Loading...
HomeMy WebLinkAboutORD 04-070 ORDINANCE NO. 04-070 ENTITLED AN ORDINANCE REFERRED TO AS THE "ANNUAL APPROPRIATION ORDINANCE" ADOPTING A BUDGET FORTHE FISCAL PERIOD BEGINNING OCTOBER 1, 2004 AND ENDING SEPTEMBER 30, 2005 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 forthe fiscal year beginning October 1,2004 and ending September 30,2005; 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, 2004, and ending the 30th day of September,2005, 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 $76,974,600 b. Debt Service $14,182,800 C. Water Utilities $28,745,200 d. Solid Waste Management $8,618,600 e. Hotel Occupancy Tax $1,988,600 f. Street Maintenance $1,003,700 g. Municipal Transit $10,904,000 h. Other Special Revenue $1,851,500 I. Capital Reserve $2,404,300 j. Fleet Management $4,721,700 k. Employee Benefits $14,018,900 I. General Liability $854,000 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 14th day of September, 2004. V'eNUMpy 1 1 o q'yk 11 - May Evelyn NI. Lord - .9�' �,✓ 3999&6 Q g GENERAL. FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 6,946,038 7,160,532 8,545,292 10,359,392 REVENUES Sales and use tax 26,728,814 26,368,000 26,761,300 26,900,000 Property taxes 13,757,467 15,023,000 15,136,000 17,236,000 Industrial payments 11,757,638 11,920,300 11,920,300 11,461,100 Gross receipts tax 6,012,611 5,940,200 5,953,000 6,076,000 Utility fund in lieu 6,539,000 6,279,000 6,279,000 6,279,000 Charges for services 2,786,299 2,665,700 2,657,500 2,728,700 Fines and forfeits 1,905,118 1,926,500 1,889,000 1,905,000 Licenses and permits 1,296,384 1,1 59,100 1,260,000 1,176,700 Culture and recreation 801,386 757,300 736,200 722,400 Interest earnings 282,193 286,000 220,000 250,000 Miscellaneous revenue 789,287 604,100 724,800 740,000 TOTALREVENUES 72,656,197 72,929,200 73,537,100 75,474,900 TOTAL AVAILABLE RESOURCES 79,602,235 80,089,732 82,082,392 85,834,292 EXPENDITURES Executive Office 1,240,309 1,306,000 1,171,500 1,186,500 City Clerk 1,001,977 229,600 217,100 231,700 City Attorney 603,790 622,900 615,700 671,900 Personnel and Benefits 643,045 683,800 696,700 731,100 Internal Services 6,511,155 8,707,900 8,535,200 8,925,000 Finance 1,105,378 2,003,000 1,939,300 2,023,800 Police 19,582,332 20,518,800 19,943,300 21,203,000 Fire 15,377,674 15,504,200 15,818,200 16,622,300 Public Health 4,388,477 4,560,300 4,230,400 4,600,700 Public Works 11,146,869 8,836,600 8,661,700 9,051,900 Libraries and Recreation 2,257,787 2,263,800 2,204,600 2,297,200 TOTAL EXPENDITURES 63,858,793 65,236,900 64,033,700 67,545,100 OTHER FINANCING USES: Transfers out 7,198,150 7,689,300 7,689,300 7,929,500 TOTAL APPROPRIATIONS 71,056,943 72,926,200 71,723,000 75,474,600 ENDING FUND BALANCE: Reserved for contingency - 1,500,000 - 1,500,000 Unreserved 8,545,292 5,663,532 10,359,392 8,859,692 TOTAL ENDING FUND BALANCE $ 8,545,292 7,163,532 10,359,392 10,359,692 Exhibit "A" DEBT SERVICE FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 2,508,316 2,632,716 2,716,346 1,454,232 REVENUES Property taxes 12,920,360 12,929,000 13,119,000 12,949,000 Interest earnings 70,734 68,000 75,000 45,000 Miscellaneous revenue 328,761 340,700 340,700 337,100 Contributions from other funds 722,070 758,300 758,300 811,200 TOTAL REVENUES 14,041,925 14,096,000 14,293,000 14,142,300 TOTAL AVAILABLE RESOURCES 16,550,241 16,728,716 17,009,346 15,596,532 EXPENDITURES Principal and interest 13,812,897 13,903,800 13,862,500 14,174,800 Service charges 6,054 8,000 8,000 8,000 Other operating expenses 14,944 - - - TOTAL EXPENDITURES 13,833,895 13,911,800 13,870,500 14,182,800 OTHER FINANCING SOURCES(USES) Transfers out - (1,684,614) (1,684,614) - TOTAL APPROPRIATIONS - 15,596,414 15,555,114 - ENDING BALANCE $ 2,716 346 1,132,302 1,454,232 1,413,732 Exhibit "A" WATER UTILITIES FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 4,498,252 3,932,955 3,972,833 5,787,733 REVENUES Water sales 15,009,183 15,016,000 15,250,000 15,617,000 Sewer charges 10,183,649 10,320,000 10,500,000 10,830,000 Other fees and charges 1,280,146 1,101,000 1,319,000 1,315,000 Interest 87,935 40,000 48,000 50,000 Miscellaneous revenue 11,577 5,200 75,000 9,000 TOTAL REVENUES 26,572,490 26,482,200 27,192,000 27,821,000 TOTAL AVAILABLE RESOURCES 31,070,742 30,415,155 31,164,833 33,608,733 EXPENDITURES Wages 4,455,463 4,738,300 4,582,000 4,776,900 Benefits 1,478,956 1,445,400 1,438,900 1,497,400 Supplies and equipment 1,967,585 2,039,900 1,784,600 1,857,200 Repair and maintenance 898,982 831,200 821,800 838,800 Utilities 1,616,772 1,509,300 1,801,100 1,807,400 Contract services 344,258 411,300 441,500 503,300 Capital 3,228,665 2,500,000 1,615,100 3,600,000 Debt service 6,820,128 6,826,000 6,826,000 7,767,100 Payment in lieu of taxes 5,239,000 4,973,000 4,973,000 4,973,000 Transfers to other funds 1,048,100 1,093,100 1,093,100 1,124,100 TOTAL EXPENDITURES 27,097,909 26,367,500 25,377,100 28,745,200 Unreserved 3,972,833 4,047,655 5,787,733 4,863,533 ENDING BALANCE $ 3,972,833 4,047,655 5,787,733 4,863,533 Exhibit "A" SOLID WASTE FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 3,581,905 3,265,060 3,461,191 2,662,391 REVENUES Residential collections 4,982,428 5,000,000 5,100,000 5,100,000 Landfill fees 1,594,681 1,535,000 1,675,000 1,635,000 Clean community fees 267,712 265,000 265,000 265,000 Interest earnings 67,801 36,000 36,000 40,000 Miscellaneous revenue 199,557 45,000 61,000 55,000 TOTAL REVENUES 7,112,179 6,881,000 7,137,000 7,095,000 TOTAL AVAILABLE RESOURCES 10,694,084 10,146,060 10,598,191 9,757,391 EXPENDITURES Wages 2,100,464 2,263,000 2,232,800 2,251,000 Benefits 680,684 725,500 737,000 728,200 Supplies and equipment 474,155 531,400 538,200 651,700 Repair and maintenance 900,787 1,187,500 1,248,600 1,294,000 Utilities 36,292 37,500 36,800 35,800 Contract services 196,925 242,500 223,000 234,000 Capital 580,653 1,425,400 212,000 766,800 Debt service 393,933 798,300 798,300 731,700 Payment in lieu of taxes 1,300,000 1,306,000 1,306,000 1,306,000 Transfers to other funds 569,000 603,100 603,100 619,400 TOTAL EXPENDITURES 7,232,893 9,120,200 7,935,800 8,618,600 Unreserved 3,461,191 1,025,860 2,662,391 1,1 38,791 ENDING BALANCE $ 3,461,191 1,025,860 _ 2,662,391 1,138,791 Exhibit "A" HOTEL OCCUPANCY TAX FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 368,865 351,766 349,088 274,188 REVENUES Gross receipts tax 1,619,399 1,580,000 1,700,000 1,700,000 Interest earnings 8,848 7,500 4,000 3,000 Miscellaneous revenues 13,914 16,000 71,700 16,400 TOTAL REVENUES 1,642,161 1,603,500 1,775,700 1,719,400 TOTAL AVAILABLE RESOURCES 2,011,026 1,955,266 2,124,788 1,993,588 EXPENDITURES Convention and Visitors Bureau 714,562 944,400 982,000 1,000,000 Convention Facilities 622,376 603,600 603,600 603,600 Designated Programs 325,000 345,000 265,000 385,000 TOTAL EXPENDITURES 1,661,938 1,893,000 1,850,600 1,988,600 ENDING BALANCE $ 349,088 62,266 274,188 4,988 Exhibit "A" STREET MAINTENANCE FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 1,888,934 1,627,400 1,766,700 993,700 REVENUES Service charges 1,919 - 4,000 - Interest earnings 42,287 20,000 23,000 10,000 TOTAL REVENUES 44,206 20,000 27,000 10,000 TOTAL AVAILABLE RESOURCES 1,833,140 1,647,400 1,793,700 1,003,700 EXPENDITURES General construction 166,440 1,647,400 800,000 1,003,700 TOTAL EXPENDITURES 166,440 1,647,400 800,000 1,003,700 Unreserved 1,766,700 - 993,700 - ENDING BALANCE $ 1,766,700 - 993,700 - Exhibit "A" MUNICIPAL TRANSIT FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 67,042 (42,959) (16,190) 14,210 REVENUES Service charges 565,924 661,200 600,000 600,000 Intergovernmental revenue 2,488,855 1,888,000 2,142,500 9,087,000 Interest 28 - - - Transfer from General Fund 1,275,000 1,200,000 1,200,000 1,300,000 TOTAL REVENUES 4,329,807 3,749,200 3,942,500 10,987,000 TOTAL AVAILABLE RESOURCES 4,396,849 3,706,241 3,926,310 11,001,210 EXPENDITURES Contract services 3,411,246 3,600,000 3,600,000 3,650,000 Capital outlay 1,001,793 100,000 312,100 7,254,000 TOTAL EXPENDITURES 4,413,039 3,700,000 3,912,100 10,904,000 Unreserved (16,190) 6,241 14,210 97,210 ENDING BALANCE $ (16,190) 6,241 14,210 97,210 Exhibit "A" OTHER SPECIAL REVENUE FUNDS STATEMENT OF REVENUES AND EXPENDITURES Balance FY 2005 Balance 10/01/04 Revenues Approp. 09 130/05 Confiscated Goods $ 341,600 $ 5,000 $ 346,600 $ - Tax Increment Financing 330,300 2,000 332,300 - Municipal Airport 41,600 89,000 130,600 - Texas Motor Carrier Violations 13,100 45,000 58,100 - Municipal Court Security Fee 12,000 66,000 78,000 - Municipal Court Technology 176,900 93,000 269,900 - Julie Rogers Theatre Endowment 235,400 4,000 139,400 100,000 (1) Tyrrell Historical Library 124,700 2,000 126,700 - Expendable Trust 160,700 23,900 184,600 - Library Trust 122,800 5,000 127,800 - Library Endowment 792,300 12,000 43,700 760,600 (1) Historical Fire Museum 5,700 8,100 13,800 - TOTAL $_2,3 $ 355,000 $ 1,851,500 $ 860.600 (1) Urwexpendable endowment Exhibit "A" FLEET MANAGEMENT FUND ., .. .c_ .,..,.';➢if R .. e>, STATEMENT OF"REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 364,234 588,435 344,019 592,019 REVENUES User fees 4,048,412 4,350,900 4,579,300 4,561,300 Interest earnings 3,656 2,000 1,600 1,500 Miscellaneous revenue - - 4,800 - TOTAL REVENUES 4,052,068 4,352,900 4,585,700 4,562,800 TOTAL AVAILABLE RESOURCES 4,416,302 4,941,335 4,929,719 5,154,819 EXPENDITURES Wages 825,359 917,300 868,500 934,900 Benefits 258,461 268,500 262,500 286,300 Supplies and equipment 906,760 926,500 926,800 961,800 Repair and maintenance 1,287,692 1,518,200 1,439,200 1,580,100 Utilities 46,211 44,800 45,900 46,700 Contract services 552,646 501,200 548,300 539,700 Equipment 22,754 3,600 71,200 179,700 Transfers out 172,400 175,300 175,300 192,500 TOTAL EXPENDITURES 4,072,283 4,355,400 4,337,700 4,721,700 Reserved for inventory 344,019 350,000 350,000 350,000 Unreserved - 235,935 242,019 83,119 ENDING BALANCE $ 344,019 585,935 592,019 433,119 Exhibit "A" CAPITAL RESERVE FUND STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 1,282,491 1,082,789 1,120,015 2,853,029 REVENUES Fleet rental 1,428,200 1,357,300 1,357,300 1,469,600 Interest earnings 42,503 30,000 22,000 40,000 Miscellaneous revenue 116,309 - 107,000 - Transfers in 208,500 350,000 350,000 220,500 TOTAL REVENUES 1,795,512 1,737,300 1,836,300 1,730,100 TOTAL AVAILABLE RESOURCES 3,078,003 2,820,089 2,956,315 4,583,129 EXPENDITURES Improvements 98,444 286,500 213,300 175,000 Equipment 82,901 89,600 26,300 406,000 Vehicles 909,096 710,700 730,200 1,112,000 Debt service 867,547 818,100 818,100 711,300 TOTAL EXPENDITURES 1,957,988 1,904,900 1,787,900 2,404,300 OTHER FINANCING SOURCES(USES) Transfers in - - 1,684,614 - Unreserved 1,120,015 915,189 2,853,029 2,178,829 ENDING BALANCE $ 1,120,015 915,1$9 2,853,029 2,1781829 Exhibit "A" EMPLOYEE BENEFITS FUND . r....,°`?'R;�7e�,v.i..•n.��f2:`bra'�M.,.�he:F;�n.�'�X"&t '�,a"'r... ac^-.:. _ zex'iSS*"�a�r. »'P- .r.zc.3s,.. .. ,. a7 �+�'°"".��:�ti*k"^".•.s,,,� . ,., .-a..aax.YV: .,..,..,.,c r .va'at........a.:� STATEMENT OF REVENUES AND EXPENDITURES Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 1,117,469 1,258,769 1,732,988 2,708,688 REVENUES Interdepartmental transfers Employee health 4,039,094 3,846,000 3,846,000 3,783,000 Dependent health 5,748,294 6,153,400 6,153,400 6,305,000 Workman's camp 1,230,280 1,279,000 1,279,000 1,310,900 Unemployment and short-term disability 349,851 430,000 430,000 410,000 Employee contribution 1,792,596 1,712,000 1,874,000 1,815,000 Interest 62,241 50,000 50,000 55,000 Insurance recoveries 69,810 60,000 64,200 60,000 TOTAL REVENUES 13,292,166 13,530,400 13,696,600 13,738,900 TOTAL AVAILABLE RESOURCES 14,409,635 14,789,169 15,429,588 16,447,588 EXPENDITURES Health Standard indemnity plan 4,818,457 5,690,000 5,090,000 5,715,000 Managed health organization 3,367,380 3,630,000 3,600,000 3,900,000 Health prescriptions 1,744,586 1,960,000 1,600,000 1,800,000 Dental 711,612 751,000 669,700 731,000 Other benefits 151,417 190,000 151,500 157,000 Total 10,793,452 12,221,000 11,111,200 12,303,000 Worker's Compensation Third party administration 63,198 62,000 62,000 62,000 Claims paid 945,103 1,000,000 1,000,000 1,000,000 Excess insurance 75,000 75,000 75,000 75,000 Safety management 92,787 95,200 97,700 128,900 Total 1,176,088 1,232,200 1,234,700 1,265,900 General Unemployment 328,734 75,000 100,000 100,000 Short-term disability 378,373 400,000 275,000 350,000 Total 707,107 475,000 375,000 450,000 TOTAL EXPENDITURES 12,676,647 13,928,200 12,720,900 14,018,900 Unreserved 1,732,988 860,969 2,708,688 2,428,688 ENDING BALANCE $ 1,732,988 860,969 2,708,688 2,428,688 Exhibit "A" GENERAL LIABILITY FUND .... }, ; .. . STATEMENT OF REVENUES AND EXPENDITURESt � aYY Actual Budget Estimated Budget FY 2003 FY 2004 FY 2004 FY 2005 BEGINNING BALANCE $ 944,203 1,113,403 1,135,199 1,073,699 REVENUES Interest 26,527 25,000 17,500 20,000 Transfers in 550,000 550,000 550,000 600,000 TOTAL REVENUES 576,527 575,000 567,500 620,000 TOTAL AVAILABLE RESOURCES 1,520,730 1,688,403 1,702,699 1,693,699 EXPENDITURES Professional services 63,336 50,000 50,000 50,000 Claims paid 318,431 700,000 575,000 800,000 Other insurance 3,764 4,000 4,000 4,000 TOTAL EXPENDITURES 385,531 754,000 629,000 854,000 Reserved for unpaid claims - 800,000 - 800,000 Unreserved 1,135,199 134,403 1,073,699 39,699 ENDING BALANCE $ 1,135,199 934,403 1,073,699 8396699 Exhibit "A"