HomeMy WebLinkAboutPACKET MAR 01 2005 MAW
City of Beaumont
REGULAR MEETING OF THE CITY COUNCIL
COUNCIL CHAMBERS MARCH 1,2005 1:30 P.M.
CONSENT AGENDA
* Approval of minutes
* Confirmation of committee appointments
June Brailsford would be reappointed to the Convention and Tourism Advisory Committee. The
current term would expire November 25, 2006. (Councilmember Audwin Samuel)
Barbara White would be reappointed to the Parks and Recreation Advisory Committee. The
current term would expire October 8, 2005. (Councilmember Bobbie J. Patterson)
Gloria Harrison would be appointed to the Library Commission. The term would commence
March 1, 2005 and expire February 28, 2007. (Councilmember Bobbie J. Patterson)
Lee Smith would be appointed to the Keep Beaumont Beautiful Commission. The term would
commence March 1, 2005 and expire February 28, 2007. (Councilmember Bobbie J. Patterson)
Shederick Evans would be appointed to the Community Development Advisory Committee. The
term would commence March 1, 2005 and expire February 28, 2007. (Councilmember Bobbie J.
Patterson)
A) Approve the settlement of the claims of George Smith brought in the lawsuit styled Penni
Simonson, et al v. The City of Beaumont
B) Authorize the settlement of the claim of Willie Parker III
A
City of Beaumont
Council Agenda Item
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TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Joe Sanders, Senior Assistant City Attorney
MEETING DATE: March 1, 2005
AGENDA MEMO DATE: February 24, 2005
REQUESTED ACTION: Consider a resolution authorizing the settlement of the claims of
George Smith brought in the lawsuit styled Penni Simonson,et al v.
The City of Beaumont.
RECOMMENDATION
Council approval of a resolution authorizing the settlement of the claims of George Smith brought in
the lawsuit styled Penni Simonson, et al v. The City of Beaumont, for the sum of$215,000.
BACKGROUND
Council discussed this lawsuit in an Executive Session held on February 22, 2005.
BUDGETARYIMPACT
There are sufficient funds in the General Liability Fund to pay the sums above.
PREVIOUS ACTION
None.
SUBSEQUENT ACTION
None.
RECOMMENDED BY
City Manager and City Attorney.
B
11 7EJCit y of Beaumont
-7!j Council Agenda Item
ME-212rallaus"MI EL TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Matt Martin, Liability Administrator
MEETING DATE: March 1, 2005
AGENDA MEMO DATE: February 23, 2005
REQUESTED ACTION: Council consider a resolution authorizing the settlement of the
claim of Willie Parker III.
RECOMMENDATION
Council approval of a resolution authorizing the settlement of the claim of Willie Parker III.
BACKGROUND
Council authorized the settlement of this claim in Executive Session February 22, 2005.
BUDGETARY IMPACT
There are sufficient funds in the Liability Trust Fund to pay the settlement amount as shown:
Willie Parker III and Attorney Charlton Hornsby $6,800
Attorney at Law
381 Broadway
Beaumont, Texas 77701
PREVIOUS ACTION
None.
SUBSEQUENT ACTION
None.
RECOMMENDED BY
City Manager and City Attorney
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City of Beaumont
REGULAR MEETING OF THE CITY COUNCIL
COUNCIL CHAMBERS MARCH 1,2005 1:30 P.M.
AGENDA
CALL TO ORDER
* Invocation Pledge Roll Call
* Presentations and Recognition
* Public Comment: Persons may speak on scheduled agenda items/Consent Agenda
* Consent Agenda
GENERAL BUSINESS
1. PUBLIC HEARING: Receive comments on the 2005 Action Plan of the
Five Year Consolidated Block Grant Program
Consider approving the Preliminary 2005 HUD Consolidated Grant Program
Budget
COMMENTS
* Councilmembers/City Manager comment on various matters
* Public Comment (Persons are limited to 3 minutes)
Persons with disabilities who plan to attend this meeting and who may need auxiliary aids
or services are requested to contact Pat Buehrle at 880-3725 a day prior to the meeting.
1
March 1, 2005
PUBLIC HEARING: Receive comments on the 2005 Action Plan of the Five Year Consolidated
Block Grant Program
Consider approving the Preliminary 2005 HUD Consolidated Grant Program Budget
�r".. City of Beaumont
� Council Agenda Item
M " c
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Johnny Beatty, Grants Administrator
MEETING DATE: March 1, 2005
AGENDA MEMO DATE: February 22, 2005
REQUESTED ACTION: Council conduct a public hearing/workshop to review and receive
comments on the 2005 Action Plan of the Five Year Consolidated
Plan. Council also consider approving the Preliminary 2005 HUD
Consolidated Grant Program Budget.
RECOMMENDATION
Administration recommends approving the Preliminary 2005 HUD Consolidated Grant Program
Budget.
BACKGROUND
As mandated by the U. S.Department of Housing and Urban Development(HUD), City Council has
conducted public hearings/workshops in previous years prior to adopting the City's Annual Action
Plan. To date,the Community Development Advisory Committee(CDAC)has held two(2)meetings
to discuss and review the process for submitting 2005 Action Plan Budget recommendations to the
City Council. Community Development staff along with other City ofBeaumont staffinvolved with
the Consolidated Grant program hosted three(3)Public Hearings to receive public comments relating
to the process and activities germane to the 2005 Action Plan and the Five Year Consolidated Plan.
Subsequent public hearings/workshops will follow.
BUDGETARY IMPACT
The preliminary 2005 budget is comprised of federal allocations of $2,016,696 in Community
Development Block Grant funds, $809,799 in HOME funds and $150,000 of estimated program
income.
PREVIOUS ACTION
None.
RECOMMENDED BY
City Manager, Public Works Director, Planning Manager, Grants Administrator
2005 HUD CONSOLIDATED GRANT PROGRAM
Prel minary
COMMUNITY DEVELOPMENT BLOCK GRANT(CDBG) 2005
HOUSING Budget
Minor Repair $ 360,000
Funds will be used to repair approximately 24 homes at$15,000
Lead-Based Paint Testing 50.000
Funds will be used to test the paint and address the lead based paint issues of single family
residential and multiple family housing.
Infrastructure 75,000
Funds will be used for infrastructure in the CDBG strategy area.
CLEARANCE AND DEMOLITION
Clearance and Demolition Activities
Funds will be used to demolish approximately 150 unsafe residential structures and speed 370,000
commercial structures.
Funds will also be used for project delivery costs and for clearance on a spot basis. 60,000
PUBLIC FACILITY&IMPROVEMENT 530,000
Section 108**
Hotel Beaumont(Section 108 payment)-rehabilitation
Crockett Street(Section 108 payment)-rehabilitation
Jefferson Theater(Section 108 payment)-rehabilitation
Theodore R.Johns,Jr.Library(Section 108 payment)-new construction
L L Melton YMCA(Section 108 payment)-rehabilitation
PUBLIC SERVICES
Public Services Organizations 100,000
Funds will be used for administrative and operating costs for various public services organizations.
EMERGENCY SHELTER SET-ASIDE 85,000
Funds will be used to provide Homeless Provider Grant Funds to assist with operation management•,
essential services,homeless prevention and administration of a facility that houses and provides services
for the homeless population.
ADMINISTRATION 386,696
Funds will be used for personnel and operating expenses necessary for compliance with the planning,
execution,and regulatory requirements of the HUD Consolidated Grant Program,
TOTAL CDBG 2,016,696
REVOLVING FUNDS(Funded with Program Income*)
Small Business Loan Fund 125,000
Historic Preservation Loan Fund 20,000
Clearance and Demolition 5,000
*Program Income is Estimated
TOTAL REVOLVING FUNDS 150,000
HOME
DOWNPAYMENT AND CLOSING COSTS 728,819
Funds will be used to assist a non-profit housing development organization with the development of
approximately 30 new single family homes. Funds will also be used to assist low/moderate income
families with the closing costs,mortgage buy downs,and down payments needed to purchase homes.
HOME ADMINISTRATION 80,980
Funds will be used for personnel and operating expenses necessary for compliance with the planning,
execution,and regulatory requirements of the HUD HOME Program,
TOTAL HOME 809,799
TOTAL 2005 PRELIMINARY BUDGET $ 2,976,495
**The Section 108 debt repayment is$812,259. $530,000 allocated from 2005 grant year
$282,259 from the 2003 and 2004 grant yers plus interest income.
$114,698.00 Interest Income
104,656.64 2004 Administration
50,000.00 2004 Economic Development BUILD,Inc.
5,359.00 2004 Public Facilities/Improvements
39.00 2003 John Jay French Museum
7,506.36 2004 Public Services-Ubi Caritas Welcome Learning Center
FIVE YEAR CONSOLIDATED GRANT PROGRAM
(with proposed 50%budget cuts for CDBG,Budget Cuts proposed for CDBG,not HOME)
DRAFT 2004 2005 2006 2007 2008 2009
HOUSING
Minor Repair 361,000 360,000 0 0 0 0
Lead Based Paint 50,000 50,000 0 0 0 0
Infrastructure 100,000 75,000 0 0 0 0
CLEARANCE/DEMOLITION 355,000 370,000 0 0 0 0
Downtown Clearance 60,000 60,000 0 0 0 0
PUBLIC FACILITIES/IMPROVEMENTS
Section 108 Repayments 530,000 * 530,000 818,555 816,748 819,424 893,943
PUBLIC SERVICES/EMERGENCY SHELTER SET-ASIDE 185,000 185,000 0 0 0 0
ECONOMIC DEVELOPMENT (BUILD, Inc.) 50,000
ADMINISTRATION 425,000 386,696 189,793 191,600 188,924 114,405
TOTAL CDBG 2,126,000 2,016,696 1,008,348 1,008,348 1,008,348 1,008,348
REVOLVING FUNDS (Funded with Program Income) 150,000 150,000 150,000 150,000 150,000 150,000
Program Income is Estimated
DRAFT 2004 2005 2006 2007 2008 2009
HOME 755,396 728,819 765,000 765,000 765,000 765,000
HOME Administration 83,932 80,980 85,000 85,000 85,000 85,000
TOTAL HOME 839,328 809,799 850,000 850,000 850,000 850,000
TOTAL 2,948,803 2,976,495 2,008,348 2,008,348 2,008,348 2,008,348
* The Section 108 debt repayment is $812,259. $530,000 allocated from 2005 grant year and $282,259 from the 2003 and 2004 grant years
plus interest income.
$114,698.00 Interest Income
104,656.64 2004 - Administration
50,000.00 2004 - Economic Development, BUILD, Inc.
5,359.00 2004 -Public Facilities/Improvements
39.00 2003 - Public Services - John Jay French Museum
7,506.36 2004 - Public Services -Ubi Caritas Welcome Learning Center
$282,259.00
FIVE YEAR CONSOLIDATED GRANT PROGRAM
DRAFT Current Projected 2006 2007 2008 2009
Funding 2005
2004
HOUSING
371,000 360,000 200,000 200,000 200,000 200,000
Minor Repair
Lead Based Paint 50,000 50,000 50,000 50,000 50,000 50,000
Infrastructure 100,000 75,000 75,000 75,000 75,000 75,000
CLEARANCE/DEMOLITION 355,000 370,000 300,000 300,000 300,000 300,000
Downtown Clearance 60,000 60,000 60,000 60,000 60,000 60,000
PUBLIC FACILITIES/IMPROVEMENTS
530,000 * 530,000 818,555 818,555 818,555 818,555
Section 108 Repayments
Economic Development 50,000
PUBLIC SERVICESIEMERGENCY SHELTER SET-ASIDE 185,000 185,000 185,000 185,000 185,000 185,000
ADMINISTRATION 425,000 386,696 328,141 328,141 328,141 328,141
TOTAL CDBG 2,126,000 2,016,696 2,016,696 2,016,696 2,016,696 2,016,696
REVOLVING FUNDS (Funded with Program Income) 150,000 150,000 150,000 150,000 150,000 150,000
Program Income is Estimated
DRAFT Current Projected 2006 2007 2008 2009
Funding 2005
2004
HOME 755,396 728,819 765,000 765,000 810,000 832,500
HOME Administration 83,932 80,980 85,000 85,000 90,000 92,500
Total HOME 839,328 809,799 850,000 850,000 900,000 925,000
TOTAL 3,115,328 2,976,495 3,016,696 3,016,696 3,066,696 3,091.69b
* The Section 108 debt repayment is $812,259. $530,000 allocated from 2005 grant year and $282,259 from the 2003 and 2004 grant years
plus interest income.
$114,698.00 Interest Income
104,656.64 2004 - Administration
50,000.00 2004 - Economic Development, BUILD, Inc.
5,359.00 2004 -Public Facilities/Improvements
39.00 2003 -Public Services - John Jay French Museum
7,506.36 2004 -Public Services - Ubi Caritas Welcome Learning Center
$282,259.00