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20-R-29 - SSLGC 2019-2020 Budget AmendmentRESOLUTION NO. 20 -R -29 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS APPROVING A BUDGET AMENDMENT TO THE SCHERTZ/SEGUIN LOCAL GOVERNMENT CORPORATION FISCAL YEAR 2019 -2020 ANNUAL BUDGET, AND OTHER MATTERS IN CONNECTION THEREWITH. (SSLGC RESOLUTION #SSLGC R20 -03) WHEREAS, the Schertz Seguin Local Government Corporation (SSLGC) is a corporation for the provision of and transportation of water wholly owned by both the City of Schertz and the City of Seguin; and WHEREAS, SSLGC By -Laws require that the corporation establish an annual budget and said annual budget must be approved by the SSLGC Board of Directors and both the City of Schertz and the City of Seguin; and WHEREAS, the SSLGC's FY2019 -2020 Annual Budget was approved by City Council on June 25, 2019; and WHEREAS the proposed budget amendment for FY 2019 -2020, provided herein as Attachment A, has been approved by the SSLGC Board of Directors at their regularly scheduled February Board Meeting; and WHEREAS, the City staff of the City of Schertz (the "City ") recommends that the City approve the Schertz/Seguin Local Government Corporation Fiscal Year 2019 -20 Amended Annual Budget; and WHEREAS, the City Council has determined that it is in the best interest of the City to approve the budget to ensure that the citizens and businesses of Schertz continue to receive excellent and vital water service. BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS THAT: Section 1. The City Council hereby authorizes the approval of the Schertz/Seguin Local Government Corporation Fiscal Year 2019 -20 Amended Annual Budget. Section 2. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Resolution for all purposes and are adopted as a part of the judgment and findings of the City Council. Section 3. All resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Resolution are hereby repealed to the extent of such conflict, and the provisions of this Resolution shall be and remain controlling as to the matters resolved herein. Section 4. This Resolution shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 5. If any provision of this Resolution or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Resolution and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City Council hereby declares that this Resolution would have been enacted without such invalid provision. Section 6. It is officially found, determined, and declared that the meeting at which this Resolution is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Resolution, was given, all as required by Chapter 551, Texas Government Code, as amended. Section 7. This Resolution shall be in force and effect from and after its final passage, and it is so resolved. PASSED AND ADOPTED, this 10t' day of February 2020. CITY OF SCHERTZ, TEXAS - A�g Ra utie e , Mayor ATTEST: renda Dennis, City Secretary r' Attachment A Resolution # SSLGC R20 -03 A RESOLUTION AMENDING THE FISCAL YEAR 2020 SCHERTZ SEGUIN LOCAL GOVERNMENT CORPORATION BUDGET. NOW, THEREFORE, BE IT RESOLVED THAT THE FISCAL YEAR 2020 SCHERTZ SEGUIN LOCAL GOVERNMENT CORPORATION BUDGET IS AMENDED AS FOLLOWS: Schertz - Seguin Local Government Corporation Operating Fund Amount Increase: Increase: $ 31J47 47 SSLGC Operating Fund SSLG Operating Fund Capital Outlay Non - Departmental Transportation- Vehicles Use of Retained Earnings 063- 5500 - 707100 063 - 9800 - 960000 Reason requested: To re- appropriate funds for the purchase of truck that was lost in FY19 due to a grass fire. The truck was ordered in July 2019, but not received until after October 1, 2019. The Board of Directors of the Schertz- Seguin Local Government Corporation finds that these budget adjustments are required because changes and unforeseen conditions that could not have been anticipated in the original budget. This resolution shall become effective and applicable on the date of its approval and passage. PASSED AND ADOPTED BY THE BOARD OF DIRECTORS OF THE SCHERTZ- SEGUIN LOCAL GOVERNMENT CORPORATION, on this the 20th day of February, 2020. President' Schertz. - Seguin focal Government Corporation ATTEST: Or Assistant Secretary 2019 -20 Budget - SSLGC Expenses It's real. 41- Utilities Services 063 - 5500431100 FY 2018 FY 2019 FY 2019 FY 2019 FY 2020 Sewer 063 - 5500414000 Actual Budget 03/31/19 Estimates Budget 063 - SSLGC OPERATING DEPT. Telephone - Mobile Phone 063 - 5500415300 Internet Access 41- Utilities Services Totals: 063 - 5500436000 55 - SSLGC 43 - Repair and Maintenance Totals: 317.47 296.00 0.00 0.00 100.00 11- Salaries 0.00 0.00 3,887.51 4,257.00 1,829.95 4,257.00 063- 5500 - 110100 Regular Salaries 757,915.75 803,838.00 274,617.22 803,838.00 901,573.00 063- 5500- 1120QO Overtime/On Call 34,8_92.61 40,000.00 19,246.12 40,000.00 80,500.00 11- Salaries Totals: 0.00 792,80836 843,838.00 293,86334 843,838.00 982,073.00 12 - Benefits 14,000.00 4,286.40 9,000.00 14,000.00 5,640.93 20,000.00 063 - 5500 - 121000 Payroll Takes 58,956.04 64,554.00 21,892.10 64,554.00 75,129.00 063 - 5500 - 122000 Retirement 159,719.21 184,864.00 64,047.42 184,864.00 220,181.00 063 - 5500 - 123000 Health Insurance 106,930.43 111,572.00 42,623.82 111,572.00 114,283.00 063 -5500- 123100 Life Insurance 2,122.47 1,070.00 433.18 1,070.00 1,070.00 063 -5500- 124000 Workers' Compensation 6,718.60 15,488.00 3,714.93 15,488.00 10,170.00 12 - Benefits Totals: 330,125.00 334,446.75 377,548.00 132,711.45 377,548.00 420,833.00 32 - Professional Services 063- 5500 - 320500 Professional Services 25,260.15 22,800.00 12,760.02 22,800.00 76,200.00 063 - 5500 - 321000 Annual Audit 13,800.00 15,000.00 0.00 11,835.00 15,000.00 063 -5500- 321200 Consultant Services 126,161.83 161,000.00 59,639.13 104,550.00 86,500.00 063 - 5500 - 321500 Attorney Fees 65,080.24 60,000.00 14,634.61 20,500.00 50,000.00 063 - 5500 - 321600 Landfill Opposition 142,099.89 200,000.00 3,813.01 3,813.00 10,000.00 063 -5500- 323500 Solid Waste Contract 2,127.51 2,400.00 1,274.94 2,400.00 3,000.00 32 - Professional Services Totals: 374,529.62 461,200.00 92,121.71 165,898.00 240,700.00 34 - Technical Services 063 - 5500 - 342100 Gonzales Underground Water District 93,775.73 91,000.00 100,435.70 93,000.00 100,000.00 063 - 5500 - 342400 GCGCD Permit Fee 148,686.84 148,000.00 87,960.32 174,700.00 174,000.00 063 - 5500 - 342500 GCUWCD Mitigan Fund Pymt 112,921.56 166,000.00 0.00 69,149.00 75,000.00 063 -5500- 343000 Testing/Inspection Fees 16,604.56 25,000.00 8,760.10 16,000.00 22,400.00 34 - Technical Services Totals: 371,988.69 430,000.00 197,156.12 352,849.00 371,400.00 41- Utilities Services 063 - 5500431100 063 - 5500411000 Electric 063 - 5500412000 Water 063 - 5500413000 Sewer 063 - 5500414000 Gas-Centerpoint 063- 5500415000 Telephone Service 063 - 5500415100 Long Distance 063 - 5500415200 Telephone - Mobile Phone 063 - 5500415300 Internet Access 41- Utilities Services Totals: 43 - Repair and Maintenance 063 - 5500431100 Office Maintenance - Equipment 063-5500-431200 Office Maintenance- Computer 063 - 5500432100 V&E Maim -Motor Vehicles 063 -5500- 432200 V &E Maim.- Machine & Tool 063 -5500- 432300 V&E Maint: Heavy Equipment 063 - 5500437400 V&E Maint: Communications 063 - 5500 - 432500 V &E Maint: Pumps & Motors 063 - 5500433000 Buildings Maintenance 063 - 55001134601 L&I Maim. -WATER System 063 - 5500436000 Property Maintenance 43 - Repair and Maintenance Totals: 44 - Rental 063 - 5500 - 441000 Equipment Rental 1,796,199.76 2,000,000.00 796,508.32 1,700,000.00 2,250,000.00 835.77 1,300.00 328.23 670.00 800.00 656.56 1,000.00 344.16 700.00 800.00 879.59 1,000.00 557.66 900.00 1,000.00 428.87 500.00 317.47 296.00 0.00 0.00 100.00 0.00 0.00 0.00 3,887.51 4,257.00 1,829.95 4,257.00 5,000.00 2,499.96 2,500.00 1,249.98 2,500.00 2,500.00 1,805,388.02 2,010,657.00 801,135.77 1,709,323.00 2,260,100.00 0.00 2,500.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 11,155.00 10,718.33 14,000.00 4,286.40 9,000.00 14,000.00 5,640.93 20,000.00 1,268.07 10,000.00 20,000.00 227.01 20,000.00 2,747.24 4,125.00 15,000.00 18,158.81 30,000.00 13,250.75 30,000.00 31,000.00 110,991.80 200,000.00 37,167.84 175,000.00 250,000.00 10,895.68 20,000.00 29,965.52 202000.00 20,000.00 135,479.80 125,000.00 14,225.02 78,000.00 127,500.00 5,616.38 4,000.00 2,404.82 4,000.00 4,000.00 297,728.74 435,500.00 105,315.66 330,125.00 492,655.00 6,877.54 10,000.00 1,846.00 10,000.00 10,500.00 063 - 5500-443500 Water Leases 44 - Rental Totals: 118,432.00 52 - Insurance 63,911.59 063 - 5500 - 521000 Building/Auto Liability 52 - Insurance Totals: 117,000.00 54 - Advertising 2,000.00 063 - 5500 - 541000 Publication of Notices 54 - Advertising Totals: 1,639.00 61- General Supplies 964.00 063 -5500- 611000 Office Supplies 063 -5500- 612000 Postage 063 - 5500 - 613000 Operating supplies 063 - 5500 - 613300 Chemicals 063 -5500- 613500 Laboratory Supplies 063 -5500- 614300 Safety Supplies 063 - 5500 - 616000 Uniforms 063 - 5500 - 618000 Minor Tools and Equipment 61 - General Supplies Totals: 62 - Energy and Fuel 525,000.00 063 -5500- 621000 Gasoline 62 - Energy and Fuel Totals: 65 - Miscellaneous 10,000.00 063 -5500- 655100 Employee Recognition 65 - Miscellaneous Totals: 1,099.88 66 - Education 419.55 063 - 5500 - 661000 Seminar Tuition 063 -5500- 662000 Certification Fees 063 -5500- 665000 Travel and Lodging 063 -5500- 665500 Meals 063 - 5500 - 666000 Dues 063 - 5500- 667000 Subscriptions 66 - Education Totals: 564,800.00 67 - Public Relations 499,600.00 063 - 5500 - 671000 Public Relations 67 - Public Relations Totals: 70 - Capital Outlay 19,500.00 063 - 5500 - 706100 Mach. & Equip: Office 063 -5500- 706500 Machine & Equipment -Small Equipmi 063 -5500- 707100 Transportation - Vehicles 70 - Capital Outlay Totals: 6,000.00 82 - IntragvrmmntL Transfers 063 - 5500 - 825700 Rate Stabilization Fund 063 -5500- 826100 Repair & Replacement Fund 063 -5500- 826200 Future Development Fund 82 - IntragvrmmntL Transfers Totals: FY 2018 FY 2019 FY 2019 FY 2019 FY 2020 Actual Budget 03/31/19 Estimates Budget 2,479,889.29 2,500,000.00 1,280,484.59 2,500,000.00 2,603,000.00 2,486,766.83 2,510,000.00 1,282,330.59 2,510,000.00 2,613,500.00 63,911.59 66,000.00 87,800.00 118,432.00 117,000.00 63,911.59 66,000.00 87,800.00 118,432.00 117,000.00 1,639.00 2,000.00 964.00 2,000.00 2,500.00 1,639.00 2,000.00 964.00 2,000.00 2,500.00 3,097.61 4,000.00 2,511.92 3,800.00 6,500.00 1,001.20 1,000.00 843.00 1,000.00 1,300.00 4,563.35 7,000.00 4,649.77 7,000.00 8,000.00 464,810.65 525,000.00 201,006.79 460,000.00 525,000.00 10,012.56 10,000.00 2,450.45 10,000.00 10,500.00 1,099.88 7,800.00 419.55 7,800.00 1,300.00 4,541.37 5,000.00 3,454.12 5,000.00 51000.00 2,717.19 5,000.00 402.95 5,000.00 6,500.00 491,843.81 564,800.00 215,738.55 499,600.00 564,100.00 17,123.65 17,000.00 7,364.12 19,500.00 17,000.00 17,123.65 17,000.00 7,364.12 19,500.00 17,000.00 0.00 6,000.00 5,644.95 6,000.00 2,000.00 0.00 6,000.00 5,644.95 6,000.00 2,000.00 5,305.00 12,000.00 2,776.95 10,000.00 15,700.00 1,350.00 1,900.00 1,248.00 1,900.00 2,000.00 2,772.58 3,000.00 7,307.33 3,000.00 9,000.00 2,179.10 2,500.00 370.65 2,500.00 1,500.00 1,461.00 1,850.00 0.00 1,850.00 3,400.00 325.00 300.00 50.00 300.00 200.00 13,392.68 21,550.00 11,75293 19,550.00 31,800.00 6,648.76 7,000.00 3,579.56 5,000.00 5,000.00 6,648.76 7,000.00 3,57956 5,000.00 5,000.00 3,233.76 11,500.00 6,241.80 11,000.00 15,000.00 0.00 0.00 0.00 0.00 10,500.00 0.00 1.500.00 0.00 0.00 0.00 3,233.76 13,000.00 6,241.80 11,000.00 25,500.00 250,000.00 250,000.00 125,000.00 250,000.00 0.00 600,000.00 600,000.00 300,000.00 600,000.00 600,000.00 500,000.00 500,000.00 250,000.00 500,000.00 375,000.00 1,350,000.00 1,350,000.00 675,000.00 1,350,000.00 975,000.00 98 - Depreciation 063 -5500- 984500 Depreciation / SSLGC 98 - Depreciation Totals: 55 - SSLGC Totals: 063 - SSLGC OPERATING DEPT. Totals: FY 2018 FY 2019 FY 2019 FY 2019 FY 2020 Actual Budget 03/31/19 Estimates Budget 3,240,324.63 0.00 0.00 0.00 0.00 3,240 ,324.63 0.00 0.00 0.00 0.00 11,651,774.89 9,116,093.00 3,918,720.55 8,320,663.00 9,121,161.00 11,651,774.89 9,116,093.00 3,918,720.55 8,320,663.00 9,121,161.00