HomeMy WebLinkAboutORD 98-56 ORDINANCE NO. �/' �� ✓
ENTITLED AN ORDINANCE REFERRED TO AS THE
"ANNUAL APPROPRIATION ORDINANCE" ADOPTING A
BUDGET FOR THE FISCAL PERIOD BEGINNING OCTOBER
1, 1998 AND ENDING SEPTEMBER 30, 1999 IN
ACCORDANCE WITH THE CHARTER OF THE CITY OF
BEAUMONT; APPORTIONING THE FUNDS OF THE CITY
OF BEAUMONT; REPEALING ALL ORDINANCES OR PARTS
OF ORDINANCES IN CONFLICT HEREWITH AND
PROVIDING FOR SEVERABILITY.
WHEREAS, the City Manager of the City of Beaumont submitted to the City Council
a budget estimate for the revenues of said City and expenses of conducting the affairs
thereof for the fiscal year beginning October 1, 1998 and ending September 30, 1999; 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, 1998, and ending the 30th day of
September, 1999, 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 $64,780,000
b. Debt Service 11,186,000
C. Water Utilities 20,056,000
d. Solid Waste Management 6,413,000
e. Hotel Occupancy Tax 1,710,000
f. Street Maintenance 1,455,000
g. Municipal Transit 2,950,000
h. Other Special Revenue 3,416,200
I. Capital Reserve 3,035,000
j. Fleet Management 3,941,000
k. Employee Benefits 9,349,000
1. General Liability 2,004,000
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
day of � 1998.(::i�_
0b ��
- Mayor -
GENERALFUND
...... ........................::>:,:::SUMMARY:«<:;::F..........
O REVENUES AND EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Sales and use tax $ 25,089,000 $ 24,139,000 $ 22,837,695
Property taxes 13,250,000 12,750,000 12,006,613
Industrial payments 10,873,000 10,261,000 9,746,943
Gross receipts tax 5,188,000 5,614,000 5,553,494
Utility fund in lieu 3,650,000 3,450,000 3,250,000
Other 5,065,000 5,890,000 5,716,723
Total revenues 63,115,000 62,104,000 59,111,468
EXPENDITURES
General Government 3,399,000 3,251,000 3,381,040
Central Services 3,551,000 4,288,000 4,241,298
Finance 2,636,000 2,513,000 2,513,524
Police 17,564,000 16,914,000 16,851,771
Fire 12,671,000 12,413,000 12,649,362
Public Health 3,406,000 3,259,000 3,204,094
Public Works 9,363,000 9,183,000 9,300,554
Community Services 2,606,000 2,375,000 2,285,744
Parks & Recreation 2,804,000 2,733,000 2,797,017
Transfers Out 5,280,000 4,305,000 2,219,700
Total expenditures 63,280,000 61,234,000 59,444,104
FUND BALANCE
Beginning 6,533,974 5,663,974 5,996,610
Reserved for contingency 1,500,000 -- --
Unreserved 4,868,974 6,533,974 5,663,974
Ending $ 6,368,974 $ 6,533,974 $ 5,663,974
EXHIBIT "A"
DEBT SERVICE FUND
OF REVENUES AND EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Property taxes $ 10,325,000 $ 9,000,000 $ 9,072,359
Interest earnings 330,000 360,000 355,591
Miscellaneous revenue -- -- 8,825
Transfers in -- -- 30,125,500
Total revenues 10,655,000 9,360,000 39,562,275
EXPENDITURES
Principal payments 7,480,000 6,563,000 6,791,300
Interest payments 3,694,000 2,690,000 2,702,745
Bond sale expenses -- 30,000 --
Service charge 12,000 12,000 9,279
Payment to refund bonds -- -- 27,025,500
Transfers out -- -- 3,100,000
Total expenditures 11,186,000 9,295,000 39,628,824
FUND BALANCE
Beginning 4,936,881 4,871,881 4,938,430
Ending $ 4,405,881 $ 4,936,881 $ 4,871,881
WATER UTILITIES FUND
SUMMARY OF .REVEN
UES AND EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Water sales $ 11,600,000 $ 11,217,000 $ 10,206,157
Sewer charges 7,025,000 7,025,000 6,858,998
Service charges 524,000 659,000 783,902
Interest 200,000 200,000 292,912
Miscellaneous revenue 10,000 65,000 81,823
Transfers in -- 2,000,000 --
Total revenues 19,359,000 21,166,000 18,223,792
EXPENDITURES
Customer Service 1,182,000 1,145,000 1,191,384
Distribution 1,969,000 2,041,000 2,077,981
Production 2,028,000 2,113,000 2,094,045
Sewer Maintenance 2,055,000 1,984,000 2,062,359
Reclamation 1,729,000 1,643,000 1,629,703
Administration 669,000 681,000 681,850
Non-Operating 10,424,000 10,700,000 9,971,784
Total expenditures 20,056,000 20,307,000 19,709,106
FUND BALANCE
Beginning 3,226,810 2,367,810 3,853,124
Ending $ 2,529,810 $ 3,226,810 $ 2,367,810
SOLID WASTE MANAGEMENT FUND
.................................::.;::;:::<.:S U M MA RY »<:
REVENUES AND EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Residential collections $ 4,560,000 $ 4,560,000 $ 4,603,244
Recycling 138,000 138,000 134,692
Landfill fees 700,000 700,000 736,700
Clean community fees 328,000
Interest earnings 150,000 170,000 262,972
Miscellaneous revenue 25,000 138,000 410,587
Total revenues 5,901,000 5,706,000 6,148,195
EXPENDITURES
Residential 1,100,000 1,000,000 958,018
Yard Waste Collections 1,219,000 1,115,000 1,166,179
Recycling 248,000 390,000 404,513
Landfill Operations 1,010,000 938,000 1,052,417
Neighborhood Services 874,000
Administration 528,000 352,000 346,436
Non-operating 1,434,000 2,483,000 3,569,762
Total expenditures 6,413,000 6,278,000 7,497,325
FUND BALANCE
Beginning 3,320,538 3,892,538 5,241,668
Ending $ 2,808,538_ $ 3,320,538 $ 3,892,538
HOTEL OCCUPANCY TAX FUND
SUMMARY
OF REVENUES AND EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Gross receipts tax $ 1,625,000 $ 1,540,000 $ 1,461,181
Interest earnings 15,000 15,000 16,544
Miscellaneous revenue 3,000 3,000 4,165
Total revenues 1,643,000 1,558,000 1,481,890
EXPENDITURES
Convention & Visitor's Bureau (CVB) 800,000 700,000 699,040
Convention Facilities 400,000 400,000 311,555
Designated Programs
Southeast Texas Arts Council 140,000 140,000 140,000
Jefferson Theater 25,000 32,000 41,800
Texas Energy Museum 90,000 90,000 90,000
John J. French Museum 40,000 40,000 40,000
Art Museum of Southeast Texas 185,000 185,000 180,000
Special Activities 30,000 30,000 25,260
Total expenditures 1,710,000 1,617,000 1,527,655
FUND BALANCE
Beginning 120,627 179,627 225,392
Ending $ 53,627 $ 120,627 $ 179,627
STREET MAINTENANCE FUND
...........................:.::: SUMMARY
O::_: REVENUES EXPENDITURES
FY 1999 FY 1998 FY 1997
REVENUES
BUDGET ESTIMATE ACTUAL
Service charges $ 1,455,000 $ 1,455,000 $ 1,434,953
Intergovernmental revenue -- 265,000 23,160
Interest earnings -- 3,000 10,980
Total revenues 1,455,000 1,723,000 1,469,093
EXPENDITURES
General construction 1,455,000 2,000,000 1,561,364
Total expenditures 1,455,000 2,000,000 1,561,364
FUND BALANCE
Beginning 1,042 278,042 370,313
Ending $ 1,042 $ 1,042 $ 278,042
MUNICIPAL TRANSIT FUND
::;.::.:_SUMMA.:;.:;;;:;. ..........................
SUMMARY OF REVENUES AND EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Service charges $ 470,000 $ 470,000 $ 482,746
Intergovernmental revenue 1,724,000 1,724,000 1,326,520
Interest -- 7,000 587
Transfer from General Fund 600,000 600,000 600,000
Total revenues 2,794,000 2,801,000 2,409,853
EXPENDITURES
Contract services 2,650,000 2,500,000 2,356,389
Capital outlay 300,000 272,000 86,442
Total expenditures 2,950,000 2,772,000 2,442,831
FUND BALANCE
Beginning 240,741 211,741 244,719
Ending $ 84,741 $ 240,741 $ 211,741
OTHER SPECIAL REVENUE FUNDS
:>:::::
SUMMA .
RY
OFREVENUES AND EXPENDITURES
BALANCE BALANCE
10/01/98 REVENUES APPROP. 09/30/99
Confiscated Goods $ 504,500 $ 26,000 $ 530,500 $ --
Fire Training Grounds (109,000) 275,000 373,900 (207,900)
Tax Increment Financing -- 95,000 95,000 --
Municipal Airport 3,600 93,000 96,600 --
Municipal Court Security Fee 2,700 65,100 67,800 --
State Health Grant -- 849,300 849,300 --
Police Grants -- 540,400 540,400 --
Local Law Enforcement Block Grant -- 370,000 370,000 --
Miscellaneous Grants -- 66,000 66,000 --
MURL's Grant -- 15,000 15,000 --
Julie Rogers Theatre 88,200 10,000 98,200 --
Tyrrell Historical Library 18,900 1,000 19,900 --
Expendable Trust 175,600 40,000 215,600 --
Library Trust 39,500 12,000 51,500 --
Library Endowment 9,100 1,300 10,400 --
Historical Fire Museum 8,100 8,000 16,100 --
TOTAL $ 741,200 $ 2,467,100 $ 3,416,200 $ (207,900)
CAPITAL RESERVE FUND
SUMMARY F..REV.:;.::.:EN
O
D EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Services $ 1,493,000 $ 2,237,000 $ 2,317,799
Interest earnings 50,000 195,000 142,865
Miscellaneous revenue -- 45,000
213,876
Transfers in 557,000 -- 500,000
Other financing sources -- -- 3,272,556
Total revenues 2,100,000 2,477,000 6,447,096
EXPENDITURES
Improvements 600,000 848,000 1,072,585
Equipment (Schedule A) 731,000 1,077,000 825,014
Vehicles (Schedule B) 975,000 2,556,000 1,162,520
Debt service (Schedule C) 214,000 1,522,000 694,808
Liquidation of encumbrances 515,000 -- --
Total expenditures 3,035,000 6,003,000 3,754,927
FUND BALANCE
Beginning 1,369,724 4,895,724 2,203,555
Reserved for encumbrances -- 515,000 --
Unreserved 434,724 854,724 4,895,724
Ending $ 434,724 $ 1,369,724 $ 4,895,724
FLEET MANAGEMENT
FUND���
.. ......
SUMMARY OFREVUES
AND EXPENDITURES
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Charges to funds $ 3,916,000 $ 3,600,000 $ 3,837,485
EXPENDITURES
Wages 908,000 875,000 811,975
Benefits 235,000 233,000 288,520
Operations 2,798,000 2,480,000 2,509,959
Total expenditures 3,941,000 3,588,000 3,610,454
FUND BALANCE
Beginning 239,031 227,031 --
Ending $ 214,031 $ 239,031 $ 227,031
To print: M:A1..M:H44, N:A1..N:015 or: H43 & 011
EMPLOYEE BENEFITS FUND
SUMMARY OF REVENUES
S AND EXPENDITURES
FY 1999 FY 1998 FY 1997
REVENUES BUDGET ESTIMATE ACTUAL
Interdepartmental transfers
Health $ 6,825,000 $ 6,442,000 $ 5,997,460
Workman's comp 900,000 850,000 803,630
Unemployment 35,000 90,000 --
Employee contribution 975,000 843,000 821,748
Interest 125,000 150,000 191,931
Insurance recoveries 25,000 25,000 25,306
Total revenues 8,885,000 8,400,000 7,840,075
EXPENDITURES
Health
Standard indemnity plan 2,810,000 2,757,000 2,292,711
Managed health organization 3,640,000 3,440,000 3,704,141
Health prescriptions 1,010,000 920,000 1,049,661
Dental 552,000 540,000 462,137
Other benefits 85,000 85,000 75,859
Total 8,097,000 7,742,000 7,584,509
Worker's Compensation
Third party administration 90,000 87,000 53,623
Claims paid 800,000 850,000 733,419
Excess insurance 26,000 26,000 26,162
Safety management 51,000 50,000 64,036
Total 967,000 1,013,000 877,240
General
Unemployment 35,000 20,000 100,381
Short-term disability 250,000 250,000 271,2.31
Total 285,000 270,000 371,612
Total expenditures 9,349,000 9,025,000 8,833,361
FUND BALANCE
Beginning 1,578,665 2,203,665 3,196,951
Ending $ 1,114,665 $ 1,578,665 $ 2,203,665
GENERAL LIABILITY FUND
: ::::: ;
SU M MARY OF REVENUES AND EXPENDITURES .........
FY 1999 FY 1998 FY 1997
BUDGET ESTIMATE ACTUAL
REVENUES
Interest $ 100,000 $ 130,000 $ 183,493
Miscellaneous revenue 20,000 40,000 19,633
Transfers in 600,000 -- --
Total revenues 720,000 170,000 203,126
EXPENDITURES
Professional services 100,000 70,000 106,357
Claims paid 700,000 2,000,000 388,251
Other insurance 4,000 4,000 3,470
Total expenditures 804,000 2,074,000 498,078
FUND BALANCE
Beginning 1,289,757 3,193,757 3,488,709
Reserved for unpaid claims 1,200,000 1,200,000 2,000,000
Unreserved 5,757 89,757 1,193,757
Ending $ 1,205,757 $ 1,289,757 $ 3,193,757