialist (transfer to CDBG, vacant) 28,000 303,000
Fire 13,964,000 420.000
1. Reduce apparatus level 317.000
(Eliminate 6 positions,4vaeant)
2. Civilianize Fire Dispatch 57,000
3. Close Station 1 1 (limit to EMS station activity) 512.000
(Eliminate 9 positions)
The apparatus reduction would entail placing Truck 4 and the Rescue Truck in reserve. Civilianization of
Fire Dispatch is an item which is subject to union negotiation. An analysis of a proposal to transfer EMS
operations to the Fire Department has not been finalized.
Public Works 11,768,100 353.043
1. Increase Transit fares ($.25) 144,000
Charge Transit Social Services 179,800 323,800
2. Cut Transit service hours(6-9pm) 170,500
Adopt Transit Saturday schedule on weekdays (le., longer head-times) 187,000
Eliminate Transit Saturday service 136,000 493,500
1 7/6/01
EXHIBIT "B"
34c Potential
FY01 Target Savings/Rev
Decision Packages Budget Amount To=Tarjjet
3. Eliminate Development Services Manager(Vacant) 65,000
Renegotiate street lighting contract 40,500
General operating - Engineering 30,000
Parks general maintenance 73,300
Streets & Drainage heav} materials 15,200
General operating-Transportation 45,100
Increase parking violation fees (from $3/S 10/$10 to S 10615620) 44,400 313,500
Increased operating expenses related to the transit system as well as cutbacks in state (20%) and federal
(down to 48% of operating deficit from SO"/c) funding ' to the need for adjustments to this
service. General operating reductions include overtime, operating supplies, telephone, fuel & lube,
vehicle maintenance, part-time and temporary wages, botanical supplies, contract services and equipment
maintenance.
Library & Leisure Services
Library Services 1.908,1()0 57.000
1. Automated circulation system 16,200
Eliminate I~undina Center Librarian (vacant) 40,800
General operating 11,000 68,000
Recreation Services 825.800 25.000
I. Eliminate R.A.P. Program Sites 11,200
Eliminate After School Programs 4,600
General operating 8,300 24,100
General operating savings are based on closing the main library on Saturday and Sunday. Both the R.A.P.
and After School programs are underutilized.
Public Health 4,593,200 137,800
I. Increase Charge for Vital
Statistic Records 56,900
Eliminate EMS Manager Position (vacant) 51,500
Increase EMS rates 80,000 188,400
A proposal to privatize EMS services is not being considered based on Council direction and market
conditions at this time.
7/6/01
3% Potential
FY01 Target Savings/Rev
Decision Packages Budget Amount To= Target
Central Services 6,207.00) 186,200
1. Art Museum Grounds Maintenance 3,600
General operating - Purchasing 4,000
IS Contract Maintenance
(Transfer to Enterprise Funds) 39,500
Eliminate Clerk II Convention Facilities 31,000
(vacant)
Defer Capital Purchases 7,500
Eliminate Golden Triangle Directory Listing 2,500 88,100
In an effort to control utility costs, a temperature policy for all City buildings will be implemented.
Finance 1,219,600 36,600
1. Eliminate Performance Analyst Position (vacant) 69,000
Eliminate Accounting Assistant Position (vacant) 35,000 104,000
Human Resources 649,800 20,000
1. Eliminate Service Awards Program
and 5 yr. gifts 7,500
General operating 10,000 17,500
The Service Awards banquet, including the Doris Johnson Award, would be replaced with a presentation
at Council meeting.
City Attorney 571,900 17,600
1. Aggressive collection for all Departments 100,000
Citv Clerk 1,148,400 34,452
1. Do not renew Municipal Court
collection contract with
Municipal Services Bureau (MSB) 60,000
Transfer demolition advertising to CDBG 9,600 69,600
Municipal Court will still use Ommbase/DPS Collections to service delinquent accounts.
3 7/6/01
3% Potential
FY01 Target Savings/Rev
Decision Packages Budget Amount To="Target
Citv Wide
I. Discontinue uniforms for non-field personnel 5,000
Discontinue holiday bonus (S20 grocery voucher) 29,500
Travel (10% across the board) 30,000
Eliminate Parks/Rec Administration Division (Director) 100,000
Payment, rather than in-kind, from YNIBL 50,000
Delay implementation of Compensation Study Phase 11 160,000
Originally scheduled for implementation July 20021
Eliminate Curbside Recycling (Net savings = 5234,900 in Solid
Waste Fund: eliminates 6 positions) and reduce funding 50% for
garbage container replacement($200,000) to provide capacity to
increase the Solid Waste contribution to the General Fund by
550,000 and minimize the need for future rate increases. The sale
of the recycling trucks is estimated to brML in S3�.000. however
this will not increase the contribution to the General Fund. 50,000 424,500
The FY 2001 contribution from the Solid Waste Fund is 5600,000. City Charter limits utility fund
contributions to 209c of operatma revenues. This equates to $1.2 million for the Solid Waste Fund.
Ho�iever, current operating costs would limit the availability of funds for this transfer. Gulf Coast
Recycling has agreed to be a drop off center for recyclable aluminum and paper and to pay the customer
for the product. Items would nerd to be dropped off at their location at 1995 Cedar Street. Yard waste
will continue to be collected and the compost will still be made available to citizens.
TOTAL 562.376.700 S l.873,395 13,404,000
Total of Bold Items $2,518,000
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