HomeMy WebLinkAboutORD 03-070 ORDINANCE NO. 03-070
ENTITLED AN ORDINANCE REFERRED TO AS THE
"ANNUAL APPROPRIATION ORDINANCE" ADOPTING A
BUDGET FORTHE FISCAL PERIOD BEGINNING OCTOBER
1, 2003 AND ENDING SEPTEMBER 30, 2004 IN
ACCORDANCE WITH THE CHARTER OF THE CITY OF
BEAUMONT; APPORTIONING THE FUNDS OF THE CITY
OF BEAUMONT; REPEALING ALL ORDINANCES OR
PARTS OF ORDINANCES IN CONFLICT HEREWITH AND
PROVIDING FOR SEVERABILITY.
WHEREAS,the City Managerof the City of Beaumont submitted to the City Council
a budget estimate for the revenues of said City and expenses of conducting the affairs
thereof forthe fiscal year beginning October 1,2003 and ending September 30,2004; and,
WHEREAS, after notices and public hearings held in accordance with the
requirements of the Charter of the City of Beaumont and the statutes of the State of Texas,
the City Council is of the opinion that the budget, as attached hereto as Exhibit"A", should
be adopted;
NOW, THEREFORE, BE IT ORDAINED BY THE
CITY OF BEAUMONT:
Section 1.
That the budget attached hereto as Exhibit "A" and made a part hereof for all
purposes is hereby adopted and approved. Exhibit "A" is hereby adopted and approved
as the budget of all the correct expenses as well as the fixed charges of the City for the
fiscal period beginning the 1st day of October, 2003, and ending the 30th day of
September, 2004, and the several amounts stated in Exhibit"A"as proposed expenditures
shall be and become appropriated to the several objects and purposes therein named.
Notices given, as required for the adoption of said budget, are hereby ratified.
Section 2.
That the sums indicated are appropriated from the following schedule of funds:
a. General $74,426,200
b. Debt Service 13,911,800
C. Water Utilities 26,367,500
d. Solid Waste Management 9,120,200
e. Hotel Occupancy Tax 1,893,000
f. Street Maintenance 1,647,400
g. Municipal Transit 3,700,000
h. Other Special Revenue 3,165,300
I. Capital Reserve 1,904,900
j. Fleet Management 4,355,400
k. Employee Benefits 13,928,200
I. General Liability 1,554,000
Section 3.
That the City Manager is hereby authorized to transfer budgeted funds from one
line-item to another line item provided the transaction is not an interfund transfer.
Section 4.
That if any section, subsection, sentence, clause or phrase of this ordinance or the
application of same to a particular set of persons or circumstances should for any reason
be held to be invalid, such invalidity shall in no way affect the remaining portions of this
ordinance, and to such end the provisions of this ordinance are declared to be severable.
Section 5.
That all ordinances or parts of ordinances in conflict herewith are repealed to the
extent of the conflict only.
PASSED BY THE CITY COUNCIL of the City of Beaumont this the 23rd day of
September, 2003.
- May Evelyn M. Lord -
GENERAL FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 7,404,208 6,699,326 6,946,032 7,160,532
REVENUES:
Sales and use tax 26,384,592 26,760,000 26,341,000 26,368,000
Property taxes 12,198,104 13,561,000 13,651,000 15,023,000
Industrial payments 12,313,204 11,779,500 11,757,700 11,920,300
Gross receipts tax 5,657,000 5,695,000 5,947,300 5,940,200
Utility fund in lieu 5,100,000 6,325,000 6,539,000 6,279,000
Charges for services 2,685,527 2,499,000 2,688,200 2,665,700
Fines and forfeits 1,865,442 1,957,000 1,835,100 1,926,500
Licenses and permits 1,396,326 1,229,900 1,292,500 1,159,100
Culture and recreation 805,238 807,200 785,800 757,300
Interest earnings 373,929 400,000 241,000 286,000
Miscellaneous revenue 919,334 771,000 667,300 604,100
TOTAL REVENUES 69,698,696 71,784,600 71,745,900 72,929,200
TOTAL RESOURCES AVAILABLE 77,102,904 78,483,926 78,691,932 80,089,732
EXPENDITURES:
Executive Office 1,122,503 1,321,400 1,230,600 1,306,000
City Clerk 1,058,130 1,034,000 1,021,000 1,026,300
City Attorney 641,677 575,700 599,800 622,900
Human Resources 661,363 658,000 645,600 683,800
Central Services 6,571,863 6,573,400 6,426,200 8,707,900
Finance 1,059,593 1,185,500 1,147,400 1,206,300
Police 19,402,662 20,345,300 19,725,500 20,518,800
Fire 14,033,776 14,796,100 15,493,300 15,504,200
Public Health 4,391,779 4,615,900 4,464,600 4,560,300
Public Works 11,873,629 11,575,800 11,274,600 8,836,600
Community Services 2,579,715 2,524,700 2,306,500 2,263,800
TOTAL EXPENDITURES 63,396,690 65,205,800 64,335,100 65,236,900
OTHER FINANCING USES:
Transfers out 6,760,182 7,196,300 7,196,300 7,689,300
TOTAL APPROPRIATIONS 70,156,872 72,402,100 71,531,400 72,926,200
ENDING FUND BALANCE:
Reserved for contingency - 1,500,000 - 1,500,000
Unreserved 6,946,032 4,581,826 7,160,532 5,663,532
TOTAL ENDING FUND BALANCE $_ 6,946,032 6,081,826 7,160,532 7,163,532
EXHIBIT "A"
DEBT SERVICE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 2,323,346 2,462,847 2,508,316 2,632,716
REVENUES
Property taxes 12,702,001 12,721,000 12,81 0,000 12,929,000
Interest earnings 112,965 100,000 75,000 68,000
Miscellaneous revenue 250,506 328,800 328,800 340,700
Contnbutions from other funds 816,452 722,100 705,200 758,300
TOTAL REVENUES 13,881,924 13,871,900 13,919,000 14,096,000
TOTAL AVAILABLE RESOURCES 16,205,270 16,334,747 16,427,316 16,728,716
EXPENDITURES
Principal and interest 13,687,462 14,044,300 13,771,600 13,903,800
Service charges 7,896 8,500 8,000 8,000
Other operating expenses 1,596 - 15,000 -
TOTAL EXPENDITURES 13,696,954 14,052,800 13,794,600 13,911,800
ENDING BALANCE $ 2,508,316 2,281,947 21632,716 2,816,916
an
WATER UTILITIES FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 5,054,135 5,500,520 4,643,855 3,932,955
REVENUES
Water sales 14,532,059 15,445,000 14,700,000 15,016,000
Sewer charges 9,833,966 10,322,000 10,085,000 10,320,000
Service charges 1,222,384 1,089,000 1,181,800 1,101,000
Interest 518,624 1,000,000 80,000 40,000
Miscellaneous revenue 91,589 30,000 128,400 5,200
TOTAL REVENUES 26,198,622 27,886,000 26,175,200 26,482,200
TOTAL AVAILABLE RESOURCES 31,252,757 33,386,520 30,819,055 30,415,155
EXPENDITURES
Wages 4,759,171 4,760,300 4,677,800 4,738,300
Benefits 1,427,785 1,430,900 1,483,300 1,445,400
Supplies and equipment 2,043,783 2,291,000 1,977,100 2,039,900
Repair and maintenance 881,200 860,500 913,100 831,200
Utilities 1,407,154 1,506,600 1,473,300 1,509,300
Contract services 347,119 506,200 356,700 411,300
Capital 4,702,276 3,380,200 2,856,400 2,500,000
Debt service 5,703,215 6,861,300 6,861,300 6,826,000
Payment in lieu of taxes 4,350,000 5,325,000 5,239,000 4,973,000
Transfers to other funds 987,199 1,048,100 1,048,100 1,093,100
TOTAL EXPENDITURES 26,608,902 27,970,100 26,886,100 26,367,500
Unreserved 4,643,855 5,416,420 3,932,955 4,047,655
ENDING FUND BALANCE $ 49643,855 5,4161420 3,932,955 4,047,655
SOLID WASTE FUND
STATEMENT OF REVENUES AND EXPENDITURES
1
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 4,068,337 3,301,657 3,613,960 3,265,060
REVENUES
Residential collections 4,595,693 4,920,000 4,975,000 5,000,000
Recycling 1,759 - 200 -
Landfill fees 1,737,288 1,685,000 1,580,000 1,535,000
Clean community fees 266,221 265,000 265,000 265,000
Interest earnings 101,300 75,000 60,000 36,000
Miscellaneous revenue 141,980 203,300 188,900 45,000
Other financing sources 938,517 - - -
TOTAL REVENUES 7,782,758 7,148,300 7,069,100 6,881,000
TOTAL AVAILABLE RESOURCES 11,851,095 10,449,957 10,683,060 10,146,060
EXPENDITURES
Wages 1,953,683 2,220,900 2,120,400 2,263,000
Benefts 556,570 655,300 682,500 725,500
Supplies and equipment 417,520 451,200 483,400 531,400
Repair and maintenance 1,136,372 1,142,800 1,005,200 1,187,500
Utilities 33,144 32,200 37,500 37,500
Contract services 338,942 259,700 237,000 242,500
Capital 2,421,395 574,200 589,200 1,425,400
Debt service 173,311 393,300 393,800 798,300
Payment in lieu of taxes 750,000 1,250,000 1,300,000 1,306,000
Transfers to other funds 456,198 569,000 569,000 603,100
TOTAL EXPENDITURES 8,237,135 7,548,600 7,418,000 9,120,200
Unreserved 3,613,960 2,901,357 3,265,060 1,025,860
ENDING BALANCE $ 31613,960 2,901,357 3,265,060 1,025,860
HOTEL OCCUPANCY TAX FUND
STATEMENT OF REVENUES AND EXPENDITURES
{ Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 163,613 291,830 368,866 351,766
REVENUES
Gross receipts tax 1,792,575 1,560,000 1,580,000 1,580,000
Interest earnings 11,662 10,000 7,800 7,500
Miscellaneous revenues 526 1,500 16,200 16,000
TOTAL REVENUES 1,804,763 1,571,500 1,604,000 1,603,500
TOTAL AVAILABLE RESOURCES 1,968,376 1,863,330 1,972,866 1,955,266
EXPENDITURES
Convention and Visitors Bureau 806,711 869,400 701,100 944,400
Convention Facilities 502,799 621,400 595,000 603,600
Designated Programs 290,000 372,500 325,000. 345,000
TOTAL EXPENDITURES 1,599,510 1,863,300 1,621,100 1,893,000
ENDING BALANCE $_ 368,866 30 351,766 62,266
STREET MAINTENANCE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 1,723,121 1,858,100 1,888,900 1,627,400
REVENUES
Service charges 1,462,106 - 1,500 -
Interest earnings 49,985 20,000 37,000 20,000
TOTAL REVENUES 1,512,091 20,000 38,500 20,000
TOTAL AVAILABLE RESOURCES 3,235,212 1,878,100 1,927,400 1,647,400
EXPENDITURES
General construction 1,346,312 1,878,100 300,000 1,647,400
TOTAL EXPENDITURES 1,346,312 1,878,100 300,000 1,647,400
Unreserved 1,888,900 - 1,627,400 -
ENDING BALANCE $ 1,888,900 - 1,627,400
MUNICIPAL TRANSIT FUND
STATEMENT OF REVENUES AND EXPENDITURES
x Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 130,965 8,366 67,041 (42,959)
REVENUES
Service charges 622,572 650,000 560,000 661,200
Intergovernmental revenue 2,390,561 1,600,700 2,755,000 1,888,000
Interest 141 - - -
Transfer from General Fund 1,020,000 1,275,000 1,275,000 1,200,000
TOTAL REVENUES 4,033,274 3,525,700 4,590,000 3,749,200
TOTAL AVAILABLE RESOURCES 4,164,239 3,534,066 4,657,041 3,706,241
EXPENDITURES
Contract services 3,425,717 3,500,000 3,400,000 3,600,000
Capital outlay 671,481 - 1,300,000 100,000
TOTAL EXPENDITURES 4,097,198 3,500,000 4,700,000 3,700,000
Unreserved 67,041 34,066 (42,959) 6,241
ENDING BALANCE $ 67,041 34,066 (42,959) 6,241
OTHER SPECIAL REVENUE FUNDS
STATEMENT OF REVENUES AND EXPENDITURES
Balance FY 2004 Balance
10101/03 Revenues Approp. 09/30/04
Confiscated Goods $ 952,900 $ 20,000 $ 972,900 $ -
Fire Training Grounds 69,000 321,000 390,000 -
Tax Increment Financing 350,500 111,000 461,500 -
Municipal Airport 20,200 108,200 128,400 -
Texas Motor Carrier Violations 300 40,000 40,300 -
Municipal Court Security Fee 77,100 82,000 159,100 -
Municipal Court Technology 388,700 106,000 494,700 -
JuGe Rogers Theatre Endowment 231,000 5,000 136,000 100,000 (1)
Tyrrell Historical Library 23,300 500 23,800 -
Expendable Trust 160,700 25,700 186,400 -
Library Trust 124,600 5,700 130,300 -
Library Endowment 775,500 12,000 26,300 761,200 (1)
Historical Fire Museum 5,400 10,200 15,600 -
-` TOTAL $ 3,179,200 $ __ 847,300 $ 3,165,300 $__ 861,200
(1) Unexpendable endowment
CAPITAL RESERVE FUND
STATEMENT OF REVENUES AND EXPENDITURES 11 INN,
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 1,337,191 1,037,308 1,282,489 1,082,789
REVENUES
Fleet rental 1,394,100 1,429,400 1,429,400 1,357,300
Interest earnings 57,479 30,000 38,400 30,000
Miscellaneous revenue 220,050 - - -
Transfers in 208,500 208,500 208,500 350,000
TOTAL REVENUES 1,880,129 1,667,900 1,676,300 1,737,300
TOTAL AVAILABLE RESOURCES 3,217,320 2,705,208 2,958,789 2,820,089
EXPENDITURES
Improvements 181,549 133,000 89,200 286,500
Equipment 259,704 165,100 200,800 89,600
Vehicles 742,606 974,500 718,300 710,700
Debt service 750,972 867,700 867,700 818,100
TOTAL EXPENDITURES 1,934,831 2,140,300 1,876,000 1,904,900
Unreserved 1,282,489 564,908 1,082,789 915,189
ENDING BALANCE $ 13282,44899 564,908 1,082,789 915,189
FLEET MANAGEMENT FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 420,101 611,413 364,235 588,435
REVENUES
User fees 4,114,630 4,083,900 4,229,800 4,350,900
Interest earnings 5,268 4,000 2,500 2,000
TOTAL REVENUES 4,119,898 4,087,900 4,232,300 4,352,900
TOTAL AVAILABLE RESOURCES 4,539,999 4,699,313 4,596,535 4,941,335
EXPENDITURES
Wages 901,886 946,700 829,400 917,300
Benefits 253,886 281,200 259,400 268,500
Supplies and equipment 818,725 776,600 921,600 926,500
Repair and maintenance 1,553,290 1,538,500 1,267,200 1,518,200
Utilities 40,786 42,000 44,700 44,800
Contract services 439,792 407,800 492,000 501,200
Equipment 4,100 24,100 21,400 3,600
Transfers out 163,299 172,400 172,400 175,300
TOTAL EXPENDITURES 4,175,764 4,189,300 4,008,100 4,355,400
Reserved for inventory _ _ _ _
Unreserved 364,235 510,013 588,435 585,935
ENDING BALANCE $ 364,235 5101013 588,435 585,935
3
EMPLOYEE BENEFITS FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 1,597,864 1,019,466 1,117,469 1,258,769
REVENUES
Interdepartmental transfers
Employee health 3,605,646 4,040,700 4,040,700 3,846,000
Dependent health 5,626,549 5,765,500 5,765,500 6,153,400
Workman's comp 1,108,511 1,232,400 1,232,400 1,279,000
Unemployment and
short-term disability 409,784 350,000 350,000 430,000
Employee contribution 1,572,033 1,690,000 1,720,500 1,712,000
Interest 108,359 90,000 55,000 50,000
Insurance recoveries 282,955 - 73,400 60,000
TOTAL REVENUES 12,713,837 13,168,600 13,237,500 13,530,400
TOTAL AVAILABLE RESOURCES 14,311,701 14,188,066 14,354,969 14,789,169
EXPENDITURES
Health
Standard indemnity plan 5,557,205 5,541,000 5,142,000 5,690,000
Managed health organization 3,107,164 3,595,000 3,380,000 3,630,000
Health prescriptions 1,913,692 1,950,000 1,750,000 1,960,000
Dental 625,951 712,000 714,000 751,000
Other benefits 124,134 173,500 153,500 190,000
Total 11,328,146 11,971,500 11,139,500 12,221,000
Worker's Compensation
Third party administration 59,132 62,000 63,500 62,000
Claims paid 1,226,984 1,000,000 950,000 1,000,000
Excess insurance 25,414 30,000 75,000 75,000
Safety management 107,790 133,200 93,200 95,200
Total 1,419,320 1,225,200 1,181,700 1,232,200
General
Unemployment 65,105 60,000 350,000 75,000
Short-term disability 381,661 300,000 425,000 400,000
Total 446,766 360,000 775,000 475,000
TOTAL EXPENDITURES 13,194,232 13,556,700 13,096,200 13,928,200
Unreserved 1,117,469 631,366 1,258,769 860,969
ENDING BALANCE $ 1,117,469 631,366 1,258,769 860,969
GENERAL LIABILITY FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2002 FY 2003 FY 2003 FY 2004
BEGINNING BALANCE $ 1,258,341 949,942 944,203 1,113,403
REVENUES
Interest 35,879 30,000 23,000 25,000
Transfers in 400,000 550,000 550,000 550,000
TOTAL REVENUES 435,879 580,000 573,000 575,000
TOTAL AVAILABLE RESOURCES 1,694,220 1,529,942 1,517,203 1,688,403
EXPENDITURES
Professional services 30,050 70,000 50,000 50,000
Claims paid 716,547 600,000 350,000 700,000
Other insurance 3,420 4,000 3,800 4,000
TOTAL EXPENDITURES 750,017 674,000 403,800 754,000
Reserved for unpaid claims - 800,000 - 800,000
Unreserved 944,203 55,942 1,113,403 134,403
ENDING BALANCE $ 944,203 855,942 1,113,403 934403
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