HomeMy WebLinkAboutORD 12-067 ORDINANCE NO. 12-067
ENTITLED AN ORDINANCE REFERRED TO AS THE
"ANNUAL APPROPRIATION ORDINANCE" ADOPTING A
BUDGET FOR THE FISCAL PERIOD BEGINNING OCTOBER
1, 2012, AND ENDING SEPTEMBER 30, 2013, 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, 2012, and ending September 30, 2013;
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 COUNCIL OF THE CITY OF BEAUMONT:
Section 1.
THAT the statements and findings set out in the preamble to this ordinance are
hereby, in all things, approved and adopted.
Section 2.
That the budget attached hereto as Exhibit "A" and made a part hereof for all
purposes is hereby adopted, ratified 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, 2012, and ending the 30th day of
September,2013, 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 3.
That the sums indicated are appropriated from the following schedule of funds:
a. General $110,740,700
(includes $1.5 million contingency)
b. Debt Service $13,950,300
C. Water Utilities $46,203,200
d. Water Revenue Bond Reserve Fund -0-
e. Solid Waste Management $9,464,700
f. Hotel Occupancy Tax $2,508,900
g. Municipal Airport $425,100
h. Henry Homberg Golf Course $562,200
i. Municipal Transit $5,105,000
j. Other Special Revenue $2,207,571
k. Capital Reserve $3,698,900
I. Fleet Management $8,139,700
M. Employee Benefits $18,857,500
n. General Liability $1,046,100
Section 4.
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 inter-fund transfer.
Section 5.
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 6.
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 25th day of
September, 2012. .���►�►��
M or Becky Ames -
GENERAL FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
AcWW FY 2012 Estimated Budget
FY 2011 SAs Amended) FY 2012 FY 2013
REVENUES
Sales and use taxes $ 34,690,937 $ 34,238,000 35,038,000 $ 35,434,000
Prop"taxes 30,248,168 30,614,000 31,050,000 31,516,000
Industrial payments 13,220,777 13,686,900 13,433,000 13,667,300
Gross receipts taxes 8,711,349 8,515,000 8,292,000 8,280,000
Utility fund in Neu 8,636,000 8,875,00D 8,875,000 9,780,000
Charges for awAoes 4,436,371 4,060,800 4,729,400 4,584,400
Fines and forfeits 1,980,769 1,826,500 1,585.000 1,585,000
Licenses and permits 1,961,700 1,549,100 1,983,600 1,698,100
Other 2,186.629 2,057,100 2,752,400 2,115,500
Transfers in 645,700 500,000 5w.000 500,000
TOTAL REVENUES 106,718,400 105,922,400 108,248,400 109,160,300
EXPENDITURES
Police 30,681,304 31,624,100 32,217,400 32,328,300
Fire 22,928,623 23,958,900 23,793,400 24,525,500
Put2ic Works 18,116,200 18,365,800 18,616,300 18,657,900
Public Health 7.444,270 7,063,400 7,071,900 7,231,300
Information Technology 4,796,124 5,427,800 5,170,200 5,744,500
Event Facilities and Libraries 4,226,141 4,609,400 4,370,800 4,702,600
Parks and Recreation 4,250,286 4,411,100 4,290,600 4,512,100
Finance 3,462,383 3,559,400 3,602,100 3,676,800
Community Development 1,886,148 2,754,500 2,787,900 2,946,700
Executive Office 1,618,388 1,832,300 1,791,100 1,833,700
Human Resources 860,817 91100 938,100 1,008,200
City Attorney 826,551 885,800 855,200 924,100
City Clerk 339.409 266,100 249,300 374,000
TOTAL EXPENDITURES 101,236,604 105,670,200 105,754,300 108,465,700
OTHER USES
Transfers out 4,925,000 2,450,000 2,650,000 2,275,000
TOTAL APPROPRIATIONS 106,161,604 108,120,200 108,404,300 110,740,700
EXCESS(DEFICIT)REVENUES
OVER APPROPRIATIONS 556,796 (2,197,800) (155,900) (1,580,400)
BEGINNING FUND BALANCE 27,924,509 27,035,664 28,481,305 28,325,405
Reserved tar contingency 1,500,000 1,500,000 1,50,000 1,500,000
Unreserved 26,981,305 23,337,864 26,825.405 25,245,005
ENDING FUND BALANCE $ 28,481,305 $ 24,8377,,64 28,325,405 $ 26,745,005
EXHIBIT "A"
DEBT SERVICE FUND
STATEMENT OF REVENUES AND EXPENDITURES
AahW Budget Esdnuftd Budget
FY 2011 FY 2012 FY 2012 FY 2013
REVENUES
Property taxes $ 13,836,407 $ 12,281,OD0 $ 12,381,700 $ 12,429,000
Dyer 20,132,069 310,500 285,5D0 312,000
Transfers in 594,500 617,200 617,200 707,000
TOTAL REVENUES 34,562,976 13,208,700 13,2134,400 13,448,000
EXPENDITURES
Principal and irrterest 12,826,541 13,052,8W 13,052,600 13,936,300
Servioe charges 8,607 12,000 5,000 10,000
Other operating expenses
19,742,366 5,000 4,000 4,ODO
TOTAL EXPENDITURES 32,577,514 13,089,600 13,061,600 13,950,300
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 1,985,462 139,100 222,800 502.300
BEGINNING FUND BALANCE 2,211,164 3,771,163 4,196,626 4,419,428
ENDING FUND BALANCE $ 4,196,626 $ 3,910 263 $ 4,419,426 $ 3,917�,126
WATER UTILITIES FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
Actual FY 2012 Estimated Budget
FY 2011 r(As AnMKW*d) FY 2012 FY 2013
REVENUES
Waterseles $ 32,612,129 $ 32,842,300 $ 33,105,400 $ 34,900,400
Sevrercharges 7,458,595 7,738,000 7,750,000 8,140,200
Other 1,899,018 1,511,800 1,642,200 1,536,700
TOTAL REVENUES 41,999,742 42,092,100 42,497,600 44,577,300
EXPENDITURES
Wages 7,308,238 7,406,700 7,669,400 7,725,500
Benefits 3,655,186 3,782,100 3,887,500 3,931,100
Operating expenditcues 1,640,043 1,427,000 1,693,900 1,866,000
Repair and maintenance 3,980,006 4,679,600 4,649,000 4,520,300
Unities 1,894,512 2,039,900 1,782,200 1,883,700
Contract services 1,726,458 1,461,400 2,128,600 1,744,400
Equipment purchases 5,443 14,000 18,500 19,000
Capital expenditures 1,772,794 1,312,500 1,602,600 1,827,000
Debt service 12,452,196 12,502,000 12,486,000 14,081,60D
Payment in Hsu of taxes 6,730,000 7,000,000 7,000,000 7,900,000
Transfers to other funds 1,893,027 1,514,000 1,109,000 904,600
TOTAL EXPENDITURES 43,057,903 43,139,200 44,026,70D 46,203,200
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (1,058,161) 1,047,100 (1,529,100) (1,625,900)
BEGINNING FUND BALANCE 9,700,290 7,417,890 8,642,129 7,113,029
Unreserved 8,642,129 6,370,790 7,113,029 5,487,129
ENDING FUND BALANCE $ 8,6421129 $ 6,370,790 $ 7,113,029 $ 5,487,129
WATER REVENUE BOND RESERVE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estlmaled Budget
FY 2011 FY 2012 FY 2012 FY 2013
REVENUES
Other $ 817 $ - $ 2.400 $ 2,700
Transfers in 380,000 360,000 380,000 380!000
TOTAL REVENUES 36[3,817 380,000 362,400 36Z700
BEGINNING FUND BALANCE - 360,000 380.817 723,217
Unreserved 360,817 720,000 723,217 1,085,917
ENDING FUND BALANCE $ 380,817 $ 720,OOD $ 723,217 $ 1,085,917
SOLID WASTE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
Actual FY 2012 Estlmatad Budget
FY 2011 (As Arnertdad) FY 2012 FY 2013
REVENUES
Residential collections $ 5,947,295 $ 5,950,OOD $ 6,040,600 $ 6,400,000
Landfill fees 2,969,486 3,000,000 2,555,200 2,500,000
Other 103,157 11,50D 11,800 13,200
TOTAL REVENUES 9,019,938 8,961,500 8,607,600 8,913,200
EXPENDITURES
Wages 2,054,313 2,271,900 2,110,900 2,184,100
Bereft 1,195,490 1,278,200 1,271,900 1,270,900
Operating mcpench res 849,973 982,700 995,200 1,021,600
Repair and maintenance 1,776,586 2,268,400 1,689.400 1,895.900
UtiYties 27,848 23,500 22,100 21,000
Conbad services 158,168 229,000 190,000 213,700
Equipment purchoses - - - -
Capital expenditures 821,896 91,700 230,600 553,OOD
Debt servioe 434,980 435,100 435,100 314,500
Payment in Neu of taxes 1,806,000 1,775,000 1,775.000 1,780,000
Transfers to other funds 115,000 210,000 210,000 210,000
TOTAL EXPENDITURES 9,240,254 9,575,500 8,930,200 9,464,700
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (220,316) (614,000) (322,60D) (551,500)
BEGINNING FUND BALANCE 3,153,210 2,700,009 2,932,894 2,610,294
Unreserved 2,932,894 2,088,009 2,610,294 2,058,794
ENDING FUND BALANCE $ 2,932,894 $ 2,086,009 $ 21610,294 $ 2,058,794
HOTEL OCCUPANCY TAX FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
Actual FY 2012 Estlmated Budget
FY 2011 (As Mended) FY 2012 FY 2013
REVENUES
Gross reosipts taxes $ 2,355,733 $ 2,300,000 $ 2.450,000 $ 2,375,000
Other 16,111 13,400 25,800 15,900
TOTAL REVENUES 2,371,844 2,313,400 2,475,800 2,390,900
EXPENDITURES
Convention and Visitors Bureau 1,672,081 1,418,500 1,405,300 1,479,900
Desgnaled programs 332,000 332,000 332,000 332,000
Payment in lieu of taxes 100,000 100,000 100,000 100,0DD
Transfers to 0lher fiKWS 742,700 597,000 597,000 597,000
TOTAL EXPENDITURES 2,846,781 2,447,500 2,434,300 2,508,900
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (474,937) (134,100) 41,500 (118,00D)
BEGINNING FUND BALANCE 818,226 291,727 343,289 384,789
Unreserved 343,289 157,627 384,789 266,789
ENDING BALANCE $ 3431289 $ 157,627 $ 364,789 $ 286,789
Convw*m A T"fin P eel FY 2011 FY 2012 FY 2015
Exempt 8 8 8
Clerical 1 1 1
9 9 9
MUNICIPAL AIRPORT FUND
STATEMENT OF REVENUES AND EXPENDITURES
Actual Budget Estimated Budget
FY 2011 FY 2012 FY 2012 FY 2013
REVENUES
Intw9mommental revenue $ 148,395 $ 50.000 $ 50.000 $ -
O#W 144,357 156,600 148,500 156,100
Transfers in 1,ODD,000 - - -
TOTAL REVENUES 1,292,752 208=600 198,500 156,100
EXPENDITURES
Operating expenditures 943 1,000 2,800 2,900
Repair and maims 120,712 232,000 100,000 229,000
UtI ties 18,050 19,800 23,600 24,400
Contract services 129,194 548,866 98500 132,800
Capital expenditures 514,549 - 137,100 36,000
TOTAL EXPENDITURES 783,448 801,466 382,000 425,100
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 509,304 (592,868) (163,0 (269.000)
BEGINNING FUND BALANCE 27,086 592,866 536,970 373,470
Unreserved 536,970 - 373,470 104,470
ENDING FUND BALANCE $ 536,970 $ - $ 373,470 $ 104,470
HENRY HOMBERG GOLF COURSE FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
Actual FY 2012 Estimated Budget
FY 2011 (As Amended) FY 2012 FY 2013
REVENUES
Charges for services $ 394,113 $ 443,000 $ 337,100 $ 419,000
Other 84 100 - -
Transfers In 35,000 - 200,000 100,000
TOTAL REVENUES 429,197 443,100 537,100 519,000
EXPENDITURES
Wages 164,726 185,000 229,40D 256,600
Benefits 45,5D4 46,000 57,000 74,400
Operating expenditures 56,046 52,200 46,500 59,000
Repair and maintermnce 64,702 57,300 61,000 66,200
Utilities 16,653 19,000 15,001) 15,000
Contract services 19,491 56,000 36,200 50,600
Capital expenditures 45,188 21,400 21,400 40,200
Debt service 12,642 - - -
Transfers to other funds 1,000 -
TOTAL EXPENDITURES 445,952 436,900 466,500 562,200
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (16,755) 4,200 68,800 (43,200)
BEGINNING FUND BALANCE (3,596) 7,201 (2D,351) 48,249
Unreserved (20,351) 11,401 48,249 5,049
ENDING FUND BALANCE $ (20,351) $ 11,401 $ 48,249 $ 5,049
MUNICIPAL TRANSIT FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
Actual FY 2012 Estimated Budget
FY 2011 (As Amended) FY 2012 FY 2013
REVENUES
Service charges $ 593,517 $ 550,000 $ 527,200 $ 530,000
Intergovernmental revenim 2,e96,878 2,178,500 2,371,600 2,142,200
Other 22,143 400 400 400
Transfers in 1,950,000 2,450,000 2,450,000 2,125,000
TOTAL REVENUES 5,262,536 5,178,900 5,349,200 4,797,600
EXPENDITURES
Operating Supplies 132,713 180,000 145,000 145,000
Contract services 4,599,924 4,800,000 4,993,300 4,96,000
Capital outlay 544,322 - 220,000 -
TOTAL EXPENDITURES 5,276,959 4,780,000 5,356,300 5,105,000
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (14,421) 388,900 (9,100) 307,400
BEGINNING FUND BALANCE 362,471 704,472 348,050 338,950
Unreserved 348,050 1,103,372 31,550
ENDING FUND BALANCE $ 348,050 $ 1,103,372 $ 338,950 $ 31,550
OTHER SPECIAL REVENUE FUNDS
STATEMENT OF REVENUES AND EXPENDITURES
Estimated
Balance FY 2013 Balance
10/01112 Revenues Approp. 09130!13
Texas Motor Carrier Violations $ 38,663 $ 30,400 69,063 $ -
Municipal Court Security Fee 59 24,941 25,000 -
Municipal Court Technology 372,502 46,800 419,302
Municipal Court Juvenile Case Manager 28 51,000 51,028
Ike Recovery 658 500,000 500,658 -
Public Education Government Programming 229,800 232,800 462,600 -
Conflscated Goods 120,471 100,000 220,471 -
Julie Rogers Theatre Endownent 123,482 500 23,982 100,000 (1)
Tyrrell Historical Library 3,197 9,603 12,800 -
Expendable Trust 248,405 30,800 279,205 -
Library Trust (1,812) 13,400 11,588 -
Library Endowrnent 896,656 4,000 125,756 774,900 {1)
Historical Fire Museum 1,118 5,000 6,118 -
TOTAL $ 2.033,227 $ 1.049.244 $ 2 $. 874.900
(1) Unexpendable endowment
CAPITAL RESERVE FUND
STATEMENT OF REVENUES AND EXPENDITURES
&Moot
Actual FY 2012 ESUMated Budget
FY 2011 (At Mounded) FY 2012 FY 2013
REVENUES
Fleet rental $ 2,145,700 $ 2,085,900 $ 2,121,900 $ 2,312,100
Other 237,269 29,800 139,800 110,000
Transfers in 1,000,000 - 1,549,400 -
TOTAL REVENUES 3,382,989 2,115,700 3,811,100 2,422,100
EXPENDITURES
Improvements 346,289 1,480,100 1,979,400 711,000
Equliment 1,271,220 1,666,100 1,857,200 1,273,000
Vehicles 1,249,728 1,761,200 2,117,800 1,470,700
Debt service 387,063 244,200 259,500 244,200
TOTAL EXPENDITURES 3,254,300 5,141,600 6,213,900 3,698,900
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 128,689 (3,025,900) (2,402,800) (1,276,800)
BEGINNING FUND BALANCE 6,290,429 6,082,931 6,419,098 4,016,298
Unreserved 6,419,098 3,057,031 4,016,298 2,739,498
ENDING FUND BALANCE $ 6,419,096 $ $ 4,016,298 $ ___ 2,739,498
FLEET MANAGEMENT FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
Actual FY 2012 Estimated Budget
FY Will (As Amended) FY 2012 FY 2013
REVENUES
User fees $ 7,961,179 $ 8,427,400 $ 8,056,500 $ 8,098,100
Other 13,037 4,000 6,500 5,000
TOTAL REVENUES 7,974,216 8,431,400 8,063,000 8,103,100
EXPENDITURES
wages 1,324,356 1,407,300 1,373,400 1,423,600
Benefits 696,832 732,200 741,200 764,100
opera"WPKKDXM 2,930,161 3,072,700 3,156,800 71,300
Repair and mainiermnoo 1,978,281 2,300,100 2,040,300 5,076,800
Udlfdes 42,432 54,800 43.800 50.000
Contract services 819,787 696,800 702,900 728,900
Eg0prnw t purchases 9,900 9,900 9,900 9,900
Capital 22,186 26,300 26,300 15,100
Transfers to other funds 16,500 - -
TOTAL EXPENDITURES 7,840,435 8,300,200 8,094,600 8,139,700
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES 133,781 131,200 (31,800) (38,600)
BEGINNING FUND BALANCE 1,114,084 967,986 1,247,865 1,216,285
Reserved for inventory - - - -
1,099,18
Unreserved 1,247,865 6 1,216,265 1,179,665
ENDING FUND BALANCE $ 1,247,865 $ 1099,186 $ 1,216,265 $ 1,179,665
EMPLOYEE BENEFITS FUND
STATEMENT OF REVENUES AND EXPENDITURES
Budget
Actual FY 2012 Estimated Budget
FY 2011 (As Arrrat4dad) FY 2012 FY 2013
REVENUES
Service charges $ 13,723,097 $ 14,454,000 $ 14,448,900 $ 14,432,000
Employee contributions 3,587,891 3,792,700 3,752,000 3,903,000
Other 17,259 20.000 83,700 11,400
Transfers in 689.000 30,000 30,000 30,000
TOTAL REVENUES 18,017,247 18,296,700 18,314,600 18,376,400
EXPENDITURES
Health
Preferred Provider Organization 12,067,386 13,780,800 12,513,600 12,650,000
Health Malntena nce Organization 1,041,522 - - -
Hedth prescriptions 2,546,786 2,625,000 2,600.000 2,900,000
Derrtal 893,533 908,400 951,400 965,900
Other benefits 178,078 188,600 221,BD0 222,700
Total 16,727,285 17,502,800 16,286,800 16,738,600
Worker's Compensation
Third party administration 64,212 65,000 64,800 64,900
Claims paid 926,309 1,000,000 1,064.000 1,050,000
Excess insurance 85,000 85,000 87,50D 87,500
Shy management 157,520 162,800 164,600 167,700
Total 1,233,041 1,312,80D 1,380,900 1,370,100
General
Contract Services 20,164 48.800 46,900 48,800
Retirement Trust 250,WD - - -
Unempioyment 108,988 100,000 100,000 100,000
Short--term disability 803,893 425,000 450,000 600,000
Total 1,183,045 573,800 596,90D 748,800
TOTAL EXPENDITURES 19,143,371 19,389,400 18,264,600 18,857,500
EXCESS(DEFICIT)REVENUES
OVER EXPENDITURES (1,128,124) (1,092,700) 50,000 (481,100)
BEGINNING FUND BALANCE 2,924,223 2,251,821 1,798,099 1,848,099
Unreserved 1,798,099 1,159,121 1,848,099 1,366,999
ENDING FUND BALANCE $ 1,798,099 $ 1,159,121 $ 1,848,fl99 $ 1,366,999