HomeMy WebLinkAboutORD 05-071 ORDINANCE NO. 05-071
ENTITLED AN ORDINANCE REFERRED TO AS THE
"ANNUAL APPROPRIATION ORDINANCE" ADOPTING A
BUDGET FOR THE FISCAL PERIOD BEGINNING
OCTOBER 1, 2005 AND ENDING SEPTEMBER 30, 2006 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, 2005 and ending September 30,
2006; 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, 2005, and ending the 30th day of
September, 2006, 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 $80,063,700
b. Debt Service 13,741,300
C. Water Utilities 29,490,600
d. Solid Waste Management 8,274,600
e. Hotel Occupancy Tax 2,069,000
f. Henry Homberg Golf Course 434,500
g. Street Maintenance 36,199
h. Municipal Transit 10,822,600
i. Other Special Revenue 848,600
j. Capital Reserve 4,136,100
k. Fleet Management 5,169,200
I. Employee Benefits 14,710,500
M. General Liability 1,004,500
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
$63,000 annually and thereafter as established by the Budget of the City of Beaumont.
PASSED BY THE CITY COUNCIL of the City of Beaumont this the 20th day of
September, 2005.
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- Mayor Guy N. Goodson -
GENERAL FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 8,474,094 10,359,392 11,083,128 12,844,518
REVENUES
Sales and use tax 27,063,841 26,900,000 27,670,000 28,215,000
Property taxes 15,244,109 17,236,000 17,415,000 19,939,000
Industrial payments 11,920,119 11,461,100 11,456,900 11,560,700
Gross receipts tax 5,945,346 6,076,000 6,056,000 6,078,000
Utility fund in lieu 6,279,000 6,279,000 6,279,000 6,279,000
Charges for services 2,733,456 2,728,700 3,142,100 3,133,700
Fines and forfeits 1,738,636 1,905,000 1,682,800 1,750,000
Licenses and permits 1,314,852 1,176,700 1,321,500 1,325,900
Culture and recreation 785,549 722,400 666,800 660,300
Interest earnings 228,502 250,000 400,000 400,000
Miscellaneous revenue 821,651 740,000 942,900 737,300
TOTAL REVENUES 74,075,061 75,474,900 77,033,000 80,078,900
TOTAL AVAILABLE RESOURCES 82,549,155 85,834,292 88,116,128 92,923,418
EXPENDITURES
Police 19,805,059 21,203,000 21,108,400 24,092,700
Fire 15,782,826 16,622,300 16,517,200 18,439,700
Public Works 8,676,239 9,051,900 9,152,000 10,426,900
Internal Services 8,570,686 8,925,000 9,200,600 8,058,900
Public Health 4,179,405 4,600,700 4,322,400 6,178,600
Finance 1,889,727 2,023,800 1,978,700 3,742,800
Community Services 2,182,510 2,297,200 2,252,950 3,473,700
Executive Office 1,181,220 1,186,500 1,295,750 1,423,500
Human Resources 691,313 731,100 758,700 899,300
City Attorney 622,686 671,900 565,460 707,400
City Clerk 194,598 231,700 189,950 214,200
TOTAL EXPENDITURES 63,776,269 67,545,100 67,342,110 77,657,700
OTHER FINANCING USES:
Transfers out 7,689,758 7,929,500 7,929,500 2,406,000
TOTAL APPROPRIATIONS 71,466,027 75,474,600 75,271,610 80,063,700
EXCESS(DEFICIT)REVENUES
OVER APPROPRIATIONS 2,609,034 300 1,761,390 15,200
ENDING FUND BALANCE:
Reserved for contingency 1,500,000 1,500,000 1,500,000 1,500,000
Unreserved 9,583,128 8,859,692 11,344,518 11,359,718
TOTAL ENDING FUND BALANCE $ 11,083,128 10,359,692 12,844,518 12,859,718
EXHIBIT "A"
DEBT SERVICE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 2,718,885 1,454,232 1,526,258 1,917,958
REVENUES
Property taxes 13,147,093 12,949,000 12,980,000 12,399,000
Interest earnings 75,617 45,000 100,000 100,000
Miscellaneous revenue 340,681 337,100 337,100 333,100
Contributions from other funds 758,762 811,200 811,200 819,400
TOTAL REVENUES 14,322,153 14,142,300 14,228,300 13,651,500
TOTAL AVAILABLE RESOURCES 17,041,038 15,596,532 15,754,558 15,569,458
EXPENDITURES
Principal and interest 13,823,557 14,174,800 13,475,600 13,733,300
Service charges 6,609 8,000 8,000 8,000
Other operating expenses - - 353,000 -
TOTAL EXPENDITURES 13,830,166 14,182,800 13,836,600 13,741,300
EXCESS(DEFICIT)REVENUES
OVER APPROPRIATIONS 491,987 (40,500) 391,700 (89,800)
RESIDUAL EQUITY TRANSFER
OUT (1,684,614) - - -
ENDING BALANCE $ 1,526,258 1,413,732 1,917,958 1,828,158
WATER UTILITIES FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 3,972,833 5,787,733 7,730,393 8,302,193
REVENUES
Water sales 16,257,737 15,617,000 16,200,000 16,200,000
Sewer charges 10,608,940 10,830,000 10,720,000 11,100,000
Other fees and charges 1,530,518 1,315,000 1,684,400 1,614,400
Interest 65,019 50,000 200,000 200,000
Miscellaneous revenue 79,616 9,000 35,100 10,200
TOTAL REVENUES 28,541,830 27,821,000 28,839,500 29,124,600
TOTAL AVAILABLE RESOURCES 32,514,663 33,608,733 36,569,893 37,426,793
EXPENDITURES
Wages 4,479,517 4,776,900 4,910,400 5,540,100
Benefits 1,433,033 1,497,400 1,506,900 2,787,800
Supplies and equipment 781,116 694,700 831,500 901,100
Repair and maintenance 2,003,603 2,001,300 2,456,700 2,669,400
Utilities 1,791,059 1,807,400 1,851,200 1,924,600
Contract services 382,969 503,300 426,700 453,000
Capital 978,665 3,600,000 2,428,600 1,871,100
Debt service 6,868,208 7,767,100 7,758,600 8,120,500
Payment in lieu of taxes 4,973,000 4,973,000 4,973,000 4,973,000
Transfers to other funds 1,093,100 1,124,100 1,124,100 250,000
TOTAL EXPENDITURES 24,784,270 28,745,200 28,267,700 29,490,600
EXCESS(DEFICIT) REVENUES
OVER EXPENDITURES 3,757,560 (924,200) 571,800 (366,000)
Unreserved 7,730,393 4,863,533 8,302,193 7,936,193
ENDING BALANCE $ 7,730,393 4,863,533 8,302,193 7,936,193
SOLID WASTE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 3,461,191 2,662,391 3,060,860 2,007,285
REVENUES
Residential collections 5,109,838 5,100,000 5,110,000 5,600,000
Landfill fees 1,885,103 1,635,000 1,835,000 1,650,000
Clean community fees 268,680 265,000 269,000 -
Interest earnings 37,405 40,000 40,000 40,000
Miscellaneous revenue 93,511 55,000 94,000 55,000
Proceeds from capital leases - - 286,000 885,000
TOTAL REVENUES 7,394,537 7,095,000 7,634,000 8,230,000
TOTAL AVAILABLE RESOURCES 10,855,728 9,757,391 10,694,860 10,237,285
EXPENDITURES
Wages 2,201,433 2,251,000 2,156,500 1,801,400
Benefits 720,171 728,200 685,900 974,900
Supplies and equipment 580,527 598,700 739,600 753,800
Repair and maintenance 1,262,702 1,347,000 1,229,500 1,255,500
Utilities 36,997 35,800 39,400 49,300
Contract services 173,158 234,000 366,275 90,000
Capital 112,460 766,800 811,400 1,285,000
Debt service 798,321 731,700 733,600 683,700
Payment in lieu of taxes 1,306,000 1,306,000 1,306,000 1,306,000
Transfers to other funds 603,099 619,400 619,400 75,000
TOTAL EXPENDITURES 7,794,868 8,618,600 8,687,575 8,274,600
EXCESS(DEFICIT) REVENUES
OVER EXPENDITURES (400,331) (1,523,600) (1,053,575) (44,600)
Unreserved 3,060,860 1,138,791 2,007,285 1,962,685
ENDING BALANCE $ 3,060,860 1,138,791 2,007,285 1,962,685
HOTEL OCCUPANCY TAX FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 349,088 274,188 287,062 258,312
REVENUES
Gross receipts tax 1,737,044 1,700,000 1,800,000 1,850,000
Interest earnings 3,991 3,000 4,500 3,000
Miscellaneous revenues 47,701 16,400 39,650 21,500
TOTAL REVENUES 1,788,736 1,719,400 1,844,150 1,874,500
TOTAL AVAILABLE RESOURCES 2,137,824 1,993,588 2,131,212 2,132,812
EXPENDITURES
Convention and Visitors Bureau 984,668 1,000,000 1,004,400 1,073,300
Convention Facilities 601,094 603,600 603,500 610,700
Designated Programs 265,000 385,000 265,000 385,000
TOTAL EXPENDITURES 1,850,762 1,988,600 1,872,900 2,069,000
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (62,026) (269,200) (28,750) (194,500)
ENDING BALANCE $ 287,062 4,988 258,312 63,812
HENRY HOMBERG GOLF COURSE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ - - - 31,100
REVENUES
Charges for services - - 361,000 415,000
Miscellaneous revenue - - 36,000 49,000
TOTAL REVENUES - - 397,000 464,000
TOTAL AVAILABLE RESOURCES - - 397,000 495,100
EXPENDITURES
Wages - - 157,800 161,100
Benefits - - 20,200 41,000
Supplies and equipment - - 45,500 50,100
Repair and maintenance - - 51,300 69,200
Utilities - - 15,000 17,800
Contract services - - 13,000 19,600
Debt service - - 63,100 75,700
TOTAL EXPENDITURES - - 365,900 434,500
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES - - 31,100 29,500
Unreserved - - 31,100 60,600
ENDING BALANCE $ - - 31,100 60,600
STREET MAINTENANCE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 1,766,700 993,700 1,048,199 36,199
REVENUES
Service charges 4,163 - _ _
Interest earnings 23,449 10,000 10,000 -
Miscellaneous revenue 9,193 - - _
TOTAL REVENUES 36,805 10,000 10,000 -
TOTAL AVAILABLE RESOURCES 1,803,505 1,003,700 1,058,199 36,199
EXPENDITURES
General construction 755,306 1,003,700 1,022,000 36,199
TOTAL EXPENDITURES 755,306 1,003,700 1,022,000 36,199
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (718,501) (993,700) (1,012,000) (36,199)
Unreserved 1,048,199 - 36,199
ENDING BALANCE $ 1,048,199 - 36,199 -
MUNICIPAL TRANSIT FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ (202,959) 14,210 (36,995) (175,195)
REVENUES
Service charges 630,218 600,000 625,000 625,000
Intergovernmental revenue 2,142,562 9,087,000 1,886,800 8,793,000
Interest - - - -
Transfer from General Fund 1,200,000 1,300,000 1,300,000 1,396,000
TOTAL REVENUES 3,972,780 10,987,000 3,811,800 10,814,000
TOTAL AVAILABLE RESOURCES 3,769,821 11,001,210 3,774,805 10,638,805
EXPENDITURES
Contract services 3,494,669 3,650,000 3,950,000 3,950,000
Capital outlay 312,147 7,254,000 - 6,872,600
TOTAL EXPENDITURES 3,806,816 10,904,000 3,950,000 10,822,600
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 165,964 83,000 (138,200) (8,600)
Unreserved (36,995) 97,210 (175,195) (183,795)
ENDING BALANCE $ (36,995) 97,210 (175,195) (183,795)
SPECIAL REVENUE AND OTHER FUNDS
STATEMENT OF REVENUES AND EXPENDITURES
Balance FY 2006 Balance
10/01/05 Revenues Approp. 09/30/06
Confiscated Goods $ 885,000 $ 14,000 $ 899,000 $ -
Tax Increment Financing - 5,000 5,000 -
Municipal Airport 16,100 114,500 130,600 -
Texas Motor Carrier Violations 7,100 17,200 24,300 -
Municipal Court Security Fee 9,400 62,100 71,500 -
Municipal Court Technology 250,600 88,000 338,600 -
Julie Rogers Theatre Endowment 314,100 77,000 291,100 100,000 (1)
Tyrrell Historical Library 96,500 1,500 98,000 -
Expendable Trust 265,700 26,300 292,000 -
Library Trust 141,800 5,000 146,800 -
Library Endowment 787,000 14,000 52,400 748,600 (1)
Historical Fire Museum 200 8,100 8,300 -
TOTAL $ 2,773,500 $ 432,700 $ 2,357,600 $ 848,600
(1) Unexpendable endowment
CAPITAL RESERVE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 1,120,015 2,853,029 2,901,555 1,781,555
REVENUES
Fleet rental 1,357,299 1,469,600 1,469,600 1,234,800
Interest earnings 26,001 40,000 55,000 40,000
Miscellaneous revenue 121,074 - 4,700 -
Transfers in 350,000 220,500 220,500 525,000
Proceeds from capital lease - - 386,600 1,106,000
TOTAL REVENUES 1,854,374 1,730,100 2,136,400 2,905,800
TOTAL AVAILABLE RESOURCES 2,974,389 4,583,129 5,037,955 4,687,355
EXPENDITURES
Improvements 170,137 175,000 280,000 609,500
Equipment 116,683 406,000 883,400 829,700
Vehicles 652,655 1,112,000 1,343,600 1,859,500
Debt service 817,973 711,300 749,400 837,400
TOTAL EXPENDITURES 1,757,448 2,404,300 3,256,400 4,136,100
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 96,926 (674,200) (1,120,000) (1,230,300)
RESIDUAL EQUITY TRANSFER IN 1,684,614 - _ -
ENDING FUND BALANCE
Reserved for contingency - - - 551,255
Unreserved 2,901,555 2,178,829 1,781,555 -
TOTAL ENDING FUND BALANCE $ 2,901,555 2,178,829 1,781,555 551,255
FLEET MANAGEMENT FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 344,019 592,019 550,042 685,542
REVENUES
User fees 4,799,810 4,561,300 5,099,000 5,093,400
Interest earnings 2,015 1,500 5,000 1,500
Miscellaneous revenue 5,175 - 400 -
TOTAL REVENUES 4,807,000 4,562,800 5,104,400 5,094,900
TOTAL AVAILABLE RESOURCES 5,151,019 5,154,819 5,654,442 5,780,442
EXPENDITURES
Wages 864,472 934,900 869,100 1,077,100
Benefits 259,804 286,300 276,900 524,800
Supplies and equipment 1,037,912 961,800 1,302,900 1,343,800
Repair and maintenance 1,552,894 1,580,100 1,582,600 1,598,200
Utilities 49,326 46,700 50,500 52,200
Contract services 594,508 539,700 515,500 538,000
Equipment 66,762 179,700 178,900 35,100
Transfers out 175,299 192,500 192,500 -
TOTAL EXPENDITURES 4,600,977 4,721,700 4,968,900 5,169,200
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 206,023 (158,900) 135,500 (74,300)
Reserved for inventory 350,000 350,000 350,000 350,000
Unreserved 200,042 83,119 335,542 261,242
ENDING BALANCE $ 550,042 433,119 685,542 611,242
EMPLOYEE BENEFITS FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 1,732,991 2,708,688 2,402,023 3,029,323
REVENUES
Service charges i 11,688,278 11,808,900 11,808,900 12,055,500
Employee contribution 1,943,626 1,815,000 2,071,700 2,178,100
Interest 55,895 55,000 79,000 120,000
Insurance recoveries 185,617 60,000 182,800 75,000
TOTAL REVENUES 13,873,416 13,738,900 14,142,400 14,428,600
TOTAL AVAILABLE RESOURCES 15,606,407 16,447,588 16,544,423 17,457,923
EXPENDITURES
Health
Standard indemnity plan 5,728,481 5,715,000 5,410,000 5,850,000
Managed health organization 3,480,852 3,900,000 3,700,000 4,100,000
Health prescriptions 1,570,726 1,800,000 1,814,000 2,000,000
Dental 669,506 731,000 725,100 787,100
Other benefits 154,262 157,000 153,500 212,500
Total 11,603,827 12,303,000 11,802,600 12,949,600
Worker's Compensation
Third party administration 62,352 62,000 62,000 62,400
Claims paid 934,222 1,000,000 1,000,000 1,000,000
Excess insurance 75,000 75,000 76,500 85,000
Safety management 96,996 128,900 129,100 163,500
Total 1,168,570 1,265,900 1,267,600 1,310,900
General
Unemployment 134,527 100,000 100,000 100,000
Short-term disability 297,460 350,000 344,900 350,000
Total 431,987 450,000 444,900 450,000
TOTAL EXPENDITURES 13,204,384 14,018,900 13,515,100 14,710,500
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 669,032 (280,000) 627,300 (281,900)
Unreserved 2,402,023 2,428,688 3,029,323 2,747,423
ENDING BALANCE $ 2,402,023 2,428,688 3,029,323 2,747,423
Included as Service charges are amounts which were budgeted geted and reported as Interdepartmental transfers
in prior years.
GENERAL LIABILITY FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2004 FY 2005 FY 2005 FY 2006
BEGINNING BALANCE $ 1,135,199 1,073,699 771,111 449,411
REVENUES
Interest 17,258 20,000 12,500 12,500
Transfers in 549,999 600,000 600,000 775,000
TOTAL REVENUES 567,257 620,000 612,500 787,500
TOTAL AVAILABLE RESOURCES 1,702,456 1,693,699 1,383,611 1,236,911
EXPENDITURES
Professional services 338,028 50,000 110,000 100,000
Claims paid 589,180 800,000 820,000 900,000
Other insurance 4,137 4,000 4,200 4,500
TOTAL EXPENDITURES 931,345 854,000 934,200 1,004,500
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (364,088) (234,000) (321,700) (217,000)
Reserved for unpaid claims - 800,000 - 232,411
Unreserved 771,111 39,699 449,411 -
ENDING BALANCE $ 771,111 839,699 449,411 232,411