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09-02-2014 Agenda with backupREGULAR SESSION CITY COUNCIL September 2, 2014, 6:00 P.M. HAL BALDWIN MUNICIPAL COMPLEX COUNCIL CHAMBERS 1400 SCHERTZ PARKWAY BUILDING #4 SCHERTZ, TEXAS 78154 City of Schertz Core Values Do the right thing Do the best you can Treat others the way you would want to be treated Work together cooperatively as a team Call to Order — City Council Regular Session Invocation and Pledges of Allegiance to the Flags of the United States and State of Texas. (Councilmember Cedric Edwards) PrPePntntinnc • Proclamation recognizing National Payroll Week (Mayor Carpenter) (Andrea Spanley Jones /Sandra Selvidge to accept) City Events and Announcements • Announcements of upcoming City Events (J. BierschwaleB. James) • Announcements and recognitions by City Manager (J. Kessel) Workshop • Discussion and update regarding Main Street related projects — Historic grant program, proposed zoning district, and Main Street bond project. (B. James/K. Woodlee /M. Sanchez) Hearing of Residents This time is set aside for any person who wishes to address the City Council. Each person should fill out the speaker's register prior to the meeting. Presentations should be limited to no more than 3 minutes. All remarks shall be addressed to the Council as a body, and not to any individual member thereof. Any person making personal, impertinent, or slanderous remarks while addressing the Council may be requested to leave the meeting. 09 -02 -2014 Council Agenda Discussion by the Council of any item not on the agenda shall be limited to statements of specific factual information given in response to any inquiry, a recitation of existing policy in response to an inquiry, and /or a proposal to place the item on a future agenda. The presiding officer, during the Hearing of Residents portion of the agenda, will call on those persons who have signed up to speak in the order they have registered. Consent Agenda Items The Consent Agenda is considered self - explanatory and will be enacted by the Council with one motion. There will be no separate discussion of these items unless they are removed from the Consent Agenda upon the request of the Mayor or a Councilmember. 1. Minutes — Approve the minutes of the regular meeting of August 26, 2014. (J. KesselB. Dennis) 2. Resolution No. 14 -R -75 - Schertz Seguin Local Government Corporation (SSLGC) Fiscal Year 2014 -15 Annual Budget SSLGC Resolution # SSLGC #SSLGC R -14- 08 - Consideration and/or action approving the Schertz Seguin Local Government Corporation (SSLGC) FY 2014 -15 Budget. (J. Bierschwale /S. Willoughby /A. Cockerell) 3. Resolution No. 14 -R -76 - Schertz Seguin Local Government Corporation (SSLGC) Fiscal Year 2014 -15 Water Rates SSLGC Resolution # SSLGC #SSLGC R -14 -09 - Consideration and/or action approving the Schertz Seguin Local Government Corporation (SSLGC) FY 2014 -15 Water rates. (J. Bierschwale /S. Willoughby /A. Cockerell) 4. Resolution No. 14 -R -77 — Consideration and/or action approving a Resolution authorizing a Management Services Agreement with Schertz Seguin Local Government Corporation (SSLGC). (J. Bierschwale /S. Willoughby /A. Cockerell) Discussion and Action Items 5. Ordinance No. 14 -T -42 - City of Schertz FY 2014 -15 Budget - Consideration and/or action approving an Ordinance on the proposed FY 2014 -15 Budget. Final Reading (J. Kessel /J. Walters) 6. Ordinance No. 14 -T -43 — Tax Rate for Fiscal Year 2014 -15 - Consideration and/or action approving an Ordinance on the proposed FY 2014 -15 Tax Rate. Final Reading (J. Kessel /J. Walters) 7. Cancellation of September 9, 2014 City Council Meeting — Consideration and/or action cancelling the September 9, 2014 City Council meeting due to lack of agenda items. (J. Bierschwale /Council) Roll Call Vote Confirmation Requests and Announcements 09 -02 -2014 City Council Agenda Page - 2 - 8. Announcements by City Manager • Citizen Kudos • Recognition of City employee actions • New Departmental initiatives 9. Requests by Mayor and Councilmembers that items be placed on a future City Council agenda. 10. Announcements by Mayor and Councilmembers • City and community events attended and to be attended • City Council Committee and Liaison Assignments (see assignments below) • Continuing education events attended and to be attended • Recognition of actions by City employees • Recognition of actions by community volunteers • Upcoming City Council agenda items Adiournment CERTIFICATION I, BRENDA DENNIS, CITY SECRETARY OF THE CITY OF SCHERTZ, TEXAS, DO HEREBY CERTIFY THAT THE ABOVE AGENDA WAS PREPARED AND POSTED ON THE OFFICIAL BULLETIN BOARDS ON THIS THE 28th DAY OF AUGUST 2014 AT 4:00 P.M., WHICH IS A PLACE READILY ACCESSIBLE TO THE PUBLIC AT ALL TIMES AND THAT SAID NOTICE WAS POSTED IN ACCORDANCE WITH CHAPTER 551, TEXAS GOVERNMENT CODE. grevu60 pevuvu 'bs rends Dennis CPM, TRMC, MMC, City Secrets I CERTIFY THAT THE ATTACHED NOTICE AND AGENDA OF ITEMS TO BE CONSIDERED BY THE CITY COUNCIL WAS REMOVED BY ME FROM THE OFFICIAL BULLETIN BOARD ON DAY OF 2014. Title: This facility is accessible in accordance with the Americans with Disabilities Act. Handicapped parking spaces are available. If you require special assistance or have a request for sign interpretative services or other services please call 210 - 619 -1030. The City Council for the City of Schertz reserves the right to adjourn into executive session at any time during the course of this meeting to discuss any of the matters listed above, as authorized by the Texas Open Meetings Act. Executive Sessions Authorized: This agenda has been reviewed and approved by the City's legal counsel and the presence of any subject in any Executive Session portion of the agenda constitutes a written interpretation of Texas Government Code Chapter 551 by legal counsel 09 -02 -2014 City Council Agenda Page - 3 - for the governmental body and constitutes an opinion by the attorney that the items discussed therein may be legally discussed in the closed portion of the meeting considering available opinions of a court of record and opinions of the Texas Attorney General known to the attorney. This provision has been added to this agenda with the intent to meet all elements necessary to satisfy Texas Government Code Chapter 551.144(c) and the meeting is conducted by all participants in reliance on this opinion. COUNCIL COMMITTEE AND LIAISON ASSIGNMENTS Mayor Carpenter Mayor Pro -Tem John — Place 3 Audit Committee Lone Star Rail District Hal Baldwin Scholarship Committee Interview Committee for Boards and Commissions Investment Advisory Committee TIRZ II Board Councilmember Fowler — Place 1 Councilmember Scagliola — Place 2 Interview Committee for Boards and Commissions Animal Control Advisory Committee Schertz Housing Board Liaison Cibolo Valley Local Government Corporation Randolph Joint Land Use Study (JLUS) Executive Schertz Seguin Local Government Corporation Committee Interview Committee for Boards and Commissions Sweetheart Advisory Committee Councilmember Edwards — Place 4 Councilmember Duke — Place 5 Audit Committee Audit Committee Hal Baldwin Scholarship Committee Investment Advisory Committee 09 -02 -2014 City Council Agenda Page - 4 - Agenda No. 1 CITY COUNCIL MEMORANDUM City Council Meeting: September 2, 2044 Department: Subject: BACKGROUND City Secretary Minutes The City Council held a regular meeting on August 26, 2014. FISCAL IMPACT None RECOMMENDATION Staff recommends Council approve the minutes of the regular meeting on August 26, 2014. ATTACHMENT Minutes — regular meeting August 26, 2014 MINUTES REGULAR MEETING August 26, 2014 A Regular Meeting was held by the Schertz City Council of the City of Schertz, Texas, on August 26, 2014, at 6:00 p.m., in the Hal Baldwin Municipal Complex Council Chambers, 1400 Schertz Parkway, Building #4, Schertz, Texas. The following members present to -wit: Mayor Michael Carpenter Councilmember Jim Fowler Councilmember Cedric Edwards Mayor Pro -Tem Daryl John Councilmember David Scagliola Councilmember Matthew Duke Staff Present: City Manager John Kessel Deputy City Manager John Bierschwale Executive Director Brian James Chief of Staff Bob Cantu City Attorney Charles Zech City Secretary Brenda Dennis Deputy City Secretary Donna Schmoekel Call to Order Mayor Carpenter called the Regular Meeting to order at 6:00 p.m., Invocation and Pledges of Allegiance to the Flags of the United States and the State of Texas (Mayor Pro -Tem John) Mayor Pro-Tem. John provided the invocation followed by the Pledges of Allegiance to the Flags of the United States and the State of Texas. Presentations • Employee Longevity Recognition — Michael Harris — 25 years (J. Kessel) Mayor Carpenter recognized City Manager John Kessel who introduced Marshal Michael (Mike) Harris and his wife Lori. Mr. Kessel stated they are here this evening to recognize Marshal Harris for 25 years of service, as he started full time in May of 1989. He stated Mike is currently the City's second City Marshal, we all know that the majority of his career with the City has been in the police department. When Mike was attending the Police Academy, the City of Cibolo sponsored him to go through the Academy. He then worked as a Reserve Police Officer for Cibolo until former Police Chief Norman Agee hired him to come to work in Schertz. The rest as they say is history. Mike climbed the ladder of the Police Department through the years, starting as a Patrol Officer, then Sergeant, then Lieutenant, then Assistant Chief of Police, then finally Interim Chief of Police before taking on the position of Marshal. Mike told us his interest in being in this field of work started when he took a law enforcement class in high school. He went on to attend Southwest Texas Junior College and earned an Associate's Degree in Criminal Justice before going on to get his bachelor's degree in Human Services from Wayland Baptist University. Even though he had the path to law enforcement laid out in 08 -26 -2014 Minutes Page - 1 - front of him, he did not immediately enter the Police Academy, as you may think he would have. After getting his degree from Wayland Baptist, he worked for a furniture company here in San Antonio. It was after that when he would take the job that would change his career path back towards law enforcement — he worked for a window covering company. During his tenure at the company, Mike describes the day that the IRS actually came in and shut down the business. Mike was receiving unemployment and made the decision to go to the Police Academy. And as mentioned before, the rest is history. Like our other employees who have stood here and been honored before him, Mike has been here to witness the growth and success of Schertz. He is from a military family (as many of our employees /residents are) and was born and raised in Germany for the first 15 years of his life. In order to retire, his dad had to come to stateside, which is how he ended up in this area. He mentioned when he started with Schertz PD, there were just 9 officers on patrol (3 /shift). He met his wife, Lori, on the job. She actually worked for the City first and she and Mike were on the same shift for several years. They will be married 20 years in October. Mike is someone who is very active in our community. To say that he is involved in several organizations would be an understatement — from the local Lion's Club, to the Shriner's, to the Guadalupe Valley Peace Officers, to the Texas Cave Management Association — the list goes on and on. Upon meeting him, you know he is someone who enjoys giving back to the community which he also took an oath to protect. As he mentioned to us, the best piece of advice he has ever received has been this: "Don't be afraid to make a mistake." While some — or most — may know that Mike is a bit of a prankster, he is definitely down to business and serious when he talks about what his vision is for his department and the legacy he wants to leave. He wants the Marshal's Department, and Schertz, to keep moving forward and to continue to make a difference. With Mike as our Marshal, we are confident in him and his team to do just this. Deputy City Manager, John Bierschwale, has this to say about Mike: "Although Mike loves to make people laugh and play a few practical jokes, he is extremely professional. He is a kind employee and has compassion for his law enforcement duties. Mike treats people fairly, understands the community's needs and serves with pride." In closing, we would like to share one of the stories that Mike told us during our lunch. When he was in Patrol, he was dispatched to a call that ended up becoming a standoff situation. Long story short, Mike mentioned he was shot at, his patrol car took the hit and the glass shattered into the vehicle. Mike is a fan of iced honey buns and had bought one and had it in his vehicle this fateful evening. Well, when the glass shattered, the shards impaled the package, turning it into something that resembled a bristly, porcupine -like honey bun. Needless to say, after that incident, it was inedible and went to the trash. After all these years, we feel like we owe it to Mike to make up for that honey bun he never got to eat. So, we have bought some and have it here for just this occasion — glass free. Thank you for your service Marshal Harris! Mayor and Council congratulated Marshal Harris and thanked him for his years of service. 08 -26 -2014 Minutes Page - 2 - • Presentation and briefing regarding Bexar Waste weekly change for garbage pickup in the South Schertz area. (J. Bierschwale /S. Willoughby /C. Spence /R. Rosales) Mayor Carpenter recognized Business Office Assistant Manager Rodolfo Rosales who introduced this item stating that Bexar Waste provides both twice a week and once a week garbage and recycle pickup for the City of Schertz. One day a week pickup is confined to Northcliffe and Southern Schertz on Wednesdays. Growth of these areas is causing an extended after hours pickup in Southern Schertz. Bexar Waste is requesting to move the Southern Schertz pickup to Friday. City Events and Announcements • Announcements of upcoming City Events ` . ierschwale /B. James) Mayor Carpenter recognized Execut' "e ctor o evelopment Brian James who provided the following announcements: • Wednesday, August 27, 2014 — Biz -Ed Breakfast — Schertz Chamber of Commerce 7:30 a.m. — 9:00 a.m. • Thursday, August 28, 2014 — H3 Mixer — hYPer Happy Hour, Mattenga's Pizzeria, 6044 FM 3009 from 5:30 p.in. to 7:00 p.m. • Friday, August 29, 2014 — Noon at the Schertz Senior Center — hYPer Group will be presenting the Seniors with a check, it is also the Senior Center's Birthday • Monday, September 1, 2014 — City Offices closed in observance of Labor Day • Tuesday, September 2, 2014 — Ribbon Cutting — Suzie's Thrift and Gifts, 205 First Street, 10:00 a.m. Mr. James stated that Former City Engineer Larry Dublin passed away Wednesday, August 20, 2014. Funeral services will be held on Friday, August 29, 2014 at 9:30 a.m., at the Schertz Funeral Home. Mayor Carpenter recognized Deputy City Manager John Bierschwale who came forward stating that a big decision has been made in his life and career. Mr. Bierschwale announced that he will be retiring June 30, 2015. He stated that he has had an amazing journey with the City. He stated that Council has an amazing staff and City Manager that stands up and does the right thing and we live by those values every day of our lives. Mr. Bierschwale stated that on June 12, 2015, they will be having a celebration and invited Council to be in attendance. Mr. Bierschwale stated that he has had a great opportunity with the City. He stated that at the age of 15 he became a volunteer fireman with the City. Mr. Bierschwale showed a photograph that was taken with Rick Maas, Steve Woodward, Stewart Rowell, Ed Rogers and himself that was taken in 1974. He stated that he has to give special thanks to his Junior High and High School buddy, Steve Woodward, the late 08 -26 -2014 Minutes Page - 3 - Chief Archie, late Chief Johnny Joe, Mr. Graham, a former Street Superintendent and the Woodward Family. If it were not for the influence that these people had on his life, he would not have the honor and privilege to be in front of you today. He stated that he has put his love and life into this community and he loves his staff. He also thanked the Mayor, Council, past Councilmembers and the late Hal Baldwin for believing in him, giving him the opportunity to take a dream of a kid allowing him to make a lifetime commitment to this community leaving a legacy and being a part of the Schertz family. Thank you and god bless the citizens of the City of Schertz. Mayor, Council and staff and those in the audience gave Bierschwale a standing ovation. Mayor Carpenter came down from the dais and announced that this marks 37 years that Mr. Bierschwale has worked for the City. He stated there is no employee that has more tenure, no one that has worked in more departments than Johnny Bierschwale. Mayor Carpenter stated that not one of us expected the day would come, but we knew it would come at some point that Johnny would make the decision. We all thought Johnny would always be with the City. The good news is that he will always be here because he is just down the street and he is with us for the next year. This means that we have a year to convince him to stay, which he is going to try and do. Mr. Bierschwale has had a remarkable and storied career, starting with the photograph that was shown where he was a Volunteer Fireman. Mayor Carpenter stated that they would call the kids out of class to go put out fires. He stated that he wouldn't be comfortable doing that now, and Johnny was doing that at 15 years of age. Mayor Carpenter stated that ever since he was elected and all the Council will tell you that if they had a question about a call from a citizen or there was any other question, Johnny could answer the question; he knew the whole story. He could point to a spot on the ground and tell you there were pipes laid there. Johnny has an indispensable amount of knowledge about the City of Schertz that is going to be tough for us to overcome. No one has the amount of institutional knowledge that Johnny has. Mayor Carpenter stated if you think about it, the one constant that has been in the City of Schertz for the last 40 years, is Mr. Bierschwale. • Announcements and recognitions by City Manager (J. Kessel) Ak No further announcements were provided. Hearin of Residents Mayor Carpenter recognized the following who spoke: • Mr. Bert Crawford, 4100 Brook Hollow, who came forward thanking the Citizens on Patrol, Police, Fire and EMS Department for recently attending their HOA Back to School Snow Cone Social. Consent Agenda Items 08 -26 -2014 Minutes Page - 4 - 1. Minutes — Approve the minutes of the regular meeting of August 19, 2014. (J. Kessel /B. Dennis) 2. Resolution No. 14 -R -72 — Consideration and/or action approving a Resolution amending a Public Utility Easement Agreement with Joseph D. Hendrix for the use, benefit, and control of the City of Schertz for the Town Creek Sewer line Extension Phase III Project on FM 482. (J. Bierschwale /S. Willoughby /J. Hooks /C. Raleigh) The following was read into record: RESOLUTION NO. 14 -R -72 <1 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AMENDING A PUBLIC UTILITY EASEMENT AGREEMENT WITH JOSEPH D. HENDRIX FOR THE USE, BENEFIT, AND CONTROL OF THE CITY OF SCHERTZ FOR THE TOWN CREEK SEWERLINE EXTENSION PHASE III PROJECT ON FM 482, AND OTHER MATTERS IN CONNECTION THEREWITH IV 3. Resolution No. 14 -R -73 — Consideration and/or action approving a Resolution amending the Sanitary Sewer Easement and Temporary Construction Easement Agreement with Ector N. Crisler and Allene Crisler Revocable Living Trust for the use, benefit, and control of the City of Schertz for the Town Creek Sewer line Extension Phase III Project on FM 482. (J. Bierschwale/S. Willoughby /J. Hooks /C. Raleigh) The following was read into record: RESOLUTION NO. 14 -R -73 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AMENDING THE SANITARY SEWER EASEMENT AND TEMPORARY CONSTRUCTION EASEMENT AGREEMENT WITH ECTOR N. CRISLER AND ALLENE CRISLER REVOCABLE LIVING TRUST FOR THE USE, BENEFIT, AND CONTROL OF THE CITY OF SCHERTZ FOR THE TOWN CREEK SEWERLINE EXTENSION PHASE III PROJECT ON FM 482, AND OTHER MATTERS IN CONNECTION THEREWITH Mayor Carpenter recognized Councilmember Fowler who moved, seconded by Councilmember Edwards to approve the consent agenda items 1, 2, and 3. The vote was unanimous with Mayor Pro -Tem John, Councilmembers Fowler, Scagliola, Edwards, and Duke voting yes and no one voting no. Motion Carried. 08 -26 -2014 Minutes Page - 5 - Executive Session Mayor Carpenter recessed the regular meeting into executive session at 6:37 p.m. 9. City Council will meet in closed session under Texas Government Code Section 551.071, consultation with the City Attorney, regarding legal issues associated with the use of budgeted funds. Reconvene into Regular Session Mayor Carpenter reconvened into regular session at 7:17 p.m. 9. a Take any necessary action based on discussions held in closed session under Agenda Item number 9. No action was taken. 4%, >., Mayor Carpenter moved back to the discussion o Discussion and Action Items agenda. 4. Resolution No. 14 -R -70 — Consideration and approval of a Resolution approving a Bond Resolution to be adopted by the Board of Directors of the Cibolo Creek Municipal Authority authorizing the issuance of Obligations designated as " Cibolo Creek Municipal Authority Contract Revenue Bonds, Series 2014 (Southern Wastewater Treatment Plant Project). (J. Bierschwale /M. McLiney /A. Friedman) The following was read into record: RESOLUTION NO. 14 -R -70 APPROVING A BOND RESOLUTION TO BE ADOPTED BY THE BOARD OF DIRECTORS OF THE CIBOLO CREEK MUNICIPAL AUTHORITY AUTHORIZING THE ISSUANCE OF OBLIGATIONS DESIGNATED AS " CIBOLO CREEK MUNICIPAL AUTHORITY CONTRACT REVENUE BONDS, SERIES 2014 (SOUTHERN WASTEWATER TREATMENT PLANT PROJECT) "; ACKNOWLEDGING THAT THESE OBLIGATIONS WILL BE SOLD TO RAYMOND JAMES & ASSOCIATES, INC., DALLAS, TEXAS, AS THE AUTHORIZED REPRESENTATIVE OF A GROUP OF UNDERWRITERS PURSUANT TO THE PROVISIONS OF A PURCHASE CONTRACT; APPROVING, RATIFYING, CONFIRMING, AND ADOPTING THE PROVISIONS OF A REGIONAL WASTEWATER TREATMENT CONTRACT; AUTHORIZING THE MAYOR, MAYOR PRO TEM, CITY MANAGER, AND CITY SECRETARY OF THE CITY OF SCHERTZ, TEXAS TO EXECUTE ON 08 -26 -2014 Minutes Page - 6 - BEHALF OF THE CITY OF SCHERTZ, TEXAS ALL DOCUMENTS IN CONNECTION WITH THIS TRANSACTION; Mayor Carpenter recognized Mark McLiney, Bond Council with Southwest Securities who introduced this item stating that as the City has done in the past with respect to bonds issued by the Schertz /Seguin Local Government Corporation, the City must adopt a resolution approving the Cibolo Creek Municipal Authority bond resolution which will be adopted by the Cibolo Creek Municipal Authority Board of Directors on September 11, 2014, to approve the Contract, and other matters related the sale of the Cibolo Creek Municipal Authority's Contract Revenue Bonds. The City agrees to set rates and charges for its Utility System sufficient to cover its annual payment pursuant to the Contract as well as the maintenance and operations expenses at the Southern Plant. The Economist.com rate study included this project within their rate model. City Council approved the Five Year Rate Schedule for Water and Wastewater Rates based on the Economist.com rate study on July 30, 2013 by Resolution 13 -R -60. Any additional members that may tie into the Southern Plant in the future would pay for their proportional shares of the debt service and operations of the Southern Plant, reducing the City's payment obligation. (Please see the Southern Plant Wastewater Services and Funding Agreement, also being considered on August 26, 2014, via Resolution 14 -R -71 for a full description of the City of Cibolo's potential annual payment responsibilities.) Staff recommends approval. Mayor Carpenter recognized Councilmember Edwards who moved, seconded by Councilmember Scagliola that the City Council adopt a Resolution approving a Bond Resolution to be adopted by the Cibolo Creek Municipal Authority Board of Directors authorizing the issuance of obligations designated as "Cibolo Creek Municipal Authority Contract Revenue Bonds, Series 2014 (Southern Wastewater Treatment Plant Project) ". The vote was unanimous with Mayor Pro -Tem John, Councilmembers Fowler, Scagliola, Edwards, and Duke voting yes and no one voting no. Motion Carried. 5. Resolution No. 14 -R -71 — Consideration and approval of a Resolution by the City Council of the City of Schertz, Texas authorizing a Southern Plant Wastewater Services and Funding Agreement between the Cibolo Creek Municipal Authority, the City of Cibolo, Texas, and the City of Schertz, Texas; and other matters in connection therewith. (J. Bierschwale /M. McLiney /A. Friedman) The following was read into record: RESOLUTION NO. 14 -R -71 RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AUTHORIZING A SOUTHERN PLANT WASTEWATER SERVICES AND FUNDING AGREEMENT BETWEEN THE CIBOLO CREEK MUNICIPAL 08 -26 -2014 Minutes Page - 7 - AUTHORITY, THE CITY OF CIBOLO, TEXAS, AND THE CITY OF SCHERTZ, TEXAS; AND OTHER MATTERS IN CONNECTION THEREWITH Mayor Carpenter recognized Mark McLiney, Bond Council with Southwest Securities who introduced this item stating the City and CCMA understand that the next likely customer to connect to the Southern Plant will be the City of Cibolo. The Southern Plant Wastewater Services and Funding Agreement ( "Tri -Party Agreement ") being considered will allow the City of Cibolo to connect to the Southern Plant at any time and immediately pay a proportional share of the operation and maintenance expenses. In addition, the Tri -Party Agreement lays out terms for the City of Cibolo to begin making debt service payments. Based upon a 30 year maturity schedule for the Bonds, Schertz will pay 100% of the debt service for the first 10 years; Schertz and Cibolo will each pay 50% of the debt service for years 11 -20; and Cibolo will pay 100% of the debt service for the years 21 -30. The City has a right to sub - contract with other entities on a discretionary basis. However, the Tri -Party Agreement expressly provides in Section 4(g) that Cibolo has up to 10 years (notice to be given by the 9th year) to secure all permits, licenses, certificates of convenience and necessity, and other approvals that will be necessary for Cibolo to provide wastewater services within the City of Cibolo to necessitate its need for the wastewater capacity at the Southern Plant. As such, Cibolo has reserved the right, at its sole discretion, not to participate in the Southern Plant. D The City agrees to set rates and charges for its Utility System sufficient to cover its annual payment pursuant to the Contract as well as the maintenance and operations of the Southern Plant. Initially, the City will be responsible for 100% of these payments. The Economist.com rate study included this project within their rate model. City Council approved the Five Year Rate Schedule for Water and Wastewater Rates based on the Economist.com rate study on July 30, 2013 by Resolution 13 -R -60. If and when Cibolo connects to the Southern Plant, Cibolo would begin to pay a proportional share of maintenance and operation expenses of the Southern Plant, reducing the City's obligations. Further as we get to years 11 -20, we could see our share of the debt service drop in half and then end by year 21. However, should Cibolo not connect, then the City of Schertz would be obligated to continue the debt service for the full term of the bond. Should that occur, Schertz could sell the capacity to other agencies or utilize it ourselves. Staff recommends Approval. Mayor Carpenter recognized Councilmember Duke who moved, seconded by Councilmember Scagliola that the City Council adopt a Resolution authorizing a Southern Plant Wastewater Services and Funding Agreement. The vote was unanimous with Mayor Pro -Tem John, Councilmembers Fowler, Scagliola, Edwards, and Duke voting yes and no one voting no. Motion Carried. 6. Appointment of a City of Schertz Charter Review Commission — Discussion and consideration and /or action on appointing a City of Schertz Charter Review Commission. (Item requested by Mayor Carpenter) (Mayor /Council /J. Kessel /B. Dennis) 08 -26 -2014 Minutes Page - 8 - Mayor Carpenter stated that the City Charter commands that from time to time Council seat a charter review commission. We have had charter updates (2) the last time being 2006, so we are due to seat a commission. The charter is written by the people of the city and it commands what the council and city manager can and must do. It also contains prohibitions, such as in our case, the mayor shall not vote except in the case of a tie. The charter defines how we operate as a city and occasionally residents take a look at the charter for updates. Mayor Carpenter recognized City Secretary Brenda Dennis who stated per the City Charter Section 12.05, the City Council shall periodically appoint a Charter Review Commission of five citizens of the City. The term of office of the Charter Review Commission shall be 180 days after the date of appointment of the Commission, and, if during this term no report is presented to the City Council, then all records of the proceedings of the Commission shall be filed with the City Manager and the Charter Review Commission shall be dismissed. (Election of 4 -7 -79, 5- 13 -06) At the August 19, 2014 City Council meeting City Council discussed that the City has not had a seated Charter Review Commission in eight (8) years since 2006. The Charter directs Council to appoint a Charter Review Commission, periodically, but it doesn't define what "periodically" means. The Charter states that the Charter Review Commission is made up of five (5) citizens. Since the Charter Review Commission sits for six months, 180 days, and if the Council wishes to take the recommendations of that citizen panel and put them before the voters next year then there is no longer time to seat a 180 day commission for a May election date. The Charter does not specify how the Council appoints commission members. Historically, each voting member would nominate a member to the commission. Alternately, the Council could solicit applications for the appointment of the five citizens. It is recommended that Council seat a commission by December so the City can call an election in July of 2015. Staff recommends council discuss the recommended options and act if necessary. Mayor Carpenter recognized City Manager John Kessel who complimented Ms. Dennis on her work and said Council needs to 1) decide how to seat the commission, either by application taking and review, or by appointment, and 2) consider going with staff recommendation that we go with the November 2015 election period which will give us enough time to go through the 180 day process and have time for staff and community discussion. Staff thinks it will take the full 180 days to have a complete and thoughtful dialogue. We will also save approximately $20,000 by not having an extra election in May 2015. Mayor Carpenter stated that he believed the last time the commission was assembled each Councilmember recommended and appointed someone as a member. Former Councilmember Greenwald, who was in the audience, confirmed this. He asked the Councilmembers for their thoughts on how to proceed with seating the members. 08 -26 -2014 Minutes Page - 9 - Mayor Carpenter recognized Councilmember Duke who stated he liked keeping tradition but also adding in a layer of applications to review, which would be a good mix of the process. Mayor Carpenter recognized Councilmember Fowler who stated the 180 day requirement may limit the number of people who might consider serving but he also liked the idea of receiving voluntary applications to review. Mayor Carpenter recognized Councilmember Scagliola who stated he liked the idea of the election being held in November 2015 to save some election costs. However, he feels the application process might slow things down. He stated he was prepared to nominate a person right now. Mayor Carpenter recognized Councilmember Edwards who stated he liked the appointment process as well, but suggested any application review sho Id be limited to 14 days. Mayor Carpenter liked the idea of asking for applicants and also having e public come forth as volunteers and then the Council could make an appointment from the general public. He feels we should at least give it 30 days for applications to come in for review. Ms. Dennis stated she had everything she needed to get this process started right away. 7. Public Hearings on Proposed Budget for FY 2014 -15 — Conduct a public hearing and consideration and /or action regarding the adoption of the FY 2014 -15 Budget. (Second required public hearings) (J. Kessel/J. Walters) Ordinance No. 14 -T -42 - City of Schertz FY 2014 -15 Budget - Consideration and/or action approving an Ordinance on the proposed FY 2014 -15 Budget. First Reading (J. Kessel /J. Walters) The following was read into record: N, I ORDINANCE NO. 14 -T -42 AN ORDINANCE ADOPTING A BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2014, AND ENDING SEPTEMBER 30, 2015, IN ACCORDANCE WITH THE CHARTER OF THE CITY OF SCHERTZ, TEXAS; PROVIDING FOR THE FILING OF THE BUDGET; PROVIDING THAT THIS ORDINANCE SHALL BE CUMULATIVE OF ALL ORDINANCES; PROVIDING A SEVERABILITY CLAUSE; AND PROVIDING AN EFFECTIVE DATE. Mayor Carpenter recognized Senior Budget /Analyst James Walters who stated this is the second required public hearing and first reading of the budget ordinance. Council will take the second and final vote to adopt the proposed City FY 2014 -15 budget at the next 08 -26 -2014 Minutes Page - 10 - regularly scheduled Council meeting on September 2, 2014 at 6:00 P.M. in the City Council Chambers. Mr. Walters provided a PowerPoint presentation with the following: FY 2014 -15 Proposed Budget Budget Goals: • Balanced Structurally • Conservative and Responsible • Follows Financial Policies • Maintains Current Service Levels • Focuses on Priorities Key City 5 Year Goals 2014 • Building Repairs* - Rec. • Fire Station 3* • Master Facilities Plan* • Hold Tax Rate Flat* • Compensation Study* 1 • FM 1518 Funding Study* • Maintain Reserves* K; Center, Admin Building & Parking Lot, Fire State #2 * Currently being worked on Budget Highlights • Addresses all Key 5 Year Goals • Focus on our Fleet vehicles and operations • Replaces aging equipment • Long Term Debt Model Change Memo W • Crossing Guards •Bring total Crossing Guards to 9 •Increase deployment time to 18 hours per week *Paid by Restricted Crossing Guard Funds • Transportation Services •New request higher than current year Change Memo ■ Hotel Tax • The Sweetheart Program will be primarily funded by the General Fund • Event Facilities will now be entirely funded by the General Fund 08 -26 -2014 Minutes Page - 11 - ♦ If the Event Facilities become eligible to receive hotel tax funds in the future, staff will seek direction from council through the budget process Change Memo ■ Health Insurance • 0% Increase through December 31, 2015 • The General Fund will use these savings to offset the Hotel Tax policy change ♦ Event Facilities ♦ Sweetheart Program • Other Funds will put this savings toward the Compensation Study Action Change Memo ■ EMS th • Permanently Staff a5 active ambulance during peak times • Based on recommendation by Fitch & Associates, EMS has been running this ambulance using PT workers and Overtime • Using the most recent estimates there will be no change in funding request by making this change All Funds — Revenues Mr. Walters stated that the general fund makes up 39% of the budget, Water & Sewer fund makes up 27 %, EMS fund makes up 12 %, I &S fund makes up 9 %, and the rest goes to the smaller funds. no, All Funds — Expenses Mr. Walters stated that the general fund makes up 39% of the budget, Water & Sewer fund makes up 28 %, EMS fund makes up 13 %, I &S fund makes up 9 %, and the other funds make up the rest. 08 -26 -2014 Minutes Page - 12 - General Fund $25,695,043 Special Events Fund 153,800 PEG Fund 209,000 Water & Sewer Fund 17,860,678 EMS Fund 8,186,919 Drainage Fund 1,159,200 Hotel Tax 545,353 Park Fund 100,000 Tree Mitigation 116,335 Capital Recovery Water 885,500 Capital Recovery Sewer 1,160,497 I &S Fund 5,707,276 Other Funds r 349,010 SEDC 3,692,257 GRAND TOTAL $65,820,868 All Funds — Expenses Mr. Walters stated that the general fund makes up 39% of the budget, Water & Sewer fund makes up 28 %, EMS fund makes up 13 %, I &S fund makes up 9 %, and the other funds make up the rest. 08 -26 -2014 Minutes Page - 12 - General Fund Special Events Fund PEG Fund Water & Sewer Fund EMS Fund Drainage Fund Hotel Tax Park Fund Tree Mitigation Capital Recovery Water Capital Recovery Sewer I &S Fund Other Funds SEDC GRAND TOTAL Tax Rate $25,406,088 153,800 209,000 17,788,563 8,151,501 1,094,618 302,730 60,00" 116,12 536,10 1,160,49 5,636,15 339,00 3,074,55 $64,028,74 Mr. Walters stated that the state has us calculate different property taxes and present them to City Council and to the citizens. Following are the calculation: Effective: The tax rate which, on average, will keep the tax bill the same as in 2013. Current: The rate currently adopted by the City. k Proposed Max: The maximum rate set at which the final adopted rate cannot exceed, and the rate we are requesting Council set tonight. This is also the rate that we cannot exceed without issuing notices. Rollback: The rate if exceeded allows citizens to initiate a rollback election. The results of this election can reduce the adopted tax rate back to the rollback rate. Effectlw $0.4857 Current: $0.4974 Proposed $0.4974 - Proposed budget is balanced at this rate Rollback: $0.5066 $0.01 is equal to $270,630 revenue or $17.42 on the average home General Fund Mr. Walters stated that using our revenue and expenses our increase in fund balance is expected to be $353,866. Below is the breakdown: 08 -26 -2014 Minutes Page - 13 - Revenues $25,695,043 Expenditures 25,460,088 Increase of Fund Balance 288,955 Beginning Fund Balance 5,936,141 Ending Fund Balance 6,225,096 25% Reserve Policy $ 6,106,237 Mr. Walters stated that 25% reserve policy is for recurring operational expenses, continues existing staffing levels and programs, but does not in�ALde vehicle replacement. M &O $0.3164 Total Change in Expenditures $ 203,000 New Employees $ 54,015 Small Expanded Programs (10,000 or less) $ 794,800 Large Expanded Programs (over 10,000) $ 300,000 Act on Compensation Study $ 770,000 Continued Existing Staffing taffing Levels & Programs $2,121,815 Total Increase $ 353,500 Reserve Funding M &O $0.3164 New Personnel $ 26,000 2 Seasonal Park Workers $ 45,000 Accountant I $ 93,000 2 additional mechanics $ 39,000 Building Maintenance Worker I $203,000 Total New Employees M &O $0.3164 Small Expanded Programs $ 1,500 Baby Changing Stations $ 2,500 Lync Implementation — add on to our new Office 365 program $ 5,250 Portable AC Unit $11,200 Fleet Equipment $19,565 Laptops, Tablets, Printers, and Servers $14.000 2 Defibrillators - Fire $54,015 Total Small Expanded Programs M &O $0.3164 Large Expanded Programs $ 327,200 Vehicle Replacements $ 36,000 Planning Tracking Software $ 109,600 Replace 1/3 of Self Contained Breathing Apparatus $ 30,000 Additional Landscaping Services $ 21,000 Animal Adoption Trailer (City Portion - $10,000) $ 50,000 New /Replacement Desks & Minor Renovations 08 -26 -2014 Minutes Page -14 - $ 150,000 Building Repairs — Admin. Bldg. and Parking lot, and Fire Station 2 $ 20,000 May Charter Election $ 50,000 FM 1518 Funding Study (I -10 to FM 78) $ 794,800 Total New Programs Public Works Equipment Equipment Expense 3 Backhoes $ 195,000 Haul Truck & Trailer $ 125,000 Belly Dump Trailer $ 50,000 Chipper & Truck $ 99,200 Tractor w /Arm Mower $ 105,000 Zero Turn Mower $ 16,500 Front End Loader $ 209,000 Replacement Motor Grader $ 200,000 Street Sweeper $ 200,000 Total: $1,199,700 $5,471,635 M &O $0.3164 LA Reserve Funding 111&� IMMUL $ 169,000 Vehicle Replacement — able to replace more often, $ 24,500 A/C Replacement $ 25,000 Server Replacement $ 35,000 Phone System Replacement $ 35,455 Unassigned Fund Balance — to be used on other projects necessM $ 288,955 Total Reserve Funding 2013 — 5 Year Forecast Information INOW Mr. Walters provided the above information stating that this did not include action on the employee salary survey, includes no personnel and very little capital purchases in the final four (4) years. It does include the pool and firefighter ramp up in FY2016. 2014 — 5 Year Forecast Information FY2013 FY2014"Rlt FY2015 FY2016 FY2017 FY2018 Revenue $ 22,689,507 $ 23,170,010 $ 23,501,901 $ 24,092,029 $ 24,754,718 $ 25,440,833 Expense $(21,513,138) $22,618,597 $(22,776,669 ) $ 24,009,901 $(24,699,240) $ 25,547,867 Reserve Funding $1,176,369 $551,413 $725,232 $82,128 $55,479 M &O Fund Balance $3,976,709 $4,528,123 $5,253,355 $5,335,484 $5,390,962 $5,283,928 25% Goal $5,471,635 $5,637,149 $5,694,167 $5,983,725 $6,174,810 $6,371,967 Over /Under $(1,494,926) $(1,109,026 ) $(440,812) Mr. Walters provided the above information stating that this did not include action on the employee salary survey, includes no personnel and very little capital purchases in the final four (4) years. It does include the pool and firefighter ramp up in FY2016. 2014 — 5 Year Forecast Information 08 -26 -2014 Minutes Page -15 - FY2013 FY2014 I FY2015 I FY2016 I FY2017 FY2018 Revenue 1 $ 24,611,808 1 $ 25,695,043 1 $ 26,675,735 1 $ 27,741,406 1 $ 28,861,862 1 $ 30,040,069 08 -26 -2014 Minutes Page -15 - Expense $(23,338,563) $(25,460,088) $(26,482,051 ) $(27,773,615) $(28,825,511) $ 29,656,219 Reserve Funding $1,273,245 $288,955 $193,684 $36,351 $383,850 M &O Fund Balance $5,936,141 $6,225,096 $6,418,780 $6,386,570 $6,422,921 $6,806,772 25% Goal $5,686,391 $6,106,237 $6,567,763 $6,909,404 $7,197,628 $7,414,055 Over /Under 249 .0 $118,85 11off $ 607,283 Mr. Walters stated that the 2014 — 5 Year Forecast includes $600,000 for salary survey over 3 years, firefighter ramp up, natatorium operations, and between 4 and 8 employees added every year. He stated that the general fund would need to add closer to 12 to keep the same ratio. Long Term Debt Model • For I &S Fund • Purpose: • To avoid large tax increas ■ Design: • Model is long term in natt • Includes all current debt o • Takes into account the growth of the tax base • Ensures fund balance never falls below a certaevel • Includes bond elections every 5 years Target Tax Rate Tax Rate Current Recommended Alternative Maximum M &O $0.3010 $0.3164 $0.3139 I &S $0.1964 $0.1810 $0.1810 Total $0.4974 $0.4974 $0.4949 Mr. Walters stated that $0.5066 is the Rollback rate Budget Calendar FY 2014/15 July 31 File with City Secretary, Budget Workshop August 5 Budget Workshop, vote to place a preliminary tax rate on the agenda, and schedule public hearings August 6 'Virst Community Budget Presentation — Civic Center August 12 Budget Workshop August 14 Second Community Budget Presentation — Schertz United Methodist Church August 19 First Public Hearing August 26 Second Public Hearing, First Vote September 2 Second Vote and adoption of the budget and tax rate October 1 Budget goes into effect 08 -26 -2014 Minutes Page -16 - Mayor Carpenter opened the public hearing and recognized the following: o Robert Brockman, 1000 Elbel Road, who stated that back a few years ago he requested getting a new street sweeper. At that time the cost was $80,000, and now he sees that the price is $200,000. Has the cost gone up that much? Also, on the funding of the Senior Center, he understands we are going to fund it for three (3) months, but wondered why we are not going to fund it for a whole year. Mayor Carpenter closed the public hearing as no one else spoke Mayor Carpenter asked City Manager John Kessel to address Mr. Brockman's question about the Senior Center. Mr. Kessel stated staff intends to go out for bids to see what that cost number would look like. Then they will make a decision as to whether or not to outsource the management of the Senior Center or leave it in -house and have Parks and Recreation staff operate it. Since we don't know the cost of operation yet, they only partially funded it and will make a final determination and come back to council. By limiting the time it gives us a decision date to work with. Senior Budget /Finance Analyst James Walters added that they had $50,000 set aside in the budget in case we switch to a contract; so there is $50,000 to operate it ourselves plus another $50,000 if we switch to a contract, for a total of $100,000. Mayor Carpenter stated we will operate the Senior Center one way or another, whether we find an acceptable outsource entity or whether we operate it ourselves. Mayor Carpenter recognized Councilmember Fowl who asked Mr. Walters about his statement earlier of taking out a loan for some ground maintenance equipment. Mr. Walters stated that there is some equipment in Public works that is about 20 to 30 years old and it would cost about $1.2 million to replace it. The Public works department does not have this in their fund balance so while interest rates are still low, we can do this by a debt issuance instead. Mr. Kessel added that it is favorable for us to take out a loan today rather than in the future when rates will be much higher. The big picture item on this is that we have deferred equipment replacement for years, and now staff has to spend a great deal of time repairing it when it breaks down. By initiating this one -time expense, we can then take a look at staffing levels to determine the appropriate amount of necessary operating crews. Council member Fowler asked if we had put that money in the budget would it have raised the taxes to our citizens by about five cents. Mr. Walters stated yes. So by taking out a low interest rate loan for about seven years it will cost us around $30,000 over the term. In regard to the .4949 alternative tax rate, if we went this route instead of the .4974, it would cost us a building maintenance worker? Mr. Walters stated that if we went with the .4949 rate, we would not be able to fund the proposed worker and his vehicle this budget year. Mr. Kessel stated right now we are not getting to all the work orders as timely as we would like. One of the hopes with this position would be to keep ahead of that curve a bit. Mayor Carpenter recognized Councilmember Scagliola who stated last year he looked at the costs and revenues and he thought the budget last year was a little pessimistic. Despite 08 -26 -2014 Minutes Page - 17 - the doom and gloom that was forecasted, revenues rebounded and we managed to achieve our 25% reserve fund balance. He thinks this budget makes some unwarranted rather negative assumptions. The claim that reducing the tax rate all hinges on the hiring of one person is silly. We can't find in a 60 million dollar budget ways to trim $40,000? A balanced budget should begin with an effective rate because it gets augmented by revenues we have achieved through our economic development strategies. If increases are needed above the effective rate plus the monies that augment that rate then they should be presented and justified. Mayor Carpenter recognized Councilmember Edwards wh oved, seconded by Councilmember Duke to approve first reading of Ordinance No. 14 -T -42, adopting the budget for the fiscal year beginning October 1, 2014 and ending September 30, 2015. The vote was 4 -1 -0 with Mayor Pro- Tem John, Cou n cilm em bers Fowler, Edwards, and Duke voting yes and Councilmember Scagliola voting no. Motion Carried. 8. Public Hearings on Proposed Tax Rate — Conduct,;_a public hearing and consideration and/or action regarding the adoption of the FY 2014 -15�' x Rate. (Second required public hearings) (J. Kessel /J. Walters) Ordinance No. 14 -T -43 — Tatc Rate for Fiscal Year 2014 -15 - Consideration and/or action approving an Ordinance o oposed FY 2014 -15 Tax Rate. First Reading (J. Kessel /J. Walters) The following was read into record: ORDINANCE NO. 14 -T -43 W AN ORDINANCE APPROVING THE APPRAISAL ROLL; SETTING THE TAX RATE; LEVYING AND ASSESSING GENERAL AND SPECIAL AD VALOREM TAXES FOR THE USE AND SUPPORT OF THE MUNICIPAL GOVERNMENT OF THE CITY OF SCHERTZ, TEXAS; APPORTIONING THE LEVIES FOR SPECIFIC PURPOSES; PROVIDING A SEVERABILITY CLAUSE; AND PROVIDING AN EFFECTIVE DATE Mayor Carpenter recognized Senior Budget /Finance Analyst James Walters who stated that the proposed tax rate is at $0.4974, with $0.3164 for the M &O rate and $0.1810 for the I &S rate. Mayor Carpenter recognized Councilmember Fowler who stated he assumed we could even make a recommendation for a different value for that 0.4949 tax rate. Mayor Carpenter answered yes we can, but we cannot go above the maximum, but we could set a rate below that. 08 -26 -2014 Minutes Page - 18 - Mayor Carpenter recognized City Manager John Kessel who stated that the one exception is that the I &S rate would have to remain the same, as it is calculated to do our debt service. The M &O rate would be the one you could play with as long as you keep the total at or under the 0.4974. Mayor Carpenter recognized Councilmember Fowler who asked why they couldn't go with 0.4962 as the tax rate. Mayor Carpenter recognized Councilmember Duke who stated in a lot of the latest business books there is what is called the 20 mile march which is being consistent, whether it is good or bad, it is going to be constant every year. His recommendation and question to staff is, as opposed to playing with this number every single year, what is the number that we say will be the number every single year on a consistent basis. For instance, what would be the number for the next five years? Mayor Carpenter recognized City Manager John Kessel who stated that is something we have done with the I &S rate; that .1810 bounces for the next 30 years with the assumptions we have made on our economic forecast. It lets us have a bond measure of approximately 25 million every five years six times, for 30 years; so that portion is that 20 mile march. The M &O rate is more difficult, depending on what kind of city we want to be in the next five and ten years. We can be a premier city, average, in- between, even a poor city that does things badly. As we do bond measures we hire staff to work the facilities or we have more population come in; how do we provide those services? If we can beat the .1810 number because of economic development then we would reassign that to the M &O rate. So the 20 mile march is really .4974. Staff's goal is to develop economic processes and hold that 49 constant and if we could, then grow that M &O rate to be able to provide additional services because we are able to lower the I &S rate and still achieve that march. Mayor Carpenter stated in the 1960's the city actually set a tax rate of $1 per $100 of valuation. It was deliberate and temporary, but met a set of goals within a specific time frame. More recently, in the last 10 years, we dropped the tax rate by about three cents when we were in a growth mode. We didn't know a recession was looming, and we pulled back too hard and raised taxes while depleting our reserves down to two weeks' worth of reserve funds. We were too aggressive in scaling back the tax rate. He thinks that on an annual basis, reducing the tax rate by a quarter cent is the correct projectory so we keep the burden on the residents and businesses very close to the same, but not so much that we have a sling shot effect nor raise the rate a quarter cent every year. It's better to rely on our economic growth and sales taxes; those things can fund what we need to do. Mayor Carpenter recognized Councilmember Duke who stated he is looking for houses now and he is looking at tax rates for the next ten years. His biggest concern is at what time does it sling shot. We are in such a high growth phase now, while it would be great to reduce the rate, if it were to sling shot in the next 3 -5 years, the risk of being off target 08 -26 -2014 Minutes Page -19 - is higher now. For the long term, we are going to need to be very cautious to have consistency. Mayor Carpenter recognized Councilmember Edwards who stated he looks at the numbers. We are sitting on the cusp. If we had not passed that quality of life bond initiative we could easily have become another Kirby. He was very concerned about that. It was a strong growth phase. We need to continue moving forward. We can't keep up now with the economic development we have now. We want a turnaround time on our permits and on our customer service on both our executive customers and our residents. Our economic growth must continue. Mayor Carpenter opened the public hearing and recognized the following: • Mr. Robert Brockman, 1000 Elbel Road, who asked if Mr. Walters has a chart to display showing the surrounding cities and the tax rates. He said he thinks we should raise the tax rate by five cents. We are having too much of a gravy train now and if we raised the tax rate by five cents it would help pay for our future fire station and firemen. .m- • Ms. Maggie Titterington, 10217 Ivy Horn, who stated as a new resident of Schertz, she was for the recommended maximum tax rate, and that at .4974 it was still staying the same, and after going to all the budget meetings and listening to all the needs of the City and understanding the M &O's and I &S's, she is all for this. We have a quality of life here we want to preserve and she feels it is a good investment for our city's future growth needs. She said the explanations at all the budget meetings were very thoroughly explained and feels we will be experiencing a positive change. As no one else spoke, Mayor Carpenter closed the public hearing. Mayor Carpenter called for Council comments and recognized Councilmember Scagliola who wanted to point out that holding the rate where it is this tax rate spends 1.2 million dollars more than it did last year and also spends an additional million dollars and gives nothing back to the residents. 7 Mayor Carpenter recognized Councilmember Duke who responded that he doesn't know if that number is right or not but we are in a high growth phase and there are going to be more expenses that we have to spend today in order to keep up with the progress or we will get behind. As a huge growing community those costs are coming whether we want them or not and we either keep up with it to sustain our quality of life or we will get very, very far behind and unable to catch up. Mayor Carpenter recognized Councilmember Edwards who stated he felt the residents would still be getting something back with the new fire station and fire protection service. Mayor Carpenter stated he felt if we passed the alternative rate of .4949 or the recommended maximum of .4974, either way it will be a responsible tax rate. Although he doesn't have a vote, he probably would advocate for the .4949. 08 -26 -2014 Minutes Page - 20 - Mayor Carpenter recognized Councilmember Edwards who stated that in order to be responsible we don't want to pass this burden down to the next Council or even 10 years from now. He thinks the recommended maximum is where we need to be. No further comments from Council. Mayor Carpenter recognized Councilmember Edwards who moved, seconded by Councilmember Duke that property taxes be increased by the adoption of a tax rate of $0.4974, which is effectively a 2.4% increase in the tax rate. The vote was 4 -1 -0 with Mayor Pro -Tem John, Councilmembers Fowler, Edwards, and Duke voting yes and Councilmember Scagliola voting no. Motion Carried. MEL Roll Call Vote Confirmation Mayor Carpenter recognized Deputy City Secrc of items 1 through 8. Executive Session Mayor Carpenter recessed the regular meeting into executive session at 8:31 p.m. the votes 10. City Council will meet in closed session under section 551.087 Texas Government Code, Deliberation regarding Economic Development Negotiations with business prospects E- 003, E -004, E -006, E -007, and E -008. 11. City Council will meet in closed session under Texas Government Code Section 551.074 personnel issues and 551.071 consultation with attorney to discuss and deliberate the employment term of the City Manager. Reconvene into Regular Session Mayor Carpenter reconvened into regular session at 9:33 p.m. 10. a Take any necessary action based on discussions held in closed session under Agenda Item number 10. ti No action was taken. 11. a Take any necessary action based on discussions held in closed session under Agenda Item number 11. Mayor Carpenter recognized Councilmember Fowler who moved, seconded by Councilmember Duke that Council extend the City Manager's contract for one year. The vote was unanimous with Mayor Pro -Tem John, Councilmembers Fowler, Scagliola, Edwards, and Duke voting yes and no one voting no. Motion Carried. 08 -26 -2014 Minutes Page - 21 - Roll Call Vote Confirmation Mayor Carpenter recognized Deputy City Secretary Donna Schmoekel who recapped the vote on agenda item 11 A. Requests and Announcements 12. Announcements by City Manager • Citizen Kudos • Recognition of City employee actions • New Departmental initiatives No further announcements were provided. However, City Secretary Brenda Dennis stated she wanted to wish a Happy Birthday to the following individuals this month: Mayor Pro -Tem John, Councilmember Edwards, Coun ember Scagliola, and Chief of Staff Bob Cantu. � 13. Requests by Mayor and Councilmembers that items be placed on a future City Council agenda. Mayor Carpenter recognized Councilmember Duke who requested an update on the natatorium to find out where we were on this project. The item will be scheduled for discussion on the City Council Agenda for September 16, 2014. 14. Announcements by Mayor and Councilmembers • City and community events attended and to be attended • City Council Committee and Liaison Assignments (see assignments below) • Continuing education events attended and to be attended o Recognition of actions by City employees Recognition of actions by community volunteers pcoming City Council agenda items Mayor nter regnized Councilmember Fowler who stated he attended the following: • Xhe Parks and Recreation Advisory Committee meeting held last evening. • The 100th Birthday Celebration of city resident Ms. Bertha Moore. Mayor Carpenter recognized Councilmember Scagliola who stated he attended the following: • Thursday, August 21, SSLGC meeting in Seguin at their new facility. 08 -26 -2014 Minutes Page - 22 - Mayor Carpenter recognized Councilmember Edwards who stated he received numerous texts while in Executive Session this evening regarding his son who has tonight accepted to attend West Point, following in the footsteps of his older brother. Mayor Carpenter stated he could not think of two finer young men who will end up being commissioned officers in our military. Adjournment As there was no further business, the meeting was adjourned at 9:40p. AT' Bre Michael R. Carpenter, Mayor 08 -26 -2014 Minutes Page - 23 - CITY COUNCIL MEMORANDUM City Council Meeting: September 2, 2014 Department: City Manager Agenda No. 2 Subject: Resolution 14 -R -75 - approving the SSLGC Fiscal Year 2014 -15 Annual Budget and other matters in connection therewith. (SSLGC Resolution #SSLGC R14 -08) BACKGROUND A proposed annual budget for the period commencing October 1, 2014 and ending September 30, 2015 has been prepared by the Schertz /Seguin Local Government Corporation (SSLGC) General Manager and City of Seguin director of Finance. It is the desire of SSLGC to have this budget for the FY 2014 -15 approved by the City of Schertz City Council. Goal To approve the SSLGC FY 2014 -15 Annual Budget. Community Benefit The City of Schertz is a member of the Schertz /Seguin Local Government Corporation. It is through the SSLGC that the City provides water to it citizens and businesses. Approval of the budget will ensure that the citizens and businesses of Schertz will continue to receive this vital service. Summary of Recommended Action Staff recommends approval of the Resolution approving the SSLGC FY 2014 -15 Annual Budget. FISCAL IMPACT No Fiscal Impact. This budget is based on SSLGC revenue. RECOMMENDATION Staff recommends approval. ATTACHMENT Resolution 14 -R -75 FY 2014 -15 Annual Budget Resolution # SSLGC R14 -08 RESOLUTION NO. 14 -R -75 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS APPROVING THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION FISCAL YEAR 2014 -15 ANNUAL BUDGET, AND OTHER MATTERS IN CONNECTION THEREWITH WHEREAS, the City staff of the City of Schertz (the "City ") has recommended that the City approve the Schertz /Seguin Local Government Corporation Fiscal Year 2014 -15 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 2014 -15 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 2ND day of September, 2014. CITY OF SCHERTZ, TEXAS Michael R. Carpenter, Mayor ATTEST: Brenda Dennis, City Secretary (CITY SEAL) C L O Q. L O +r ea c m � m > d C d N v m O 0 Lo C N .5 U- N t v Cl) N O � M L6 O) t0 N OD t0 00 V F •� d � C ii LU 0 M r- o `o Y m a) U N U) m 0 06 O P a. y a) Q U °' J � � 0 Y a) a) `0 03 L.L U H Of (0 C O - OL O + LL C,5 U c U '16 ca o a) ; E y aa) o co Q o a) � 0 a of a) oiS U > a) O a) a) a) c c 0 p, d 0 a) g 3 a) BOO Eoa)r E e c Z a) Q � O U N •Fn N (a o N 0 U y (D o a) a)U� o�HU C!ELU rsf w �' > c' c 0O,'O .� c c (0 N d oQ E >•C oa U U) m E a) o o m c= y U) N N 7 7 � C Co O � (0.0 7 E a-) r= m m= LO .0 C C. '001" O a-a Ua C. U U� ol U -So N LL C< J C C Z� LL U U IV V7 a r+ Cfl M° O C) O O 00 0 0 !6 y t M� i O� Ul IT CO00OO M O d r Lit OOOOOvOOO,OOOOOOD OM O690000CM- 000b9W O O O M O O'1! "3 r- O O 0 N ++ py000O wC)mr- OI- 69 r C C 0) (-00 M(0ON0000 O 00 N 613 - NE!}A(A60VI O �69 p 1 = 'i v U � Q 0 O O O Oa O O 1- O O Ma O O O O O LO C OOOOOCOI- O V- d9OONOO O COOOOON Nr-ao OOCOO ti Q 0 I`OOO(- •: - NO(D "t M NNNO C)CDd0O NMMM N -61)r- m O Ui w M N m- m w 69 w C. co � in 601 fA C U d o 0 0 0 o O N N O M° 'o 0 1.-0 10-0 0 0 0 0 0 O O' 00 N- CM N (- M N O m' N N 6 ti CO li M N O O O O CD 0 OM 000- LO CD MOOOOOCV) OOOOOMfl- OI�- O0r-CDw Lo 0 "t OOOONNLIqNIlOONOO) u0) (7 OC)C) M MI,- )'- NCD 0 r� �ONO00a0NO�00MM�EA1� a) V NOMw(-OIT (f) Nb961#w(f} O EA U 9 69 f!i LL N 69� elf? r m 40 U) cn 0J C' U_ U E (D w D U a`�i 0 co V C > �! U ` -" fn N Z Ul J C Z m a) c ca c� 0 7 0 m ++ U) O I m V (0 C Q c O C U) ' w N N. U) U (0 O 0 C C, C N (0 U O U •V C) :r 07 a) N a) M a) N V 7 C 70 j p Q 0Uw�C7wm00 :�mwwaH N O � M L6 O) t0 N OD t0 00 V F •� d � C ii LU 0 M r- I- 0 M qt M '-t O O O r M O IT Q CO O 0 M 3 N(MCOCO(000ql;�ON- C a> 0ONNMN OCO000000ON -O Cl) IT I` W > NOOIn MON00 IV V7 N LO M O r d r �6131 01>MV> 61>1 Mi V9M40 v m 0 a. N c co U. - = u0) H H a) N = E m U O C cn cb C' > ) (D a) (n C _ 0 V > �! 0 Z N c� � co co O } H LL c LL C O m O 0 N E O LL c LL 03 C 0 a Q O O M r- U m 4m 41 U C O L L of l� 0 W CO O a- 0 w CL N L) U O U c m Q a a N CL Q) a r O N O N } LL f0 E E a) O� v m U O J U) U) CITY OF SEGUIN 2014 /15 ANNUAL BUDGET ACCOUNT NUMBER ACCOUNT DESCRIPTION Salaries 063 -5500- 537.11 -01 Regular 063 -5500- 537.11 -20 Overtime /On Call * Salaries Benefits 063 - 5500 - 537.12 -10 Payroll Taxes 063- 5500 - 537.12 -20 Retirement 063 - 5500 - 537.12 -30 Health Insurance 063 - 5500 - 537.12 -31 Life Insurance 063- 5500 - 537.12 -40 Workers' Compensation * Benefits Professional Services 063 - 5500 - 537.32 -05 Professional Services 063- 5500- 537.32 -10 Annual Audit 063 -5500- 537.32 -12 Consultant Services 063- 5500 - 537.32 -15 Attorney Fees 063 - 5500 - 537.32 -16 Landfill Opposition * Professional Services Technical Services 063 -5500- 537.34 -21 Gonzales Undergrd Wtr Dst 063 -5500- 537.34 -24 GCGCD Permit Fee 063 - 5500- 537.34 -25 GCUWCD Mitigan Fund Pymt 063 - 5500 - 537.34 -30 Testing /Inspection Fees * Technical Services Utilities Services 063 - 5500- 537.41 -10 Electric 063- 5500- 537.41 -20 Water 063 - 5500 - 537.41 -30 Sewer 063 -5500- 537.41 -50 Telephone Service 063 - 5500 - 537.41 -51 Long Distance 063 - 5500 - 537.41 -52 Telephone - Mobile Phone 063 - 5500 - 537.41 -53 Internet Access * Utilities Services Repairs /Maintenance 063 - 5500 - 537.43 -11 Office Maint.- Equipment 063 - 5500 - 537.43 -21 V&E Maint. -Motor Vehicles 063 -5500- 537.43 -22 V&E Maint.- Machine & Tool 063 - 5500 - 537.43 -24 V&E Maint.- Communications 063 - 5500 - 537.43 -25 V&E Maint. -Pumps & Motors 063 - 5500- 537.43 -30 Buildings Maintenance 063 - 5500 - 537.43 -46 L &I Maint. -WATER System 063 - 5500 - 537.43 -60 Property Maintenance * Repairs /Maintenance Rental 063 - 5500 - 537.44 -10 Equipment Rental 063 - 5500 - 537.44 -25 Office Space Rental 063 -5500- 537.44 -35 Water Leases SSLGC OPERATING FUND - 063 SCHERTZ SEGUIN LOCAL GOVERIZ= CORP. - 5500 2012/13 2013/14 2013/14 09/30/14 2014/15 ACTUAL BUDGET 03/31/14 ESTIMATES BUDGET 309,275 371,447 121,839 371,447 534,408 4,119 10,000 3,847 10,000 36,000 313,394 381,447 125,686 381,447 570,408 21,879 26,517 8,861 26,517 41,346 41,326 47,327 15,575 47,327 71,565 45,257 54,648 21,912 54,648 83,793 949 568 220 568 883 6,044 6,470 3,477 6,470 15,236 115,455 135,530 50,045 135,530 212,823 8,776 19,500 1,347 7,500 16,500 13,375 13,775 13,775 13,775 13,775 162,924 111,000 70,535 111,000 116,000 76,450 50,000 42,380 50,000 275,000 9,462 50,000 9,392 50,000 100,000 270,987 244,275 137,430 232,275 521,275 83,162 122,455 41,364 122,455 146,600 36,792 55,188 18,396 55,188 55,188 0 0 0 0 62,285 15,238 13,200 8,204 13,200 13,200 135,192 190,843 67,964 190,843 277,273 755,969 2,506,000 592,853 2,506,000 3,400,000 246 1,800 391 1,800 7,200 209 1,800 338 1,800 1,200 423 1,000 188 1,000 1,000 322 1,000 161 1,000 1,000 3,469 3,500 1,221 3,500 3,500 0 2,500 0 2,500 2,500 760,638 2,517,600 595,152 2,517,600 3,416,400 259 5,000 0 5,000 10,000 6,133 6,000 2,994 6,000 6,000 22,460 46,500 15,324 46,500 46,500 25,083 18,600 8,270 18,600 18,600 103,645 177,000 8,805 177,000 177,000 20,151 14,000 1,275 14,000 36,400 38,444 100,000 16,639 100,000 100,000 643 12,500 515 12,500 15,000 216,818 379,600 53,821 379,600 409,500 1,071 5,000 561 5,000 20,000 14,612 0 7,306 0 0 2,473,882 2,600,000 1,310,824 2,600,000 2,500,000 CITY OF SEGUIN 2014 /15 ANNUAL BUDGET ACCOUNT NUMBER ACCOUNT DESCRIPTION * Rental Insurance 063 - 5500 - 537.52 -10 Building /Auto Liability * Insurance General Supplies 063 - 5500 - 537.61 -10 Office Supplies 063 - 5500 - 537.61 -20 Postage 063 -5500- 537.61 -30 Operating Supplies 063 - 5500 - 537.61 -33 Chemicals 063 - 5500 - 537.61 -35 Laboratory Supplies 063 - 5500 - 537.61 -43 Safety Supplies 063 - 5500 - 537.61 -60 Uniforms 063 - 5500 - 537.61 -80 Minor Tools * General Supplies Energy and Fuel 063 - 5500 - 537.62 -10 Gasoline * Energy and Fuel Miscellaneous 063 - 5500 - 537.65 -99 Contingency * Miscellaneous Education 063 -5500- 537.66 -10 Seminar Tuition 063 -5500- 537.66 -20 Certification Fees 063 - 5500 - 537.66 -50 Travel and Lodging 063 -5500- 537.66 -55 Meals 063 - 5500 - 537.66 -60 Dues 063 - 5500 - 537.66 -70 Subscriptions * Education Public Relations 063 - 5500 - 537.67 -10 Public Relations * Public Relations Capital Outlay 063 - 5500- 537.70 -30 Impr. Other Than Building 063 - 5500 - 537.70 -61 Mach. & Equip.- Office 063 - 5500 - 537.70 -62 Mach. & Equip. -Heavy Eqp. * Capital Outlay Intragvt. Transfers 063 - 5500 - 537.82 -61 Transfer to Rpr /Repl Fd. 063 - 5500 - 537.82 -62 Transfer to Future Dev Fd * Intragvt. Transfers Depreciation 063 - 5500- 537.98 -45 SSLGC * Depreciation ** SSLGC Operating Dept. SSLGC OPERATING FUND - 063 SCHERTZ SEGUIN LOCAL GOVERNNINr CORP. - 5500 2012/13 2013/14 2013/14 09/30/14 2014/15 ACTUAL BUDGET 03/31/14 ESTIMATES BUDGET 2,489,565 2,605,000 1,318,691 2,605,000 2,520,000 15,000 20,000 20,000 20,000 32,000 15,000 20,000 20,000 20,000 32,000 2,956 5,500 3,058 5,500 10,000 795 1,000 511 1,000 1,000 1,815 5,200 1,125 5,200 5,200 270,830 713,000 192,722 725,000 850,000 2,318 4,300 367 4,300 7,600 153 2,000 288 2,000 2,000 2,562 3,000 1,718 3,000 5,000 1,541 4,000 2,696 4,000 5,000 282,970 738,000 202,484 750,000 885,800 11,508 16,000 4,712 16,000 30,000 11,508 16,000 4,712 16,000 30,000 0 0 0 0 87,715 0 0 0 0 87,715 1,807 4,150 1,465 4,150 4,800 901 1,120 222 1,120 1,120 1,392 1,800 1,562 1,300 1,300 1,019 1,500 395 1,500 1,500 1,370 1,800 380 1,800 1,800 Be 250 0 750 750 6,577 10,620 4,024 10,620 11,270 4,373 6,500 1,546 6,500 6,500 4,373 6,500 1,546 6,500 6,500 0 0 0 0 2,130,999 0 20,000 1,363 20,000 10,000 60,927 0 0 0 150,000 60,927 20,000 1,363 20,000 2,290,999 175,000 800,000 400,000 800,000 800,000 75,000 500,000 250,000 500,000 500,000 250,000 1,300,000 650,000 1,300,000 1,300,000 657,657 0 0 0 0 657,657 0 0 0 0 5,591,061 8,565,415 3,232,919 8,565,415 12,571,963 Resolution # SSLGC R14 -08 SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION STATE OF TEXAS COUNTY OF GUADALUPE A RESOLUTION ADOPTING THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION FISCAL YEAR 2014 -2015 BUDGET AND MAKING APPROPRIATION IN ACCORDANCE WITH SAID BUDGET WHEREAS, in accordance with the Schertz /Seguin Local Government Corporation Bylaws, it is necessary to adopt a budget for the fiscal year 2014 -2015; and WHEREAS, a proposed annual budget for the period commencing October 1, 2014 and ending September 30, 2015 has been prepared by the Schertz /Seguin Local Government Corporation Financial Officer and the City of Seguin Director of Finance, and the Board of Directors has considered the proposed budget; and WHEREAS, the budget for the fiscal year 2014 -2015 for the Schertz /Seguin Local Government Corporation is attached. NOW THEREFORE, BE IT RESOLVED BY THE BOARD OF DIRECTORS OF THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION: The budget for the fiscal year commencing October 1, 2014 and ending September 30, 2015 is hereby approved and adopted. Passed and approved this the 17' day of July, 2014• Attest: Larry Dublin, Secretary M ie�Z2 &Imw� Ken Greenwald, President 1of1 SIGNED ORIGINAL(S): 1 CITY COUNCIL MEMORANDUM City Council Meeting: September 2, 2014 Department: City Manager Agenda No. 3 Subject: Resolution 14 -R -76 - approving the SSLGC Fiscal Year 2014 -15 Water Rates and other matters in connection therewith. (SSLGC Resolution #SSLGC R14 -09) BACKGROUND Proposed water rates for the period commencing October 1, 2014 and ending September 30, 2015 have been prepared by the Schertz /Seguin Local Government Corporation (SSLGC). It is the desire of SSLGC to have these water rates for FY 2014 -15 approved by the City of Schertz City Council. Goal To approve the SSLGC FY 2014 -15 water rates. Community Benefit The City of Schertz is a member of the Schertz /Seguin Local Government Corporation. It is through the SSLGC that the City provides water to it citizens and businesses. Approval of the water rates will ensure that the citizens and businesses of Schertz will continue to receive this vital service. Summary of Recommended Action Staff recommends approval of the Resolution approving the SSLGC FY 2014 -15 water rates. FISCAL IMPACT No Fiscal Impact, as the Rates did not change. RECOMMENDATION Staff recommends approval. ATTACHMENT Resolution 14 -R -76 FY 2014 -15 Water Rates Resolution # SSLGC R14 -09 RESOLUTION NO. 14 -R -76 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS APPROVING THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION FISCAL YEAR 2014 -15 WATER RATES, AND OTHER MATTERS IN CONNECTION THEREWITH WHEREAS, the City staff of the City of Schertz (the "City ") has recommended that the City approve the Schertz /Seguin Local Government Corporation Fiscal Year 2014 -15 Water Rates; and WHEREAS, the City Council has determined that it is in the best interest of the City to approve the rates 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 Corporation Fiscal Year 2014 -15 Water Rates. 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 2ND day of September, 2014. CITY OF SCHERTZ, TEXAS Michael R. Carpenter, Mayor ATTEST: Brenda Dennis, City Secretary (CITY SEAL) 50506221.1 - 2 - SSLGC WATER RATES FOR FY2014 -2015 Effective October 1, 2014 1. Water Rate for Schertz and Seguin Operations and Maintenance $0.82 Water Leases Rate per 1,000 gallons $1.55 Schertz Annual Debt Service Payment $1,177,220 Seguin Annual Debt Service Payment $1,177,220 2. Water Rate for Selma and Universal City Operations and Maintenance $0.82 Water Leases $0.73 Transportation $0.38 Cities Distribution K-19 Rate per 1,000 gallons $2.12 3. Water Rate for Springs Hill Operations & Maintenance $0.82 Water Leases K-23 Rate per 1,000 gallons $1.55 Annual Debt Service Payment $200,000 4. Water Rate for Converse Operations & Maintenance $0.82 Water Leases $0.73 Cities Distribution .Q1 Rate per 1,000 gallons $1.74 Converse Annual Debt Service Payment $200,000 1of2 Date /Time Printed: 8/25/2014 4:29:03 PM rcf 5 GI SSLGC WATER RATES FOR FY2014 -2015 Effective October 1, 2014 Water Rate for SAWS — T1 Operations & Maintenance Rate per 1,000 gallons $0.82 SAWS (SSLGC) — T1 Annual Debt Svc Payment $750,257 SAWS (2012 Bond) — T1 Annual Debt Svc Payment $1,513,043 Water Rate for SAWS — T2 Operations and Maintenance $0.82 Water Leases Rate per 1,000 gallons $1.55 SAWS — T2 Annual Debt Service Payment $1,277,432 2of2 Date /Time Printed: 8/25/2014 4:29:03 PM of Resolution # SSLGC R14 -09 SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION STATE OF TEXAS COUNTY OF GUADALUPE A RESOLUTION ADOPTING THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION FISCAL YEAR 2014 -2015 WATER RATES WHEREAS, the Schertz /Seguin Local Government Corporation provides water to several entities; and WHEREAS, expenses are incurred in providing the water; and WHEREAS, it is necessary to set water rates to be assessed for the provision of the water in order to cover expenses; and WHEREAS, the Schertz /Seguin Local Government Corporation has adopted a revenue requirement system using the AWWA cash basis of ratemaking and adopted a minimum debt coverage ratio requirement of 1.25 or greater; and WHEREAS, the water rate schedule for the fiscal year 2014 -2015 for the Schertz /Seguin Local Government Corporation is attached. NOW THEREFORE, BE IT RESOLVED BY THE BOARD OF DIRECTORS OF THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION: The water rates for fiscal year 2014 -2015 to be effective October 1, 2014 are hereby approved and adopted. Passed and approved this the 17' day of July, 2014. Attest: Larry Dublin, Secretary ,e 1of1 A�' Itim Greenwald, President SIGNED ORIGINAL(S): 1 Agenda No. 4 CITY COUNCIL MEMORANDUM City Council Meeting: September 2, 2014 Department: Administration Subject: Resolution No. 14 -R -77 - Renewal of Management Services Agreement with SSLGC BACKGROUND The Schertz /Seguin Local Government Corporation (SSLGC) Management Services Agreement with the City of Schertz will be expiring September 30, 2014. It is the desire of SSLGC to renew this agreement for FY 2014 -15. There have been no substantive Changes made to this agreement. Goal To extend the Management Services Agreement with SSLGC. Community Benefit To continue our partnership with SSLGC and provide the best quality water to our citizens and businesses. Summary of Recommended Action Staff recommends Council approve the resolution authorizing the renewal of the Management Services Agreement with the City of Schertz and SSLGC. This agreement is effective October 1, 2014 and continues through September 30, 2015. FISCAL IMPACT No fiscal impact RECOMMENDATION Staff recommends Council approve Resolution ATTACHMENTS Resolution No. 14 -R -77 Management Services Agreement Resolution # SSLGC R14 -11 RESOLUTION NO. 14 -R -77 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AUTHORIZING AN AGREEMENT FOR MANAGEMENT SERVICES BETWEEN THE CITY OF SCHERTZ AND THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION WITH SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION, AND OTHER MATTERS IN CONNECTION THEREWITH WHEREAS, the City staff of the City of Schertz (the "City ") and the Schertz /Seguin Local Government ( "SSLGC ") have determined that the SSLGC requires management services relating to managing the daily operations of the SSLGC; and WHEREAS, City staff has determined that the City is qualified to provide such services for the SSLGC; and WHEREAS, the City Council has determined that it is in the best interest of the City to contract with SSLGC pursuant to the Agreement for Management Services Between the City of Schertz and the Schertz /Seguin Local Government Corporation attached hereto as Exhibit A (the "Agreement "). BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS THAT: Section 1. The City Council hereby authorizes the City Manager to execute and deliver the Agreement with SSLGC in substantially the form set forth on Exhibit A. 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 2ND day of September, 2014. CITY OF SCHERTZ, TEXAS Michael R. Carpenter, Mayor ATTEST: Brenda Dennis, City Secretary (CITY SEAL) 50677064.1 EXHIBIT A AGREEMENT FOR MANAGEMENT SERVICES BETWEEN THE CITY OF SCHERTZ AND THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION 50677064.1 A -1 AGREEMENT FOR MANAGEMENT SERVICES BETWEEN THE CITY OF SCHERTZ AND THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION THE STATE OF TEXAS KNOWN ALL MEN BY THESE PRESENTS: COUNTY OF GUADALUPE THIS AGREEMENT, executed the 21st day of AUGUST, 2014, by and between the City of Schertz, a municipal corporation, acting by and through its City Manager, situated in Guadalupe County, Texas (hereinafter referred to as "Schertz "), and the Schertz - Seguin Local Government Corporation (hereinafter referred to as "SSLGC ") acting by and through its General Manager is as follows: WITNESSETH: I. Schertz agrees to provide certain management, administrative, operational, customer relations, and financial services to SSLGC according to the terms of this Agreement. The General Manager of SSLGC shall be an employee of Schertz but shall be assigned to SSLGC and shall be charged with the responsibility of carrying out SSLGC's operations and programs as adopted by the SSLGC Board. SSLGC agrees that the General Manager may be terminated as an employee only by Schertz, but as long as this Agreement remains in effect, Schertz shall consult with SSLGC prior to terminating the General Manager. Direct services Schertz shall perform for SSLGC pursuant to this Agreement shall include, but not limited to the following: 1. Preparing all reports and keeping records required by the SSLGC Board; 2. Administering and monitoring all contracts authorized by the SSLGC Board; 3. Preparing the budget for the upcoming year for review and approval by the SSLGC Board and City Councils of Schertz and the City of Seguin, 4. Monitoring the progress of and report to the SSLGC Board and SSLGC General Manager concerning operations of SSLGC water systems; 5. Preparing all reports, records, etc. required by TCEQ, EPA and other applicable agencies; and 6. (Subject to Article IX of this Agreement) providing risk management service in accordance with the requirement of the SSLGC's bond resolutions, the water supply agreement with Schertz and the City of Seguin, the terms of this Agreement, and directives of the SSLGC Board. Schertz's services under this agreement are subject to oversight and direction by the SSLGC Board and the SSLGC General Manager. Schertz will procure SSLGC Board approval for all contracts and management decisions affecting SSLGC and governed by the terms of this Agreement. In performing its duties under this Agreement, Schertz shall act for the benefit of SSLGC and not of any individual in the SSLGC water project. II. SSLGC shall reimburse Schertz the cost for the management services provided to SSLGC by Schertz pursuant to this Agreement as described in the following paragraph. Such payments shall be paid on a quarterly basis and payable by the 25" day April, July, October and January. To compensate Schertz for the costs it will incur to perform the services described in this Agreement, SSLGC will reimburse Schertz the actual expenditures incurred, not to exceed the SSLGC fiscal year 2014 -2015 total budget. The SSLGC Board will establish the amount of reimbursement to be paid to Schertz for services under this Agreement for each subsequent fiscal year during SSLGC's budget process. Schertz will have the right at any time during a fiscal year to seek additional reimbursement if Schertz reasonably determines that the budgeted amount is inadequate to compensate Schertz for the costs it incurs on behalf of SSLGC in providing services under this agreement. Projected cash shortages resulting from unplanned costs related SSLGC operations and the services to be provided by Schertz under this Agreement will be brought to the immediate attention of the SSLGC Board. The SSLGC Board or SSLGC General Manager will have the right during normal business hours upon three business days' prior written notice, to audit, examine, or reproduce any or all books and records of Schertz related to the performance of its duties under this Agreement. In the event of the termination of this Agreement, SSLGC will be responsible for paying Schertz only the portion of the cost allocated to periods prior to the effective date of termination. III. It is the express purpose of this Agreement to have Schertz through the SSLGC General Manager and related personnel implement, administer, and carry out the duties required for the operator of the public water systems owned by SSLGC. IV. Schertz acknowledges that the City of Seguin Utility Manager will be the direct supervisor of the personnel assigned to the SSLGC water system operations. Under his supervision, he will coordinate operations in conjunction with the other Seguin utility personnel, which will provide support as needed. Similarly, the General Manager position will be available to provide backup support to the Schertz and Seguin, provided such assignments shall not adversely impact the operations of the SSLGC water systems. The General Manager will anticipate in the annual review process of all corporation employees and be informed of any personnel actions. V. The SSLGC building at 108 W. Mountain Street, Seguin, Texas 78155, will be the location of the SSLGC Administrative Office and meeting site. The City of Seguin will provide an area at the 2of4 SSLGC /SCHERTZ MSA FY2014 -2015 SIGNED ORIGINAL(S): 2 Seguin Water Treatment Plant for use by the SSLGC for monitoring equipment and laboratory services. VI. Subject to early termination as provided in Article VII below, this Agreement shall be in effect for a period of one year commencing OCTOBER 1, 2014 and ending SEPTEMBER 30, 2015 unless otherwise renewed or extended at the discretion of both parties. VII. TERMINATION: This Agreement may be terminated by Schertz or SSLGC, in whole, or from time to time in part, upon ninety (90) day written notice from the terminating party to the other party. The effective date of termination shall be ninety (90) days after delivery of Notice of Termination specifying to what extent performance or work under the Agreement shall be terminated ninety (90) days after receipt by the notified party. 2. After receipt of a Notice of Termination Schertz shall: a. Stop work on the date as specified in the Notice of Termination to extent possible. b. Place no further orders or subcontracts except as may be necessary for completion of the work not terminated. c. Terminate all order and subcontracts to the extent that they relate to the performance of work terminated by the Notice of Termination in so far as possible. d. SSLGC shall pay expenses incurred through the date of termination. VIII. It is expressly understood that Schertz and SSLGC each retain the right to pursue other avenues for development and operation of public water systems, when it is determined to be in the best interest of Schertz or SSLGC to do so, and this Agreement shall not limit either Schertz's right or SSLGC's right to pursue such interests. IX. It is the intent of the parties for SSLGC to acquire, after consultation with Schertz, insurance and other risk management programs to protect SSLGC, its property, and its participants. To extent permitted by law and to the extent SSLGC is protected by insurance or other risk management program, SSLGC releases Schertz from, and waives any claim, loss, expense, or damage occurring in the course and scope of City's services under this Agreement, except such claims, losses, expenses or damages that are caused by the willful misconduct or gross negligence of Schertz. 3 of 4 SSLGC /SCHERTZ MSA FY2014 -2015 SIGNED ORIGINAL(S): 2 To the extent permitted by law and to the extent SSLGC is protected by insurance or other risk management program, SSLGC shall defend, indemnify and hold harmless Schertz from and against claims, demands, actions, judgments, and liabilities asserted by any person other than SSLGC arising out of the performance by Schertz of its services on behalf of, and as agent of, SSLGC under this Agreement, except such claims, demands, actions, judgments, and liability arising out of the willful misconduct or gross negligence of Schertz. This Agreement shall take effect on the 1" day of OCTOBER, 2014. IN WITNESS WHEREOF, the parties have executed this Contract in the year and on the day indicated. SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION P.O. Box 833 Seguin, Texas 78156 R. Alan Cockerell, General Manager Date CITY OF SCHERTZ, TEXAS 1400 Schertz Parkway Schertz, Texas 78154 John Kessel, City Manager Date 4of4 SSLGC /SCHERTZ MSA FY2014 -2015 SIGNED ORIGINAL(S): 2 Resolution # SSLGC R14 -11 Schertz /Seguin Local Government Corporation State of Texas County of Guadalupe A RESOLUTION AUTHORIZING A MANAGEMENT SERVICES AGREEMENT BETWEEN THE SCHERTZ /SEGUIN LOCAL GOVERNMENT CORPORATION AND THE CITY OF SCHERTZ WHEREAS, the Schertz /Seguin Local Government Corporation desires to enter into a Management Services Agreement with the City of Schertz; and WHEREAS, the Agreement for Management Services between the City of Schertz and the Schertz /Seguin Local Government Corporation attached hereto and incorporated herein for all purposes represents the proposed Agreement between the parties. NOW, THEREFORE, BE IT RESOLVED by the Schertz /Seguin Local Government Corporation as follows: 1. That the Schertz /Seguin Local Government Corporation hereby approves the Management Services Agreement between the Schertz /Seguin Local Government Corporation and the City of Schertz. 2. That the General Manager be authorized to execute the Management Services Agreement between the Schertz /Seguin Local Government Corporation and the City of Schertz. PASSED AND APPROVED THIS 21" DAY OF AUGUST, 2014. -.i� Jw0,z/jfV/ Ken Greenwald, President Attest: Larry Dublin, Secretary OR T. "Jake" J bs, si: ' 10f1 SIGNED U 6INAL(S): 1 Agenda No. 5 CITY COUNCIL MEMORANDUM City Council Meeting: September 2, 2014 Department: Finance Subject: Ordinance No. 14 -T -42 — Fiscal Year 2014 -15 Budget Second and Final Reading of Ordinance No. 14 -T -42 BACKGROUND In accordance with applicable statutes and the City Charter, the City Manager submitted a budget proposal to the City Council for consideration. The City Council held public hearings for the Proposed Budget on August 19th, 2014 and August 26th, 2014, including the budget of the Schertz Economic Development Corporation. FISCAL IMPACT General Fund $25,386,088 Special Events Fund $ 153,800 PEG Fund $ 209,000 Water & Sewer Fund $17,788,563 EMS Fund $ 8,151,501 Drainage Fund $ 1,094,618 Hotel Tax Fund $ 302,730 Park Fund $ 60,000 Tree Mitigation $ 116,125 Capital Recovery -Water $ 536,109 Capital Recovery -Sewer $ 1,160,497 Tax I &S Fund $ 5,636,157 Library Fund $ 30,000 Historical Committee $ 11,100 Parks & Recreation Foundation $ 297,900 SEDC $ 3,074,554 Total $64,008,742 RECOMMENDATION Staff recommends that the City Council approve second and final reading of Ordinance No. 14- T-42, adopting the budget for the fiscal year beginning October 1, 2014 and ending September 30, 2015. ATTACHMENT Ordinance No. 14 -T -42 ORDINANCE NO. 14 -T -42 AN ORDINANCE ADOPTING A BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2014, AND ENDING SEPTEMBER 30, 2015, IN ACCORDANCE WITH THE CHARTER OF THE CITY OF SCHERTZ, TEXAS; PROVIDING FOR THE FILING OF THE BUDGET; PROVIDING THAT THIS ORDINANCE SHALL BE CUMULATIVE OF ALL ORDINANCES; PROVIDING A SEVERABILITY CLAUSE; AND PROVIDING AN EFFECTIVE DATE. WHEREAS, the City of Schertz is a home rule city acting under its charter adopted by the electorate pursuant to Article XI, Section 5 of the Texas Constitution and Chapter 9 of the Local Government Code; and WHEREAS, the City Manager of the City of Schertz submitted a budget proposal to the City Council prior to the beginning of the fiscal year, and in said budget proposal set forth the estimated revenues and expenditures and made the detailed classification as required by the City Charter of the City of Schertz, Texas; and WHEREAS, the City Council finds that all provisions pertaining to the adoption of a budget contained in the City Charter have been in all things complied with; and WHEREAS, a Public Hearing was held by the City Council of the City of Schertz, Texas on the 19th day of August, 2014, and on the 26th day of August, 2014; and WHEREAS, after a full and final consideration, the City Council is of the opinion that the budget should be approved and adopted; NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS, THAT: SECTION 1. The budget of the expenditures of the City of Schertz for the ensuing fiscal year beginning October 1, 2014, and ending September 30, 2015, as modified by the City Council, be, and the same is, in all things, adopted and approved as the said City of Schertz budget for the Fiscal Year beginning the first day of October, 2014, and ending the thirtieth day of September, 2015. SECTION 2. The sums below are hereby appropriated from the respective funds for the payment of expenditures on behalf of the City government as established in the approved budget document: 2014 -2015 Budget General Fund $25,386,088 Special Events Fund $ 153,800 PEG Fund $ 209,000 Water & Sewer Fund $17,788,563 EMS Fund $ 8,151,501 Drainage Fund $ 1,094,618 Hotel Tax Fund $ 302,730 Park Fund $ 60,000 Tree Mitigation $ 116,125 Capital Recovery -Water $ 536,109 Capital Recovery -Sewer $ 1,160,497 Tax I &S Fund $ 5,636,157 Library Fund $ 30,000 Historical Committee $ 11,100 Parks & Recreation Foundation $ 297,900 SEDC $ 3,074,554 Total $64,008,742 SECTION 3. A true and correct copy of this ordinance along with the approved budget attached hereto, and any amendments thereto, shall be filed with the City Secretary. In addition, the City Manager is hereby directed to file or cause to be filed a true and correct copy of this ordinance along with the approved budget attached hereto, and any amendments thereto, in the office of the County Clerk of Guadalupe, Comal, and Bexar Counties, Texas, as required by law. SECTION 4. This ordinance shall be cumulative of all provisions of ordinances and of the Code of Ordinances of the City of Schertz, Texas (2006), as amended, except where the provisions of this ordinance are in direct conflict with the provisions of such ordinances and such Code, in which event the conflicting provisions of such ordinances and such Code are hereby repealed. SECTION 5. It is hereby declared to be the intention of the City Council that the phrases, clauses, sentences, paragraphs, and sections of this ordinance are severable, and if any phrase, clause, sentence, paragraph, or section of this ordinance shall be declared unconstitutional by the valid judgment or decree of any court of competent jurisdiction, such unconstitutionality shall not affect any of the remaining phrases, clauses, sentences, paragraphs, and sections of this ordinance, since the same would have been enacted by the City Council without the incorporation in this ordinance of any such unconstitutional phrase, clause, sentence, paragraph, or section. SECTION 6. This ordinance shall be in full force and effect from and after its final passage, and it is so ordained. PASSED AND APPROVED ON FIRST READING THIS 26th DAY OF AUGUST 2014. Michael R. Carpenter, Mayor ATTEST: Brenda Dennis, City Secretary PASSED AND APPROVED ON SECOND READING THIS 2nd DAY OF SEPTEMBER 2014. Michael R. Carpenter, Mayor ATTEST: Brenda Dennis, City Secretary APPROVED AS TO FORM AND LEGALITY: City Attorney CITY OF SCHERTZ w� f�c�iii�' `�1'o1zA'�Ep FY 2014 -15 I� i PROPOSED BUDGET THIS PAGE INTENTIONALLY LEFT BLANK City of Schertz Fiscal Year 2014 -15 Budget Cover Page This budget will raise me than last year's budget L increase, and of that an revenue to be raised from the tax roll this year. ,e total property taxes f $1,239,434 or a 9% Dunt, $669,757 is tax new property added to The members of the governing body voted on the proposal to consider the budget as follows: FOR: AGAINST: N/A PRESENT and not voting: N/A ABSENT: N/A Property Tax Rate Comparison Total debt obligation for the City of Schertz secured by property taxes: $ 75,187,118 2014 -2015 2013 -2014 Property Tax Rate: $0.4974/100 $0.4974/100 Effective Rate: $0.4857/100 $0.4829/100 Effective Maintenance & Operations Tax Rate: $0.2940/100 $0.2892/100 Rollback Tax Rate: $0.5066/100 $0.5218/100 Debt Rate: $0.1810/100 $0.1964/100 Total debt obligation for the City of Schertz secured by property taxes: $ 75,187,118 THIS PAGE INTENTIONALLY LEFT BLANK CITY OF SCHERTZ 2014 -15 BUDGET Table of Contents Executive Summary General Fund Summary--------------------------------------------------------- - - - - -- 11 Revenues--------------------------------------------------------- - - - - -- 13 CityCouncil ---------------------------------------------------- - - - - -- 17 CityManager ---------------------------------------------------- - - - - -- 21 Municipal Court ----------------------------------------------- - - - - -- 25 311 /Customer Relations ------------------------------------- - - - - -- 31 Planning & Zoning -------------------------------------------- - - - - -- 35 Legal Services ------------------------------------------------- - - - - -- 41 General Services ---------------------------------------------- - - - - -- 45 City Secretary ------------------------------------------------- - - - - -- 51 Non - Departmental -------------------------------------------- - - - - -- 55 Public Affairs ------------------------------------------------- - - - - -- 59 Records Management ---------------------------------------- - - - - -- 63 Schertz Magazine ----------------------------------------------- - - - - -- 67 Engineering---------------------------------------------------- - - - - -- 71 Geographic Information Systems ----------------------- - - - - -- 79 Police-------------------------------------------------------------- - - - - -- 83 Fire Rescue ------------------------------------------------------ - - - - -- 91 Inspections ------------------------------------------------------ - - - - -- 99 Marshal Services ----------------------------------------------- - - - - -- 105 Streets----------------------------------------------------------- - - - - -- 111 Parks, Recreation, & Community Services ----------- - - - - -- 117 Swim Pools ---------------------------------------------------- - - - - -- 123 Event Facilities ----------------------------------------------- - - - - -- 127 Library--------------------------------------------------------- - - - - -- 133 Animal Services -------------------------------------------- - - - - -- 141 Information Technology -------------------------------------- - - - - -- 147 Human Resources -------------------------------------------- - - - - -- 153 Finance---------------------------------------------------------- - - - - -- 159 Purchasing & Asset Management ----------------------- - - - - -- 165 Fleet Service ------------------------------------------------- - - - - -- 171 Building Maintenance --------------------------------------- - - - - -- 177 City Assistance ----------------------------------------------- - - - - -- 183 Court Restricted Funds -------------------------------------- - - - - -- 187 Special Events Fund ---------------------------------------- - - - - -- 189 Public, Educational, and Government (PEG) Access Fund -- 203 Interest & Sinking Fund ------------------------------------------- - - - - -- 207 Water & Sewer Summary-------------------------------------------------------- - - - - -- 211 Business Office ----------------------------------------------- - - - - -- 217 Water & Sewer Administration ---------------------------- - - - - -- 223 CITY OF SCHERTZ 2014 -15 BUDGET Table of Contents Capital Recovery Water-------------------------------------------------------- - - - - -- 235 Sewer-------------------------------------------------------- - - - - -- 243 Drainage Summary-------------------------------------------------------- - - - - -- 249 Revenues-------------------------------------------------------- - - - - -- 254 Expenditures -------------------------------------------------- - - - - -- 255 Emergency Medical Services (EMS) Summary-------------------------------------------------------- - - - - -- 259 Revenues -------------------------------------------------------- - - - - -- 265 Expenditures -------------------------------------------------- - - - - -- 266 Schertz Economic Development Corporation Summary-------------------------------------------------------- - - - - -- 271 Revenues-------------------------------------------------------- - - - - -- 276 Expenditures-------------------------------------------------- - - - - -- 277 Hotel Tax Summary-------------------------------------------------------- - - - - -- 283 Revenues-------------------------------------------------------- - - - - -- 286 Expenditures -------------------------------------------------- - - - - -- 287 Park Fund Summary-------------------------------------------------------- - - - - -- 289 Revenue---------------------------------------------------------- - - - - -- 291 Expense--------------------------------------------------------- - - - - -- 292 Tree Mitigation Summary-------------------------------------------------------- - - - - -- 295 Revenues-------------------------------------------------------- - - - - -- 297 Expenditures ---------------------------------------------------- - - - - -- 298 Library Fund Summary-------------------------------------------------------- - - - - -- 299 Revenues -------------------------------------------------------- - - - - -- 301 Expenditures-------------------------------------------------- - - - - -- 302 Historical Committee Summary-------------------------------------------------------- - - - - -- 303 Revenues -------------------------------------------------------- - - - - -- 305 Expenditures -------------------------------------------------- - - - - -- 306 Parks & Recreation Foundation Summary--------------------------------------------------------- - - - - -- 307 Revenue-------------------------------------------------------- - - - - -- 309 Expenditures-------------------------------------------------- - - - - -- 310 Glossary----------------------------------------------------------------- - - - - -- 315 Executive Summary General Fund Revenue The revenue for FY 2014 -15 will increase 4.4% from the FY 2013 -14 year end estimates. Revenues from property taxes and sales taxes increase 14.5% and 4.0% respectively. Maintenance & Operations property taxes are based on a rate of $0.3164 per $100 of valuation which is an increase of 5.1% from FY 2013 -14. The overall property tax rate will remain unchanged at $0.4974 due to a decrease of the Interest & Sinking property tax rate to $0.1810. Franchise fees will increase due to a growing customer base and a franchise fee rate increase for City Public Service (CPS) from 3% to 4.5 %. Of this increase 1 % has been committed by City Council to be used only on utility right of way improvements within the CPS service area. Permits will offset these increases as the City had an above average year on development permits with many large business renovations and new construction. Expenses The FY 2014 -15 Budget will increase 8.8% from the FY 2013 -14 year end estimates. This increase includes continuation of the merit program for employees and funds to act on the Compensation Study when it is completed. This budget puts an emphasis on replacing aging and expiring equipment by replacing six vehicles, conducting building repairs on Fire Station #2 and the Administration Building, and replacing two defibrillators and the first phase of the Self Contained Breathing Apparatuses (SCBAs) before they expire. New programs include two new Mechanic positions, an Accountant I, a Building Maintenance Worker, additional landscaping services, and new permit tracking software. These programs, along with a traffic study of FM 1518, are both necessary and forward looking in order to meet the needs of a growing community. City Council The FY 2014 -15 Budget will increase 0.5% from the FY 2013 -14 year end estimate. There will be no change in operations City Manager The FY 2014 -15 Budget will decrease by 8.5% from the FY 2013 -14 year end estimates. This decrease is from the transfer of funding for an Executive Director position to fund positions in other departments in the budget as approved in the Mid - Year Adjustment. Municipal Court The FY 2014 -15 Budget will increase 0.3% from the FY 2013 -14 year end estimates. The increase in court costs are offset by reducing funding for the vacant court clerk position to 9 months. This position will be filled if the number of court cases filed continues to increase. 311 Customer Service The FY 2014 -15 Budget will increase 4.1 % from the FY 2013 -14 year end estimates. This increase is due to personnel related increases and the replacement of workstation equipment. Planning & Zoning The FY 2014 -15 Budget will increase 2.9% from the FY 2013 -14 year end estimates. There will be no change in operations. Legal Services There will be no change in the current level of legal services. General Services The General Services Budget for FY 2014 -15 will decrease by 2.4% from the FY 2013- 14 year end estimates. By handling more services in house, the need for outside maintenance services decreased. The door lock replacement program will be focused on the Fire Station and City Hall in FY 2014 -15. City Secretary The FY 2014 -15 Budget will increase by 4.6% from the FY 2013 -14 year end estimates. This increase is due to the annual merit and other personnel related expenses. Non - Departmental The FY 2014 -15 Budget increases 28.1 % from the FY 2013 -14 year end estimates. This increase sets the contingency account to $180,000 or about 0.8% of the overall General Fund budget and takes into account upcoming property tax reimbursements required by incentive agreements between the City and new businesses. The increase also allows the City to address additional priorities. In FY 2013 -14 the City was able to fund repairs to the Recreation Center. In FY 2014 -15 funding is appropriated to repair leaks at Fire Station #2 and the Administration building and to contract an engineer to provide an executable solution for the water runoff in the Administration Building parking lot. A priority raised by Citizens in the Community Pre - budget meetings is to design FM 1518 for increased traffic demands. A study on FM 1518 is funded which will provide a long term look at what needs to be done to accommodate this growth. Another increase is to provide funding to finish the Compensation Study and to act on the first phase of this study. Due to a growing number of employees and the age of existing workstations, a budget allowance has been included for reconfiguration of workstations for better efficiency. The increase will also provide funding for the Sweetheart program and Festival of Angels. Public Affairs The FY 2014 -15 Budget will be increased by 16.2% from the FY 2013 -14 year end estimates. This increase is due to the full year funding of the new Events specialist position. This position will be reimbursed by 50% from the Hotel /Motel Tax Fund. PA Records Management The FY 2014 -15 Budget increases by 13.2% from the FY 2013 -14 year end estimates. This change is related to additional scanning and shredding planned by working in coordination with other departments to identify the applicable records. Schertz Magazine The FY 2014 -15 Budget will increase by 5.5% of the FY 2013 -14 year end estimates. This increase is due to the estimated increase in printing costs. Engineering The overall budget for the Engineering Department increases 14.0% from FY 2013- 2014 year end estimates as a result of full year funding of the new Engineer position authorized at mid -year. GIS The FY 2014 -15 Budget increases by 8.5% from the FY 2013 -14 year end estimates. This increase is due to the purchase of a laminator and a replacement printer. The laminator will be able to protect documents that are used in the field increasing effectiveness and efficiency. The current printer is aging, printing slowly and is prone to jams. The replacement printer will still be shared with neighboring departments. Police The Police Departments overall FY 2014 -15 Budget increased 5.9% when compared to the FY 2013 -14 year end estimates. There is a 3.3% increase within Personnel based on merit pay, overtime, longevity, payroll taxes, retirement, workers' compensation, and to bring the total number of crossing guards to nine. The police department's remaining budget increases are based on vehicle fuel, uniforms and body armor, training, and promotional and applicant testing service. In addition there is a need to replace 5 patrol cameras, 5 mobile computers, and the Live Scan finger print scanner. The mobile computers and the Live Scan need to be replaced since they run on Windows XP and are no longer supported my Microsoft. Fire Rescue The FY 2014 -15 Budget increases 13.7% from the FY 2013 -14 year end estimates. This increase is to replace two vehicles: the chief's vehicle and a battalion chief's vehicle. The old vehicles will be used by the new inspector, who needs a dedicated vehicle and the second will replace a broken down vehicle used by the Training Safety Officer. The rest of the increase is dedicated to replacing outdated equipment. The Self Contained Breathing Apparatuses will be replaced over a 3 year time period while 2 defibrillators will be replaced using a leasing program started through the Emergency Medical Services department. Inspections The FY 2014 -15 Budget will increase 16.6% from the FY 2013 -14 year end estimates. This increase is attributed to the full year funding of a Plans Examiner position and to replace a broken down Inspector vehicle. 3 Marshal Services The FY 2014 -15 Budget will increase 3.6% from the FY 2013 -14 year end estimates by purchasing a new laptop and tablets for field work and to develop a code enforcement program for ticket writers. Streets The FY 2014 -15 Budget will decrease by 4.9% from the FY 2013 -14 year end estimates. The decrease is due to the completion of the new lighted crosswalk in front of Clemens High School and the purchase of two vehicles in FY 2013 -14. These completed projects are partially offset by the purchase of another replacement vehicle in FY 2014 -15. Parks The FY 2014 -2015 Budget increases 19.3% over the FY 2013 -2014 estimates because of the additional landscaping /site improvements that came on line this year including the new Animal Adoption Center, Skate Park, and Veterans Memorial Plaza. The Department is also acquiring additional park acreage at Cypress Point (10 acres) within the next budget year. In addition, the department will be replacing a truck. Pools No changes in operations for the FY 2014 -15 Budget. Event Facilities The FY 2014 -15 Budget will increase 10.8% from the FY 2013 -14 year end estimates. Rental revenue decreased from FY 2012 -13 when there was an advertising emphasis on wedding advertisements. The department will reintroduce this advertising campaign as well as place more ads in local magazines and business journals. New operating equipment will also be purchased including window screens and kitchen shelves for the Community Center and lobby seating and gathering room furnishings for the Civic Center. Library The FY 2014 -15 Budget will decrease 0.2% from the FY 2013 -14 year end estimates. There are no change in operations. Animal Services The FY 2014 -15 Budget will increase 8.6% from the FY 2013 -14 year end estimates. This increase is due to the full year funding of the larger Animal Adoption Center. It also reflects the purchase of an Animal Adoption Trailer as long as the City receives at least $9,000 in donations to put toward this capital purchase. Information Technology The FY 2014 -15 Budget will increase 9.8% from FY 2013 -14 year end estimates. Along with an increase in cost of our current supported systems and programs the City will be adding planning tracking software for Development Services to track the platting and permitting process from start to finish. The Fire Department will now be able to create 4 better reports by migrating their RMS data to a different system. This will help them find efficiencies in their everyday operations. As more of the City goes digital the costs for internet and data plans will increase proportionally. In addition to software the City will also be replacing network switches for better server performance, upgrading the firewall, and purchasing video streaming software. Human Resources The FY 2013 -14 Budget will increase by 8.2% from FY 2013 -14 year end estimates. This increase is to better advertise for vacant specialized positions and to provide full year funding of the FMLA service contract. Finance The FY 2014 -15 Budget will increase 14.9% from the FY 2013 -14 year end estimates due to 10 month funding of a new Accountant position. Purchasing & Asset Management The FY 2014 -15 Budget will increase 2.4% from the FY 2013 -14 Budget. This increase reflects higher personnel costs. Fleet The FY 2014 -15 Budget increases by 27.9% from the FY 2013 -14 year end estimates. This increase reflects the addition of two Mechanic I positions; one of which will be paid by EMS and be trained to specifically work on emergency service vehicles. There is also funding for replacement vehicles when they break down. Building Maintenance The FY 2014 -15 Budget decreases 17.5% from the FY 2013 -14 year end estimates. FY 2014 -15 includes the addition of a new Worker I position and a vehicle; however this increase is offset by the one -time funding of the security and audio /visual upgrades to the Council Chambers in FY 2013 -14. City Assistance The FY 2014 -15 Budget will decrease by 15.0% from the FY 2013 -14 year end estimates. The decrease is due to one -time expenses related to the City taking over operation of the Senior Center that occurred in FY 2013 -14. Court Restricted Funds In FY 2014 -15 the court security fund will be used to remodel the Municipal Court counter and subsidize one half of a marshal's salary for the time they spend in court. Court technology expenditures will be to replace ticket writers and other equipment as the need arises throughout the year. b7 Special Events Fund Revenue Revenue for the FY 2014 -15 Budget will decrease 12.0% from the FY 2013 -14 year end estimates. Fewer fund transfers from reserves are needed due to the completion of the Hal Baldwin Memorial Plaza. Revenue is set through transfers to balance this fund. Expenses The FY 2014 -15 Budget will decrease 16.8% from the FY 2013 -14 year end estimates. This decrease is due to the completion of the Hal Baldwin Memorial Plaza in FY 2013- 14. Public, Educational, and Governmental Access (PEG) Fund Revenue Revenue increases in FY 2014 -15 by 74.8% with a transfer from reserves to continue the Master Communication Plan. Expenses The FY 2014 -15 Budget increases 151.6% from the FY 2013 -14 year end estimates to continue the Master Communication Plan by purchasing the necessary equipment. Interest & Sinking Fund Revenues Revenues for FY 2014 -15 will increase 1.6% from the FY 2013 -14 estimates with the growth of the tax base. Expenses The FY 2014 -15 Budget will increase 0.7% from the FY 2013 -14 year end estimates with the addition of a debt service for Public Works equipment. Water & Sewer Fund Revenue Revenue for FY 2014 -15 will decrease 9.4% from FY 2013 -14 year end estimates. Increases in service customers, water rates, and sewer rates are offset by the one -time transfer in FY 2013 -14 to fund waterline replacements and a new water tower. Expenses The FY 2014 -15 budget will decrease 7.4% from FY 2013 -14 year end estimates. Increases in service costs and maintenance are offset by the project funding in FY 2013 -14. Business Office The FY 2014 -15 Budget increases 10.2% from FY 2013 -14 year end estimates. This increase is due to additional costs of online transaction with the removal of the online convenience fee. [.11 Administration The FY 2014 -15 Budget increases 4.3% from the FY 2013 -14 year end estimates. For FY 2014 -15 the Cibolo Creek Municipal Authority (CCMA) is increasing its charge for sewer treatment 9.5 %. Funds are also budgeted to act on the Compensation Study once it's completed. The contribution to the Cibolo Valley Local Government Corporation (CVLGC) will increase since another member City backed out of the corporation, spreading their contribution to the remaining members. The waste contractor expense for garbage collection in the City is increasing but is offset by an increase in revenue. This increase is from additional customers only and does not reflect a change in the fees. To replace aging vehicles and equipment the Water & Sewer Fund will replace two vehicles and join with the Drainage and General Funds in a debt issuance to replace back hoes, chippers, mowers, and other equipment. Capital Recovery Fund - Water Revenues Revenues for FY 2014 -15 are expected to remain at levels estimated for FY 2013 -14. Expenses The FY 2014 -15 Budget will increase 339.4% from the FY 2013 -14 year end estimates with the addition of the project to make improvements to the Live Oak Pump. Projects to be completed FY 2014 -15 Engineering for the southeast elevated water tank Improvements to the Live Oak Pump Capital Recovery Fund - Sewer Revenues The revenue for FY 2014 -15 will increase 59.8% from the FY 2013 -14 year end estimates due to a transfer from reserves to fund the next phase of a project. Expenses The FY 2014 -15 Budget will increase 805.3% from the FY 2013 -14 year end estimates. This increase is to fund the finish out of phase three of the Town Creek Project. Projects to be completed FY 2014 -15 • Preliminary engineering for the south Schertz wastewater treatment plant • Finish Out of Phase III at Town Creek Drainage Fund Revenue Revenue in FY 2014 -15 will increase 8.6% from the FY 2013 -14 year end estimates due to an increase in service population. There is no increase in fees. VA Expenses The FY 2014 -15 Budget will increase 28.1 % from the FY 2013 -14 year end estimates with the completion of projects started in FY 2013 -14 and for additional debt service to purchase new equipment for Public Works. VIR211.Tit?l Revenues Revenues for FY 2014 -15 will increase 7.8% from the FY 2013 -14 year end estimates due to an increase in expected transports. There are no change in fees. Expenses The FY 2014 -15 Budget will increase 22.9% from the FY 2013 -14 year end estimates. Along with the additional expenses related to an increase in transports, the budget also includes funds to act on the Compensation Study, debt service for new ambulances, equipment for new ambulances, and an increase in the interfund charge to reimburse the General Fund for a new Mechanic position. Schertz Economic Development Corporation (SEDC) Revenues The revenue for FY 2014 -15 is projected to increase by 4.1 % from the FY 2013 -14 year end estimate. The increase is the result of general improvements in the economy. Expenses The proposed FY 2014 -15 Budget will decrease by 1.7% from the FY 2013 -14 year end projections. The SEDC continues to work with the City Manager's office to eliminate Non - Departmental Expenses from the SEDC Budget; this is the final year of the four year plan to eliminate the emergency service buildings and related expenses from the SEDC Budget. The SEDC has moved both the Development Incentive fund and the Impact Fee Matching fund to the projects section of the SEDC budget to more accurately reflect year -to -year comparisons. Both incentive funds will have fund balances of $500,000; these funds will be used for qualified economic development projects. The SEDC has allocated $200,000 to the Construction fund for the extension of David Lack Boulevard which was approved by the Resolution No. 14 -R -14. The SEDC has allocated $250,000 to the Land Purchase fund. These funds have been set aside for future SEDC property purchases. These increases were offset by the one -time payout of an incentive during FY 2013 -14. a Hotel Motel Tax Fund Revenue The revenue for FY 2014 -15 will increase 5.2% from year end estimates due to an increase in hotel stays. Expenses The FY 2014 -15 Budget will decrease 52.0% from the FY 2013 -14 year end estimates. This decrease reflects the removal of direct support for the Event Facilities such as the Civic and Community Centers. The direct support consisted of expenditures for building maintenance, equipment, and reimbursements of Event Facilities related staff costs. The Festival of Angels and the Steve Simonson Award and Luncheon will now be funded by the General Fund instead of the Hotel Tax Fund. There was also a one -time transfer to fund lighting at the soccer fields in FY 2013 -14 which adds to the overall budget decrease. Park Fund Revenue: The revenue for FY 2014 -15 will decrease 22.5% from the FY 2013 -14 year end estimates due to fewer known upcoming developments which would result in parkland dedication fees. Expenses The FY 2014 -15 Budget will increase 50.0% from FY 2013 -14 year end estimates. Projects planned for FY 2014 -15 include pavilions for the upcoming Dog Park and for the skate park and for Crossvine park improvements including a decomposed granite trail and two park benches. Tree Mitigation Revenue Revenue for FY 2014 -15 will decrease 50.0% from FY 2013 -14 year end estimates with fewer fees expected to be collected. Offsetting this will be a transfer from reserves to fund additional projects. Expenses The FY 2014 -15 Budget will increase 158.1 % from the FY 2013 -14 year end estimates. Projects to be funded in FY 2014 -15 include trees for the soccer complex, the baseball fields, E. Live Oak Road, and the Arroyo Verde Drainage Project. 9 Library Fund Revenues Revenues for FY 2014 -15 are expected to increase 1.7% FY 2013 -14 from year end estimates through additional book sales. Expenses The FY 2014 -15 Budget will decrease 7.4% from FY 2013 -14 year end estimates due to a reduction in operating equipment. Historical Committee Revenues Revenues for FY 2014 -15 increase 258.1 % from the FY 2013 -14 year end estimates. This increase comes from additional funding for the committee from the Special Events Fund. Expenses The FY 2014 -15 Budget increases 269.0% from the FY 2013 -14 year end estimates. This increase is to provide additional funding for training for all committee members. Parks & Recreation Foundation Revenues Revenues for FY 2014 -15 are expected to remain at the same levels as FY 2013 -14. Expenses The FY 2014 -15 Budget will increase 27.6% from FY 2013 -14 year end estimates in order to grow the events and provide improvements to parks in Schertz. `M B-28-2014 08:31 AM C I T Y O F S C H E R T Z 14,838,672 PAGE 15,205,039 PROPOSED BUDGET WORKSHEET 1,567,035 1,,589,229 101 - GENERAL FUND AS OF: JULY 31ST, 2014 1,986,159 Permits FINANCIAL SUMMARY 1,320,631 1,205,062 1,119,404 1,497,307 1,175,803 Licenses (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 72,868 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO 2,917,302 ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU REVENUE SUMMARY Taxes 12,317,913 14,005,746 14,838,672 13,947,629 15,205,039 16,665,690 Franchises 1,567,035 1,,589,229 1,778,605 1,403,875 1,830,389 1,986,159 Permits 1,075,833 1,320,631 1,205,062 1,119,404 1,497,307 1,175,803 Licenses 70,468 78,151 70,100 72,868 90,229 91,229 Fees 2,928,793 2,917,302 2,890,298 2,421,286 2,891,958 2,814,366 Fines 28,543 30,257 30,000 26,314 30,000 31,000 Inter - Jurisdictional 646,584 941,251 685,780 489,803 666,839 708,392 Fund Transfers 1,349,652 1,663,426 1,976,365 1,460,968 1,883,518 1,759,754 Miscellaneous 902,591 532,360 468,200 400,451 516,530 462,650 TOTAL REVENUES 20,887,412 23,078,351 23,943,082 21,342,596 24,611,809 25,695,043 EXPENDITURE SUMMARY GENERAL GOVERNMENT CITY COUNCIL 46,728 84,546 88,375 73,428 87,240 87,675 CITY MANAGER 891,016 984,926 950,368 754,159 946,589 866,125 MUNICIPAL COURT 322,728 326,625 394,221 282,174 389,264 390,441 CUSTOMER RELATIONS -311 103,785 105,075 112,790 88,793 110,123 114,691 PLANNING S ZONING 229,803 161,738 155,482 102,266 153,327 157,827 LEGAL SERVICES 550,794 511,331 450,000 213,494 360,000 360,000 GENERAL SERVICES 882,015 801,978 811,672 582,823 817,504 792,803 BUILDING 6 -8 MAINTENANCE 0 164,037 200,860 139,451 200,860 201,185 CITY SECRETARY 177,335 161,039 189,876 142,424 179,287 187,617 NONDEPARTMENTAL 1,288,323 1,422,472 2,243,927 1,328,940 2,155,553 2,760,829 PUBLIC AFFAIRS 314,768 274,729 269,690 171,553 265,217 308,220 RECORDS MANAGEMENT 56,603 60,879 69,037 43,207 55,862 63,256 SCHERTZ TALES MAGAZINE 419,732 417,930 406,684 281,349 383,582 404,608 ENGINEERING 195,816 204,717 295,026 142,860 295,297 336,768 GIS 127,223 132,157 142,703 107,930 142,612 154,795 TOTAL GENERAL GOVERNMENT 5,606,668 5,814,179 6,780,711 4,454,852 6,542,317 7,186,840 PUBLIC SAFETY POLICE 5,038,641 5,374,637 5,471,250 4,310,094 5,441,901 5,763,594 FIRE RESCUE 2,779,954 2,920,922 3,052,134 2,332,669 3,053,200 3,472,877 INSPECTIONS 436,088 445,789 501,810 370,899 501,741 584,612 MARSHAL'S OFFICE 598,748 581,675 650,987 509,202 635,953 658,671 TOTAL PUBLIC SAFETY 8,853,431 9,323,023 9,676,181 7,522,864 9,632,795 10,479,954 11 8 -28 -2014 08:31 AM 101 - GENERAL FUND FINANCIAL SUMMARY PUBLIC ENVIRONMENT STREETS TOTAL PUBLIC ENVIRONMENT PARKS & RECREATION PARKS SWIM POOL EVENT FACILITIES SENIOR CITIZEN CENTER TOTAL PARKS & RECREATION TOTAL CULTURAL HEALTH ANIMAL SERVICES TOTAL HEALTH INTERNAL SERVICE INFORMATION TECHNOLOGY HUMAN RESOURCES FINANCE PURCHASING & ASSET MGT FLEET SERVICE BUILDING MAINTENANCE TOTAL INTERNAL SERVICE MISC & PROJECTS CITY'S ASSISTANCE COURT - RESTRICTED FUNDS TOTAL MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES 12 C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )( -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 976,327 951,528 1,105,905 860,778 1,103,047 1,049,510 976,327 951,528 1,105,905 860,778 1,103,047 1,049,510 789,974 796,899 799,748 551,871 771,873 921,131 235,985 226,370 254,503 84,321 253,078 253,078 131,211 136,160 142,522 97,668 140,609 155,801 0 0 53,615 35,392 60,955 46,390 1,157,170 1,159,429 1,250,388 769,252 1,226,515 1,376,400 821,351 830,149 836,476 635,352 844,030 842,473 621,351 830,149 836,476 635,352 844,030 842,473 346,318 341,961 454,136 291,873 463,541 503,260 346,318 341,961 454,136 291,873 463,541 503,260 918,510 907,835 1,452,402 1,074,655 1,481,100 1,625,529 346,134 365,935 414,508 290,727 391,518 423,683 447,861 456,025 473,301 364,976 466,515 536,120 264,559 255,325 267,159 205,584 267,158 273,468 399,686 463,328 490,646 435,127 507,106 648,702 0 148,680 298,529 175,643 324,433 267,599 2,376,750 2,597,128 3,396,545 2,546,711 3,437,830 3,775,101 52,281 52,000 74,000 82,648 87,648 86,678 15,019 21,082 6,400 840 840 85,872 67,300 73,082 80,400 83,488 88,488 172,550 20,205,316 21,090,479 23,580,742 17,165,170 23,338,563 25,386,088 682,096 1,987,872 362,340 4,177,426 1,273,246 308,955 12 B-25-2014 02:23 PM 101 - GENERAL FUND REVENUES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE 13 ( - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Taxes 000 - 411100 Advalorem Tax- Current 6,883,059 7,462,371 7,839,691 8,031,322 8,035,383 9,188,520 000 - 411200 Advalorem Tax - Delinquent 51,219 49,257 50,000 24,767 28,000 50,000 000 - 411300 Advalorem Tax -P &I 36,174 42,219 50,000 37,100 46,000 50,000 000 - 411400 Roll Back Property Tax 9,856 0 0 0 0 0 000 - 411500 Sales Tax Revenue -Gen Fund 5,309,018 6,421,478 6,870,981 5,824,760 7,063,625 7,346,170 000 - 411600 Bingo Tax 0 0 0 31 31 0 000 - 411700 Mixed Beverage Tax 28,586 30,421 28,000 29,649 32,000 31,000 TOTAL Taxes 12,317,913 14,005,746 14,838,672 13,947,629 15,205,039 16,665,690 Franchises 000 - 421200 Center Point /Entex Energy 52,073 62,054 72,100 71,261 87,202 87,202 000 - 421220 City Public Service 366,987 426,016 460,837 443,443 553,820 649,940 000 - 421240 Guadalupe Valley Elec Co -op 405,517 404,843 400,000 250,521 443,320 443,320 000 - 421250 New Braunfels Utilities 55,203 52,573 61,800 51,710 60,697 60,697 000 - 421300 Time Warner -State Franchise 329,900 303,334 300,000 235,702 275,000 275,000 000 - 421460 AT &T Franchise Fee 198,647 225,257 260,868 206,516 250,000 250,000 000 - 421480 Other Telecom Franchise 55,721 8,953 115,000 51,087 50,000 100,000 000 - 421500 Solid Waste Franchise Fee 102,985 106,199 108,000 93,634 110,350 120,000 TOTAL Franchises 1,567,035 1,589,229 1,778,605 1,403,875 1,830,389 1,986,159 Permits 000 - 431100 Home Occupation Permit 350 490 490 525 650 420 000 - 431200 Building Permit 26 0 0 0 0 0 000 - 431205 Bldg Permit- Residential 418,487 451,914 404,420 311,453 356,476 356,476 000 - 431210 Bldg Permit - Commercial 203,101 352,983 170,000 228,249 233,330 125,521 000 - 431215 Bldg Permit - General 112,395 136,837 283,296 296,811 566,470 350,000 000 - 431300 Mobile Home Permit 250 575 450 675 750 525 000 - 431400 Signs Permit 2,934 6,139 4,582 6,890 7,500 11,920 000 - 431500 Food Establishmnt Permit 42,875 43,165 45,000 28,565 48,000 48,000 000 - 431600 Garage Sale Permit 11,680 12,070 12,000 10,517 10,840 10,840 000 - 431700 Plumbing Permit 113,237 125,024 117,324 82,031 100,851 100,851 000 - 431750 Electrical Permit 47,711 59,720 50,000 43,705 50,000 50,000 000 - 431800 Mechanical Permit 54,600 56,520 50,000 43,400 50,000 50,000 000 - 431900 Solicitor /Peddler Permit 1,640 1,670 1,000 1,160 750 1,000 000 - 431950 Animal /Pet Permit 2,175 1,895 2,000 1,515 2,000 2,000 000 - 432000 Cert of Occupancy Prmt 7,300 5,700 6,500 5,400 6,000 5,250 000 - 432100 Security Alarm Permit 48,747 46,071 45,000 33,170 36,690 45,000 000 - 432300 Grading /Clearing Permit 0 2,483 3,000 3,833 6,000 3,000 000 - 435000 Fire Permit 8,325 17,375 10,000 21,506 21,000 15,000 TOTAL Permits 1,075,833 1,320,631 1,205,062 1,119,404 1,497,307 1,175,803 Licenses 000 - 441000 Alcohol Beverage License 5,498 6,360 5,500 6,503 7,000 7,000 000 - 441300 Mobile Home License 80 160 200 160 160 160 000 - 442000 Contractors License 60,410 67,070 60,200 63,100 79,569 79,569 000 - 444000 Pet License 4,480 4,561 4,200 3,105 3,500 4,500 TOTAL, Licenses 70,468 78,151 70,100 72,868 90,229 91,229 13 B-25-2014 02:23 PM 101 - GENERAL FUND REVENUES 2011 -2012 ACTUAL C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2012 -2013 CURRENT Y -T -D ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU Fees 000 - 451000 Municipal Court Fines 1,479,053 1,328,401 1,345,300 1,067,508 1,250,000 1,300,000 000 - 451100 Arrest Fee 63,267 63,287 56,734 43,373 54,274 56,534 000 - 451110 Expunction Fee 30 30 120 0 90 120 000 - 451200 Warrant Fees 141,400 160,737 148,500 117,384 135,000 150,000 000 - 451210 Court - Claims S Judgements 1,642 ( 388) 0 ( 773) 0 0 000 - 451320 Civil Justice Fee -Court 100 98 97 18 30 34 000 - 451321 Civil Justice Fee -State 900 887 885 166 276 288 000 - 451340 Judicial Fee -City 8,300 8,445 8,562 5,804 7,264 7,567 000 - 451400 Traffic Fine Costs TTL 32,623 32,352 32,246 21,555 26,938 28,060 000 - 451500 Teen Court Admin Fee 440 220 200 40 40 200 000 - 451510 Juvenile Case Mgmt Fee 69,235 70,435 64,384 48,384 60,540 63,062 000 - 451520 Truancy Fees 0 0 0 4,535 4,234 4,586 000 - 451600 Technology Fund Fee 55,634 56,488 59,500 39,008 48,838 50,872 000 - 451700 Security Fee 41,725 42,366 42,655 29,256 36,634 38,160 000 - 451800 Time Payment Fee -City 5,389 6,329 6,238 5,676 7,798 8,122 000 - 451850 State Fines 10% Service Fee 68,805 88,443 92,278 68,504 87,107 90,736 000 - 451900 DPS Payment -Local 11,135 12,696 13,981 9,144 11,571 12,053 000 - 452000 Child Safety Fee 24,951 19,319 22,076 15,870 22;628 23,570 000 - 452050 Indigent Defense Fee 26,957 0 31,076 5,099 8,498 8,852 000- 452100 Platting Fees 65,500 49,811 52,500 52,750 47,500 47,500 000 - 452200 Site Plan Fee 24,000 25,500 25,500 23,500 25,000 30,000 000 - 452300 Plan Check Fee 349,669 456,943 361,264 415,619 531,842 400,000 000 - 452310 Misc Review Fee 6,000 600 1,200 3,000 3,500 1,200 000 - 452320 Tree Mitigation Admin Fee 12,200 3,278 10,000 40,193 42,000 10,000 000- 452400 13OA /Variance Fees 3,250 4,000 3,500 4,000 5,000 5,000 000 - 452500 Food Handlers Permit 17,150 18,094 26,400 14,930 20,000 20,000 000 - 452520 Fire Training Classes 0 0 0 0 0 500 000 - 452600 Specific Use /Zone Chng Fee 30,500 22,500 25,800 13,450 25,800 25,800 000 - 452710 Zoning Ltr S Dev Rights 1,950 1,800 1,050 450 1,050 1,050 000 - 453100 Reinspection Fees 40,200 34,650 36,700 28,471 30,000 26,900 000- 453110 Swim Pool Inspection Fee 1,500 1,725 1,500 2,275 2,500 1,800 000 - 453200 Lot Abatement 2,798 9,756 7,000 6,281 9,000 7,000 000 - 453211 Admin Fee - Inspections 8,940 5,300 5,200 7,793 7,500 6,600 000- 453310 Misc Inspection Fees 269 0 0 3,050 3,750 3,750 000 - 453710 Foster Care 700 1,150 1,400 800 900 900 000 - 454100 Swim Pool Reservation Fee 55 0 0 0 0 0 000 - 454200 Pool Gate Admission Fee 23,949 23,164 22,400 19,414 23,200 23,200 000 - 454300 Seasonal Pool Pass Fee 5,035 5,665 5,100 5,933 5,293 4,900 000 - 456110 Senior Center Memberships 0 0 5,625 1,944 4,000 2,000 000 - 456120 Senior Center Meal Fee 0 0 30,785 8,138 18,000 16,000 000 - 456500 HAZ MAT Fees 6,985 1,250 12,000 810 1,200 12,000 000 - 456600 Fire Re- inspection Fee 700 1,100 750 800 750 750 000 - 458100 Sale of Merchandise 37 0 0 210 210 0 000 - 458110 Sale of Mdse - GovDeals 0 5,074 18,000 16,239 15,000 5,000 000 - 458300 Sale of Property /Auction 20,741 2,668 2,000 17 17 2,000 000 - 458400 Civic Center Rental Fees 110,064 192,735 140,916 144,051 150,000 142,000 000 - 458401 Capital Recovery Fee -Civic C 5,225 4,825 5,000 6,890 6,500 5,500 000 - 458450 North Center Rental Fees 22,093 21,997 20,600 19,972 20,000 21,000 14 8 -25 -2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN, ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 000 - 458460 Senior Center Rental 0 0 18,000 7,589 16,000 7,000 000 - 458500 Community Center Rental Fees 25,532 29,465 27,026 18,569 22,000 26,000 000 - 458550 Pavilion Rental Fees 17,577 19,054 18,500 14,608 17,500 17,500 000 - 458560 Chamber of Comm Rent 7,800 7,800 7,800 3,920 7,800 7,800 000 - 458570 Non - Resident SYSA League 16,030 7,845 0 0 0 8,000 000 - 458650 NonResident User Fee -BVYA 8,860 9,550 5,000 9,140 9,140 9,500 000 - 458660 BVYA Utility Reimbursement 9,518 2,953 8,400 8,587 12,500 12,500 000- 458670 SYSA Utility Reimbursement 6,579 2,999 0 0 0 1,500 000 - 458675 Lions Futbol Utility Reimbrsm 0 9,288 14,000 2,700 7,032 14,000 000 - 458680 Tournament Fees 7,625 600 0 0 0 500 000 - 458700 Vehicle Impoundment 1,380 6,440 6,000 7,680 7,680 8,000 000 - 459200 NSF Check Fee 650 517 650 195 500 500 000 - 459300 Notary Fee 372 234 300 222 360 300 000 - 459400 Maps,Copies,UDC & Misc Fees 78 115 100 100 100 100 000 - 459600 Animal Adoption Fee 12,609 16,565 17,500 10,261 12,500 16,000 000 - 459700 Pet Impoundment Fee 16,882 13,729 14,000 11,731 12,500 14,000 000- 459800 Police Reports Fee 6,206 6,421 6,000 4,453 5,074 6,000 TOTAL Fees 2,928,793 2,917,302 2,890,298 2,421,286 2,891,958 2,814,366 Fines 000 - 463000 Library Fines 28,543 30,257 30,000 26,314 30,000 31,000 TOTAL Fines 28,543 30,257 30,000 26,314 30,000 31,000 Inter - Jurisdictional 000 - 473100 Bexar Co - Fire 21,078 21,078 21,072 7,026 21,072 21,072 000 - 473200 City of Seguin -Fire Contract 40,263 40,263 30,000 24,359 30,000 30,000 000 - 473300 Guadalupe Co- Library 190,816 208,343 208,343 190,981 208,343 208,000 000 - 473400 Randolph AFB- Animal Control 600 1,400 1,500 1,100 1,500 1,500 000 - 474200 Library Services - Cibolo 20,000 20,000 25,000 0 25,000 25,000 000 - 474210 Library Services -Selma 18,393 26,560 26,560 28,220 28,220 28,220 000 - 474400 Dispatch Service - Cibolo 133,305 133,305 133,305 66,653 133,305 160,000 000 - 474600 School Crossing Guard - Bexar C 35,826 37,139 40,000 30,662 33,868 40,000 000 - 474610 School Cross Guard - Guadalupe 36,303 37,445 40,000 21,747 28,974 38,000 000 - 474620 School Crossing Guards - Coma 0 1,388 0 1,457 1,457 1,500 000 - 474700 School Officer Funding 150,000 150,000 160,000 117,600 155,100 155,100 000- 474800 CPS CIED Funding 0 264,330 0 0 0 0 TOTAL Inter - Jurisdictional 646,584 941,251 685,780 489,803 666,839 708,392 Fund Transfers 000 - 480000 Indirect Costs -EMS 87,840 87,840 137,038 114,198 137,038 136,087 000 - 480100 Indirect Costs -Hotel /Motel 142,626 157,517 145,385 121,154 145,385 66,405 000 - 482100 Transfer In- Reserves -Ct Tech 0 0 10,278 0 0 0 000 - 482150 Transfer In -Court Security 0 0 42,569 0 0 27,249 000 - 485000 Interfund Charge - Drainage -5% 35,480 49,708 51,800 43,167 51,800 57,130 000 - 486000 Interfund Chrges -Admin W &S 881,222 1,060,963 1,152,350 960,292 1,152,350 1,152,350 000 - 486106 Transfer In- Special Events 1,000 0 0 0 0 0 000 - 486202 Transfer In -Water &Sewer Fund 0 0 136,000 0 96,000 40,000 000 - 486203 Transfer In -EMS 0 0 1,356 0 1,356 0 000 - 486314 Transfer In Hotel /Motel 0 0 33,000 0 33,000 0 000 - 487000 Interfund Charges -Fleet 98,484 112,761 130,344 108,620 130,344 180,237 15 8 -25 -2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 000 - 488000 Interfund Charges -4B 53,000 194,637 136,245 113,538 136,245 100,296 000 - 489620 Contribution -SEDC 50,000 0 0 0 0 0 TOTAL Fund Transfers 1,349,652 1,663,426 1,976,365 1,460,968 1,883,518 1,759,754 Miscellaneous 000 - 491000 Interest Earned 333 458 500 307 525 550 000 - 491200 Investment Income 47,915 41,975 45,000 18,074 27,883 26,000 000 - 491800 Gain /Loss ( 9,810) ( 16,606) 0 ( 17,123) 17,123 0 000 - 491900 Unrealized Gain /Loss- CapOne ( 19,285) ( 15,650) ( 26,000) 10,239 5,000 ( 20,000) 000 - 492100 Proceeds -Sale of Land 194,468 0 0 0 0 0 000 - 493120 Donations - Public Library 0 7,500 5,000 7,259 11,500 5,000 000 - 493130 Donations - Writing Next Chapte 5,331 325 0 0 0 0 000 - 493400 Donations - Animal Control 4,473 2,220 4,000 1,163 2,000 1,000 000 - 493401 Donations -A /C Microchip 1,990 1,585 2,000 1,120 1,500 1,400 000 - 493402 Donations- Spay &Neuter 14,876 13,158 14,000 8,814 10,000 10,000 000 - 493403 Donation -A.S Adoption Trailer 0 0 0 2,000 2,000 9,000 000 - 493465 Donations - Senior Center 0 0 0 30,032 45,000 12,000 000 - 493502 Donations -PD 0 0 0 2,400 2,400 0 000 - 493503 Donation -Fire Rescue 0 2,250 0 0 0 0 000 - 494481 LawEnforcemtOfficersStnd &Educ 50 0 0 3,931 3,931 0 000 - 494482 Grants - Police, Fire, Gen Fund 175,511 0 0 5,500 4,679 0 000- 495040 Friends of N. Schertz Park Pr 3,149 885 0 0 0 0 000 - 495060 Grant - Wellmed /Senior Center 0 0 3,500 0 3,500 3,500 000 - 495100 Mobile Stage Rental Fees 2,850 1,550 2,000 1,550 1,550 2,000 000 - 497000 Misc Income -Gen Fund 88,773 13,620 20,000 33,082 32,000 20,000 000 - 497005 Schertz Magazine Advertising 215,999 230,248 220,000 189,950 220,000 220,000 000 - 497006 Misc Income -Kept Deposits 0 200 0 0 0 0 000 - 497007 Misc Income - Schertz Artz 2 50 0 0 0 0 000 - 497100 Misc Income - Police 18,667 23,823 12,000 4,078 5,000 15,000 000 - 497150 Misc Income -Fire Department 292 292 0 0 0 0 000 - 497200 Misc Income- Library 3,857 4,370 4,000 3,818 4,700 4,000 000 - 497210 Misc Income- Library Copier 13,434 14,572 13,000 11,753 13,500 14,000 000 - 497300 Misc Income - Animal Control 110 300 0 0 0 0 000 - 497400 Misc Income- Streets Dept 18,280 19,584 18,000 27,344 30,000 18,000 000 - 497500 Misc Income -TML Ins. Claims 14,333 17,116 25,000 4,843 15,000 20,000 000 - 497550 Misc Income -TML WC Reimbursmn 18,978 19,793 15,000 20,341 25,000 20,000 000 - 497600 Misc Income - Vending Mach 1,755 2,433 2,200 1,912 1,900 2,000 000 - 498000 Reimbursmnt -Gen Fund 31,211 134,321 60,000 11,377 15,000 60,000 000 - 498100 Reimburmnt Fire - Training 0 0 0 4,399 3,207 1,000 000 - 498105 Reimbursmt Police OT -DEA 8,060 6,076 9,000 4,655 5,000 6,200 000 - 498107 Reimbrsmnt- Police OT- Events 0 0 0 3,500 3,500 7,000 000 - 498110 Reimburmnt Fire -Emg Acti -OT 46,990 5,739 20,000 4,132 4,132 5,000 000 - 498300 Reimburmnt -City Property 0 172 0 0 0 0 TOTAL Miscellaneous 902,591 532,360 468,200 400,451 516,530 462,650 TOTAL REVENUES 20,887,412 23,078,351 23,943,082 21,342,596 24,611,809 25,695,043 16 DEPARTMENT: 150 CITY COUNCIL FUND: 101 GENERAL FUND VISION STATEMENT Community. Service. Opportunity. The City operates under core values which we measure our actions, both as employees and elected officials. Our core values are simple, straightforward, and directive: Do the right thing Do the best you can Treat others the way you would want to be treated Work together cooperatively as a team MISSION STATEMENT To ensure our community enjoys an exceptional quality of life and sustainable economic prosperity. GOALS AND OBJECTIVES • Economic Prosperity • Fiscally Sustainable • Family Friendly for all ages • High Quality of Life • Safe Community • Essential Services • Attractive Community • Innovative and Proactive • Service Oriented • Friendly City 17 CITY COUNCIL DEPARTMENT DESCRIPTION The Schertz City Council is made up of six elected officials. City residents elect a Mayor and five Council members at- large. A Mayor Pro - Tempore is appointed with a majority vote of the Council. Term dates for the Mayor Pro - Tempore position begin in February and August of each year (the election dates offset by three (3) months). Terms will sequentially rotate according to Councilmember place. The Mayor and five City Council members are paid a modest stipend. The Schertz City Council is the City's legislative body. It sets policies, approves budgets, determines tax rates and passes ordinances and resolutions to govern the City. Council also appoints citizen volunteers to approximately 7 City advisory boards, committees, and commissions; and appoints and supervises the performances of the City Manager, City Secretary, Deputy City Secretary, City Attorney, and Municipal Court Judges. ORGANIZATIONAL CHART 18 CITY COUNCIL PERFORMANCE INDICATORS Number of ordinances passed Number of resolutions passed 34 59 60 121 112 115 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Number of ordinances passed Number of resolutions passed 34 59 60 121 112 115 Meeting Attendance rate 90% 92% 92% 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Meeting Attendance rate 90% 92% 92% Number of Council Meetings 50 50 50 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Number of Council Meetings 50 50 50 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel 21,575 24,303 23,575 Supplies 646 508 1,800 City Support Services 40,057 40,538 40,600 Operations Support 484 300 400 Staff Support 21,463 30,391 21,300 Professional Services 0 1,200 0 Total $84,546 $87,240 $87,675 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 0.5% from the FY 2013 -14 year end estimate. There will be no change in operations. a B-28-2014 08:31 AM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU CITY COUNCIL Personnel Services 150 - 511110 Regular 14,003 14,531 15,600 13,348 15,600 15,600 150 - 511240 Allowances 5,401 5,781 6,300 3,912 6,300 6,300 150 - 511310 FICA- Employer 1,484 1,559 1,675 1,307 1,675 1,675 150 - 511500 Workers, Compensation 30 27 0 728 728 0 TOTAL Personnel Services 20,917 21,898 23,575 19,295 24,303 23,575 Supplies 150 - 521000 Operating Supplies 669 520 500 469 500 1,500 150 - 521100 Office Supplies 29 126 0 8 8 300 TOTAL Supplies 697 646 500 476 508 1,800 City Support Services 150 - 532600 City Elections 5,142 26,187 29,100 27,617 27,617 27,000 150 - 532800 Special Events 3,000 13,870 13,000 12,975 12,921 13,600 TOTAL City Support Services 8,142 40,057 42,100 40,593 40,538 40,600 Utility Services Operations Support 150 - 534200 Printing s Binding 7 483 300 279 300 400 TOTAL Operations Support 7 483 300 279 300 400 Staff Support 150 - 535100 Uniforms 326 12 300 291 291 400 150- 535200 Awards 82 31 300 0 0 300 150- 535300 Memberships 6,223 6,682 7,100 6,556 7,100 7,100 150 - 535500 Training /Travel 10,334 14,738 13,000 5,938 13,000 13,500 TOTAL Staff Support 16,964 21,463 20,700 12,785 20,391 21,300 Professional Services 150 - 541300 Other Consl /Prof Services 0 0 1,200 0 1,200 0 TOTAL Professional Services 0 0 1,200 0 1,200 0 Rental /Leasing Operating Equipment TOTAL CITY COUNCIL 46,728 84,546 88,375 73,428 87,240 87,675 20 DEPARTMENT: 151 CITY MANAGER FUND: 101 GENERAL FUND VISION STATMENT Provide the needed leadership to ensure fiscal responsibility throughout the organization, plan for future needs, and continue to deliver on the communities expectations of service and opportunity today and in the future. MISSION STATEMENT To effectively lead, manage, and coordinate City staff and resources to meet the goals and needs of the City Council and public in a timely manner while delivering first -class municipal services for a thriving residential and business community. GOALS AND OBJECTIVES • Develop strategic plans and systems to meet the many diverse needs of the community. • Respond effectively and timely to City Council requests. • Develop effective programs to enhance business development and growth. • Develop management systems for efficient and effective use of resources • Recruit, retain and develop talented staff. • Evaluate, integrate, and utilize prudent technology to efficiently deliver municipal services to the community. DEPARTMENT DESCRIPTION The City Manager and his department advise the Council on policy and operational planning issues. The department assures that policies adopted by the Council are carried out efficiently, fairly, and effectively. It oversees and manages the daily affairs of the City, assesses the long -term capital and service delivery needs of the City, and prepares and administers the annual operating and capital budget. He serves as a focal point for the management of City staff. 21 CITY MANAGER ORGANIZATIONAL CHART CITY MANAGER 2012 -13 2013 -14 2014 -15 City Manager 1 1 1 Deputy City Manager 0 0 1 Executive Director 3 3 1 Chief of Staff 1 1 1 Executive Assistant 2 2 2 TOTAL POSITIONS 7 7 6 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $951,751 $911,509 $832,380 Supplies 1,082 2,750 3,000 City Support Services 0 2,100 2,770 Operations Support Services 0 100 0 Staff Support 32,093 30,130 27,975 Total $984,926 $946,589 $866,125 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will decrease by 8.5% from the FY 2013 -14 year end estimates. This decrease is from the transfer of funding for an Executive Director position to fund positions in other departments in the budget as approved in the Mid -Year Adjustment. 22 B-25-2014 02:23 PM C I T O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU CITY MANAGER Personnel Services 151 - 511110 Regular 630,143 686,087 654,726 521,123 655,326 594,452 151 - 511120 Overtime 0 985 0 681 228 500 151 - 511180 LTD 1,970 2,201 2,029 1;811 2,029 1,843 151 - 511210 Longevity 9,126 11,943 8,805 9,147 9,147 8,673 151 - 511230 Certification Allowance 600 877 1,800 727 1,800 1,800 151- 511240 Allowances 31,477 34,800 34,800 25,892 35,400 27,600 151 - 511310 FICA - Employer 46,858 49,379 50,898 37,330 50,898 46,315 151 - 511350 TMRS- Employer 103,309 116,025 104,649 92,074 104,649 102,756 151 - 511355 ICMA Contributions - Employer 0 7,333 10,000 10,000 10,000 10,000 151 - 511410 Health - Employer 37,343 41,230 41,767 34,092 41,767 37,352 151 - 511500 Workers' Compensation 859 891 1,244 265 265 1,089 TOTAL Personnel Services 861,685 951,751 910,718 733,142 911,509 832,380 Supplies 151 - 521100 Office Supplies 3,032 1,082 3,000 2,722 2,750 3,000 TOTAL Supplies 3,032 1,082 3,000 2,722 2,750 3,000 City Support Services 151 - 532800 Special Events 0 0 0 1,763 2,100 2,770 TOTAL City Support Services 0 0 0 1,763 2,100 2,770 Utility Services Operations Support 151 - 534200 Printing 6 Binding 45 0 100 0 100 0 TOTAL Operations Support 45 0 100 0 100 0 Staff Support 151 - 535100 Uniforms 0 133 0 0 0 1,500 151 - 535200 Merit Incentive 0 2,369 5,000 453 5,000 5,000 151 - 535300 Memberships 5,701 5,585 6,000 5,072 4,000 3,235 151 - 535400 Publications 293 260 980 829 980 1,010 151 - 535500 Training /Travel 20,260 23,651 23,220 10,178 20,000 12,000 151 - 535510 Meeting Expenses 0 0 0 0 0 5,230 151 - 535600 Professional Certification 0 95 150 0 150 0 TOTAL Staff Support 26,254 32,093 35,350 16,532 30,130 27,975 Professional Services 151 - 541300 Other Consl /Prof Services 0 0 1,200 0 0 0 TOTAL Professional Services 0 0 1,200 0 0 0 23 8 -25 -2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES Rental /Leasing Operating Equipment Capital Outlay TOTAL CITY MANAGER C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 891,016 984,926 950,368 754,159 946,589 866,125 24 DEPARTMENT: 152 MUNICIPAL COURT FUND: 101 GENERAL FUND VISION STATEMENT It is the vision of the Schertz Municipal Court to be the most efficient and impartial court, while maintaining an essential approach to customer service relations. MISSION STATEMENT The mission of the City of Schertz Municipal Court is to administer justice under the law, equally, impartially, and efficiently in a professional environment with respect for all. Additionally, it is the mission of this division to provide a friendly environment responding to the needs of all people who come in contact with Schertz Municipal Court. GOALS AND OBJECTIVES • Promote respect for the administration of justice through improvements in the Court's customer service and the physical attributes of the Municipal Court building. • Implement the use of new technology and other innovative practices to maintain efficient and security. • Promote traffic safety by focusing attention on fair and impartial punishment for those individuals charged in this court. • Seek input from personnel to maintain a positive work environment. • Implementing a new filing system for our closed cases. • Renovate front counter to include and efficient work station for clerks and defendants. 25 MUNICIPAL COURT DEPARTMENTAL DESCRIPTION Municipal Court represents the judicial branch of the City's government; the Mayor and City Council serve as the executive and legislative branches. Municipal Court has jurisdiction over all Class C misdemeanors and City ordinances. The staff of Municipal Court has various functions and responsibilities. The judge presides over all trials (jury and non -jury) and other court proceedings such as arraignments and show cause hearings. The judge also has magistrate duties (signing arrest warrants and juvenile warnings as well as visiting arrested individuals at the jail). The judge issues processes such as subpoenas, summons, and warrants and completes other administrative duties for the court functions and staff. The court clerks are the administrative arm of the Municipal Court. The clerks are responsible for seeing that all of the court's papers are accurate, orderly, and complete. The clerk's primary responsibilities include processing citations, summons, complaints, warrants, past due letters, and show cause hearing letters. The clerks maintain the court's docket and coordinate case scheduling. The clerks directly interact with the public, providing all services needed including explaining to defendants the court procedures and their options. Clerks also receive payments, summon potential jurors, and ensure juror payment. Assist the judge with open records requirements, report convictions, Drivers Safety Course and alcohol violations to the Texas Department of Public Safety, assist the Marshal Officer's with warrants, and complete all required accounting reports. The prosecutor's duties include preparing and presenting the State's case at all municipal court trials, preparing and drafting complaints, arranging for the appearance of State's witnesses and requesting dismissal of cases under the appropriate circumstances. 26 MUNICIPAL COURT ORGANIZATIONAL CHART MUNICIPAL COURT 2012 -13 2013 -14 2014 -15 Director /Court Clerk 1 1 1 Clerk /Juvenile Case Manager 1 1 1 Deputy Clerk 3 4 4 TOTAL POSITIONS 1 5 5 5 27 MUNICIPAL COURT PERFORMANCE INDICATORS Charges Filed Cases Disposed Total Amount Collected Amount Remitted to State 21,760 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Charges Filed Cases Disposed Total Amount Collected Amount Remitted to State 21,760 17,540 18,145 21,554 16,690 17,645 $2,995,770 $2,886,680 $2,979,850 $605,102 $530,868 $593,112 % Of New Charges Disposed 99% 95% 97% 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget % Of New Charges Disposed 99% 95% 97% Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $263,450 $308,618 $301,231 Supplies 2,398 2,379 3,500 City Support Services 0 1,000 1,000 Operations Support 4,176 4,000 4,500 Staff Support 3,538 6,476 7,710 Court Support 120 700 700 Professional Services 51,543 62,491 68,200 Maintenance Services 1,400 2,800 2,800 Operating Equipment 0 800 800 Total $326,625 $389,264 $390,441 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 0.3% from the FY 2013 -14 year end estimates. The increase in court costs are offset by reducing funding for the vacant court clerk position to 9 months. This position will be filled if the number of court cases filed continues to increase. 28 B -25 -2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 152 - 511110 Regular 101 - GENERAL FUND AS OF: JULY 31ST, 2014 157,985 GENERAL, GOVERNMENT 207,662 152 - 511180 LTD 555 EXPENDITURES 662 (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 644 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO 5,298 ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU MUNICIPAL COURT Personnel Services 152 - 511110 Regular 162,546 183,624 213,638 157,985 213,636 207,662 152 - 511180 LTD 555 562 662 507 662 644 152 - 511210 Longevity 3,753 4,576 5,298 4,727 4,432 4,651 152 - 511230 Certification Allowance 1,500 1,431 1,500 658 1,500 1,500 152 - 511310 FICA - Employer 13,621 13,945 16,663 12,043 16,863 16,357 152 - 511350 TMRS- Employer 29,276 29,656 34,675 26,469 34,675 34,707 152 - 511410 Health - Employer 28,274 29,327 36,648 26,361 36,648 35,325 152 - 511500 Workers' Compensation 270 324 397 0 0 385 TOTAL Personnel Services 259,996 263,450 309,661 226,749 308,618 301,231 Supplies 152 - 521100 Office Supplies 1,660 2,398 2,000 1,156 1,879 3,000 152 - 521600 Equip Maint Supplies 230 0 500 0 500 500 TOTAL Supplies 1,910 2,396 2,500 1,156 2,379 3,500 City Support Services 152- 532800 Special Events 1,000 0 1,000 0 1,000 1,000 TOTAL City Support Services 1,000 0 1,000 0 11000 1,000 Utility Services Operations Support 152 - 534100 Advertising 0 960 0 0 0 0 152 - 534200 Printing & Binding 2,767 3,216 4,000 1,561 4,000 4,500 TOTAL Operations Support 2,767 4,176 4,000 1,561 4,000 4,500 Staff Support 152- 535100 Uniforms 204 0 500 0 450 500 152 - 535300 Memberships 0 450 640 450 490 710 152 - 535400 Publications 5 36 500 36 336 500 152 - 535500 Training /Travel 1,555 1,676 4,000 2,500 3,500 4,000 152 - 535510 Meeting Expenses 999 1,374 1,700 1,401 1;700 2,000 TOTAL Staff Support 2,764 3,536 7,340 4,367 6.,476 7,710 Court Support 152 - 536500 Court /Jury Cost 0 120 700 0 700 700 TOTAL Court Support 0 120 700 0 700 700 29 8 -25 -2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU Professional Services 152 - 541300 Other Consl /Prof Services 0 875 0 0 0 0 152 - 541310 Judges Services 22,829 22,903 32,000 22,427 35,538 35,000 152- 541320 Prosecutor Services 28,956 27,605 33,000 21,956 26,793 33,000 152 - 541330 Interpreter Services 160 160 200 0 160 200 TOTAL Professional Services 51,945 51,543 65,200 44,383 62,491 68,200 Maintenance Services 152 - 551400 Minor & Other Equip. Maint. 100 0 800 0 800 800 152- 551800 Other Maintenance Agreements 1,750 1,400 2,000 1,900 2,000 2,000 TOTAL Maintenance Services 1,850 1,400 2,800 1,900 2,800 2,800 Rental /Leasing Operating Equipment 152 - 571000 Furniture & Fixtures 497 0 800 37 800 800 TOTAL Operating Equipment 497 0 800 37 800 800 Capital Outlay TOTAL MUNICIPAL COURT 322,728 326,625 394,221 282,174 389,264 390,441 30 DEPARTMENT: PUBLIC AFFAIRS DIVISION: 153 CUSTOMER RELATIONS /311 Fund: 101 General Fund VISION STATEMENT Provide a convenient, central point for customers to enjoy excellent and courteous customer service when calling, emailing, or visiting to request or inquire about municipal services. IlyiIR14 If] &]If- A94►Yi14►110 To provide high quality, courteous, and timely customer service in response to requests and inquiries from the public and fellow City employees. GOALS AND OBJECTIVES • Answer all customer requests in a friendly and professional manner. • Ensure Customer Relations /311 Representatives are knowledgeable and well trained. • Ensure each request, inquiry, and work order is processed through the appropriate department in a timely manner. • Provide convenient service to each customer and prevent call backs. • Meet and exceed each customer's expectations. DEPARTMENT DESCRIPTION Answer general incoming calls and direct them to the correct departments, when necessary. Accurately process customer requests and inquiries; create work orders and route to the appropriate department; monitor work order process through life cycle. Receive process and answer incoming email traffic through the Customer Care email portal. Manage and update WebQA, the City's work order system. Serve as receptionist in the City Administration Building. This department is overseen by the Public Affairs Director. 31 CUSTOMER RELATIONS /311 ORGANIZATIONAL CHART CUSTOMER RELATIONS /311 2012 -13 2013 -14 2014 -15 Customer Relations /311 Rep 2 2 2 Customer Relations /311 Rep (PT) 1 1 1 TOTAL POSITIONS 3 3 3 PERFORMANCE INDICATORS Work Orders (311) 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Work Orders (311) 26* 20 30 Work Orders (For Other Depts) 445 350 400 Calls Received 47,991 47,264 52484 Average Calls Per Day Received 197 191 237 Calls Exiting System (Answered by Other Staff) 821 20^ 19^ Abandoned Calls (Hung Up) 4,039 4,000 4,445 Emails Processed for Customers 2435 1,500 2,225 WebQA Searches by Customers 6,332 5,900 5,867 Customer at Window 5,216 5,000 4,201 *July 2012 these requests go Directly to Public Works ^no dedicated staff 32 CUSTOMER RELATIONS/311 Personnel 2011 -12 2012 -13 2013 -14 Budget Actual Estimate Budget Personnel $104,689 $109,702 $113,241 Supplies 50 200 200 Staff Support 336 221 750 Operating Equipment 0 0 500 Total $105,075 $110,123 $114,691 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 4.1% from the FY 2013 -14 year end estimates. This increase is due to personnel related increases and the replacement of workstation equipment. 33 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES 2011 -2012 ACTUAL, C I T Y OF S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- 2012 -2013 CURRENT Y -T -D ACTUAL BUDGET ACTUAL PROJECTED YEAR END PAGE -------- 2014 -2015 -- CITY ADMIN. ADO RECOMMENDED BU CUSTOMER RELATIONS -311 Personnel Services 153 - 511110 Regular 76,273 77,560 78,922 63,919 78,922 79,933 153 - 511120 Overtime 82 281 1,150 649 550 1,000 153 - 511180 LTD 193 193 199 165 199 203 153 - 511210 Longevity 1,894 2,158 2,422 2,422 2,422 2,753 153 - 511310 FICA - Employer 5,958 6,087 6,311 5,085 6,311 6,402 153 - 511350 TMRS- Employer 12,150 12,130 12,976 10,858 12,976 13,584 153 - 511410 Health - Employer 5,936 6,144 8,212 5,292 8,212 9,215 153 - 511500 Workers' Compensation 96 135 148 110 110 151 TOTAL Personnel Services 102,583 104,689 110,340 88,501 109,702 113,241 Supplies 153 - 521100 Office Supplies 279 50 200 121 200 200 TOTAL Supplies 279 50 200 121 200 200 Staff Support 153 - 535100 Uniforms 74 0 150 100 150 150 153 - 535300 Memberships 0 0 100 71 71 100 153 - 535500 Training /Travel 636 336 1,500 0 0 500 TOTAL Staff Support 710 336 1,750 171 221 750 Operating Equipment 153 - 571500 Operating Equipment 213 0 500 0 0 500 TOTAL Operating Equipment 213 0 500 0 0 500 TOTAL CUSTOMER RELATIONS -311 103,785 105,075 112,790 88,793 110,123 114,691 34 DEPARTMENT: DEVELOPMENT SERVICES DIVISION: 154 PLANNING & ZONING FUND: 101 GENERAL FUND VISION STATEMENT To positively impact the quality of life for residents and assist in the safe, balanced, efficient, visually appealing and economically sustainable development within Schertz' planning area. Schertz is the best place to live for a community over 50,000 in population... We agree... MISSION STATEMENT Guide the growth of the city to improve the quality of life for residents and maintain a strong sense of community. We strive to provide a level of personal service that is unmatched. GOALS AND OBJECTIVES • Update Comprehensive Land Plan for the City that promotes all aspects of our vision to ensure that Schertz is the best place to live. • Ensure the vision of the Comprehensive Land Plan and Master Thoroughfare Plan throughout the community by encouraging multi -modal transportation including pedestrian and bicycle routes and public transit. • Support the Master Parks Plan to provide welcoming parks, trails, open space and recreational facilities. • Implement the Schertz Sector Plan to support the future vision of the community through Unified Development Code amendments, zoning and long range plan development. • Update Planning website and development manual to provide improved customer service. • Continue to review and revise the Unified Development Code. • Promote continuous staff development. 35 PLANNING & ZONING ACCOMPLISHMENTS • Adopted revisions to the Unified Development Code associated with the Sector Plan. • Completed revisions to the Unified Development Code related to general provisions, duties of Boards and Commissions, signs and architectural design standards. • Codified the Unified Development Code in MuniCode. • Worked with Texas Department of Transportation and Alamo Area Metropolitan Planning Organization on the approval of a sidewalk project to FM 3009 to be funded and constructed in 2016. • Approximately 15 acres of developed public parkland has been dedicated in support of the Master Parks Plan. The improvements to the parks include playground equipment, walking trails, sport fields and open space gathering areas. DEPARTMENT DESCRIPTION The primary purpose of the Planning Division is to ensure planned and purposeful development within the City limits and the Extraterritorial Jurisdiction. The division provides guidance to help citizens, businesses and developers achieve successful development. Division responsibilities include review and processing of annexations, zone changes, specific use permits, development plans and plats for consistency with the Comprehensive Land Plan and Code compliance. Staff works with outside agencies to coordinate development projects and promote regional planning. The division also provides staff support and recommendations to the Planning and Zoning Commission, Capital Improvements Advisory Committee, Board of Adjustment and City Council. W PLANNING & ZONING ORGANIZATIONAL CHART PLANNING AND ZONING 2012 -13 2013 -14 2014 -15 Senior Planner 1 1 1 Planner 1 1 1 1 Planner Technician 1 * 1 * 1 * TOTAL POSITIONS 3 3 3 * Position is unfunded. PERFORMANCE INDICATORS Plats 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Plats 31 32 32 Site Plans and Master Plan 19 20 20 Variances 9 10 10 Zone Changes and Specific Use Permits 13 13 13 UDC/ Comp. Plan Revisions 3 6 6 Annexation 0 0 0 All Plats Site Plan, Master Plan Variance Zone Change, Specific Use Permit Other (Zoning Letters and Additional Admin fees) Total Revenue 37 $49,750 $25,500 $4,000 $24,000 $2,400 $104,150 $41,500 $30,000 $5,000 $25,800 $1,050 $109,350 $41,500 $30,000 $5,000 $25,800 $1,050 $109,350 PLANNING & ZONING Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $108,699 $130,905 $133,705 Supplies 1,753 2,672 2,672 Operations Support 200 750 750 Staff Support 10,483 $18,850 $19,950 Professional Services 40,603 150 300 Operating Equipment 0 0 450 Total $161,738 $153,327 $157,827 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 2.9% from the FY 2013 -14 year end estimates. There will be no change in operations. 38 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES PLANNING 6 ZONING Personnel Services 154 - 511110 Regular 154 - 511120 Overtime 154 - 511180 LTD 154 - 511210 Longevity 154 - 511310 FICA - Employer 154 - 511350 TMRS- Employer 154 - 511410 Health - Employer 154- 511500 Workers' Compensation TOTAL Personnel Services Supplies 154 - 521000 Operating Supplies 154 - 521100 Office Supplies 154- 521600 Equip Maint Supplies TOTAL Supplies City Support Services Utility Services Operations Support 154- 534100 Advertising 154 - 534200 Printing & Binding TOTAL Operations Support Staff Support 154 - 535100 Uniforms 154- 535300 Memberships 154 - 535400 Publications 154 - 535500 Training /Travel Staff 154- 535500.Training /Travel Commission 154- 535510 Meeting Expenses TOTAL Staff Support Professional Services 154- 541400 Consulting 154 - 541410 Consulting Svcs -N Charrette 154- 541415 Consulting Svcs -S Charrette 154 - 541420 Consulting Svc- DwntwnCharrett 154 - 541500 State /County Admin Fees TOTAL Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 100,319 75,452 92,490 70,305 92,490 92,490 568 1,736 2,000 1,380 2,000 4,000 306 232 287 229 287 287 2,420 3,532 3,028 900 900 1,152 7,868 6,138 7,460 5,530 7,460 7,470 16,086 12,642 15,340 11,817 15,340 15,850 11,309 8,788 12,283 10,389 12,283 12,287 152 178 172 145 145 169 139,028 108,699 133,060 100,696 130,905 133,705 103 106 200 0 200 200 1,587 1,646 2,322 834 2,322 2,322 0 0 150 0 150 150 1,689 1,753 2,672 834 2,672 2,672 0 0 50 0 50 50 92 200 700 0 700 700 92 200 750 0 750 750 148 187 470 0 470 570 635 520 800 510 800 1,000 412 712 900 164 900 1,200 3,853 2,397 6,280 ( 212) 6,280 6,280 3,731 6,314 10,300 254 10,300 10,800 22 355 100 0 100 100 8,800 10,483 18,850 715 18,850 19,950 0 4,306 0 0 0 0 75,166 36,178 0 0 0 0 1,366 0 0 0 0 0 1,193 0 0 0 0 0 356 119 150 21 150 300 78,082 40,603 150 21 150 300 39 8 -25 -2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Rental /Leasing Operating Equipment 154- 571000 Furniture 6 Fixtures 2,112 0 0 0 0 450 TOTAL Operating Equipment 2,112 0 0 0 0 450 Capital Outlay TOTAL PLANNING 6 ZONING 229,803 161,738 155,482 102,.266 153,327 157,827 40 DEPARTMENT: 155 LEGAL SERVICES FUND: 101 GENERAL FUND VISION STATEMENT To provide excellent legal advice and counsel to the City Council, City Manager and City Departments to fulfill the mission of the City. MISSION STATEMENT To provide expert legal services to the City Council, City Manager, and City Departments in strategic planning, developing city policies and ordinances, contract negotiations, litigation, and developing legal documents for the management and operations of the City. GOALS AND OBJECTIVES • To provide expert legal counsel on proposed ordinances. • To attend all city council meetings, planning and zoning, and other meetings as needed and provide timely legal advice on proposed ordinances and related items. • To represent the City in litigation. • Prepare legal documents for City contracts and agreements. • To provide counsel on strategic issues that will be of the most benefit the City. 41 LEGAL SERVICES DEPARTMENT DESCRIPTION The City Attorney is the legal advisor to City Council and City Council's appointees, boards, commissions, committees, and staff. In addition, the City Attorney represents the City in all court cases where the City has an interest. Responsibilities of the City Attorney include providing legal advice to City Council, appointees, managers, boards, commissions, and committees in all legal matters; providing litigation and legal transaction services for the City and its enterprises; representing the City and its enterprises in employment matters; and reviewing, updating and maintaining the City Code. ORGANIZATIONAL CHART Operations Support $9,021 $10,000 $10,000 Professional Services 502,310 350,000 350,000 Total $511,331 $360,000 $360,000 PROGRAM JUSTIFICATION AND ANALYSIS There will be no change in the current level of legal services. 42 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Operations Support $9,021 $10,000 $10,000 Professional Services 502,310 350,000 350,000 Total $511,331 $360,000 $360,000 PROGRAM JUSTIFICATION AND ANALYSIS There will be no change in the current level of legal services. 42 7 -31 -2014 01:37 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (----- - - - - -- -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU LEGAL SERVICES Operations Support 155- 534100 Advertising /Legal Notices 6,484 9,021 12,000 5,252 10,000 10,000 TOTAL Operations Support 6,484 9,021 12,000 5,252 10,000 10,000 Professional Services 155 - 541200 Legal Svcs 544,310 502,310 438,000 206,346 350,000 350,000 TOTAL Professional Services 544,310 502,310 438,000 206,346 350,000 350,000 TOTAL LEGAL SERVICES 550,794 511,331 450,000 211,598 360,000 360,000 43 THIS PAGE INTENTIONALLY LEFT BLANK 44 DEPARTMENT: PUBLIC WORKS DIVISION: 161 GENERAL SERVICES FUND: 101 GENERAL FUND VISION STATEMENT Strive for excellence in maintaining City Facilities. MISSION STATEMENT Provide safe, enjoyable and attractive facilities, allowing diverse programs and responsive services which enhance the health and well -being of the residents and City employees by managing building functions, facility care and security through quality facilities maintenance pursuits in a professional environment. GOALS AND OBJECTIVES • Provide a safe and clean environment through regular cleaning of facilities. • Promote and deploy energy efficiency programs to reduce utility consumption. • Provide set -up and take -down services for events and functions in City Facilities DEPARTMENT DESCRIPTION The department services and maintains 19 facilities totaling 213,847 square feet with a value of $27,177,765.00 consisting of carpet, tile floors, other flooring, offices, storage areas, rest rooms, cells, meeting /training rooms. Provide function set up for events such as City Council, Planning and Zoning, Board of Adjustment, Library Board, Department meetings, Municipal Court, training seminars, exercise classes, elections, Buffalo Valley Youth Association (BVYA) basketball, ground breaking ceremonies and other special events. Provide function set up for private events such as weddings, birthdays, anniversaries, graduations, family reunions, retirements and other functions. Set up average of 137 events per month. Provide general services, cleaning and upkeep of City Hall, Administration Building, Police, Fire, EMS, Community Center Central, 45 GENERAL SERVICES Community Center North, City Council Chambers, Civic Center, Public Library, Visitor Center (Kramer House), YMCA, Senior Center, Purchasing building, Public Works facility, Animal Control, Fire /EMS station on I.H.35, Marion EMS station, Records and General Services building, Employee ID badges and building access. This department was moved under Public Affairs as a Division in FY 2011 -12. Also in FY 2012 -13 this department's Building Maintenance division was moved under Public Works. For FY 2013 -14 at mid -year this division was renamed from Facilities Maintenance to General Services and was moved under Public Works. ORGANIZATION CHART GENERAL SERVICES 2012 -13 2013 -14 2014 -15 Director 1 1 1 Supervisor 1 1 1 Administrative Assistant 1 1 1 General Services Tech 1 7 7 7 P/T General Services Tech 1 4 4 4 TOTAL POSITIONS 141 14 14 GENERAL SERVICES PERFORMANCE INDICATORS Square footage maintained Events set up City Buildings Maintained Completed work orders I.D. Badges made (City /Strac /YMCA ect) Pest Control Services Carpet Cleaning 202,847 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Square footage maintained Events set up City Buildings Maintained Completed work orders I.D. Badges made (City /Strac /YMCA ect) Pest Control Services Carpet Cleaning 202,847 213,847 234,202 137 150 155 19 19 19 250 250 260 240 260 265 12 15 18 8 12 12 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $566,442 $577,607 $578,049 Supplies 93,313 89,850 90,675 Utility Services 181,615 186,000 189,115 Staff Support 11,443 12,147 11,749 Maintenance Services 100,969 104,650 90,600 Rental Equipment 458 0 0 Operating Equipment 11,776 48,110 33,800 Total $996,016 $1,018,364 $993,988 PROGRAM JUSTIFICATION AND ANALYSIS The General Services Budget for FY 2014 -15 will decrease by 2.4% from the FY 2013 -14 year end estimates. By handling more services in house, the need for outside maintenance services decreased. The door lock replacement program will be focused on the Fire Station and City Hall in FY 2014 -15. 47 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES GENERAL SERVICES Personnel Services` 161 - 511110 Regular 161 - 511120 Overtime 161 - 511180 LTD 161 - 511210 Longevity 161 - 511230 Certification Allowance 161 - 511310 FICA - Employer 161 - 511350 TMRS- Employer 161 - 511410 Health - Employer 161 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 161 - 521000 Operating Supplies 161 - 521100 Office Supplies 161 - 521200 Medical /Chem Supplies 161 - 521300 Motor Veh. Supplies 161 - 521600 Equip Maint Supplies TOTAL Supplies Utility Services 161 - 533100 Gas Utility Service 161 - 533200 Electric Utility Service 161 - 533410 Water Utility Service 161 - 533500 Vehicle Fuel TOTAL Utility Services Operations Support Staff Support 161 - 535100 Uniforms 161 - 535300 Memberships 161 - 535500 Training /Travel 161 - 535510 Meeting Expenses TOTAL Staff Support C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 407,385 377,083 371,011 278,357 377,011 382,602 15,461 15,546 21,000 17,383 25,823 15,600 1,081 1,029 961 826 961 978 10,833 12,503 11,625 11,498 11,625 12,814 0 1,200 1,170 969 1,170 585 32,562 29,473 30,917 22,954 30,917 31,433 67,389 62,355 63,571 49,845 63,571 66,698 61,752 59,114 59,878 49,351 59,878 59,898 7,525 8,140 7,342 6,651 6,651 7,,441 603,986 566,442 567,475 437,834 577,607 578,049 55,209 52,791 54,000 35,617 50,000 47,000 439 894 1,000 401 1,000 900 7,045 11,241 9,200 7,680 9,200 11,300 0 178 250 247 250 250 935 803 1,000 813 1,000 975 63,628 65,907 65,450 44,759 61,450 60,425 973 712 1,300 1,238 1,300 1,980 70,165 70,128 75,000 50,590 75,000 74,000 19,075 22,394 17,000 11,841 17,000 18,000 9,539 8,130 6,000 5,256 6,000 5,900 99,752 101,364 99,300 68,926 99,300 99,880 7,436 7,870 7,900 5,874 7,900 7,502 476 380 972 880 972 972 1,139 2,641 2,500 932 2,500 2,500 675 551 775 503 775 775 9,726 11,443 12,147 8,188 12,147 11,749 Maintenance Services 161 - 551100 Building Maintenance 56,299 22,995 0 0 0 0 161 - 551400 Minor & Other Equip Maint 373 85 450 425 450 400 161 - 551700 Grounds Maintenance 0 0 2,500 192 2,500 1,000 161 - 551800 Other Maintenance Agreements 40,025 30,759 37,580 12,692 40,000 30,500 TOTAL Maintenance Services 96,696 53,838 40,530 13,309 42,950 31,900 48 B-25-2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Rental /Leasing 161 - 561100 Rental - Equipment 332 458 0 0 0 0 TOTAL Rental /Leasing 332 458 0 0 0 0 Operating Equipment 161 - 571000 Furniture & Fixtures 896 0 950 280 950 0 161 - 571500 Operating Equipment 1,893 0 9,600 0 9,600 3,600 161 - 571700 Improvements under $5,000 5,106 2,527 16,220 9,528 13,500 7,200 TOTAL Operating Equipment 7,895 2,527 26,770 9,807 24,050 10,800 Capital Outlay TOTAL GENERAL SERVICES 882,015 801,978 811,672 582,823 817,504 792,803 49 B -25 -2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU BUILDING 6 -8 MAINTENANCE Supplies 163 - 521000 Operating Supplies 0 22,116 24,000 16,895 24,000 24,720 163 - 521200 Medical /Chem Supplies 0 5,290 6,600 4,543 4,400 5,530 TOTAL Supplies 0 27,406 30,600 21,438 28,400 30,250 Utility Services 163 - 533100 Gas Utility Service 0 3,294 4,500 3,695 4,500 4,635 163 - 533200 Electricity Utility Service 0 59,305 60,000 41,713 60,000 61,800 163- 533410 Water Utility Service 0 17,652 20,000 11,562 20,000 20,600 163 - 533500 Fuel - Diesel 0 0 2,200 0 2,200 2,200 TOTAL Utility Services 0 80,251 86,700 56,971 86,700 89,235 Maintenance Services 163 - 551100 Building Maintenance 0 35,910 36,600 36,143 36,800 37,000 163 - 551400 Minor & Other Equip Maint 0 505 900 485 900 800 163 - 551700 Ground Maintenance 0 827 1,000 140 1,000 900 163 - 551800 Other Maintenance Agreements 0 9,889 20,800 1,770 23,000 20,000 TOTAL Maintenance Services 0 47,131 59,500 40,538 61,700 58,700 Operating Equipment 163 - 571700 Improvements Less $5,000 0 9,249 24,060 20,503 24,060 23,000 TOTAL Operating Equipment 0 9,249 24,060 20,503 24,060 23,000 Capital Outlay TOTAL BUILDING 6 -8 MAINTENANCE 0 164,037 200,860 139,451 200,860 201,185 50 DEPARTMENT: 164 CITY SECRETARY FUND: 101 GENERAL FUND VISION STATEMENT Support, facilitate, and strengthen the governmental process through transparent and service oriented interaction with our citizens and with current technology. MISSION STATEMENT The mission of the City Secretary's Department is to provide necessary services in a manner that merits the highest degree of public confidence in providing information to the City Council, City staff, general public, candidates, voters, and the media in order to promote a work environment that leads to compliance with all laws and better decision making. GOALS AND OBJECTIVES The goals and objectives of the City Secretary's Department are to provide the following services for the City of Schertz: • Public Information requests. • Agendas and minutes for public meetings. • Ordinances and resolutions. • Election administration. • Publication of legal notices. • Alcohol permits for businesses. • Provides for the identification, maintenance, retention, security, electronic storage, disposition, and preservation of City records. • Administer oaths. • Attest contracts, assessment of certificates, and other legal instruments when executed by officers of the City of Schertz. • Proclamations from the Mayor's Office. • Perform such other duties as may be required of the City Secretary by the City Charter, the City Council, City Management, and state law. 51 CITY SECRETARY DEPARTMENT DESCRIPTION The City Secretary's Department is responsible for providing service in a manner that merits the highest degree of public confidence in providing information to the City Council, City staff, general public, candidates, voters, and the media in order to promote a work environment that leads to compliance with all laws and better decision - making. We apply creativity and innovation to the organizational structure and in the delivery of public services. The City Secretary's Department supports, facilitates and strengthens the City of Schertz governmental process by recording all laws, resolutions, and ordinances approved by the City Council, preparing City Council agendas and giving notice of such meetings, countersigning or notarizing, as applicable, all contracts, commissions, and licenses, providing public information according to state guidelines, providing continuity for the City of Schertz government by recording its legislative actions, both contemporary and archival, and serving as historian for the City, safeguarding and enriching the municipal election and records management processes, and assisting the City Council in fulfilling their goals. ORGANIZATIONAL CHART CITY SECRETARY 2012 -13 2013 -14 2014 -15 City Secretary 1 1 1 Deputy City Secretary 1 1 1 TOTAL POSITIONS 2 2 2 52 CITY SECRETARY PERFORMANCE INDICATORS Ordinances Passed and Processed 2012 -13 2013 -14 2014 -15 Workload Actual Estimated Budget Ordinances Passed and Processed 34 59 60 Resolutions Passed and Processed 121 112 115 Council Meetings Attended 50 50 50 Open Records 419 456 465 Ordinances & Resolutions Executed within 72 hours of Council Meeting 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimated Budget Ordinances & Resolutions Executed within 72 hours of Council Meeting 98% 98% 98% Documents completed, signed, scanned Actual Estimated Budget within 48 hours of council approval 94% 94% 95% Council meeting minutes transcribed within 48 0 150 150 hours following Council meeting 100% 100% 100% Agendas available to citizens within legally $189,876 $179,287 $187,617 required timeframe - Posted on website 100% 100% 100% Alcohol permits processed within the month of expiration 96% 98% 98% Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimated Budget Personnel $148,708 $160,766 $167,772 Supplies 675 800 1,200 City Support Services 7,088 9,576 9,700 Operations Support 0 150 150 Staff Support 4,568 7,000 8,795 Total $189,876 $179,287 $187,617 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase by 4.6% from the FY 2013 -14 year end estimates. This increase is due to the annual merit and other personnel related expenses. 53 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU CITY SECRETARY Personnel Services 164 - 511110 Regular 124,430 110,718 125,845 93,679 118,569 123,667 164 - 511180 LTD 375 342 390 301 368 383 164 - 511210 Longevity 1,615 1,867 2,318 1,100 1,100 1,352 164 - 511310 FICA - Employer 8,769 7,902 9,804 7,137 9,248 9,564 164 - 511350 TMRS- Employer 19,646 17,606 20,160 15,422 19,016 20,294 164 - 511410 Health - Employer 11,309 10,055 12,283 10,134 12,287 12,287 164 - 511500 Workers' Compensation 189 218 231 178 178 225 TOTAL Personnel Services 166,334 148,708 171,031 127,952 160,766 167,772 Supplies 164 - 521100 Office Supplies 1,000 675 1,200 532 800 1,200 TOTAL Supplies 1,000 675 1,200 532 800 1,200 City Support Services 164- 532700 Records Management 2,607 7,088 9,600 9,576 9,576 9,700 TOTAL City Support Services 2,607 7,088 9,600 9,576 9,576 9,700 Utility Services Operations Support 164 - 534200 Printing 6 Binding 0 0 150 50 150 150 TOTAL Operations Support 0 0 150 50 150 150 Staff Support 164 - .535100 Uniforms 58 0 100 0 100 100 164 - 535300 Memberships 426 600 645 597 645 645 164- 535400 Publications 139 150 250 104 250 250 164- 535500 Training /Travel 6,770 3,818 6,900 3,613 7,000 7,800 TOTAL Staff Support 7,394 4,568 7,895 4,314 7,995 8,795 Professional Services Maintenance Services Operating Equipment Capital Outlay TOTAL CITY SECRETARY 177,335 161,039 189,876 142,424 179,287 187,617 54 DEPARTMENT: 167 NON - DEPARTMENTAL FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION This department accounts for expenses and payments that are not specific to an individual function /department. Items in this department include audit cost, city insurance, appraisal district contracts, and emergency medical services. City Support Services 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget City Support Services $352,632 $417,243 $860,000 Operations Support 135,013 127,000 141,500 Staff Support 13 340 150 City Assistance 671,154 993,665 1,243,779 Professional Services 94,196 140,350 262,400 Fund Charges /Transfers 169,196 475,000 203,000 Operating Equipment 269 1,955 50,000 Total $1,422,472 $2,155,553 $2,760,829 Ia: Z9Zr]: 7_1L Y,W W"t IIaLWAI Is] ►I_1►1O7s1ki /_W,&*i6*1 The FY 2014 -15 Budget increases 28.1% from the FY 2013 -14 year end estimates. This increase sets the contingency account to $180,000 or about 0.8% of the overall General Fund budget and takes into account upcoming property tax reimbursements required by incentive agreements between the City and new businesses. The increase also allows the City to address additional priorities. In FY 2013 -14 the City was able to fund repairs to the Recreation Center. In FY 2014 -15 funding is appropriated to repair leaks at Fire Station #2 and the Administration building and to contract an engineer to provide an executable solution for the water runoff in the Administration Building parking lot. A priority raised by Citizens in the Community Pre - budget meetings is to design FM 1518 for increased traffic demands. A study on FM 1518 is funded which will provide a long term look at what needs to be done to accommodate this growth. Another increase is to provide funding to finish the Compensation Study and to act on the first phase of this study. Due to a growing number of employees and the age of existing workstations, a budget allowance has been included for reconfiguration of workstations for better efficiency. 55 8 -25 -2014 02:23 PM 101 - GENERAL, FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ------------ )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU NONDEPARTMENTAL Supplies 167 - 521000 Operating Supplies 201 0 0 0 0 0 TOTAL Supplies 201 0 0 0 0 0 City Support Services 167- 532200 County Appraisal District 145,091 175,605 180,000 114,825 165,232 210,000 167 - 532500 City Insurance - Commercial 126,002 129,411 135,000 153,712 153,500 170,000 167- 532900 Contingencies 18,413 47,616 98,511 4,158 98,511 180,000 167 - 532901 Contingencies -Act on Study 0 0 0 0 0 300,000 TOTAL City Support Services 289,505 352,632 413,511 272,695 417,243 860,000 Utility Services Operations Support 167 - 534000 Postage 33,630 13,938 8,000 691 5,000 12,000 167 - 534300 Equipment Maint - Copiers 126,351 121,075 120,000 116,799 122,000 122,000 167- 534500 Memberships - Organizations 0 0 0 0 0 7,500 167 - 534600 Annexation Costs 1,045 0 0 0 0 0 TOTAL Operations Support 161,026 135,013 128,000 117,490 127,000 141,500 Staff Support 167- 535500 Training /Travel 97 13 100 140 140 150 167 - 535510 Meeting Expenses 0 0 0 200 200 0 TOTAL Staff Support 97 13 100 340 340 150 City Assistance 167- 537100 Medical Services -EMS Contract 384,188 395,830 395,830 420,915 395,830 433,542 167 - 537450 Tax Reimbursements /Abatements 96,973 275,324 597,836 478,906 597,835 810,237 TOTAL City Assistance 481,161 671,154 993,666 899,821 993,665 1,243,779 Professional Services 167- 541300 Other Consl /Prof Services 40,395 48,802 170,000 4,450 86,950 190,000 167 - 541400 Auditor /Accounting Service 20,995 10,700 30,000 6,225 20,000 30,000 167- 541500 State /County Admin Fees 35 3,266 4,000 596 4,000 4,000 167- 541502 Cost of Bond Issuance 100 0 150 0 150 150 167 - 541600 Misc Bank Charges 359 553 1,000 377 750 750 167- 541650 Investment Management Fee 3,318 3,331 3,500 2,231 3,500 3,500 167 - 541800 Credit Card Service Fee 23,098 27,544 25,000 22,760 25,000 34,000 TOTAL Professional Services 88,300 94,196 233,650 36,638 140,350 262,400 56 8 -25 -2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Fund Charges /Transfers 167 - 548000 Transfer Out 63,270 165,000 475,000 0 475,000 150,000 167 - 548106 Transfer To Special Event Fd 0 0 0 0 0 53,000 167 - 548700 Bad Debt Expense 0 4,196 0 0 0 0 TOTAL Fund Charges /Transfers 63,270 169,196 475,000 0 475,000 203,000 Maintenance Services Operating Equipment 167 - 571000 Furniture 6 Fixtures 0 269 0 0 0 50,000 167 - 571500 Operating Equipment 0 0 0 1,955 1,955 0 TOTAL Operating Equipment 0 269 0 1,955 1,955 50,000 Capital Outlay 167 - 581800 Other Equipment 204,762 0 0 0 0 0 TOTAL. Capital Outlay 204,762 0 0 0 0 0 TOTAL NONDEPARTMENTAL 1,288,323 1,422,472 2,243,927 1,328,940 2,155,553 2,760,829 57 THIS PAGE INTENTIONALLY LEFT BLANK 58 DEPARTMENT: 170 PUBLIC AFFAIRS FUND: 101 GENERAL FUND VISION STATEMENT To promote a positive City image and foster a sense of community through events, venues and products. MISSION STATEMENT The purpose of the Public Affairs Department is to keep internal and external audiences informed about city events, activities, policies, ordinances, leadership focus, economic growth and development, and other issues of public interest; and to promote a positive city image through development and release of professional products to news media outlets. GOALS AND OBJECTIVES • To be the primary source of information for all current and potential residents and existing businesses in the Schertz sphere of influence. • Promote city activities /festivals throughout the region and the State of Texas. • Disseminate information to residents and the media during emergency and non - emergency situations efficiently. 59 PUBLIC AFFAIRS DEPARTMENT DESCRIPTION Publish and distribute Schertz Magazine to over 12,000 households and area businesses; produce, coordinate, or promote all City events and activities, including: Sweetheart Court, Festival of Angels, 4th of July Jubilee, SchertzFest, Wilenchik Walk, Doggie Dash, Employee Remembrance Day, and other City programs. Public Affairs handles advertising and promotion of events held in Schertz, the production of television commercials, radio spots, print ads, press releases, email blasts, website and electronic sign ad creation and posting, and award submissions. This office creates photographic /video /audio recording of City events and activities, designs city brochures, documents, hiring packets, graphics, logos, plaques, trophies, proclamations, etc. The Public Affairs Department serves an internal audience of employees elected and appointed officials, as well as an estimated city population of 35,000. ORGANIZATIONAL CHART PUBLIC AFFAIRS 2012 -13 2013 -14 2014 -15 Public Affairs Director 1 0 0 Senior Administrative Assistant 1 0 0 Office Manager 1 1 1 Events Coordinator 1 0 0 Communications Manager 0 1 1 Events Specialist 0 1 1 Events Manager 0 1 1 TOTAL POSITIONS 4 4 4 60 PUBLIC AFFAIRS PERFORMANCE INDICATORS Press Inquiries N/A 8 15 City Sponsored Events 8 11 13 Marketing Materials Produced 13 7 8 Website Postings 800 800 800 2012 -13 2013 -14 2014 -15 Workload /Output Measures Actual Estimate Budget Press Inquiries N/A 8 15 City Sponsored Events 8 11 13 Marketing Materials Produced 13 7 8 Website Postings 800 800 800 Average cost per Advertising Run outside of the magazine Average Amount of Dollars Raised for Events, per FTE $1,200 $1,300 $2,500 $7,500 $9,000 $4,500 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Average cost per Advertising Run outside of the magazine Average Amount of Dollars Raised for Events, per FTE $1,200 $1,300 $2,500 $7,500 $9,000 $4,500 Non - Magazine Advertisements 12 12 8 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Non - Magazine Advertisements 12 12 8 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $240,523 $214,895 $257,970 Supplies 3,021 3,500 3,500 Operations Support 28,083 24,642 27,100 Staff Support 3,101 5,040 5,150 Professional Services 0 14,040 14,500 Operating Equipment 0 3,100 0 Total $274,729 $265,217 $308,220 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will be increased by 16.2% from the FY 2013 -14 year end estimates. This increase is due to the full year funding of the new Events specialist position. This position will be reimbursed by 50% from the Hotel /Motel Tax Fund. 61 8 -25 -2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES PUBLIC AFFAIRS Personnel Services 170 - 511110 Regular 170 - 511120 Overtime 170 - 511180 LTD 170 - 511210 Longevity 170 - 511240 Allowances 170 - 511310 FICA - Employer 170 - 511350 TMRS- Employer 170- 511410 Health - Employer 170 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 170 - 521010 Operating Supplies- Events 170 - 521100 Office Supplies TOTAL Supplies Operations Support 170 - 534000 Postage 170 - 534100 Advertising 170 - 534200 Printing 6 Binding TOTAL Operations Support Staff Support 170 - 535100 Uniforms 170 - 535300 Memberships 170 - 535400 Publications 170 - 535500 Training /Travel 170- 535510 Meeting Expenses TOTAL Staff Support Professional Services 170 - 541300 Other /Consl /Prof Services 170 - 541355 Design Services TOTAL Professional Services Operating Equipment 170 - 571000 Furniture 6 Fixtures 170 - 571500 Operating Equipment TOTAL Operating Equipment TOTAL PUBLIC AFFAIRS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 203,297 176,126 150,562 107,281 153,562 183,802 0 0 1,000 359 1,000 1,000 623 463 466 344 466 570 1,010 2,684 3,313 2,400 2,400 2,866 3,000 462 3,000 0 0 0 15,745 13,590 11,848 8,324 11,848 14,357 32,146 28,282 24,344 17,883 24,344 30,463 21,732 18,559 20,982 15,202 20,982 24,574 181 358 385 293 293 338 277,733 240,523 215,900 152,085 214,895 257,970 360 1,865 1,900 1,250 2,000 2,000 2,440 1,156 1,500 963 1,500 1,500 2,800 3,021 3,400 2,213 3,500 3,500 32 63 142 97 142 100 17,364 22,362 19,908 5,290 17,500 20,000 13,254 5,658 7,000 4,778 7,000 7,000 30,650 28,083 27,050 10,165 24,642 27,100 0 0 100 0 100 150 568 900 840 608 840 600 257 13 500 0 300 600 2,267 1,737 2,800 1,192 2,800 2,800 493 452 1,000 901 1,000 1,000 3,585 3,101 5,240 2,700 5,040 5,150 0 0 4,040 0 4,040 4,500 0 0 10,960 4,290 10,000 10,000 0 0 15,000 4,290 14,040 14,500 0 0 3,000 0 3,000 0 0 0 100 100 100 0 0 0 3,100 100 3,100 0 314,768 274,729 62 269,690 171,553 265,217 308,220 DEPARTMENT: PUBLIC AFFAIRS DEPARTMENT DIVISION: 171 RECORDS MANAGEMENT FUND: 101 GENERAL FUND VISION STATEMENT Under the supervision of the Chief of Staff, this department is responsible for the coordination of an effective and efficient records management system. MISSION STATEMENT To provide for efficient, economical and effective controls over the creation, distribution, organization, maintenance, use, and disposition of municipal records through a comprehensive system of integrated procedures for the management of records from their creation to their ultimate disposition, consistent with the requirements of the Local Government Records Act and accepted records management practice. [Cloy_TWIF_1► I exel *1 X0I VI *' • Scan permanent documents. • Destroy records that meet retention. • Continue to locate historical documents for electronic storage. 63 RECORDS MANAGEMENT DEPARTMENT DESCRIPTION The Records Management Division performs the following functions: • Scan permanent and historical documents to store as electronic documents. • Destroy records that meet the requirements of the records retention schedule. • Identify historical documents. • Provide stored records upon request to departments. • Maintain inventories of records stored offsite and onsite. • Conduct research for departments. ORGANIZATION CHART RECORDS MANAGEMENT 2012 -13 2013 -14 2014 -15 Records Management Coordinator 1 1 1 1 TOTAL POSITIONS 1 1 1 64 RECORDS MANAGEMENT PERFORMANCE INDICATORS Number of Documents scanned 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Number of Documents scanned 28,705* 13,500* 13,500* Number of boxes stored offsite 298 239 239 Number of boxes inventoried 165 100 150 Number of cubic feet of documents 12,443 10,200 10,000 destroyed (pounds) 360 0 0 Digitize Public Work Plans (pages) 7,500 2,500 2,500 Digitize Commercial Plans (pages) 5,166 5,000 5,000 *Scanned by Records Management and other Departments Personnel 2011 -12 2012 -13 2013 -14 Budget Actual Estimate Budget Personnel $48,000 $49,763 $51,106 Supplies 41 300 400 Staff Support 1,231 1,286 1,750 Professional Services 11,248 4,513 10,000 Operating Equipment 360 0 0 Total $605879 $55,862 $63,256 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget increases by 13.2% from the FY 2013 -14 year end estimates. This change is related to additional scanning and shredding planned by working in coordination with other departments to identify the applicable records. 65 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES 2011 -2012 ACTUAL C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 - 2012 -2013 CURRENT Y -T -D ACTUAL BUDGET ACTUAL PAGE ----- - - - - -H -- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU RECORDS MANAGEMENT Personnel Services 171 - 511110 Regular 33,523 32,961 33,522 26,010 33,522 34,193 171 - 511120 Overtime 0 84 500 0 500 500 171 - 511180 LTD 101 102 104 87 104 106 171 - 511210 Longevity 946 1,078 1,210 1,210 1,210 1,464 171 - 511310 FICA - Employer 2,579 2,517 2,695 2,027 2,695 2,766 171 - 511350 TMRS- Employer 5,377 5,331 5,542 4,426 5,542 5,869 171 - 511410 Health - Employer 5,655 5,868 6,141 5,067 6,141 6,143 171 - 511500 Workers* Compensation 50 60 63 49 49 65 TOTAL Personnel Services 48,230 48,000 49,777 38,876 49,763 51,106 Supplies 171 - 521000 Operating Supplies 134 0 200 0 100 200 171 - 521100 Office Supplies 126 41 200 128 200 200 TOTAL Supplies 259 41 400 128 300 400 Utility Services Operations Support Staff Support 171- 535100 Uniforms 90 0 100 91 91 100 171 - 535300 Memberships 85 90 260 95 95 150 171 - 535500 Training /Travel 935 1,141 1,500 878 1,100 1,500 TOTAL Staff Support 1,110 1,231 1,860 1,064 1,286 1,750 Professional Services 171 - 541310 Contractual Services 7,004 11,248 17,000 3,140 4,513 10,000 TOTAL Professional Services 7,004 11,248 17,000 3,.140 4,513 10,000 Operating Equipment 171 - 571300 Computer 6 Periphe. < $5000 0 360 0 0 0 0 TOTAL Operating Equipment 0 360 0 0 0 0 TOTAL RECORDS MANAGEMENT 56,603 60,879 69,037 43,207 55,862 63,256 66 DEPARTMENT: PUBLIC AFFAIRS DIVISION: 172 SCHERTZ MAGAZINE FUND: 101 GENERAL FUND VISION STATEMENT To become Schertz' primary source of information for all current and potential residents and existing businesses; with an evolving goal of expanding information dissemination beyond traditional means. MISSION STATEMENT Established in its current format in 2008, Schertz Magazine is an informational tool aimed at providing internal and external audiences information about city events, activities, policies, ordinances, economic growth and development, and other issues of public interest, and to promote a positive city image through development and release of professional products to news media outlets. GOALS AND OBJECTIVES • Schertz Magazine will continue to explore new revenue streams in order to provide superior information to readership. • Inform our audience about City initiatives throughout this region of the State of Texas. • Promote City activities, educate the public, and enhance a positive City image. DEPARTMENT DESCRIPTION Publication and distribution of Schertz Magazine to more than 13,000 households and businesses, including: writing of articles, photography, graphic design and layout, sales, advertising design, marketing, copy editing, billing, and collections; distribution of copies to staff and select pick -up locations across the city. Promote all City events and activities, including: Festival of Angels, 4th of July Jubilee, Wilenchik Walk, SchertzFest, Absolute Jazz, Doggie Dash, and other City programs. Schertz Magazine will involve governmental and non - governmental entities and individuals in the collection, packaging, and distribution of information that is important to the whole community. 67 SCHERTZ MAGAZINE ORGANIZATIONAL CHART Schertz Magazine 2012 -13 2013 -14 2014 -15 Publications Editor 1 1 1 Account Manager 1 1 1 TOTAL POSITIONS 2 2 2 PERFORMANCE INDICATORS Number of Staff, FTE (Full Time Equivalents) Number of potential advertisers approached Number of customers served (advertisers) Number of Magazines Printed 68 2 2 2 525 N/A 250 88 90 100 168,000 180,000 180,000 2012 -13 2013 -14 2014 -15 Workload /Output Measures Actual Estimate Budget Number of Staff, FTE (Full Time Equivalents) Number of potential advertisers approached Number of customers served (advertisers) Number of Magazines Printed 68 2 2 2 525 N/A 250 88 90 100 168,000 180,000 180,000 SCHERTZ MAGAZINE Total Schertz Magazine Articles /Ads/ Photographs Produced 2012 -13 2013 -14 2014 -15 Efficiency Measures Actual Estimate Budget Total Schertz Magazine Articles /Ads/ Photographs Produced 627 594 614 Customer Service / Retention Hours per Actual Estimate Budget FTE (Advertisers) 160 N/A N/A Percentage of Magazine Contracted 58% 53% 53% Hours Contracted for Magazine Production 275,400 238,200 253,500 (Writing, Ad Design, Photography, Layout, 9,250 10,000 10,000 Graphics) 1,700 N/A N/A Schertz Magazine Ad revenue City Sponsored /Non - Revenue $230,247 $220,000 $220,000 $27,900 $30,000 $30,000 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Schertz Magazine Ad revenue City Sponsored /Non - Revenue $230,247 $220,000 $220,000 $27,900 $30,000 $30,000 Personnel Services 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel Services $132,286 $133,149 $137,208 Supplies 200 200 200 Operations Support 23 50 100 Staff Support 771 1,483 3,000 Professional Services 275,400 238,200 253,500 Fund Charges /Transfers 9,250 10,000 10,000 Operating Equipment 0 500 600 Total $417,930 $383,582 $404,608 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase by 5.5% of the FY 2013 -14 year end estimates. This increase is due to the estimated increase in printing costs. 69 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 - 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU SCHERTZ TALES MAGAZINE Personnel Services 172- 511110 Regular 90,746 90,811 91,887 71,097 91,887 93,726 172 - 511180 LTD 295 298 285 243 285 291 172- 511210 Longevity 390 630 870 870 870 1,110 172 - 511240 Allowances 6,000 6,000 6,000 4,846 6,000 6,000 172 - 511310 FICA - Employer 7,379 7,406 7,096 5,733 7,096 7,255 172 - 511350 TMRS- Employer 15,149 15,238 14,591 12,472 14,591 16,368 172 - 511410 Health - Employer 11,309 11,736 12,283 10,134 12,283 12,287 172 - 511500 Workers' Compensation 144 168 167 137 137 171 TOTAL Personnel Services 131,413 132,286 133,179 105,532 133,149 137,208 Supplies 172- 521100 Office Supplies 176 200 200 74 200 200 TOTAL Supplies 176 200 200 74 200 2.00 Operations Support 172 - 534000 Postage 0 23 200 0 50 100 TOTAL Operations Support 0 23 200 0 50 100 Staff Support 172 - 535100 Uniforms 0 41 100 0 100 100 172 - 535300 Memberships 275 153 405 283 283 400 172 - 535500 Training /Travel 0 0 0 0 0 1,000 172 - 535510 Meeting Expenses 974 577 1,500 543 1,100 1,500 TOTAL Staff Support 1,249 771 2,005 826 1,483 3,000 Professional Services 172 - 541305 Prof Services - Writers /Photogr 13,925 12,200 14,000 8,130 12,200 14,000 172 - 541350 Printing Services 113,063 132,016 105,000 57,715 95,000 105,000 172 - 541355 Design Services 117,735 98,479 100,000 78,299 90,000 93,000 172 - 541360 Postage Services 42,171 31,305 40,000 30,318 40,000 40,000 172- 541365 Delivery Services 0 1,400 1,500 0 1,000 1,500 TOTAL Professional Services 286,894 275,400 260,500 174,462 238,200 253,500 Fund Charges /Transfers 172- 548700 Bad Debt Expense 0 9,250 10,000 0 10,000 10,000 TOTAL Fund Charges /Transfers 0 9,250 10,000 0 10,000 10,000 Operating Equipment 172 - 571310 Computer Software 0 0 600 455 500 600 TOTAL Operating Equipment 0 0 600 455 500 600 TOTAL SCHERTZ TALES MAGAZINE 419,732 417,930 406,684 281,349 383,582 404,608 70 DEPARTMENT: 173 ENGINEERING FUND: 101 GENERAL FUND VISION STATEMENT The Department of Engineering, in cooperation with other City departments, and with the input and participation of the community, will allow the City of Schertz to develop to its full potential supported by a strong backbone of well designed, well- constructed, sustainable infrastructure. MISSION STATEMENT The mission of the Department of Engineering is to facilitate responsible stewardship of the community's natural resources and physical assets by providing support wherever needed. Engineering collaborates with Public Works, Development Services, other City departments, citizens, developers, and other governmental agencies in order to effectively plan and implement infrastructure improvement and development for the organized growth of the City. DEPARTMENT DESCRIPTION The Engineering Department serves as technical advisor to the City Manager, City Council, Executive Staff, and other City departments. Engineering is responsible for the development and implementation of the Capital Improvement Program. That responsibility includes the development and maintenance of infrastructure master plans; the prioritization of projects; the identification and procurement of project funding; and the management of the design and construction of necessary infrastructure. The Engineering Department reviews applications for public and private land development for conformance with adopted engineering standards, policies, codes, and infrastructure master plans. The Engineering Department maintains standard construction details, technical specifications, and design guidelines. The Transportation Safety Advisory Commission (TSAC) is staffed by the Engineering Department. TSAC is a Commission that hears citizen input and makes recommendations to City Council regarding traffic issues throughout the City. 71 ENGINEERING ORGANIZATIONAL CHART ENGINEERING 2012 -13 2013 -14 2014 -15 City Engineer 1 1 1 Assistant City Engineer *1 0 0 Staff Engineer 0 1 1 Graduate Engineer 1 1 1 TOTAL POSITIONS 3 3 3 *Position was unfunded. I_[91019] ►vi I : a &I :I Lvi 14 ki 11 &y_1► I oZeley-A W"I FY 2013 -2014 Accomplishments • Along with Public Works Department, successfully managed the following Capital Improvement Projects: • Lazy Oak (Bond) • Ware- Seguin Road (Bond) • Lower - Seguin Road Improvements (Bond) • Borgfeld Drainage Remediation (Drainage Fund) • Pickrell Park Sidewalk (CDBG /Parks) • David Lacks Boulevard Extension (Economic Development) • Town Creek Wastewater Phase 3 (Bond) - ongoing • Entered into three -year, extendable agreements with four professional engineering firms for on -call engineering services • Began update of City's Master Thoroughfare Plan and worked toward establishment of Transportation Impact Fee Program 72 ENGINEERING • Renewed Stormwater Management Plan General Permit (required every five years) • Supported TXDoT in order to secure $2.85 million funding for sidewalks on FM 3009 • Developed comprehensive 10 -year Capital Improvement Program including water, wastewater, drainage, roadway, and facilities projects. • Worked with Information Technology Department to develop user - friendly, helpful Engineering Department web page • Completed engineering review of multiple subdivision and site development projects FY 2014 -2015 Goals • Successfully manage Capital Improvement Projects in order to meet or exceed deadline and budget criteria. • Finalize establishment and implement Transportation Impact Fee Program • Begin update of Water and Wastewater Impact Fee Study • Establish Master Drainage Plan • Maintain efficiency with review of private development application and construction review • Assist Public Works Department with application for and implementation of participation in the FEMA Community Rating System • Review and assess standard construction details and specifications for potential improvement 73 ENGINEERING PERFORMANCE INDICATORS *Data not tracked historically— value is estimated. 2012 -13 2013 -14 2014 -15 Workload /Output Measures Actual Estimate Budget Capital Improvement Projects (number) 11 12 15 Capital Improvement Project Construction - - -- $1,290,000 $1,400,000 Expenditures 195 0 0 Grading and Clearing Permits Issued 22 27 25 Grading and Clearing Permits Active - - -- 26* 20 (Average Monthly Concurrent Maximum) 292 8,000 600 Grading and Clearing Permits Active 20* 28 25 (Concurrent Maximum) Grading and Clearing Permits Issued — 410 400 400 acreage Number of Non - Construction Plan Reviews (includes master plans, plats, site plans, - - -- 40* 50 etc.) Residential Subdivision Construction — 10 10 9 number of projects Residential Subdivision Construction — - - -- $4,780,000* $4,750,000 dollar value of public improvements Commercial Subdivision Construction — 9 18 15 number of projects Commercial Subdivision Construction — - - -- $91,000* $100,000 dollar value of public improvements *Data not tracked historically— value is estimated. Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel 122,200 231,837 282,558 Supplies 643 1,100 1,300 City Support Services 0 1,380 1,500 Utility Services 788 1,400 1,498 Operations Support 195 0 0 Staff Support 1,598 8,580 10,512 Professional Services 79,000 43,000 38,800 Operating Equipment 292 8,000 600 Total $204,717 $295,297 $336,768 74 ENGINEERING PROGRAM JUSTIFICATION AND ANALYSIS The overall budget for the Engineering Department increases 14.0% from FY 2013 -2014 year end estimates as a result of full year funding of the new Engineer position authorized at mid -year. 75 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES ENGINEERING Personnel Services 173 - 511110 Regular 173 - 511120 Overtime 173- 511180 LTD 173 - 511210 Longevity 173 - 511310 FICA - Employer 173 - 511350 TMRS- Employer 173 - 511410 Health- Employer 173 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 173 - 521100 Office Supplies 173- 521300 Motor Vehicle Supplies TOTAL Supplies City Support Services 173 - 532400 Computer Fees S Licenses TOTAL City Support Services Utility Services 173 - 533500 Vehicle Fuel TOTAL Utility Services Operations Support 173 - 534100 Advertising TOTAL Operations Support Staff Support 173- 535100 Uniforms 173 - 535300 Memberships 173- 535400 Publications 173 - 535500 Training /Travel 173 - 535600 Professional Certification TOTAL Staff Support Professional Services 173 - 541100 Engineering Services 173 - 541300 Other Professional Services 173- 541310 Prof Svcs- Engineer Consulting 173 - 541500 Surveying Service TOTAL Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 53,463 88,487 174,610 93,637 174,910 211,840 0 205 0 0 0 0 154 263 542 264 542 657 3,016 4,871 380 250 380 530 4,296 7,152 13,386 6,778 13,386 16,246 8,970 14,843 27,533 14,920 27,533 34,473 663 6,082 14,843 10,315 14,843 18,430 246 297 272 243 243 382 70,808 122,200 231,566 126,407 231,837 282,558 839 245 1,083 0 0 475 0 0 193 130 184 0 0 507 76,882 9,165 5,275 0 91,322 643 1,000 553 1,000 1,200 0 100 14 100 100 643 1,100 567 1,100 1,300 0 1,380 263 1,380 1,500 0 1,380 263 1,380 1,500 788 1,400 524 1,400 1,498 788 1,400 524 1,400 1,498 195 0 195 0 0 700 616 2,670 571 500 411 4,040 0 670 1,598 8,580 78,476 30,000 524 3,000 0 0 0 10,000 79,000 43,000 76 0 0 0 0 0 0 89 700 1,015 750 2,670 2,040 0 500 500 305 4,040 6,072 283 670 885 1,426 8,580 10,512 11,671 30,000 25,000 0 3,000 13,800 0 0 0 0 10,000 0 11,671 43,000 38,800 B-25-2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Maintenance Services 173 - 551800 Other Maintenance Agreements 3,345 0 0 0 0 0 TOTAL Maintenance Services 3,345 0 0 0 0 0 Rental /Leasing Operating Equipment 173 - 571000 Furniture & Fixtures 0 0 6,000 2,002 6,000 600 173- 571200 Vehicle & Access. Less $5,000 2,193 0 0 0 0 0 173 - 571300 Computer & Periphe. < $5000 2,368 292 2,000 0 2,000 0 TOTAL Operating Equipment 4,561 292 8,000 2,002 8,000 600 Capital Outlay 173 - 581200 Vehicles & Access. OVER $5,00 23,714 0 0 0 0 0 TOTAL Capital Outlay 23,714 0 0 0 0 0 TOTAL ENGINEERING 195,816 204,717 295,026 142,860 295,297 336,768 77 THIS PAGE INTENTIONALLY LEFT BLANK 78 DEPARTMENT: 174 GEOGRAPHIC INFORMATION SYSTEMS (GIS) FUND: 101 GENERAL FUND VISION STATEMENT The GIS Department will furnish a gateway to prompt, effective and essential geographic knowledge. MISSION STATEMENT Create, manage and maintain a robust geospatial platform that is accurate, reliable and easily accessible. Integrate the City's existing geographic data with new information to provide timely and dependable mapping products. GOALS AND OBJECTIVES • Promote the use of geographic data within the city and provide support and training to fully utilize the information and software. • Provide an interactive web mapping application accessible both internally and externally. • Design and Implement mobile applications for City Departments leveraging existing databases with GIS data. • Continue to improve web application and database management expertise • Continuing maintenance of the Regional Computer Aided Dispatch and Records Management project to enhance Police /Fire /Emergency Medical Services dispatching. • Provide new physical addresses in support of the Development Services Department. • Establish and refine data standards to aid data management and deployment. 79 GIS DEPARTMENTAL DESCRIPTION Designs, implements, and manages the City's geographic information system. Train staff to better understands and utilize current technology. ORGANIZATIONAL CHART GIS 2012 -13 2013 -13 2014 -15 GIS Coordinator 1 1 1 GIS Specialist 1 1 1 TOTAL POSITIONS 2 2 2 PERFORMANCE INDICATORS Work orders processed, per month 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Work orders processed, per month 35 30 36 Document pages created, per month 45 40 70 Property attributes updated per month 225 300 250 Hours per work order Remaining non - updated data 0 7.7 8.0 7.0 18% 16% 10% 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Hours per work order Remaining non - updated data 0 7.7 8.0 7.0 18% 16% 10% GIS Mobile applications deployed to City departments 0 0 1 Map request turnaround time, days 7 7 7 New subdivision addressing turnaround time, days 14 14 14 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Mobile applications deployed to City departments 0 0 1 Map request turnaround time, days 7 7 7 New subdivision addressing turnaround time, days 14 14 14 Personnel Supplies Staff Support Professional Services Rental /Leasing Operating Equipment Total $128,654 $130,952 $135,495 1,415 2,855 2,910 1,781 5,000 5,235 307 0 0 0 3,805 3,805 0 0 7350 $132,157 $142,612 $154,795 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget increases by 8.5% from the FY 2013 -14 year end estimates. This increase is due to the purchase of a laminator and a replacement printer. The laminator will be able to protect documents that are used in the field increasing effectiveness and efficiency. The current printer is aging, printing slowly and is prone to jams. The replacement printer will still be shared with neighboring departments. F-1 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel Supplies Staff Support Professional Services Rental /Leasing Operating Equipment Total $128,654 $130,952 $135,495 1,415 2,855 2,910 1,781 5,000 5,235 307 0 0 0 3,805 3,805 0 0 7350 $132,157 $142,612 $154,795 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget increases by 8.5% from the FY 2013 -14 year end estimates. This increase is due to the purchase of a laminator and a replacement printer. The laminator will be able to protect documents that are used in the field increasing effectiveness and efficiency. The current printer is aging, printing slowly and is prone to jams. The replacement printer will still be shared with neighboring departments. F-1 8 -25 -2014 02:23 PM 101 - GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (---- - - - - -- - -- 2013 -2014 --------------- )( -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU GIS Personnel Services 174- 511110 Regular 91,424 93,177 94,174 73,548 94,174 97,094 174 - 511180 LTD 277 288 292 241 292 301 174 - 511210 Longevity 910 1,213 1,529 1,529 1,529 1,793 174 - 511310 FICA - Employer 6,874 7,119 7,321 5,639 7,321 7,565 174 - 511350 TMRS- Employer 14,379 14,755 15,054 12,212 15,054 16,052 174- 511410 Health - Employer 11,309 11,736 12,283 10,134 12,283 12,287 174 - 511500 Workers' Compensation 300 366 390 299 299 403 TOTAL Personnel Services 125,472 128,654 131,043 103,602 130,952 135,495 Supplies 174 - 521000 Operating Supplies 411 977 1,630 705 1,630 1,670 174 - 521100 Office Supplies 202 141 245 0 245 240 174 - 521600 Equipment Supplies 1,124 297 980 296 980 1,000 TOTAL Supplies 1,736 1,415 2,855 1,001 2,855 2,910 City Support Services Staff Support 174 - 535500 Training /Travel 0 1,781 5,000 3,327 5,000 5,235 TOTAL Staff Support 0 1,781 5,000 3,327 5,000 5,235 Professional Services 174 - 541400 Other Prof Services 14 307 0 0 0 0 TOTAL Professional Services 14 307 0 0 0 0 Rental /Leasing 174- 561200 Lease /Purchase Payments 0 0 3,805 0 3,805 3,805 TOTAL Rental /Leasing 0 0 3,805 0 3,805 3,805 Operating Equipment 174 - 571500 Operating Equipment 0 0 0 0 0 7,350 TOTAL Operating Equipment 0 0 0 0 0 7,350 TOTAL GIS 127,223 132,157 142,703 107,930 142.,612 154,795 TOTAL GENERAL GOVERNMENT 5,606,668 5,814,179 6,780,711 4,454,852 6,542,317 7,206,840 82 DEPARTMENT: 256 POLICE FUND: 101 GENERAL FUND VISION STATEMENT United in a spirit of teamwork, the Schertz Police Department, as a regional leader and in partnership with the Community, is devoted to excellence in innovative and proactive public service and safety while contributing to an exceptional quality of life. MISSION STATEMENT The mission of the Schertz Police Department is to effectively and efficiently enhance a peaceful and valued quality of life in which the public feels safe and secure from crime, social disorder, and circumstances which compromise their safety and well- being. To provide needed community services with the highest level of professionalism and ethical standards. Continuing to strive for excellence in every service that we provide. GOALS AND OBJECTIVES • To promote public safety in our community through public education, community involvement, criminal investigations and enforcement action. • To promote a feeling of safety for all citizens and visitors to the city, including neighborhoods, commercial areas, parks and public facilities. • To increase department participation in community programs and increase citizen interest and participation in police department programs. • To enhance the recruitment of high quality officers /personnel to serve the citizens of Schertz and to retain those employees in which the City has already invested. 83 POLICE DEPARTMENT DESCRIPTION The Schertz Police Department patrols the 32.01 square miles of Schertz, with a current population of 34,833. The City of Schertz lies within three counties, with 243.06 centerline miles of roads. The police department receives thousands of calls for services annually. The communications division dispatches calls for Police, Fire, Emergency Medical Service and Animal Control. Additionally, the police department provides dispatch services for the City of Cibolo Police and Fire Departments, along with Schertz Emergency Medical Service dispatch for Cibolo, Marion, Seguin, Santa Clara, and other county areas. The Patrol Division provides a visible presence in the community, with the goal of crime prevention, crime reduction and the promotion of public safety. The Criminal Investigations Division investigates offenses that occurred within the city, processes crime scenes and follows up through prosecution with the County and District Attorneys of all three counties. The Records Division receives and prepares cases for submission to County and District Attorneys. The School Resource Officers provide a visible presence on the campuses within the city; make educational presentations to the students and staff, along with investigating crimes on campus. The Special Projects Officer interacts with Home Owner Associations, provides education and crime prevention programs to the community and oversees the Citizens Police Academy and the Citizens on Patrol. ORGANIZATIONAL CHART 84 POLICE POLICE 2012 -13 2013 -14 2014 -15 Chief of Police 1 1 1 Assistant Chief of Police 1 1 1 Captain 1 0 0 Support Services Lieutenant 0 1 1 Investigations Lieutenant 1 1 1 Patrol Lieutenant 1 1 1 Investigation Sergeant 3 2 2 Patrol Sergeant 3 4 4 Investigations Corporal / Detectives 4 5 5 Patrol Corporal 6 5 5 Special Projects Officer 1 1 1 School Resource Officer 1 1 1 School Resource Sergeant 1 1 1 Patrol Officer 24 24 24 Traffic Officer 0 4 4 Senior Administrative Assistant 1 1 1 Public Safety Technician 1 1 1 Records Manager 1 1 1 Records Clerk 2 2 2 Civilian Evidence Technician 0 1 1 Communications Manager 1 1 1 Communications Shift Supervisor 3 3 3 Communications Officer 12 12 12 Crossing Guards (Part Time) 7 7 9 TOTAL POSITIONS 76 81 j 83 LAW ENFORCEMENT COMMISSIONS 2012 -13 2013 -14 2014 -15 Fire Dept. Law Enforcement Commission 2 2 2 City Manager Law Enforcement Commission 1 0 0 Reserve Officer 1 2 2 TOTAL COMMISSIONS 4 4 4 PERFORMANCE INDICATORS 85 POLICE Patrol Vehicles 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Patrol Vehicles 18 20 22 Traffic Vehicles (3 stealth, 2 Actual Estimate Budget motorcycles) 6 6 5 # Patrol Officers including supervisors 33 33 33 # Patrol Officers with supervisory 3,272 1,751 2,950 position 9 9 9 Calls for Service - Schertz 19,894 17,360 18,000 Calls for Service - Accidents 1960 1724 1800 Citations Issued 19,335 17,770 18,000 Criminal Cases Filed 793 772 800 Total Active Alarm Permits 2,550 2,550 2,610 State Seizures $2,106 $1,600 $1500 Federal Seizures $54,814 $34,858 $35,000 Average time on calls for service Average time on tickets, per minute Average response time to calls (minutes) 20:36 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Average time on calls for service Average time on tickets, per minute Average response time to calls (minutes) 20:36 21:23 21:00 9:09 10:16 10:20 6:49 7:10 7:25 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $4,687,295 $4,823,080 $4,983,836 Supplies 47,346 32,547 47,646 City Support Services 20,657 26,722 26,750 Utility Services 132,016 131,419 148,064 Operations Support 3,272 1,751 2,950 Staff Support 62,329 83,508 109,423 City Assistance 781 8,178 10,200 Professional Services 19,369 27,965 53,313 Fund Charges /Transfers 33,167 0 0 Maintenance Services 38,557 50,565 53,790 Operating Equipment 153,832 109,161 108,868 Capital Outlay 176,017 147,005 218,754 Total $5,374,637 $5,441,901 $5,763,594 86 POLICE PROGRAM JUSTIFICATION AND ANALYSIS The Police Departments overall FY 2014 -15 Budget increased 5.9% when compared to the FY 2013 -14 year end estimates. There is a 3.3% increase within Personnel based on merit pay, overtime, longevity, payroll taxes, retirement, workers' compensation, and to bring the total number of crossing guards to nine. The police department's remaining budget increases are based on vehicle fuel, uniforms and body armor, training, and promotional and applicant testing service. In addition there is a need to replace 5 patrol cameras, 5 mobile computers, and the Live Scan finger print scanner. The mobile computers and the Live Scan need to be replaced since they run on Windows XP and are no longer supported my Microsoft. 87 B-25-2014 02:23 PM 101 - GENERAL, FUND PUBLIC SAFETY EXPENDITURES POLICE Personnel Services 256- 511110 Regular 256 - 511120 Overtime 256- 511180 LTD 256 - 511210 Longevity 256 - 511220 Clothing Allowance 256- 511230 Certification Allowance 256 - 511240 Allowance 256- 511310 FICA - Employer 256 - 511350 TMRS- Employer 256- 511410 Health - Employer 256 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 256 - 521000 Operating Supplies 256 - 521100 Office Supplies 256- 521300 Motor Veh. Supplies TOTAL Supplies City Support Services 256 - 532500 City Insurance- Commercial TOTAL City Support Services Utility Services 256- 533330 Telephone /Internet 256 - 533500 Vehicle Fuel TOTAL Utility Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 3,088,470 3,199,275 3,313,505 2,576,031 3,313,505 3,407,495 130,570 101,401 60,000 51,100 60,000 65,000 9,321 10,059 10,167 8,252 10,874 10,392 60,733 67,279 75,284 75,407 74,090 76,547 53,480 58,805 58,609 47,693 57,133 58,609 24,202 27,364 27,466 24,107 28,340 26,296 0 614 1,140 658 658 0 245,148 260,182 270,158 206,012 270,158 277,726 504,366 531,031 551,844 438,892 551,844 582,107 352,286 389,775 431,,124 342,168 422,561 434,262 37,441 41,511 44,194 33,917 33,917 45,402 4,506,017 4,687,295 4,843,491 3,804,235 4,823,080 4,983,836 43,372 39,214 21,847 16,011 21,178 33,612 3,112 2,631 3,,533 3,169 3,584 3,500 0 5,500 7,785 6,589 7,785 10,534 46,484 47,346 33,165 25,768 32,547 47,646 19,518 20,657 23,800 26,722 26,722 26,750 19,518 20,657 23,800 26,722 26,722 26,750 0 0 676 0 0 0 120,733 132,016 136,704 97,404 131,419 148,064 120,733 132,016 137,380 97,404 131,419 148,064 Operations Support 256- 534100 Advertising 0 446 450 450 0 0 256 - 534200 Printing 6 Binding 1,565 2,826 2,084 1,401 1,751 2,950 TOTAL Operations Support 1,565 3,272 2,534 1,851 1,751 2,950 Staff Support 256 - 535100 Uniforms 15,954 19,151 43,930 21,144 23,038 39,063 256- 535200 Awards 261 0 1,000 801 801 1,500 256- 535210 Employee Recognition - Morale 389 6,736 3,050 2,860 2,619 3,000 256 - 535300 Memberships 255 623 1,875 315 1,790 2,185 256- 535400 Publications 0 0 575 108 575 450 256 - 535500 Training /Travel 28,080 35,603 53,600 39,964 53,411 60,925 256- 535510 Meeting Expenses 187 216 1,400 701 1,274 2,300 TOTAL Staff Support 45,127 62,329 105,430 65,894 83,508 109,423 88 B-25-2014 02:23 PM 101 - GENERAL FUND PUBLIC SAFETY EXPENDITURES 2011 -2012 ACTUAL City Assistance - - - - -- 256 - 537100 Medical Services 3,172 256- 537800 Crime /Fire Prevention 6,561 TOTAL City Assistance 9,733 Professional Services CITY ADMIN. ADO 256- 541300 Prof Services /Consulting 5,531 TOTAL Professional Services 5,531 Fund Charges /Transfers 59,790 256 - 548404 Transfer Out- Capital Project 0 TOTAL Fund Charges /Transfers 0 Maintenance Services 3,500 256- 551100 Building Maintenance 0 256 - 551400 Minor & Other Equip Maint 602 256- 551800 Other Maintenance Agreements 15,144 256 - 551810 Maintenance Agr. - Radios 27,955 TOTAL Maintenance Services 43,700 Debt Service 8,178 Rental /Leasing 19,369 Operating Equipment 28,712 256 - 571000 Furniture & Fixtures 4,129 256- 571200 Vehicles & Access. LESS $5,00 49,606 256 - 571300 Computer & Periphe. < $5000 21,523 256- 571800 Equipment under $5,000 22,453 TOTAL Operating Equipment 97,711 Capital Outlay 0 256 - 581200 Vehicles & Access. OVER $5,00 142,521 256 - 581800 Equipment over $5,000 0 TOTAL Capital Outlay 142,521 C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 59,790 35,310 19,098 29,771 31,719 ( 2,223) 3,500 3,500 3,606 3,800 3,004 4,580 2,328 4,572 6,400 781 8,080 5,828 8,178 10,200 19,369 34,489 28,712 27,965 53,313 19,369 34,489 28,712 27,965 53,313 33,167 0 0 0 0 33,167 0 0 0 0 0 1,446 128 128 0 4,457 2,900 1,769 2,897 4,500 690 690 690 5,540 690 33,410 44,100 30,000 42,000 48,600 38,557 49,136 32,587 50,565 53,790 407 9,350 6,976 9,226 9,375 54,885 46,454 42,590 46,265 57,429 38,751 23,980 23,923 23,899 10,345 59,790 35,310 19,098 29,771 31,719 153,832 115,094 92,587 109,161 108,868 170,502 109,087 109,086 111,586 145,900 5,515 9,564 19,419 35,419 72,854 176,017 118,651 128,505 147,005 218,754 TOTAL POLICE 5,038,641 5,374,637 5,471,250 4,310,094 5,441,901 5,763,594 89 THIS PAGE INTENTIONALLY LEFT BLANK 90 DEPARTMENT: 257 FIRE RESCUE FUND: 101 GENERAL FUND VISION STATEMENT Through selection, training, and professional development we will create a Fire Rescue Department that is a model to our peers, an asset to our community, and a valued place to work. MISSION STATEMENT Protect all we serve with an emergency service that promotes public education and prevention; emphasizes community involvement; and provides the safe, timely, and efficient delivery of fire and rescue resources. GOALS AND OBJECTIVES • Deliver comprehensive safety services of the highest quality. • Respond to 90% of City within 5 minutes from time of dispatch. • Pre -fire plan all commercial occupancies in the city once per year, and extra hazard occupancies twice per year. • Support and maintain a safe, healthy, well trained and high performing work force. • Enact a wellness fitness program for all firefighters. • Improve training opportunities and encourage involvement in specialized operations. • Build upon area -wide technical rescue, hazardous materials, and wildland strike teams. • Provide high quality medical first responder service as part of an integrated emergency medical service. • Encourage advanced medical training and certifications. • Support emergency medical operations through interdepartmental cooperation. • Become the community resource for life safety knowledge and information regarding Schertz Fire Rescue. • Make face -to -face contact with 30% of population annually. • Quarterly inspects all restaurants, schools, and nursing homes. • Encourage public speaking for all firefighters. a FIRE RESCUE o Maintain safe construction and occupancy within the city through code enforcement. • Attract and maintain a qualified and diverse workforce. • Encourage diverse applicants through career fairs and public education. • Continue to apply for staffing grants through Department of Homeland Security. L1] 9ITJ 1,1111IF,1031*'ia :112916]L1 I The Schertz Fire Rescue Department is a paid career department that responds to all fire and emergency service calls in the City of Schertz, the contracted areas of Guadalupe and Bexar Counties, and through mutual aid, the surrounding cities. All department members are certified as structural firefighters and emergency medical technicians through the Texas Commission on Fire Protection and the Texas Department of Health Services, respectively. Schertz firefighters are highly trained with many holding advanced firefighter, medical, and multi - discipline specialized certifications. Schertz Fire Rescue has an active public education /fire prevention program that conducts code review and enforcement within the city. Fire and arson investigation services are maintained within the department. ORGANIZATIONAL CHART 92 FIRE RESCUE FIRE RESCUE 2012 -13 2013 -14 2014 -15 Fire Chief 1 1 1 Assistant Chief /Fire Marshal 1 1 1 Battalion Chief 3 3 3 Deputy Fire Marshal 1 1 1 Training/Safety/Emergency Manager 1 1 1 Lieutenant 6 6 6 Fire Inspector 0 1 1 Fire Apparatus Operator 6 6 6 Firefighter 12 12 12 Senior Administrative Assistant 1 1 1 TOTAL POSITIONS 32 33 33 PERFORMANCE INDICATORS Population Serviced Number of Commercial Occupancies Total staffing Suppression staffing Prevention staffing Support staffing (command /training /admin) Number of fire stations Number of full -time engine companies 32,000 2012 -13 2013 -14 2014 -15 Input Actual Estimate Budget Population Serviced Number of Commercial Occupancies Total staffing Suppression staffing Prevention staffing Support staffing (command /training /admin) Number of fire stations Number of full -time engine companies 32,000 35,000 35,000 729 740 750 32 32 33 27 27 27 1 1 2 4 4 4 2 2 2 2 2 2 Number of incidents 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Number of incidents 2,154 2,007 2,100 Unit Responses (# calls for all units Actual Estimate Budget responding to all emergencies) 3,390 2,950 3,150 Buildings preplan contacts 729 740 750 Community Contact (citizen contact) 6,330 6,375 7,000 Fire Inspections Conducted 332 350 700 Plan Reviews Completed 100 120 120 Training Hours Provided 2,743 2,790 3,100 Average Response Time (Minutes) 6:54 6:00 6:00 % Response Time < 5 Minutes 36.03% 36.79% 36.00% 93 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Average Response Time (Minutes) 6:54 6:00 6:00 % Response Time < 5 Minutes 36.03% 36.79% 36.00% 93 FIRE RESCUE • of Buildings Preplanned 100% 100% 100% • Prevention Contacts 59.0% 45.5% 50.0% Inspections per Inspector 332 350 350 Training Hours /Employee 88.47 90.00 100.00 Total Fire Loss ($1,000) 2012 -13 2013 -14 2014 -15 Effectiveness* Actual Estimate Budget Total Fire Loss ($1,000) 226.60 211.40 200.00 Property Saved ($1,000) 392.90 749.90 600.00 Fire Loss Ratio % 36.58% 21.99% 25.00% Civilian Fire Injuries 1 5 0 * Using structure fire data, we compare the value of the structure and its contents with the fire loss to arrive at a quantifiable value of property saved that could have been consumed had there been no intervention. The fire loss ratio is the fire loss as a percent of total property value. For example, the estimated ratio for 2013 -14 is 22 %, meaning that the average loss in a structure fire in the City of Schertz resulted in a fire loss of 22% of the total value of the house and contents. This is a new measure and as such there are no national figures with which to compare. Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $2,659,969 $2,712,169 $2,890,145 Supplies 4,707 17,000 16,500 Utility Services 52,845 45,960 58,700 Operations Support 689 1,160 1,200 Staff Support 105,875 116,165 115,700 City Assistance 8,847 16,200 16,200 Professional Services 11,430 14,000 25,000 Maintenance Services 27,295 51,700 58,932 Rental /Leasing 0 0 14,000 Operating Equipment 49,265 66,700 65,900 Capital Outlay 0 12,146 210,600 Total $2,920,922 $3,053,200 $3,472,877 94 FIRE RESCUE PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget increases 13.7% from the FY 2013 -14 year end estimates. This increase is to replace two vehicles: the chief's vehicle and a battalion chief's vehicle. The old vehicles will be used by the new inspector, who needs a dedicated vehicle and the second will replace a broken down vehicle used by the Training Safety Officer. The rest of the increase is dedicated to replacing outdated equipment. The Self Contained Breathing Apparatuses will be replaced over a 3 year time period while 2 defibrillators will be replaced using a leasing program started through the Emergency Medical Services department. 95 B-25-2014 02:23 PM 101 - GENERAL FUND PUBLIC SAFETY EXPENDITURES FIRE RESCUE Personnel Services 257 - 511110 Regular 257 - 511120 Overtime 257- 511180 LTD 257 - 511210 Longevity 257 - 511220 Clothing Allowance 257 - 511230 Certification Allowance 257- 511310 FICA - Employer 257 - 511350 TMRS - Employer 257- 511410 Health - Employer 257- 511500 Workers' Compensation TOTAL Personnel Services Supplies 257 - 521000 Operating Supplies 257 - 521100 Office Supplies 257- 521200 Medical /Chem Supplies 257- 521300 Motor Veh. Supplies 257 - 521600 Equip Maint Supplies TOTAL Supplies City Support Services Utility Services 257 - 533100 Gas Utility Service 257 - 533200 Electric Utility Service 257- 533320 Telephone /Air Cards 257 - 533410 Water Utility Service 257 - 533500 Vehicle Fuel TOTAL Utility Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 1,584,411 1,712,226 1,704,978 1,311,862 174,076 206,396 228,200 179,439 5,529 5,892 4,830 4,368 42,682 41,453 46,334 46,274 9,468 9,672 9,672 7,812 31,021 30,772 31,000 29,253 140,697 146,227 153,889 118,421 292,479 303,994 316,353 254,521 169,074 181,842 191,177 158,775 18,717 21,496 19,697 17,564 2,468,152 2,659,969 2,706,130 2,128,289 3,131 2,670 3,000 2,505 1,650 1,235 1,500 1,339 10,128 0 9,400 1,936 1,055 358 1,100 189 949 445 2,000 1,877 16,913 4,707 17,000 7,846 1,704,978 1,823,965 234,200 234,200 4,830 5,121 46,274 54,035 9,672 9,984 33,232 30,290 153,889 164,664 316,353 346,966 191,177 199,661 17,564 21,259 2,712,169 2,890,145 3,000 2,800 1,500 1,300 9,400 9,400 1,100 1,000 2,000 2,000 17,000 16,500 4,881 4,967 6,000 4,051 5,000 6,100 10,861 11,611 10,000 11,725 12,000 11,000 0 0 760 324 760 9,600 3,139 2,255 2,000 1,864 2,200 2,000 31,473 34,013 29,500 22,181 26,000 30,000 50,353 52,845 48,260 40,145 45,960 58,700 Operations Support 257 - 534100 Advertising 0 72 300 98 300 300 257- 534200 Printing & Binding 552 617 900 856 860 900 TOTAL Operations Support 552 689 1,200 953 1,160 1,200 Staff Support 257 - 535100 Uniforms 60,289 53,331 56,500 22,017 56,500 55,000 257- 535300 Memberships 1,059 1,399 1,500 1,564 1,565 1,800 257 - 535400 Publications 2,981 2,571 3,000 2,331 2,600 2,800 257 - 535500 Training /Travel 33,089 41,570 42,665 32,815 48,000 48,000 257 - 535510 Meeting Expenses 2,110 2,616 3,500 1,132 3,500 3,500 257 - 535600 Professional Certification 4,086 4,387 4,600 3,496 4,000 4,600 TOTAL Staff Support 103,614 105,875 111,765 63,354 116,165 115,700 96 B -25 -2014 02:23 PM 101 - GENERAL FUND PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU City Assistance 16,200 257 - 537800 Crime /Fire Prevention 14,612 TOTAL City Assistance 14,612 Professional Services 0 257- 541300 Other Professional Services 12,148 TOTAL Professional Services 12,148 Maintenance Services 3,652 257 - 551400 Minor 6 Other Equip Maint 6,820 257 - 551800 Other maintenance agreement 9,196 257 - 551810 Maintenance Agr. - Radios 12,915 257- 551900 Construction - Office Spaces 13,150 TOTAL Maintenance Services 42,081 Rental /Leasing 16,200 257 - 561200 Lease /Purchase Payments 0 TOTAL Rental /Leasing 0 Operating Equipment 0 257- 571000 Furniture S Fixtures 0 257 - 571200 Vehicles 6 Access. LESS $5,00 3,577 257- 571300 Computer 6 Periphe. < $5000 3,652 257 - 571310 Computer Software 940 257 - 571400 Communication Equip LESS $500 3,660 257- 571600 Police /Fire /Medical Equipment 21,393 257 - 571800 Equipment under $5,000 7,191 TOTAL Operating Equipment 40,412 Capital Outlay 8,343 257 - 581200 Vehicles S Access. OVER $5,00 31,116 257 - 581800 Equipment over $5,000 0 TOTAL Capital Outlay 31,116 8,847 16,200 0 16,200 16,200 8,847 16,200 0 16,200 16,200 11,430 15,000 13,218 14,000 25,000 11,430 15,000 13,218 14,000 25,000 535 6,316 2,608 8,000 8,000 8,343 25,000 11,425 14,000 22,000 10,538 14,760 9,364 14,700 13,932 7,878 8,188 6,011 15,000 15,000 27,295 54,264 29,407 51,700 58,932 0 0 0 0 14,000 0 0 0 0 14,000 2,097 8,000 4,394 8,000 7,000 261 4,200 463 4,000 4,200 1,264 3,640 908 4,400 4,400 1,354 2,500 50 2,500 2,000 7,478 9,800 4,108 9,800 7,800 30,217 32,500 17,859 30,000 32,500 6,594 9,528 9,527 8,000 8,000 49,265 70,168 37,309 66,700 65,900 0 0 0 0 101,000 0 12,147 12,146 12,146 109,600 0 12,147 12,146 12,146 210,600 TOTAL FIRE RESCUE 2,779,954 2,920,922 3,052,134 2,332,669 3,053,200 3,472,877 97 THIS PAGE INTENTIONALLY LEFT BLANK 98 DEPARTMENT: DEVELOPMENT SERVICES DIVISION: 258 BUILDING INSPECTIONS FUND: 101 GENERAL FUND VISION STATEMENT To build the community of Schertz as a safe place to live, work and play through the enforcement of building codes with a helpful customer service process led by knowledgeable and dedicated staff. MISSION STATEMENT Schertz Inspection staff is committed to the enforcement of life safety building and fire codes and we pledge to assist customers through a collaborative development process by: • Taking pride in building a safe Schertz. • Public awareness of building safety through personal interaction with homeowners, business owners, developers and builders. • Fostering an eager attitude to assist the customer through the rules and regulations of building procedures; and • To help them find solutions to challenges presented by the application of building codes and ordinances. GOALS AND OBJECTIVES • Strive to provide superior customer service through courteous and professional relationships with the public and building community. • Continue to invest in educational opportunities and training for city staff. Planned attendance at the Building Professional's Institute will focus on the 2012 International Codes scheduled for May 2014 and February 2015. • Work with IT Department to promote the use of automated technology in permit application and inspection software which will streamline the construction process and provide the applicant with on -line access to projects. .. INSPECTIONS ACCOMPLISHMENTS • Adopted building code amendments to foundation requirements which were implemented in August 2013. • Achieved inspector training through the Post Tensioning Institute (PTI) in support of newly adopted code amendments for foundations. Chief Inspector successfully obtained a Level I PTI Inspector Certification. • Adopted electronic submittal of residential plans and a 10 year retention period of plans effective October 2013. • Initiated staff review of 2012 International Codes and amendments thereto. Goal is to present adoption of these codes to City Council this fiscal year. • Introduced several permit applications as interactive documents thereby giving the customer an opportunity to submit for permits on the City website. We will continue to work on making all permit applications interactive documents. • Inspectors created new residential and new commercial plan review and inspection checklists to improve efficient review of building plans and performance of field inspections of these projects. • Launched inspector call -backs to contractor /homeowner on delivery and status of inspections. DEPARTMENT DESCRIPTION The Inspections Division of Development Services assists customers seeking permits for various types of building and improvement projects to include all aspects of residential and commercial construction. Enforces building, electrical, energy, gas, mechanical, and plumbing codes as adopted; verifies that contractors are licensed and insured to provide safe and efficient service to our citizens. Works in partnership with the Planning and Zoning Division to enforce the Unified Development Code; works with the Environmental Health Department to ensure that food establishments in the City comply with health codes; works with the Public Works Department to enforce backflow prevention requirements in an effort to protect the City potable water system. Investigates and resolves complaints received by the public concerning alleged code violations. Conducts plan review of all proposed construction within the city limits. We will continue to coordinate and provide inspections in a timely manner and to protect, promote and assure safety to our citizens. ime INSPECTIONS ORGANIZATIONAL CHART INSPECTIONS 2012 -13 2013 -14 2014 -15 Director of Development Services 1 1 1 Executive Assistant 1 1 1 Chief Inspector 1 1 1 Assistant Chief Inspector 1 1 1 Assistant Inspector 1 1 1 Plans Examiner 0 1 1 Permit Technician 2 2 2 TOTAL POSITIONS 7 8 8 PERFORMANCE INDICATORS New Residential Construction 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget New Residential Construction 293 348 348 New Commercial Construction 7 11 7 Garage Sale Permits 556 446 446 Reroof Permits 272 194 194 Shed Permits 148 80 80 Deck /Patio Permits 118 114 114 Sign Permits 98 130 130 Fence Permits 144 132 132 All Other Permits 408 336 336 Mechanical Permits 782 584 584 WE INSPECTIONS Electric Permits Plumbing Permits Total Permit Revenue 743 610 610 955 898 898 $1,207,972 $1,381,082 $1,061,803 Avg. days to complete residential 5 5 5 plan review Avg. days to complete commercial 45 45 30 plan review 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Avg. days to complete residential 5 5 5 plan review Avg. days to complete commercial 45 45 30 plan review Standard Inspections (i.e. framing) 12,452 9,420 9,420 Re- Inspections 756 550 550 Effectiveness 2012 -13 Actual 2013 -14 Estimate 2014 -15 Budget Standard Inspections (i.e. framing) 12,452 9,420 9,420 Re- Inspections 756 550 550 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $429,678 $478,407 $533,804 Supplies 1,841 2,438 2,938 Utility Services 6,219 6,770 6,500 Operations Support 1,586 1,700 2,200 Staff Support 5,921 8,950 10,850 Professional Services 0 46 0 Operating Equipment 545 3,430 28,520 Total $445,789 $501,741 $584,812 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 16.6% from the FY 2013 -14 year end estimates. This increase is attributed to the full year funding of a Plans Examiner position and to replace a broken down Inspector vehicle. 102 B-25-2014 02:23 PM 101 - GENERAL FUND PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU INSPECTIONS 341,749 Personnel Services 341,749 258 - 511110 Regular 305,782 258 - 511120 Overtime 0 258 - 511160 LTD 676 258- 511210 Longevity 5,450 258- 511310 FICA - Employer 22,880 258 - 511350 TMRS- Employer 48,52.1 258- 511410 Health - Employer 39,113 258- 511500 Workers' Compensation 620 TOTAL Personnel Services 423,245 Supplies 26,758 258 - 521000 Operating Supplies 446 258- 521100 Office Supplies 1,475 258 - 521300 Motor Vehicle Supplies 0 258- 521600 Equip Maint Supplies 75 TOTAL Supplies 1,996 City Support Services 1,028 258- 532400 Computer Fees 6 Licenses 595 TOTAL City Support Services 595 Utility Services 478,959 256- 533330 Telephone /Internet 0 256- 533500 Vehicle Fuel 5,919 TOTAL Utility Services 5,919 Operations Support 500 258- 534100 Advertising 0 258 - 534200 Printing s Binding 561 TOTAL Operations Support 561 Staff Support 0 258- 535100 Uniforms 1,130 258- 535300 Memberships 446 258- 535400 Publications 73 258 - 535500 Training /Travel Staff 1,561 258- 535500.Training /Travel B.O.A. 0 256- 535510 Meeting Expenses 451 256- 535600 Professional Certification 110 TOTAL Staff Support 3,771 308,266 341,749 251,344 341,749 378,192 0 267 267 0 2,000 703 1,059 638 1,059 1,172 6,409 7,507 9,475 7,507 8,652 23,052 26,756 19,230 26,758 29,762 49,145 54,944 42,437 54,944 63,152 41,075 45,550 34,461 45,550 49,147 1,028 1,105 840 840 1,527 429,678 478,959 358,713 476,407 533,804 439 500 198 500 500 1,355 1,500 896 1,500 2,000 0 188 0 188 186 47 250 50 250 250 1,841 2,438 1,146 2,438 2,938 0 0 0 0 0 0 0 0 0 0 0 270 266 270 0 6,219 6,500 4,773 6,500 6,500 6,219 6,770 5,039 6,770 6,500 0 200 0 200 200 1,586 1,500 898 1,500 2,000 1,586 1,700 698 1,700 2,200 1,344 2,000 634 2,000 2,000 125 361 361 350 350 915 500 184 500 2,400 3,249 5,300 3,137 5,300 5,300 0 13 ( 12) 300 300 0 39 15 200 200 287 300 110 300 300 5,921 6,513 4,628 6,950 10,850 103 8 -25 -2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 PUBLIC SAFETY EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL, ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU City Assistance Professional Services 258 - 541300 Other Consl /Prof Services TOTAL Professional Services Rental /Leasing Operating Equipment 258- 571000 Furniture S Fixtures 258- 571200 Vehicles &Access. LESS $5,000 258 - 571300 Computer & Periphe. < $5,000 TOTAL Operating Equipment Capital Outlay 0 0 0 46 46 0 0 0 0 46 46 0 0 545 3,000 0 3,000 520 0 0 0 0 0 28,000 0 0 430 430 430 0 0 545 3,430 430 3,430 28,520 TOTAL INSPECTIONS 436,088 445,789 501,810 370,899 501,741 584,812 104 DEPARTMENT: 259 MARSHAL'S OFFICE FUND: 101 GENERAL FUND VISION STATEMENT Creating a safe, healthy community where people chose to work and live, now and in the future. MISSION STATEMENT The Marshal's Office comprised of Warrants, Code Enforcement, and Sanitarian takes pride in: ➢ Providing information ➢ Treating people fairly ➢ Effective communication with customers ➢ Providing quality service by knowing our jobs GOALS AND OBJECTIVES • To provide effective security for the Judiciary, Court personnel, and visitors to the court. • To compel compliance in the neighborhoods through effective environmental, health, and code enforcement. • To train deputies to perform their tasks /duties entrusted to them in a safe and effective manner. • To be effective through communication and cooperation with other City departments, and with Local, State, and National agencies. • To promote the integrity of the Marshal's Office and its personnel. 105 MARSHAL'S OFFICE DEPARTMENT DESCRIPTION The Marshal's Office was created October 1, 2008. Through this act, the Marshal's Office has the authority to arrest violators of the city and state laws, and to enforce city ordinances and court orders. The deputies and code enforcement officers can issue citations for violations. The department's sworn personnel are recognized as Law Enforcement Officers by the State of Texas and the Texas Commission on Law Enforcement. The Marshal's Office is comprised of the Warrants, Sanitarian and Code Enforcement Division. The Marshal's Office is staffed by a City Marshal, three deputies assigned to warrants and court security, two code enforcement officers, a department clerk, and one Sanitarian. The Warrant division diligently provides for the safety and security of the Court, Judges and staff; executes warrants of arrest, subpoenas, summons and other legal process. The Deputies will relentlessly pursue and bring to justice those persons with outstanding warrants in order to ensure compliance and accountability. The City Code Enforcement and Sanitarian divisions will enforce laws that fall under the Texas Litter Abatement Act, Texas Water Code, Texas Health and Safety Code, and local City Ordinances. ORGANIZATIONAL CHART 106 MARSHAL'S OFFICE MARSHAL'S OFFICE 2012 -13 2013 -14 2014 -15 Marshal 1 1 1 Deputy Marshal Lieutenant 1 1 1 Sanitarian 1 1 1 Code Enforcement Officer 2 2 2 Deputy Marshal Corporal 1 1 1 Deputy Marshal 1 1 1 Administrative Assistant 1 1 1 Total Personnel 8 8 8 COMMISSIONS 2012 -13 2013 -14 2014 -15 Marshal's Office 4 4 4 TOTAL COMMISSIONS 4 6 6 PERFORMANCE INDICATORS Warrants Issued 2012 -13 2013 -14 2014 -15 Workload Actual Estimate Budget Warrants Issued 3,177 3,100 3,500 Code Enforcement Violation Notices Sent 1,613 1,800 2,100 Citizen Complaints 697 750 751 Food Establishment Inspections 281 350 350 Warrants Cleared 4,687 3,850 4,700 Code Enforcement Issues Resolved 393 460 500 without notice 10,183 12,000 17,700 Bandit Signs Removed 1,304 1,500 1,500 Food Handler Permits 868 950 950 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $538,428 $554,092 $570,071 Supplies 1,024 3,890 6,400 Utility Services 15,488 16,000 16,000 Operations Support 707 2,000 3,500 Staff Support 5,403 9,200 14,800 City Assistance 0 0 2,500 Maintenance Services 10,183 12,000 17,700 Operating Equipment 10,452 6,650 19,700 Capital Outlay 0 32,121 8,000 Total $581,675 $635,953 $658,671 107 MARSHAL'S OFFICE PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 3.6% from the FY 2013 -14 year end estimates by purchasing a new laptop and tablets for field work and to develop a code enforcement program for ticket writers. 1W. B-25-2014 02:23 PM 101 - GENERAL FUND PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU MARSHAL'S OFFICE Personnel Services 259 - 511110 Regular 364,665 375,723 383,206 308,209 383,206 388,644 259 - 511120 Overtime 827 846 3,000 1,065 950 4,000 259 - 511180 LTD 1,118 1,189 1,188 1,006 1,188 1,205 259- 511210 Longevity 9,791 10,449 11,656 13,760 11,656 13,826 259 - 511220 Clothing Allowance 5,979 5,845 5,845 4,881 5,854 5,845 259- 511230 Certification Allowance 2,470 2,801 3,380 2,850 3,380 3,770 259 - 511310 FICA - Employer 29,026 30,020 31,219 25,018 31,219 31,801 259 - 511350 TMRS - Employer 58,915 60,902 64,192 52,902 64,192 67,478 259- 511410 Health - Employer 43,768 46,594 49,131 41,049 49,131 49,147 259 - 511500 Worker' Compensation 3,451 4,059 4,280 3,316 3,316 4,355 TOTAL Personnel Services 520,010 538,428 557,097 454,058 554,092 570,071 Supplies 259 - 521000 Operating Supplies 392 600 600 25 400 2,500 259- 521100 Office Supplies 1,574 345 2,000 941 1,500 2,000 259 - 521200 Medical /Chem Supplies 0 0 400 0 300 0 259 - 521300 Motor Vehicle Supplies 563 0 1,540 405 1,540 1,600 259- 521600 Equip Maint Supplies 561 80 300 0 150 300 TOTAL Supplies 3,091 1,024 4,840 1,371 3,890 6,400 Utility Services 259 - 533500 Vehicle Fuel 15,363 15,448 16,000 7,904 16,000 16,000 TOTAL Utility Services 15,363 15,448 16,000 7,904 16,000 16,000 Operations Support 259 - 534200 Printing & Binding 1,478 707 3,500 919 2,000 3,500 TOTAL Operations Support 1,478 707 3,500 919 2,000 3,500 Staff Support 259- 535100 Uniforms 0 0 300 0 200 3,000 259 - 535200 AWARDS 0 0 0 0 0 300 259- 535300 Memberships 705 0 650 310 550 900 259 - 535400 Publications 157 0 300 0 200 300 259 - 535500 Training /Travel 6,280 5,403 9,000 3,355 8,000 10,000 259- 535510 Meeting Expenses 230 0 300 155 250 300 TOTAL Staff Support 7,372 5,403 10,550 3,819 9,200 14,800 City Assistance 259 - 537100 Medical Services 0 30 0 0 0 0 259- 537800 Crime /Fire Prevention 0 0 0 0 0 2,500 TOTAL City Assistance 0 30 0 0 0 2,500 109 8 -25 -2014 02:23 PM 101 - GENERAL FUND PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Professional Services Maintenance Services 259 - 551700 Abatement /Lot Cleaning 4,252 6,378 10,000 3,446 6,000 10,000 259 - 551800 Other Maintenance Agreements 1,645 1,645 3,000 145 3,000 3,500 259 - 551810 Maintenance Agr. - Radios 2,025 2,160 3,000 1,620 3,000 4,200 TOTAL Maintenance Services 7,922 10,183 16,000 5,211 12,000 17,700 Operating Equipment 259 - 571000 Furniture & Fuxtures < $5,000 0 0 2,000 268 650 1,000 259 - 571200 Vehicles & Access. LESS $5,00 5,477 0 0 3,555 0 0 259- 571300 Computer & Periphe. < $5,000 932 1,258 0 1,197 0 8,000 259- 571400 Communication Equip. < $5,000 3,011 0 0 0 0 0 259 - 571800 Equipment Less $5,000 8,547 9,194 6,000 2,335 6,000 10,700 TOTAL Operating Equipment 17,967 10,452 8,000 7,354 6,650 19,700 Capital Outlay 259 - 581200 Vehicles & Access. OVER $5,00 25,545 0 35,000 28,566 32,121 0 259 - 581300 Computer & Periphe. > $5,000 0 0 0 0 0 8,000 TOTAL Capital Outlay 25,545 0 35,000 28,566 32,121 8,000 TOTAL MARSHAL'S OFFICE TOTAL PUBLIC SAFETY 598,748 581,675 650,987 509,202 635,953 658,671 81853,431 9,323,023 9,676,181 7,522,864 9,632,795 10,479,954 Mul DEPARTMENT: PUBLIC WORKS DIVISION: 359 STREETS FUND: 101 GENERAL FUND VISION STATEMENT Provide superior customer service, safe roadways and sidewalks, and traffic experiences for our residents and visitors. MISSION STATEMENT Ensure a safe and inviting community by maintaining and improving our infrastructure through an empowered, engaged, and skilled workforce. I:C1611-11 W'IF_10I exel I1=19I kvl: i • Apply preventative maintenance strategies to extend the life of City streets and reduce unscheduled maintenance. • Plan, design, construct, operate, and maintain traffic functions, traffic control devices, street resurfacing and rehabilitation, street lights, street signs, street sweeping, and crosswalk signals. • Emphasize safety to our employees to reduce preventable accidents. • Provide traffic counts and speed information on specific streets as requested. • Design and prepare street maintenance plans, pothole patching, and sidewalk construction. IQ=17t1A0iyy l=1ki 11911=I* @] NIi9[s]PI The Street Department provides high quality service in design, construction, and renovation of streets and continues to perform services in a customer service first manner to meet the needs of the citizens. Provides safe and efficient movement of the people and goods through a well- designed, operated, and maintained transportation network. Evaluates affordability and efficiency options for providing street maintenance services. Chipping service is provided as requested by the residents. The Street Division assists other departments as needed. PUBLIC WORKS- STREETS ORGANIZATIONAL CHART feral Building Water & rices Streets Fleet Services Maintenance Sewer /Billing Drair Office STREETS 2012 -13 2013 -14 2014 -15 Superintendent of Streets, Fleet & Solid Waste 1 1 1 Street Supervisor 1 1 1 Foreman 1 1 1 Street Worker II 3 3 3 Street Worker II /Sweeper Operator 1 1 1 Street Sweeper Operator 1 1 1 Street Worker 1 6 6 6 TOTAL POSITIONS 141 14 14 PERFORMANCE INDICATORS Street Sweeping hours Number of signs produced Quantity of asphalt purchased (tons) Special projects (Hours) Street centerline miles 1,595.5 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Street Sweeping hours Number of signs produced Quantity of asphalt purchased (tons) Special projects (Hours) Street centerline miles 1,595.5 1,674 1,757 641 673 706 1,037.9 1,088 1,142 3,536.5 3,712 3,898 133.62 135.00 138.00 Annual cost to operate street sweepers (operators and fuel) Cost per ton of asphalt Approved daily budget expenditures for operation 112 $99,200 $104,160 $60 $65 $4,148 $3,893 $109,368 $65 $4,031 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Annual cost to operate street sweepers (operators and fuel) Cost per ton of asphalt Approved daily budget expenditures for operation 112 $99,200 $104,160 $60 $65 $4,148 $3,893 $109,368 $65 $4,031 PUBLIC WORKS- STREETS Hours spent on roadway maintenance Hours spent on traffic control device maintenance and repair 4,738 4,974 773 811 5,223 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Hours spent on roadway maintenance Hours spent on traffic control device maintenance and repair 4,738 4,974 773 811 5,223 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $656,431 $675,005 Supplies 5,263 7,150 Utility Services 143,229 136,200 Staff Support 6675 8,880 City Assistance 0 500 Professional Services 0 0 Maintenance Services 134,485 160,400 Rental Equipment 0 450 Operating Equipment 5,444 10,564 Capital Outlay 0 103,898 Total $951,528 $1,103,047 PROGRAM JUSTIFICATION AND ANALYSIS $691,780 7,100 136,200 10,030 500 40,000 135,400 200 300 28,000 $1,049,510 The FY 2014 -15 Budget will decrease by 4.9% from the FY 2013 -14 year end estimates. The decrease is due to the completion of the new lighted crosswalk in front of Clemens High School and the purchase of two vehicles in FY 2013 -14. These completed projects are partially offset by the purchase of another replacement vehicle in FY 2014 -15. 113 B-25-2014 02:23 PM 101 - GENERAL FUND PUBLIC ENVIRONMENT EXPENDITURES STREETS Personnel Services 359 - 511110 Regular 359 - 511120 Overtime 359- 511180 LTD 359 - 511210 Longevity 359- 511230 Certification Allowance 359 - 511310 FICA - Employer 359 - 511350 TMRS- Employer 359 - 511410 Health - Employer 359 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 359 - 521000 Operating Supplies 359- 521100 Office Supplies 359- 521200 Medical /Chem Supplies 359- 521300 Motor Veh. Supplies TOTAL Supplies City Support Services Utility Services 359- 533200 Electric Utility Service 359 - 533410 Water Utility Service 359 - 533500 Vehicle Fuel TOTAL Utility Services Operations Support Staff Support 359 - 535100 Uniforms 359 - 535200 Awards 359- 535300 Memberships 359 - 535500 Training /Travel 359 - 535510 Meeting Expenses 359 - 535600 Professional Certification TOTAL Staff Support City Assistance 359- 537100 Medical Services TOTAL City Assistance C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 453,225 441,215 448,652 347,460 448,652 454,321 5,651 3,529 4,900 5,016 4,900 4,900 1,333 1,287 1,391 1,115 1,391 1,408 8,075 9,165 10,758 9,853 10,758 11,458 2,446 2,862 2,700 2,805 2,700 2,700 34,725 33,726 35,432 27,125 35,432 35,919 73,264 71,353 73,388 59,470 73,388 76,764 75,319 76,216 83,830 65,906 83,830 83,857 14,623 17,078 20,176 13,954 13,954 20,453 668,663 656,431 681,227 532,704 675,005 691,780 2,921 3,480 3,500 2,302 3,500 3,500 250 296 300 302 350 300 867 668 1,500 941 1,500 1,500 718 819 1,800 1,531 1,800 1,800 4,755 5,263 7,100 5,076 7,150 7,100 84,012 83,316 73,000 49,949 85,000 85,000 993 1,240 1,000 854 1,200 1,200 52,720 58,674 50,000 37,497 50,000 50,000 137,725 143,229 124,000 88,300 136,200 136,200 5,454 5,345 6,000 5,724 6,000 7,150 0 39 200 0 200 200 0 141 180 0 180 180 645 463 1,500 734 1,500 1,500 551 422 600 342 600 600 311 265 400 181 400 400 6,960 6,675 8,880 6,981 8,880 10,030 0 0 500 0 500 500 0 0 500 0 500 500 ME B -25 -2014 02:23 PM 101 - GENERAL FUND PUBLIC ENVIRONMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Professional Services 359 - 541310 Contractual Services 0 0 30,000 0 0 40,000 TOTAL Professional Services 0 0 30,000 0 0 40,000 Maintenance Services 359 - 551100 Building Maintenance 3,701 2,137 75 75 3,900 3,900 359 - 551400 Minor & Other Equip Maint 1,303 1,412 1,045 264 1,500 1,500 359 - 551600 Street Maintenance Materials 149,734 130,936 139,800 119,273 155,000 130,000 TOTAL Maintenance Services 154,738 134,485 140,920 119,612 160,400 135,400 Debt Service Rental /Leasing 359 - 561100 Rental - Equipment 0 0 400 415 450 200 TOTAL Rental /Leasing .0 0 400 415 450 200 Operating Equipment 359 - 571000 Furniture & Fixtures 0 0 200 310 310 300 359- 571200 Vehicles & Access under $5,00 0 0 0 5,754 5,754 0 359- 571750 Street Crossing Minor Imprvmn 0 0 0 33,392 0 0 359- 571800 Equipment under $5,000 3,486 5,444 8,780 4,470 4,500 0 TOTAL Operating Equipment 3,486 5,444 8,980 43,926 10,564 300 Capital Outlay 359- 581200 Vehicles & Access. OVER $5,00 0 0 64,500 57,863 64,500 28,000 359 - 581750 Street Crossing Improvements 0 0 33,498 0 33,498 0 359- 581800 Equipment over $5,000 0 0 5,900 5,900 5,900 0 TOTAL Capital Outlay 0 0 103,898 63,763 103,898 28,000 TOTAL STREETS 976,327 951,528 1,105,905 860,778 1,103,047 1,049,510 TOTAL PUBLIC ENVIRONMENT 976,327 951,528 1,105,905 860,778 1,103,047 1,049,510 115 THIS PAGE INTENTIONALLY LEFT BLANK 116 DEPARTMENT: 460 PARKS, RECREATION AND COMMUNITY SERVICES FUND: 101 GENERAL FUND VISION STATEMENT Through the provision of exceptional parks and recreational facilities, enhance the quality of life, nurture health and well- being, promote a sense of community and kinship, and contribute life -long learning, leisure, and recreational opportunities for the residents of the City of Schertz. IlyiIRIA If] &]IF- A94►yi14►110 Provide safe, enjoyable, and attractive parks and facilities; provide diverse programs and responsive services to residents of all ages; preserve, protect and enhance our open spaces; and, provide park development that will enhance health, happiness, and morale accomplished through pride of ownership, forward thinking, and commitment to excellence in customer service. GOALS AND OBJECTIVES • Continue to develop a system of parks, open space, recreational facilities, and leisure services that will meet the needs of an expanding community. • Implement the on -going Parks and Open Space Master Plan recommendations and priorities to keep pace with the needs of an expanding community. • Complete the approved (and budgeted) Capital Improvement Program for park projects. • Continue the development of trails and greenbelts to improve connectivity among parks, neighborhoods, churches, schools, public facilities, and municipal buildings. • Provide recreational and leisure opportunities to City of Schertz residents of all ages through the provision of high quality parks and recreational facilities. 117 PARKS, RECREATION AND COMMUNITY SERVICES DEPARTMENT DESCRIPTION The Parks, Recreation, and Community Services department oversees the maintenance and management of approximately 400 acres of park land, to include the maintenance of municipal facilities, creek ways, swimming pools, graffiti removal, park irrigation systems, trails, restrooms, pavilions, open space, playground equipment, benches, picnic tables, lighting, mowing contracts oversight, and oversight of athletic field maintenance by sports associations (Buffalo Valley Youth Association and Schertz Youth Soccer Alliance). Conducts community -wide tree planting and beautification programs. Acquires, designs, constructs, and renovates existing and additional park land and facilities. Provides citizen input and communication venues utilizing the Parks and Recreation Advisory Board, surveys, and community meetings. Supports seasonal special events. The Director of Parks, Recreation, and Community Services oversees the budgets for the Swimming Pools, Animal Services, Tree Mitigation, and Parkland Dedication. In addition, the Director oversees /manages the contracts with the YMCA of Greater San Antonio for the Recreation Center staffing /programming and Pickrell pool seasonal staffing /programming. ORGANIZATIONAL CHART Pools PARKS, RECREATION & COMMUNITY SERVICES 2012 -13 2013 -14 2014 -15 Director of Parks, Recreation & Community Services 1 1 1 Park Foreman 1 1 1 Parks Manager 1 1 1 Senior Administrative Assistant 1 1 1 Park Worker 1 4 4 4 Seasonal Park Workers 2* 2* 2 TOTAL POSITIONS 10 10 10 *Positions are unfunded. 118 PARKS, RECREATION AND COMMUNITY SERVICES PERFORMANCE INDICATORS Total Acres of Park Land Managed Total Acres of Park Land Managed Per FTE Routine Park Maintenance Hours (net) 379.05 2012 -13 2013 -14 2014 -15 Workload /Outputs Actual Estimate Budget Total Acres of Park Land Managed Total Acres of Park Land Managed Per FTE Routine Park Maintenance Hours (net) 379.05 379.05 389.05 75.81 75.81 77.81 7,171 7,484 7,480 Acres of Contractual Mowing Acres of Athletic Association Maintenance Hours of Community restitution /Volunteer Service Hours of Athletic Association Service 21.6 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Acres of Contractual Mowing Acres of Athletic Association Maintenance Hours of Community restitution /Volunteer Service Hours of Athletic Association Service 21.6 21.6 21.6 68.6 71.6 71.6 2,702 2,364 2,350 5,000 5,110 5,219 Cost Benefit for Athletic Association Field Maintenance Cost Benefit for Community Restitution /Volunteer Hours $106,650 $112,420 $114,818 $57,418 $52,008 $51,700 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Cost Benefit for Athletic Association Field Maintenance Cost Benefit for Community Restitution /Volunteer Hours $106,650 $112,420 $114,818 $57,418 $52,008 $51,700 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $498,800 $489,556 $533,103 Supplies 33,078 41,905 41,905 Utility Services 154,940 144,220 143,800 Operations Support 0 250 250 Staff Support 7,146 8,473 8,473 Professional Services 43,399 35,190 72,000 Maintenance Services 14,044 23,000 20,000 Rental /Leasing 42,969 44,000 39,600 Operating Equipment 2,522 1,043 2,000 Capital Outlay 0 0 60,000 Total $796,899 $771,873 $921,131 1 PARKS, RECREATION AND COMMUNITY SERVICES PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -2015 Budget increases 19.3% over the FY 2013 -2014 estimates because of the additional landscaping /site improvements that came on line this year including the new Animal Adoption Center, Skate Park, and Veterans Memorial Plaza. The Department is also acquiring additional park acreage at Cypress Point (10 acres) within the next budget year. In addition, the department will be replacing a truck. 120 B-25-2014 02:23 PM 101 - GENERAL FUND C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST. 2014 PAGE PARKS 6 RECREATION EXPENDITURES {-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU PARKS Personnel Services 460 - 511110 Regular 460 - 511120 Overtime 460 - 511180 LTD 460 - 511210 Longevity 460 - 511230 Certification Allowance. 460- 511240 Allowances 460 - 511310 FICA - Employer 460 - 511350 TMRS- Employer 460- 511410 Health - Employer 460 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 460 - 521000 Operating Supplies 460 - 521100 Office Supplies 460 - 521200 Medical /Chem Supplies 460- 521400 Plumbing Supplies TOTAL Supplies City Support Services Utility Services 460 - 533200 Electric Utility Service 460 - 533300 Telephone 460 - 533310 Telephone /Cell Phones 460 - 533410 Water Utility Service 460 - 533500 Vehicle Fuel TOTAL Utility Services Operations Support 460- 534200 Printing S Binding TOTAL Operations Support Staff Support 460- 535100 Uniforms 460 - 535300 Memberships 460 - 535500 Training /Travel 460 - 535510 Meeting Expenses TOTAL Staff Support 330,669 332,568 334,063 241,883 315,832 359,716 7,880 10,207 5,330 10,578 10,500 10,500 1,060 1,100 1,028 802 1,028 1,039 7,622 9,802 10,045 9,557 9,084 9,430 8,286 8,724 11,400 5,978 11,400 11,400 5,400 5,400 5,400 3,115 5,400 0 26,853 27,331 27,978 20,119 28,138 29,869 56,041 57,459 57,530 43,846 57,860 59,415 39,955 41,002 46,060 33,310 46,060 46,076 4,395 5,207 5,236 4,254 4,254 5,658 488,160 498,800 504,070 373,443 489,556 533,103 28,154 28,687 35,000 20,641 35,000 35,000 445 584 550 344 550 550 754 893 2,355 306 2,355 2,355 2,101 2,914 4,000 807 4,000 4,000 31,455 33,078 41,905 22,099 41,905 41,905 53,371 49,684 60,000 37,768 43,776 60,000 0 0 0 79 460 0 0 0 420 239 420 0 66,777 85,168 62,200 45,677 62,200 62,200 21,556 19,888 21,600 10,739 21,600 21,600 141,704 154,940 144,220 94,502 128,456 143,800 0 0 250 0 250 250 0 0 250 0 250 250 3,115 3,859 3,873 2,625 3,873 3,873 830 493 1,250 593 1,250 1,250 3,644 2,492 3,350 2,209 3,350 3,350 303 302 0 0 0 0 7,892 7,146 8,473 5,426 8,473 8,473 121 B-25-2014 02:23 PM 101 - GENERAL FUND PARKS & RECREATION EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ----- - - - - -H -- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU City Assistance Professional Services 460 - 541300 Other Consl /Prof Services 3,900 15 5,000 1,940 1,940 2,000 460- 541310 Contract Services 59,240 43,384 33,250 16,860 33,250 70,000 TOTAL Professional Services 63,140 43,399 38,250 18,800 35,190 72,000 Maintenance Services 460 - 551100 Building Maintenance 4,662 4,997 4,580 3,268 5,000 4,000 460 - 551400 Minor & Other Equip Maint 7,306 2,785 3,900 1,982 4,000 1,000 460- 551500 Water & Sewer Maintenance 250 247 0 0 0 0 460- 551600 Street Maintenance Materials 1,220 0 0 0 0 0 460- 551710 Landscaping 3,899 6,015 9,000 2,366 14,000 15,000 TOTAL Maintenance Services 17,338 14,044 17,480 7,615 23,000 20,000 Rental /Leasing 460- 561200 Lease Payments - Principal 39,786 42,056 44,000 28,943 44,000 39,600 460- 561200.Lease Payments - Interest 0 913 0 0 0 0 TOTAL Rental /Leasing 39,786 42,969 44,000 28,943 44,000 39,600 Operating Equipment 460 - 571800 Equipment under $5,000 0 2,522 1,100 1,043 1,043 2,000 TOTAL Operating Equipment 0 2,522 1,100 1,043 1,043 2,000 Capital Outlay 460 - 581200 Vehicles &Access. OVER $5,00 0 0 0 0 0 60,000 TOTAL Capital Outlay 0 0 0 0 0 60,000 TOTAL PARKS 789,474 796,899 799,748 551,871 771,873 921,131 122 DEPARTMENT: PARKS, RECREATION, AND COMMUNITY SERVICES DIVISION: 463 POOLS FUND: 101 GENERAL FUND VISION STATEMENT Provide and maintain a well- managed and safe environment for aquatic recreation for the citizens of the City of Schertz. In addition, provide a system of instruction in aquatic safety, recreational swimming, and physical fitness managed by the YMCA of Greater San Antonio. MISSION STATEMENT Provide safe, enjoyable, and attractive pool facilities with safe and diverse aquatic recreational programs that enhance the health and well -being of the residents of Schertz. In addition, accommodate the needs of our citizens through quality aquatic recreational programming. GOALS AND OBJECTIVES • Maintain and develop aquatic programs designed to educate our citizens and to meet the needs of our expanding community. • Maintain a high quality of pool maintenance while providing excellent aquatic recreation and leisure service programs. • Utilize the funding provided in the 2010 Bond Package to design and build a Natatorium in the City of Schertz. DEPARTMENT DESCRIPTION The management and maintenance of two (2) outdoor pools including the maintenance of swimming facilities, pumping systems, and related aquatic programs designed to encourage safe use and professional management of these facilities. Provide citizen input and communication venues utilizing the Parks and Recreation Advisory Board, surveys, and community meetings. 123 POOL ORGANIZATIONAL CHART PERFORMANCE INDICATORS Revenue per year 2012 -13 2013 -14 2014 -15 Workload /Outputs Actual Estimate Budget Revenue per year 28,775 28,800 28,800 Days open per year 68 67 67 In -House Pool Renovation Hours 40 30 30 Daily Admissions Northcliffe Pool 4,892 4,900 4,900 Daily Attendees Northcliffe Pool 4437 4,500 4,500 Daily Admissions Schertz Pool 18,273 18,300 18,300 Daily Attendees Schertz Pool 13,666 13,700 13,700 Season Pool Pass Sales 4,925 5,000 5,000 Cost per resident Pool Operation 7.58 7.34 7.12 124 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Cost per resident Pool Operation 7.58 7.34 7.12 124 POOL Supplies Utility Services Maintenance Services Total $14,529 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Supplies Utility Services Maintenance Services Total $14,529 $20,700 $20,700 23,869 29,000 29,000 187,971 203,378 203,378 $226,370 $253,078 $253,078 PROGRAM JUSTIFICATION AND ANALYSIS No changes in operations for the FY 2014 -15 Budget. 125 7 -31 -2014 01:37 PM 101 - GENERAL FUND PARKS & RECREATION EXPENDITURES SWIM POOL Personnel Services Supplies 463 - 521000 Operating Supplies 463 - 521100 Office Supplies 463 - 521200 Chem /Med /Lab Supplies 463 - 521600 Equip Maint Supplies. TOTAL Supplies City Support Services Utility Services 463 - 533200 Electric Utility Service 463 - 533410 Water Utility Service TOTAL Utility Services Operations Support Staff Support 463 - 535500 Training /Travel TOTAL Staff Support Maintenance Services 463 - 551100 Building Maintenance 463 - 551400 Minor & Other Equip Maint 463 - 551700 Contract Maintenance TOTAL Maintenance Services Rental /Leasing 463 - 561200 Lease /Purchase Payments TOTAL Rental /Leasing Capital Outlay TOTAL SWIM POOL C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 3,322 1,362 5,500 67 0 0 12,528 12,856 14,000 506 311 1,200 16,423 14,529 20,700 838 5,500 5,500 55 0 0 9,259 14,000 14,000 0 1,200 1,200 10,152 20,700 20,700 16,154 15,908 20,000 8,421 20,000 20,000 9,656 7,962 9,000 4,180 9,000 9,000 25,810 23,869 29,000 12,601 29,000 29,000 750 0 925 0 0 0 750 0 925 0 0 0 11 133 500 0 500 500 8,905 7,960 14,000 1,609 14,000 14,000 183,878 179,878 188,878 59,959 188,878 188,878 192,794 187,971 203,378 61,568 203,378 203,378 208 0 500 0 0 0 208 0 500 0 0 0 235,985 226,370 254,503 84,321 253,078 253,078 126 DEPARTMENT: PUBLIC AFFAIRS DIVISION: 464 EVENT FACILITIES FUND: 101 GENERAL FUND VISION STATEMENT To offer superior facilities for meetings, banquets and other community and public events in a convenient, flexible and innovative environment while providing exceptional value and service to our customers. MISSION STATEMENT The Schertz Civic Center, Community Center and North Center are properties within the Public Affairs Department which provide quality meeting, education, and entertainment facilities for the enrichment and use of individuals, the community, and the region. The provision of rental space generates income to help offset the cost of operating the facilities. We are committed to excellence, integrity, economy, professionalism, and innovation. GOALS AND OBJECTIVES • Maintain quality Event Facilities to serve our internal and external customers well. • Increase competitiveness by providing enhancements and upgrades to the facilities. • Improve public awareness of the existence and location of public events in the facilities. • Implement new or improve existing event /client resource management processes to enhance functionality and communication. • Increase exposure and maximize target markets through print /media advertising and appropriate association memberships. • Continue to develop partner relationships with ancillary providers to increase revenue stream 127 EVENT FACILITIES DEPARTMENT DESCRIPTION The Event Facilities department performs all duties related to the rental of the Civic and Community Centers. By issuing marketing material as well as direct marketing to specific groups the department goal is to book events all year around as a service to the residential and business communities. This department also handles all contracts with clients to reduce liability to the City. Contracts also serve to track payments and deposits for services and coordinate logistics of items and services specific to each event. When the event is concluded, and inspection is done to assess any damages which would result in a full or partial withholding of the deposit refund. ORGANIZATIONAL CHART EVENT FACILITIES 2012 -13 2013 -14 2014 -15 Civic and Community Centers Coordinator 1 0 0 Events Manager 0 1 1 TOTAL POSITIONS 1 1 1 128 EVENT FACILITIES PERFORMANCE INDICATORS Number of events 1,260 1,095 1,106 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Number of events 1,260 1,095 1,106 Revenue Complimentary use value $249,022 $196,000 $198,000 $43,950 $39,000 $38,000 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Revenue Complimentary use value $249,022 $196,000 $198,000 $43,950 $39,000 $38,000 Percentage Revenue to Non - Revenue 88% 83% 84% events 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Percentage Revenue to Non - Revenue 88% 83% 84% events Personnel Services 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel Services $53,453 $57,176 $58,642 Supplies 16,163 16,500 14,500 Utility Services 45,230 50,250 51,400 Operations Support 19,623 12,600 23,311 Staff Support 1,498 2,483 2,448 Professional Services 195 1,600 500 Operating Equipment 0 0 5,000 Total $136,160 $140,609 $155,801 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 10.8% from the FY 2013 -14 year end estimates. Rental revenue decreased from FY 2012 -13 when there was an advertising emphasis on wedding advertisements. The department will reintroduce this advertising campaign as well as place more ads in local magazines and business journals. New operating equipment will also be purchased including window screens and kitchen shelves for the Community Center and lobby seating and gathering room furnishings for the Civic Center. 129 B-25-2014 02:23 PM 101 - GENERAL FUND PARKS S RECREATION EXPENDITURES EVENT FACILITIES Personnel Services 464 - 511110 Regular 464 - 511180 LTD 464 - 511210 Longevity 464 - 511310 FICA - Employer 464 - 511350 TMRS- Employer 464- 511410 Health - Employer 464 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 464 - 521000 Operating Supplies 464 - 521050 Ancillary Products 464 - 521100 Office Supplies 464- 521200 Medical /Chemical Supplies TOTAL Supplies Utility Services 464 - 533100 Gas Utility Service 464 - 533200 Electric Utility Service 464 - 533330 Telephone /Internet 464 - 533410 Water Utility Service TOTAL Utility Services Operations Support 464- 534100 Advertising 464 - 534200 Printing S Binding TOTAL Operations Support Staff Support 464 - 535100 Uniforms 464- 535300 Memberships 464 - 535500 Training /Travel 464- 535510 Meeting Expenses TOTAL Staff Support Professional Services 464 - 541300 Professional Services 464- 541370 Audio /Visual Services TOTAL Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 45,314 42,661 43,365 33,506 43,365 44,232 128 132 134 108 134 137 90 210 330 330 330 450 3,245 3,260 3,343 2,563 3,343 3,418 6,625 6,703 6,B73 5,506 6,873 7,253 358 413 3,071 256 3,071 3,072 80 73 79 60 60 80 55,840 53,453 57,195 42,328 57,176 58,642 4,800 4,660 5,000 3,197 5,000 4,000 7,626 10,472 10,000 6,057 10,000 10,000 508 895 1,500 656 1,000 500 0 136 500 76 500 0 12,934 16,163 17,000 9,985 16,500 14,500 366 439 450 524 450 650 35,825 40,685 42,600 27,423 42,600 42,600 0 0 2,400 1,518 2,400 2,400 4,275 4,106 5,750 3,399 4,B00 5,750 40,466 45,230 51,200 32,864 50,250 51,400 11,680 16,423 9,600 9,560 9,600 20,111 3,146 3,200 3,200 434 3,000 3,200 14,826 19,623 12,800 9,994 12,600 23,311 342 0 100 77 100 100 460 393 1,027 B33 883 815 731 699 1,000 774 1,000 1,149 463 406 600 195 500 3B4 1,996 1,49B 2,727 1,878 2,483 2,44B 150 195 600 220 600 500 0 0 1,000 39B 1,000 0 150 195 1,600 61B 1,600 500 130 B-25-2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 0 101 - GENERAL FUND AS OF: JULY 31ST, 2014 3,500 PARKS & RECREATION 5,000 0 0 EXPENDITURES 0 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 0 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO TOTAL Operating Equipment ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Rental /Leasing Operating Equipment 464 - 571000 Furniture and Fixtures < $500 0 0 0 0 0 3,500 464 - 571400 Communication Equip LESS $500 5,000 0 0 0 0 0 464 - 571401 Audio /Visual Equipment 0 0 0 0 0 1,500 TOTAL Operating Equipment 5,000 0 0 0 0 5,000 Capital Outlay TOTAL EVENT FACILITIES 131,211 136,160 142,522 97,666 140,609 155,801 131 THIS PAGE INTENTIONALLY LEFT BLANK 132 DEPARTMENT: 665 LIBRARY FUND: 101 GENERAL FUND VISION STATEMENT Wisdom from yesterday, knowledge for today, dreams for tomorrow. MISSION STATEMENT The Schertz Public Library promotes the love of reading and the joy of discovery for persons of all ages, provides information and learning resources in a variety of formats for both education and leisure, and supports our customers in their life -long learning pursuits. The Public Library Association has identified eighteen of the most common clusters of services offered by public libraries and defined them as "service responses." The Schertz Public Library has chosen the following service responses as priorities. • Create Young Readers: Early Literacy Preschool children will have programs and services designed to ensure that they will enter school ready to learn to read, write, and listen. • Satisfy Curiosity: Lifelong Learning Residents will have the resources they need to explore topics of personal interest and continue to learn throughout their lives. • Stimulate Imagination: Reading, Viewing and Listening for Pleasure Residents who want materials to enhance their leisure time will find what they want when and where they want them and will have the help they need to make choices from among the options. • Connect to the Online World: Public Internet Access Residents will have high -speed access to the digital world with no unnecessary restrictions or fees to ensure that everyone can take advantage of the ever - growing resources and services available through the Internet. 133 LIBRARY • Make Informed Decisions: Health, Wealth, and Other Life Choices Residents will have the resources they need to identify and analyze risks, benefits, and alternatives before making decisions that affect their lives. • Visit a Comfortable Place Residents will have safe and welcoming physical places to meet and interact with others or to sit quietly and read and will have open and accessible virtual spaces that support social networking. GOALS • Develop training modules for electronic resources, Polaris, and customer service for staff and volunteers; modules to be added to the City's online training site. • Foster a team environment in which staff members enjoy their work, support one another, and know their contribution is valued, which ultimately ensures good customer service. • Carry out a needs assessment to obtain customer feedback on library materials and services. • Complete the Edge Initiative for Public Library Technology assessment to establish benchmarks for the library. • Revise and /or update web site and social media applications to improve usability and interactivity. • Improve the collection and acceptable items -to- customer ratio by adding and weeding titles in a variety of formats including electronic materials. • Maintain or expand great programming offerings based on results of needs assessment. • Review and update policies and procedures relating to circulation and collection development with an eye toward improving the customers' ability to do business with us and to ensure we provide good customer service. • Increase the number of staff members to provide effective programming, to assist patrons in the use of the facility, to allow for adequate staffing during trainings, illnesses, and absences throughout the year and to allow ample amounts of time to plan and coordinate programs. • Increase the number of databases, online services and digital offerings to our customers. • Develop volunteer program and recruit and train volunteers to help with library tasks. 134 LIBRARY DEPARTMENT DESCRIPTION The Schertz Public Library: • Supports life -long learning, literacy and recreation by developing and maintaining a wide variety of library materials in print, audiovisual and digital formats for users of all ages; • Encourages the love of reading and learning by providing story time and special event programs for infants, children and teens, as well as winter and summer reading programs; • Enriches the lives of adults by providing instructional and recreational programming in high- interest areas such as computers and computer software, e- readers, health and fitness, financial planning, crafts, and literature; • Provides public access to technology including computers, the Internet, Wi -Fi and printers, as well as to online employment, business and educational resources; • Provides answers and information to telephone, email, and in- person queries; • Provides meeting and study space to individuals and community 1000&2 • Provides access to a number of services such as Inter - Library Loan (ILL), faxing, scanning and tax forms, and • Actively cooperates and interacts with other libraries in the region to share ideas and stay current in library practices. The library participates in CTLS, Inc. (Connecting Texas Libraries Statewide), a non - profit corporation that sponsors continuing education programs for library staff and encourages library usage and support by Texas residents. The library's primary service area includes the City of Schertz, the City of Selma, the City of Cibolo and Guadalupe County. 135 LIBRARY ORGANIZATION CHART Library LIBRARY 2012 -13 2013 -14 2014 -15 Library Director 1 1 1 Assistant Director 1 0 0 Adult Services Librarian 1 1 1 Youth Services Librarian 1 1 1 Virtual Services Librarian 0 1 1 Library Technical Assistant 1 1 1 Library Clerk II 4 4 4 Part -time Library Clerk 1 (20 hours) 3 3 5 Part -time Library Clerk 1 (10 hours) 2 2 2 Part -time Processing Clerk (20 hours) 1 1 1 Part -time Shelving Clerk (20 hours) 1 1 1 Part -time Children's Programming Clerk (20 hours) 1 1 1 Part -time Library Page (10 hours) 2 2 2 TOTAL POSITIONS 21 21 21 136 1 ! � PERFORMANCE INDICATORS Service population* 2012 -13 2013 -14 2014 -15 Input Actual Estimate Budget Service population* 80,183 86,162 89,500 Total Staffing FTE 14 14 14 Circulation Staffing FTE 7 7 7 Total Operating Budget ** 830,149 847,530 863,514 Total Materials Collection 86,221 91,000 94,000 Registered Borrowers 31,658 31,000 32,500 Materials Budget 73,732 85,130 89,500 Circulation per Capita 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Circulation per Capita 5.05 4.74 4.57 Library Visits per Capita 3.18 2.97 2.91 Program Attendance per Capita 0.16 .16 .16 Collection Turnover Rate 4.69 4.48 4.35 Total Circulation 404,691 408,000 409,000 Total Library Visits 254,633 256,000 260,000 Total Program Attendance 12,581 14,000 14,600 *Service population determined by Texas State Library * *Does not include capital items Cost per Person Served Cost per Circulation Circulation per Circulation FTE 10.35 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Cost per Person Served Cost per Circulation Circulation per Circulation FTE 10.35 9.84 9.65 2.05 2.08 2.11 57,813 58,286 58,429 Percentage of Service Population With Library Cards 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Percentage of Service Population With Library Cards 39.48 35.98 36.31 Materials Expenditures per Capita .92 .99 1.00 Materials Expenditures as a Percentage of Operating Budget (Striving for 20 %) 8.88 10.04 10.36 Items per Capita (Striving for 3 items per Capita) 1.08 1.06 1.05 137 LIBRARY Personnel Services 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel Services $681,903 $679,890 $672,828 Supplies 10,981 12,000 12,000 Utility Services 55,857 54,260 56,500 Operations Support 3,020 2,700 3,000 Staff Support 1,916 5,020 6,345 Professional Services 2,140 2,190 2,300 Maintenance Services 600 2,400 0 Operating Equipment 73,732 85,570 89,500 Total $830,149 $844,030 $842,473 a:Z0Zr] :L1►Ti011,911I9L Al[s]►l,1ZU7_LI_1A&i&I The FY 2014 -15 Budget will decrease 0.2% from the FY 2013 -14 year end estimates. There are no change in operations. 138 B-25-2014 02:23 PM 101 - GENERAL FUND CULTURAL EXPENDITURES LIBRARY Personnel Services 665- 511110 Regular 665 - 511120 Overtime 665 - 511180 LTD 665 - 511210 Longevity 665 - 511230 Certification Allowance 665 - 511240 Allowances 665 - 511310 FICA - Employer 665 - 511350 TMRS- Employer 665 - 511410 Health - Employer 665 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 665 - 521000 Operating Supplies 665 - 521100 Office Supplies TOTAL Supplies City Support Services Utility Services 665 - 533100 Gas Utility Service 665 - 533200 Electric Utility Service 665 - 533330 Telephone /Internet 665 - 533410 Water Utility Service TOTAL Utility Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: .IDLY 31ST, 2014 PAGE ( - - 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 512,013 498,880 489,029 369,493 489,029 487,069 892 665 1,000 1,495 1,600 1,000 1,152 1.,204 1,143 924 1,143 1,124 12,003 12,503 14,492 15,345 15,345 9,774 600 1,800 1,800 1,454 1,800 1,800 462 0 0 0 0 0 38,541 37,558 38,733 28,378 38,733 38,223 77,371 76,552 77,267 61,031 77,267 77,669 49,455 51,854 54,248 40,213 54,248 55,291 777 888 944 725 725 878 693,266 681,903 678,656 519,057 679,890 672,828 6,861 8,602 9,000 6,912 9,000 9,000 2,564 2,379 3,000 1,825 3,000 3,000 9,425 10,981 12,000 8,737 12,000 12,000 1,341 1,958 2,500 3,525 3,700 3,500 41,445 45,043 40,000 26,300 42,000 45,000 0 0 1,060 320 1,060 0 8,321 8,856 7,500 3,854 7,500 8,000 51,107 55,857 51,060 34,000 54,260 56,500 Operations Support 665 - 534000 Postage 0 1,520 2,000 634 1,200 1,500 665- 534200 Printing 6 Binding 1,157 1,500 1,500 0 1,500 1,500 TOTAL Operations Support 1,157 3,020 3,500 634 2,700 3,000 Staff Support 665 - 535100 Uniforms 210 241 500 161 400 500 665 - 535200 Awards 0 276 300 300 300 300 665 - 535300 Memberships 790 560 1,000 653 880 1,205 665 - 535500 Training /Travel 174 715 3,700 1,454 3,000 3,900 665- 535510 Meeting Expenses 381 123 440 168 440 440 TOTAL Staff Support 1,555 1,916 5,940 2,737 5,020 6,345 139 B-25-2014 02:23 PM 101 - GENERAL FUND CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 ( - - - -- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- H-- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU Professional Services 665 - 541300 Other Consl /Prof Services 1,200 0 0 0 0 0 665 - 541365 Courier /Delivery Services 2,140 2,140 2,350 2,190 2,190 2,300 TOTAL Professional Services 3,340 2,140 2,350 2,190 2,190 2,300 Maintenance Services 665 - 551600 Other Maintenance Agreements 2,400 600 2,400 0 2,400 0 TOTAL Maintenance Services 2,400 600 2,400 0 2,400 0 Operating Equipment 665 - 571000 Furniture & Fixtures < $5,000 0 0 1,500 1,344 1,500 0 665 - 571300 Computer & Periphe. < $5000 0 215 0 0 0 0 665 - 571400 Library Materials 59,102 73,518 79,070 66,653 84,070 69,500 TOTAL Operating Equipment 59,102 73,733 80,570 67,997 85,570 89,500 Capital Outlay TOTAL LIBRARY 821,351 830,149 836,476 635,352 844,030 842,473 TOTAL CULTURAL 821,351 630,149 836,476 635,352 844,030 842,473 140 DEPARTMENT: MARSHAL'S OFFICE DIVISION: 762 ANIMAL SERVICES FUND: 101 GENERAL FUND VISION STATEMENT Envision a community that embraces the mutual benefit of the human - animal bond by providing superior service to the public. Encourage positive communication to the public by promoting education, safety, health, and recreation for animals. Advocate humane, compassionate treatment of animals to reduce homelessness by having employees who take pride of their role in the community. Our goal is to promote responsible pet ownership and to prevent the spread of animal borne diseases. In addition, we will provide services, care, registration, animal control and public safety for our community, as well as serve as a disaster relief center during times of emergency. We strive to promote adoptions of healthy, non - aggressive animals to the public and to work with approved rescue organizations, while providing temporary shelter for stray, unwanted or homeless animals. GOALS AND OBJECTIVES • To educate the community in public safety and humane issues regarding animals. • To enforce the City ordinances and State statues pertaining to animals. • To assist the public in resolving animal issues. • To rp otect the safety and welfare of the citizens and animals of this community. • To rp event the spread of animal illnesses and other zoonotic diseases. • To improve the co- existence of animals humans. • To strengthen the relationship with volunteers. • To rp ovide a Texas Department of State Health Services approved quarantine facility for control and eradication of rabies. 141 ANIMAL SERVICES DEPARTMENT DESCRIPTION Animal Services Officers respond to calls for service in an area of approximately 35 square miles, with a population of over 50,500 including Joint Base San Antonio - Randolph AFB. They are responsible for the enforcement of State laws and City ordinances regarding care and treatment of animals. Animal Services Officers ensure public health and safety through disease and population control, while meeting the community's expectations for both. Provide daily care for animals housed at the animal facility, daily cleaning and disinfection of all animal cages, bedding, and feeding areas used by the animals. Hire qualified, caring employees and provide training to maintain certifications, ensure a competent workforce and retain employees. Promote humane treatment of animals by enforcing laws and educating the public. Promote responsible pet ownership through community outreach programs and animal placement programs. ORGANIZATIONAL CHART ANIMAL SERVICES 2012 -13 2013 -14 2014 -15 Manager 1 1 1 Officer 5 4 4 Kennel Technician 0 3 4 TOTAL POSITIONS 6 8 9 142 ANIMAL SERVICES PERFORMANCE INDICATORS Animals brought in by staff Animals brought in by public Calls for service per year Animals saved via adoption, redemption, or transfer 989 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Animals brought in by staff Animals brought in by public Calls for service per year Animals saved via adoption, redemption, or transfer 989 880 934 250 225 237 1,326 1,184 1,255 894 695 794 Training cost per staff member $1,000 $1,000 $1,000 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Training cost per staff member $1,000 $1,000 $1,000 /GTi1I'i t NIfga=I 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget /GTi1I'i t NIfga=I Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $260,481 $316,492 $306,397 Supplies 23,792 30,700 37,883 Utility Services 12,372 27,239 46,840 Operations Support 347 1,000 1,000 Staff Support 8,052 9,450 11,390 City Assistance 13,328 12,000 17,550 Professional Services 13,560 31,110 26,500 Maintenance Services 4,117 23,200 23,200 Operating Equipment 5,912 12,000 11,500 Capital Outlay 0 0 21,000 Total $341,961 $463,541 $503,260 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 8.6% from the FY 2013 -14 year end estimates. This increase is due to the full year funding of the larger Animal Adoption Center. It also reflects the purchase of an Animal Adoption Trailer as long as the City receives at least $9,000 in donations to put toward this capital purchase. 143 B-25-2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 HEALTH EXPENDITURES -------------- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU ANIMAL SERVICES Personnel Services 762 - 511110 Regular 180,564 174,880 204,763 140,363 204,763 200,112 762- 511120 Overtime 7,715 7,142 8,500 10,449 8,500 8,500 762 - 511180 LTD 538 533 616 384 616 529 762 - 511210 Longevity 2,193 2,338 3,188 3,136 3,188 2,240 762 - 511220 Clothing Allowance 480 0 3,240 0 3,240 5,200 762 - 511230 Certification Allowance 2,950 1,750 3,900 525 3,900 3,250 762- 511310 FICA - Employer 14,453 14,058 17,334 11,753 17,334 16,777 762 - 511350 TMRS- Employer 29,870 28,889 35,643 25,060 35,643 35,598 762- 511410 Health - Employer 29,070 27,881 36,848 19,433 36,848 30,717 762 - 511500 Workers' Compensation 2,853 3,011 3,594 2,460 2,460 3,474 TOTAL Personnel Services 270,685 260,481 317,626 213,565 316,492 306,397 Supplies 762 - 521000 Operating Supplies 12,539 12,765 15,600 17,141 15,950 21,147 762 - 521100 Office Supplies 1,102 1,204 2,000 0 2,000 2,000 762- 521200 Medical /Chem Supplies 9,667 9,824 13,000 7,330 13,000 14,736 762 - 521300 Motor Veh. Supplies 0 0 100 0 100 0 TOTAL Supplies 23,308 23,792 30,700 24,471 31,050 37,883 Utility Services 762 - 533100 Gas Utility Service 289 308 0 241 149 0 762 - 533200 Electric Utility Service 2,002 3,042 8,440 7,304 15,000 27,000 762 - 533300 Telephone 0 0 0 79 0 0 762 - 533310 Telephone /Cell Phones 0 0 420 239 420 0 762 - 533410 Water Utility Service 2,136 2,860 5,670 2,410 5,670 13,440 762 - 533500 Vehicle Fuel 6,550 6,161 6,000 5,532 6,000 6,400 TOTAL Utility Services 10,977 12,372 20,530 15,806 27,239 46,840 Operations Support 762- 534200 Printing 6 Binding 0 347 1,000 678 1,000 1,000 TOTAL Operations Support 0 347 1,000 678 1,000 1,000 Staff Support 762 - 535100 Uniforms 3,288 2,110 3,000 1,894 3,000 3,840 762- 535300 Memberships 150 150 500 0 500 500 762 - 535500 Training /Travel 5,023 5,722 6,000 2,679 5,000 6,000 762- 535510 Meeting Expenses 181 70 200 0 200 300 762- 535600 Professional Certification 0 0 750 0 750 750 TOTAL Staff Support 8,643 8,052 10,450 4,573 9,450 11,390 144 8 -25 -2014 02:23 PM 101 - GENERAL, FUND HEALTH EXPENDITURES C. I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- H-- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU City Assistance 762 - 537100 Medical Services 10,958 13,328 17,550 6,498 12,000 17,550 TOTAL City Assistance 10,958 13,328 17,550 6,498 12,000 17,550 Professional Services 762 - 541300 Other Consl /Prof Services 0 1,397 0 15,610 15,610 0 762 - 541310 Contrct Svc- B1ueBonnet- Cremat 1,935 1,643 3,500 780 3,000 3,500 762 - 541700 Microchip Service 0 0 5,000 2,156 5,000 5,000 762 - 541702 Spay & Neuter 10,547 10,520 13,000 1,796 7,500 18,000 TOTAL Professional Services 12,482 13,560 21,500 20,342 31,110 26,500 Maintenance Services 762 - 551100 Building Maintenance 350 14 14,520 1,425 14,520 14,520 762 - 551400 Minor & Other Equip Maint 395 323 1,000 258 1,000 1,000 762 - 551800 Other Maintenance Agreements 2,340 2,340 4,800 520 4,800 4,800 762 - 551810 Maintenance Agr. - Radios 1,540 1,440 2,880 1,080 2,880 2,880 TOTAL Maintenance Services 4,625 4,117 23,200 3,282 23,200 23,200 Rental /Leasing Operating Equipment 762 - 571000 Furniture & Fixtures 0 0 3,000 1,662 3,000 3,000 762 - 571200 Vehicles & Access. Less $5,00 171 0 500 0 500 0 762- 571300 Computer & Periphe. < $5000 0 1,945 2,080 0 2,500 2,500 762 - 571500 Equipment 4,469 3,967 6,000 997 6,000 6,000 TOTAL Operating Equipment 4,639 5,912 11,580 2,659 12,000 11,500 Capital Outlay 762 - 581800 Equipment over $5,000 0 0 0 0 0 21,000 TOTAL Capital Outlay 0 0 0 0 0 21,000 TOTAL ANIMAL SERVICES 346.,318 3.41,961 454,136 291,873 463,541 503,260 TOTAL HEALTH 346,318 341,961 454,136 291,873 463,541 503,260 145 THIS PAGE INTENTIONALLY LEFT BLANK 146 DEPARTMENT: 853 INFORMATION TECHNOLOGIES (IT) FUND: 101 GENERAL FUND VISION STATEMENT: Innovation — Adaptation — Productivity • Innovation: Finding new ways to enhance the City's operations through unique and creative application of technologies. • Adaptation: Merging proven principles and systems with new approaches to create unique solutions and processes that provide the highest quality services to our employees and citizens. • Productivity: Promoting efficiency and economy through targeted application of technologies, business analysis and support. • To provide timely, accurate and responsive support to all who rely upon our services. • To provide reasoned and informed technical analyses to all City departments as they grow and develop. • To ensure that the City's technology assets are carefully maintained and protected. • To provide a secure, responsive and flexible information assets foundation. • To ensure that the City can rely on its information assets foundation for the future. DEPARTMENT DESCRIPTION The Information Technologies Dept. is charged with maintaining, operating and securing the City's information assets. These assets include computer systems, network and communications systems, security systems, web services and social media, etc. and form the foundation upon which many of the City's core operations depend. Therefore this foundation must be reliable, resilient and responsive. To meet those expectations the department focuses daily on customer service, education and planning. The last FY we renewed our commitment to customer service by dedicating a new position to customer service management and response. In addition all IT staff have taken one or more courses in customer service. For example, this last FY, four of our staff completed the Dale Carnegie course on Effective Communications and Human Relations. Our emphasis on improving customer 147 INFORMATION TECHNOLOGY service has resulted in a steady decrease in open work order response times and a marked improvement in customer satisfaction. The last FY also saw the creation of the Laserfiche Strike Team, a cross - departmental team of employees tasked with developing and managing advanced document management and workflow solutions designed to automate and streamline existing business processes city -wide. Projects completed the last FY (2013/14) include: • Migration of email services to Microsoft Office 365 online services. Moving this mission - critical service to the secured cloud environment will save more than $50K over a five -year period. This new venue also offers, among its other features, an enhanced collaboration platform that was unavailable before. • Resumption of the long- delayed desktop replacement program. The program's goal was to replace all remaining legacy Microsoft XP machines with Windows 7 devices. This required the deployment of more than 125 new desktops within a 4 month timeframe. This program was completed in May, 2014. • Migration of City cell phone services from Sprint to Verizon saving approx. $20k annually while providing better coverage and faster data performance. • Completed upgrade to VisitSchertz.com website. • Introduction of dedicated on -line training resource for employees • Introduction of web -based conferencing service for Economic Development and other departments. Projects for Current FY (2014 / 2015) include: • Completion of Public Safety mobile device refresh to replace legacy Microsoft XP devices in vehicles. • Begin employee training program to make better use of Office 365 environment including Sharepoint, local and department collaboration tools, Lync messaging system, etc. • Work with Public Works to define requirements for upgrading SCADA system. • Begin planning and implementation of online and cable TV broadcasting of Council and Commission meetings. • Review and replace Schertz.com website. 148 INFORMATION TECHNOLOGY ORGANIZATIONAL CHART INFORMATION TECHNOLOGY 2012 -13 2013 -14 2014 -15 Director 1 1 1 Senior Systems Engineer 1 1 1 Senior Customer Services Engineer 0 1 1 Web Technician 1 1 1 1 -Computer/ Computer Technician 1 1 1 1 Public Safety Tech (paid by PD) 1 1 1 Administrative Assistant 1 1 1 TOTAL POSITIONS 6 7 7 PERFORMANCE INDICATORS Customer Service Incidents Recap: 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Customer Service Incidents Recap: Work Orders / Incidents Totals: 4,972 5,415 5,910 Work Orders per month 153 295 350 Man -hours per month spent on work orders 185 353 400 Average # Activities / WO 1.2 1.45 1.6 Resources Allocation Breakdown: Web development / management hours 121 Hrs 2701-Irs 3501-Irs New Systems /Replacements (qty) 35 175 110 Computers /Users /Devices managed Computers, Servers, Cameras, Printers, Network devices, Communications Equipment, Active Users, Email Accounts 2,750 2,924 2,975 149 INFORMATION TECHNOLOGY Network Downtime Rate (unplanned) Supported Burden : tech staff (Industry Standard 5.3 %, Gartner Group) <1% <3% <1% 2.0% 2.1% 2.08% 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Network Downtime Rate (unplanned) Supported Burden : tech staff (Industry Standard 5.3 %, Gartner Group) <1% <3% <1% 2.0% 2.1% 2.08% Number of days any city department operationally down due to planned IT maintenance issues annually Emails processed monthly (inbound) Malware /Spam filtered monthly (inbound) 0 0 0 90,400 130,700 146,000 41,250 65,000 75,000 2012 -13 2013 -14 2014 -15 Output Actual Estimate Budget Number of days any city department operationally down due to planned IT maintenance issues annually Emails processed monthly (inbound) Malware /Spam filtered monthly (inbound) 0 0 0 90,400 130,700 146,000 41,250 65,000 75,000 Prevention of virus attack attempts 100% 100% 100% 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Prevention of virus attack attempts 100% 100% 100% Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $302,109 $410,010 $441,993 Supplies 542 3,100 3,500 City Support Services 295,458 471,762 598,643 Utility Services 190,552 188,672 236,822 Staff Support 16,887 22,098 37,400 Maintenance Services 6,738 11,975 15,600 Operating Equipment 95,548 373,483 291,571 Total $907,835 $1,481,100 $1,625,529 I a:Isle]:L1 iyi 01W11 I I a WIN I [a] z I_1 z 117_1► /_WY 16*1 The FY 2014 -15 Budget will increase 9.8% from FY 2013 -14 year end estimates. Along with an increase in cost of our current supported systems and programs the City will be adding planning tracking software for Development Services to track the platting and permitting process from start to finish. The Fire Department will now be able to create better reports by migrating their RMS data to a different system. This will help them find efficiencies in their everyday operations. As more of the City goes digital the costs for internet and data plans will increase proportionally. In addition to software the City will also be replacing network switches for better server performance, upgrading the firewall, and purchasing video streaming software. 150 B-25-2014 02:23 PM 101 - GENERAL FUND INTERNAL SERVICE EXPENDITURES INFORMATION TECHNOLOGY Personnel Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE ( - 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 853- 511110 Regular 193,876 205,208 269,732 208,700 270,707 291,909 853 - 511120 Overtime 11,478 19,392 22,739 32,452 31,524 31,524 853- 511180 LTD 627 633 836 606 839 905 853 - 511210 Longevity 1,269 1,992 1,230 1,680 1,680 2,439 853- 511240 Allowance 6,794 1,140 1,140 658 1,140 0 853- 511310 FICA - Employer 15,430 16,501 22,555 18,033 23,336 24,929 853 - 511350 TMRS- Employer 33,250 35,381 46,379 39,466 47,985 52,897 853- 511410 Health - Employer 22,619 21,493 36,848 29,048 32,498 36,860 853- 511500 Workers' Compensation 300 368 490 301 301 530 TOTAL Personnel Services 285,642 302,109 401,949 330,943 410,010 441,993 Supplies 853- 521100 Office Supplies 78 496 1,000 780 600 1,500 853 - 521300 Motor Vehicle Supplies 0 0 0 0 0 500 853- 521600 Equip Maint Supplies 240 46 1,000 907 2,500 1,500 TOTAL Supplies 318 542 2,000 1,687 3,100 3,500 City Support Services 853 - 532300 Computer Consulting 0 0 22,995 15,303 45,000 45,000 853- 532350 Software Maintenance 271,254 294,506 0 0 0 0 853 - 532355 Software Maint -City Wide 0 0 178,510 169,747 180,000 251,752 853- 532360 Software Maint -Dept Specific 0 0 221,417 102,135 221,417 270,116 853 - 532400 Computer Fees & Licenses 4,980 952 21,901 19,931 25,345 31,775 TOTAL City Support Services 276,234 295,458 444,823 307,116 471,762 598,643 Utility Services 853 - 533300 Telephone /Land Line 36,379 50,504 55,000 37,109 49,000 55,545 853 - 533310 Telephone /Cell Phones 64,262 73,879 65,968 47,428 65,980 65,800 853- 533320 Telephone /Air Cards 47,316 39,570 35,180 32,197 37,680 53,383 853 - 533330 Telephone /Internet 23,907 26,056 38,224 21,304 35,512 60,594 853- 533500 Vehicle Fuel 247 542 1,000 568 500 1,500 TOTAL Utility Services 172,112 190,552 195,372 138,605 188,672 236,822 Operations Support Staff Support 853- 535100 Uniforms 140 314 500 382 500 750 853- 535300 Memberships 35 329 500 598 598 650 853- 535500 Training /Travel 16,362 16,244 21,275 20,274 21,000 36,000 TOTAL Staff Support 16,537 16,887 22,275 21,254 22,098 37,400 151 8 -25 -2014 02:23 PM 101 - GENERAL FUND INTERNAL SERVICE EXPENDITURES Professional Services Maintenance Services C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 853- 551300 Computer Maintenance 7,889 4,763 10,000 6,067 10,000 13,500 853- 551800 Other Maintenance Agreements 1,576 1,975 2,500 1,975 1,975 2,100 TOTAL Maintenance Services 9,464 6,738 12,500 8,042 11,975 15,600 Operating Equipment 853 - 571000 Furniture & Fixtures 0 0 3,230 3,230 3,230 3,565 853- 571300 Computer & Periphe. < $5000 103,271 84,223 194,753 176,280 194,753 210,506 853- 571300.Fleet Hardward Upgrade 0 0 92,500 60,115 92,500 0 853- 571300.Internal Network Upgrade 0 0 73,500 20,911 73,500 0 853 - 571401 Communication Equip LESS $500 2,296 10,966 9,500 6,471 9,500 75,000 853 - 571800 Equipment under $5,000 25,483 360 0 0 0 2,500 TOTAL Operating Equipment 131,050 95,548 373,483 267,007 373,483 291,571 Capital Outlay 853- 581800 Equipment over $5,000 27,152 0 0 0 0 0 TOTAL Capital Outlay 27,152 0 0 0 0 0 TOTAL INFORMATION TECHNOLOGY 918,510 907,835 1,452,402 1,074,655 1,481,100 1,625,529 152 DEPARTMENT: 866 HUMAN RESOURCES FUND: 101 GENERAL FUND VISION STATEMENT To be the employer of choice in the State of Texas. MISSION STATEMENT To faithfully serve our employees and community by recruiting and developing the best talent, communicating with clarity, advocating for ownership and engagement, striving for continuous improvement, and creating a healthy and positive work environment. Xs] 0 =11110TL1101x 1 • Integrity • Professionalism • Teamwork • Positive Attitude • Innovation • Ownership • Respect • Smile • Understand the Organization • Take Ownership - Help find answers • Ask questions for clarification • Follow - up in a timely manner • Lead and teach by example 153 HUMAN RESOURCES DEPARTMENT DESCRIPTION The Human Resources Department provides services and support in the areas of recruitment, selection, staffing, benefits administration, labor law compliance, performance management, employee development and relations, health and wellness, policy administration, and employee counseling. DEPARTMENT OBJECTIVES Over the next 3 -5 years, the HR Department is committed to doing the following: 1. Completely streamline all personnel files into the Laserfiche system using, controlled, standardized procedures. 2. Have automated HR workflow processes implemented through the use of Laserfiche. 3. Implement a standardized training and development program for employees and supervisors. 4. Implement a succession planning program for the City of Schertz to follow 5. Introduce process management, lean, and six sigma concepts to the leadership of Schertz. 6. Continuing re- tooling the City's employee policy handbook. 7. Pilot a 9/80 alternate work schedule 8. Complete formalized Hiring and Promotional with Public Safety Depts. ORGANIZATIONAL CHART HUMAN RESOURCES 2012 -13 2013 -14 2014 -15 Director 1 1 1 Senior Generalist 1 1 1 Generalist 1 1 1 Administrative Assistant 1 1 1 TOTAL POSITIONS 4 4 4 154 HUMAN RESOURCES PERFORMANCE INDICATORS Total No. of Employees (Avg.) 2012 -13 2013 -14 2014 -15 Workload /Output Measures Actual Estimate Budget Total No. of Employees (Avg.) 331 335 338 # Full Time Employees (Avg.) 282 285 297 Job Announcements Posted 55 65 70 # Applications received 3,774 3,800 3,900 # Full Time Positions Filled 56 65 65 # Part Time Positions Filled 18 25 30 # Total Turnover 48 50 52 # Full Time Turnover 32 32 33 # Part Time Turnover 16 18 19 # Retirements 4 4 5 # FMLA Claims 35 30 25 # General Training Courses 2 5 6 Avg. # of trainees per course 163 190 200 # of staff tuition requests 16 18 20 # of tuition reimbursements 23 25 26 Turnover Rate (Total) Full -Time Turnover Rate Part -Time Turnover Rate Retirement Rate Training Participation % 14.5% 2012 -13 2013 -14 2014 -15 Effectiveness Measures Actual Estimate Budget Turnover Rate (Total) Full -Time Turnover Rate Part -Time Turnover Rate Retirement Rate Training Participation % 14.5% 15.67% 16.30% 11.35% 11.55% 11.91% 32.65% 42.86% 45.24% 1.42% 1.44% 1.81% 63.64% 59.56% 62.7% Absenteeism Hours Avg. Days to Fill Positions 20,187 20,000 19,000 64 60 55 2012 -13 2013 -14 2014 -15 Efficiency Measures Actual Estimate Budget Absenteeism Hours Avg. Days to Fill Positions 20,187 20,000 19,000 64 60 55 Absenteeism Cost Turnover Cost $400,503 $400,000 $395,000 $222,615 $210,000 $190,000 155 2012 -13 2013 -14 2014 -15 Cost Measures Actual Estimate Budget Absenteeism Cost Turnover Cost $400,503 $400,000 $395,000 $222,615 $210,000 $190,000 155 HUMAN RESOURCES Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $285,736 $300,906 $310,863 Supplies 1,193 1,300 1,000 Human Services 42,105 55,900 64,000 Operations Support 10,982 11,000 14,000 Staff Support 14,369 12,470 14,620 City Assistance 11,550 7,000 10,000 Professional Services 0 4,000 9,200 Total $365,935 $391,518 $423,683 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2013 -14 Budget will increase by 8.2% from FY 2013 -14 year end estimates. This increase is to better advertise for vacant specialized positions and to provide full year funding of the FMLA service contract. 156 B-25-2014 02:23 PM 101 - GENERAL, FUND INTERNAL SERVICE EXPENDITURES HUMAN RESOURCES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Personnel Services 866- 511110 Regular 186,938 199,663 204,355 159,421 204,355 212,958 866- 511120 Overtime 800 1,106 350 366 350 350 866- 511180 LTD 499 627 634 525 634 660 866- 511210 Longevity 4,000 2,290 2,774 2,794 2,794 3,278 866- 511240 Vehicle Allowance 577 2,500 2,500 1,442 1,442 0 866- 511310 FICA - Employer 14,325 14,867 15,872 12,270 15,872 16,569 866 - 511350 TMRS- Employer 28,173 32,148 32,636 26,675 32,636 35,157 866- 511410 Health - Employer 14,535 18,017 21,495 19,701 21,495 21,502 866 - 511500 Workers' Compensation 211 330 373 270 270 389 866 - 511600 Unemployment Compensation 20,924 14,188 30,000 11,457 20,000 20,000 TOTAL Personnel Services 270,981 285,736 310,989 234,921 299,848 310,863 Supplies 866 - 521100 Office Supplies 1,828 1,193 1,300 957 1,300 1,000 TOTAL Supplies 1,828 1,193 1,300 957 1,300 1,000 Human Services 866- 531100 Pre - employment Check 1,474 2,016 1,900 1,734 1,900 2,000 866 - 531150 Interview Expenses 0 200 3,000 0 1,500 3,000 866 - 531200 Medical Co -pay 3,400 1,100 3,000 700 1,500 3,000 866 - 531300 Employee Assistance 18,260 19,414 20,000 15,288 20,000 21,000 866 - 531400 Tuition Reimbursement 17,378 16,105 20,000 9,874 16,000 20,000 866 - 531500 Employee Wellness Program 0 3,270 8,000 3,969 8,000 8,000 866 - 531600 Training Classes 0 0 7,000 0 7,000 7,000 TOTAL Human Services 40,512 42,105 62,900 31,565 55,900 64,000 Operations Support 866- 534100 Advertising 6,873 9,319 7,000 4,992 9,000 12,000 866 - 534200 Printing S Binding 900 1,663 2,500 2,196 2,000 2,000 TOTAL Operations Support 7,773 10,982 9,500 7,188 11,000 14,000 Staff Support 866- 535100 Uniforms 252 254 270 0 270 270 866- 535210 Employee Recognition - Morale 3,390 5,437 5,500 3,185 3,500 5,500 866 - 535300 Memberships 815 1,038 2,200 1,445 2,200 2,000 866 - 535400 Publications 3,556 2,620 949 656 1,000 1,850 866- 535500 Training /Travel 2,021 5,021 6,000 5,203 5,500 5,000 TOTAL Staff Support 10,034 14,369 14,919 10,489 12,470 14,620 157 B-25-2014 02:23 PM 101 - GENERAL FUND INTERNAL SERVICE EXPENDITURES City Assistance 866 - 537100 Medical Services TOTAL City Assistance Professional Services 866 - 541300 Other Consl /Prof Services TOTAL Professional Services Maintenance Services Operating Equipment 866- 571000 Furniture 6 Fixtures 866 - 571800 Equipment Under $5,000 TOTAL Operating Equipment TOTAL HUMAN RESOURCES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE 158 (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMhIENDED BU 8,717 11,550 10,000 4,356 7,000 10,000 8,717 11,550 10,000 4,356 7,000 10,000 0 0 4,000 1,250 4,000 9,200 0 0 4,000 1,250 4,000 9,200 6,289 0 0 0 0 0 0 0 900 0 0 0 6,289 0 900 0 0 0 346,134 365,935 414,508 290,727 391,518 423,683 158 DEPARTMENT: FINANCE DIVISION: 868 ACCOUNTING FUND: 101 GENERAL FUND VISION STATEMENT The Finance Department strives to be the standard of excellence in financial integrity and customer service. MISSION STATEMENT We strive to develop and implement new programs and processes which will ensure a financially strong City government while providing first class customer service with a professional, courteous, knowledgeable, and respectful department staff. GOALS AND OBJECTIVES • Hire, train, and retain competent and caring employees. • Maintain financial systems to provide timely and accurate financial information and reports to the City Manager, City Council, other City departments, citizens, and other agencies. • Receive the Government Finance Officers Association Distinguished Budget Award for the first time. • Receive the Government Finance Officers Association Certification of Excellence in Financial Reporting for the 29th consecutive year. • Receive a Platinum Scorecard from the State Comptroller's Office for leadership in financial transparency. • Improve the 5 year budgeting and forecasting plan. • Initiate long term debt service plan. 159 ACCOUNTING DEPARTMENT DESCRIPTION Prepare monthly financial reports for the City Manager, City Council and City departments. Process all accounts payable and receivable in a timely manner, post vendor payable check registers online, prepare 1099s, and prepare monthly bank reconciliations and investments report. Maintain and process payroll for all city employees and prepare W2s. Finance handles unclaimed property and their subsequent disbursements to the individuals or the State. Maintain and safeguard the City's investment portfolio. Manage debt service and fixed assets. Complete the annual budget and facilitate annual audit and Comprehensive Annual Financial Report. The Finance Director also oversees the Purchasing & Asset Management Division. 191 3rL1►1 "TA I I*] Wy:I_1 Z41 ACCOUNTING 2011 -12 2012 -13 2013 -14 Finance Director 1 1 1 Assistant Director 1 1 1 Staff Accountant 1 1 1 Senior Budget Analyst 0 1 1 Financial /Budget Analyst 1 0 0 Accountant 1 0 0 1 Senior Payroll Specialist 1 1 1 Senior AP Specialist 1 1 1 TOTAL POSITIONS 6 6 7 160 ACCOUNTING PERFORMANCE INDICATORS Accounts payable checks 4,835 4,696 4,978 Out of Cycle AP Checks Payroll checks 9,015 9,250 9,665 Out of Cycle Payroll Checks 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Accounts payable checks 4,835 4,696 4,978 Out of Cycle AP Checks Payroll checks 9,015 9,250 9,665 Out of Cycle Payroll Checks Certificate of Achievement for Excellence in Financial Reporting, Accumulative Monthly Financials completed within 30 days 27 28 29 3 6 12 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Certificate of Achievement for Excellence in Financial Reporting, Accumulative Monthly Financials completed within 30 days 27 28 29 3 6 12 Number of AP Checks per Employee Number of Payroll Checks per Employee Number of Journal Entries per Employee 4,835 4,696 4,978 9,015 9,250 9,665 582 614 651 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Number of AP Checks per Employee Number of Payroll Checks per Employee Number of Journal Entries per Employee 4,835 4,696 4,978 9,015 9,250 9,665 582 614 651 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $443,526 $454,855 $516,715 Supplies 2,762 2,500 2,800 Operations Support 987 1,000 1,000 Staff Support 6,956 8,160 15,605 Operating Equipment 1,795 0 0 Total $456,025 $466,515 $536,120 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 14.9% from the FY 2013 -14 year end estimates due to 10 month funding of a new Accountant position. 161 B-25-2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 INTERNAL SERVICE EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU FINANCE Personnel Services 868 - 511110 Regular 319,914 326,800 328,988 257,324 328,988 372,120 868 - 511120 Overtime 170 210 250 140 250 250 868 - 511180 LTD 975 1,005 1,020 828 1,020 1,154 868 - 511210 Longevity 5,629 6,476 7,456 7,456 7,456 8,460 868 - 511230 Certification Allowance 854 842 900 785 900 900 868- 511310 FICA - Employer 24,275 24,878 25,826 19,660 25,826 29,202 868 - 511350 TMRS- Employer 50,887 52,269 53,104 43,197 53,104 61,964 868- 511410 Health - Employer 33,736 30,480 36,848 26,030 36,848 41,980 868 - 511500 Workers' Compensation 474 566 604 462 463 685 TOTAL Personnel Services 436,913 443,526 454,996 355,881 454,855 516,715 Supplies 868 - 521000 Operating Supplies 902 1,090 1,000 342 700 700 868 - 521100 Office Supplies 2,096 1,671 1,500 1,810 1,800 2,100 TOTAL Supplies 2,998 2,762 2,500 2,151 2,500 2,800 Utility Services Operations Support 868- 534200 Printing 5 Binding 198 987 1,000 834 1,000 1,000 TOTAL Operations Support 198 987 1,000 834 1,000 1,000 Staff Support 868 - 535100 Uniforms 0 0 210 0 210 210 868- 535300 Memberships 1,154 2,641 1,890 1,819 1,890 1,890 868 - 535400 Publications 55 55 1,555 55 55 2,355 868 - 535500 Training /Travel 4,625 4,261 11,050 3,730 5,500 11,050 868- 535600 Professional Certification 1,150 0 100 505 505 100 TOTAL Staff Support 6,984 6,956 14,805 6,109 8,160 15,605 Professional Services Maintenance Services Rental /Leasing 868- 561200 Lease - Equipment 502 0 0 0 0 0 TOTAL Rental /Leasing 502 0 0 0 0 0 162 8 -25 -2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 INTERNAL SERVICE _ EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Operating Equipment 868- 571000 Furniture 6 Fixtures 266 0 0 0 0 0 868 - 571200 Office Equipment 0 1,795 0 0 0 0 TOTAL Operating Equipment 266 1,795 0 0 0 0 TOTAL FINANCE 447,861 456,025 473,301 364,976 466,515 536,120 163 THIS PAGE INTENTIONALLY LEFT BLANK 164 DEPARTMENT: FINANCE DIVISION: 872 PURCHASING & ASSET MANAGEMENT FUND: 101 GENERAL FUND VISION STATEMENT To be national leaders in the stewardship of the City's human and physical assets. IlyiIR14 If] &3IFTAi4►Yi14►k0 To manage accurate inventory lists and facilitate purchases at the best quality and value for the City's departments through ethical practices in all areas with a cohesive and flexible team of employees. GOALS AND OBJECTIVES • Maintain the highest levels of ethical practices for all department functions. • All City departments receive their orders in a timely manner to effectively perform their job functions in an efficient manner. • Procure quality goods and services for all City departments, from appropriate sources, using the most efficient and economical means at the best possible price and make them available at the right place and time. • Use supply contracts and co -ops in order to improve delivery time of particular items and to take advantage of quantity discounts. • Maintain a professional relationship with all City departments and vendors insuring open communication. • Randomly audit purchase orders in the Incode system. • Maintain the City Purchasing Manual, combining State and Local Purchasing Legislation. • Manage, review, and track City contracts and agreements. Notify departments when contracts are expiring. 165 PURCHASING & ASSET MANAGEMENT • Manage procedures for Capital and Fixed asset inventory and accountability, and conduct physical surveys of City property. • Manage disposal and auction activities for surplus, excess, and damaged City property. • Manage insurance and Workers Compensation claims and accident /incident reports with immediate response. Gather all information for all incidents involving City property regardless of repair costs. Retain claims, reports and litigation according to the Texas State Records Retention Schedules. • Program and oversee safety training for employees to minimize accidents and incidents, and mitigate risk. Develop and Maintain the City Safety Policy. DEPARTMENT DESCRIPTION The Purchasing and Asset Management Department is responsible for managing the Purchasing, Inventory, Property Disposal, Contracts, Grants, Risk Management, and Safety functions for the City. Manages all bids, quotes, contracts and agreements, City purchases, warehouse inventory, City property disposal, auctions, grants, fleet vehicle registration and titles, Fleet Gas Card program, and conducts random purchase order audits The department is also responsible for the City Risk Management and Safety program. Maintains the City Capital and Fixed Assets inventory, property and liability insurance schedules, processes all insurance claims, insurance litigation, and workers compensation, monitors all safety aspects of City functions, schedules employee safety training, evaluates loss runs to identify trends and mitigate risk. Establish and update all associated City policies, manuals, and documentation as they pertain to this department. W.. PURCHASING & ASSET MANAGEMENT ORGANIZATIONAL CHART Purcha Accounting As! lManag PURCHASING & ASSET MGMT. 2012 -13 2013 -14 2014 -15 Director 1 1 1 Senior Purchasing Specialist 1 1 1 Administrative Assistant 1 1 1 Risk & Safety Specialist 1 1 1 TOTAL POSITIONS 4 4 4 PERFORMANCE INDICATORS Bids and Proposals Drafted 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Bids and Proposals Drafted 8 10 10 Bids and Proposals Responses 40 60 50 Contracts Reviewed 45 150 150 Meetings with Vendors 93 125 125 Research Requests N/A 150 150 Quotes Received N/A 100 100 Deliveries Received N/A 504 500 Active Works Comp Claims N/A 216 225 Accident and Injuries Investigated N/A 60 65 New Hire Safety Training N/A 36 40 Training Classes Held N/A 10 10 167 PURCHASING & ASSET MANAGEMENT Vehicles Processed (Titles, Gas Cards, Plates) Property Damage Claims Certificates of Insurance Processed MSDS /SDS Added N/A 20 20 N/A 15 20 N/A 40 40 N/A 157 100 Personnel 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $248,324 $254,944 $262,098 Supplies 520 1,200 1,200 Utility Services 460 600 500 Operations Support 13 300 300 Staff Support 6,007 8,042 8,070 Operating Equipment 0 2,072 1,300 Total $255,325 $267,158 $273,468 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will increase 2.4% from the FY 2013 -14 Budget. This increase reflects higher personnel costs. 168 B-25-2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 INTERNAL SERVICE EXPENDITURES (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU PURCHASING S ASSET MGT Personnel Services 872- 511110 Regular 176,574 177,638 179,514 138,360 179,514 183,891 872 - 511120 Overtime 0 0 1,402 344 1,402 1,403 872- 511180 LTD 535 547 556 430 556 570 872- 511210 Longevity 3,833 4,480 5,150 6,390 5,150 5,702 872- 511310 FICA - Employer 13,616 13,405 14,234 10,685 14,234 14,611 872 - 511350 TMRS- Employer 28,124 28,471 29,268 23,584 29,268 31,003 872- 511410 Health - Employer 22,619 23,472 24,565 19,757 24,565 24,574 872 - 511500 Workers' Compensation 261 312 335 255 255 344 TOTAL Personnel Services 245,562 248,324 255,024 199,806 254,944 262,098 Supplies 872 - 521000 Operating Supplies 458 147 500 210 500 500 872- 521100 Office Supplies 5,999 371 600 131 600 600 872- 521300 Motor Veh. Supplies 0 2 100 30 100 100 TOTAL Supplies 6,457 520 1,200 371 1,200 1,200 Utility Services 872 - 533500 Vehicle Fuel 420 460 600 213 600 500 TOTAL Utility Services 420 460 600 213 600 500 Operations Support 872- 534000 Postage 5 6 100 0 100 100 872- 534200 Printing 6 Binding 0 0 200 0 200 200 872- 534710 Service Fees - GovDeals 0 8 0 0 0 0 TOTAL Operations Support 5 13 300 0 300 300 Staff Support 872- 535100 Uniforms 0 0 160 167 167 320 872 - 535300 Memberships 1,506 1,220 1,500 1,143 1,500 1,500 872 - 535400 Publications 15 0 0 0 0 0 872- 535500 Training /Travel 3,004 4,696 6,125 1,924 6,125 6,000 872- 535510 Meeting Expenses 0 91 200 121 250 250 TOTAL Staff Support 4,524 6,007 7,985 3,354 8,042 8,070 Professional Services Rental /Leasing 169 B-25-2014 02:23 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 INTERNAL SERVICE EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Operating Equipment 872- 571000 Furniture & Fixtures 7,591 0 1,800 1,822 1,822 1,000 872 - 571500 Operating Equipment 0 0 250 19 250 300 TOTAL Operating Equipment 7,591 0 2,050 1,841 2,072 1,300 Capital Outlay TOTAL PURCHASING & ASSET MGT 264,559 255,325 267,159 205,584 267,158 273,468 170 DEPARTMENT: PUBLIC WORKS DIVISION: 877 FLEET MAINTENANCE FUND: 101 GENERAL FUND VISION STATEMENT To have the lowest vehicle downtime in the state with high quality assurance. MISSION STATEMENT Maintain and repair all city owned vehicles and equipment with technological innovation to reduce down time, increase lifespan, and keep a safe operating fleet with a skilled and dedicated workforce. GOALS AND OBJECTIVES • Maintain and repair vehicles and equipment to increase their lifespan. • Optimize fleet availability by improving turn - around times. • Develop and implement fleet utilization guidelines and procedures. DEPARTMENT DESCRIPTION Maintain fleet vehicles including: transmission service, motor oil changes, state inspections, and tire repair and replacement. Troubleshoot, diagnose, and repair mechanical and electrical failures. 171 FLEET MAINTENANCE ORGANIZATIONAL CHART Building water & treets Fleet Services Maintenance Sewer /Billing Drainag 0 Office FLEET MAINTENANCE 2012 -13 2013 -14 2014 -15 Fleet Maintenance Manager 0 0 1 Fleet Maintenance Supervisor 1 1 0 Fleet Maintenance Foreman 1 0 0 Fleet Mechanic II 0 1 1 Mechanic 1 2 1 2 2 TOTAL POSITIONS 4 4 4 » :U1910►Ti /_1ki [91:8Iz131KTA IN] :'1 Work Orders- -Police Department vehicles and equipment -EMS vehicles and equipment - Streets vehicles and equipment - Administration vehicles - Animal Control vehicles - Facilities Maintenance vehicles -Fire vehicles and equipment -Fleet Service vehicles - Inspection vehicles - Marshal Service vehicles -Parks vehicles and equipment -Water & Sewer vehicles and equipment - Drainage vehicles and equipment - Economic Development vehicles 172 460 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Work Orders- -Police Department vehicles and equipment -EMS vehicles and equipment - Streets vehicles and equipment - Administration vehicles - Animal Control vehicles - Facilities Maintenance vehicles -Fire vehicles and equipment -Fleet Service vehicles - Inspection vehicles - Marshal Service vehicles -Parks vehicles and equipment -Water & Sewer vehicles and equipment - Drainage vehicles and equipment - Economic Development vehicles 172 460 462 485 456 360 378 344 317 332 11 9 9 27 27 28 69 32 34 244 173 181 27 41 43 26 20 21 41 37 39 177 128 134 285 288 302 247 125 131 3 8 9 FLEET MAINTENANCE - Purchasing vehicles -Motor Pool vehicles Total Work Orders Issued Number of after -hour calls 8 5 5 41 38 40 2,466 2,070 2,171 46 44 46 Actual field service calls, vehicle and equipment Failures Average response time for emergency repair, in minutes 160 198 192 25 25 25 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Actual field service calls, vehicle and equipment Failures Average response time for emergency repair, in minutes 160 198 192 25 25 25 % of all vehicles and equipment issues resolved without recall 97% 97% 97% 2012 -13 2013 -14 2014 -15 Effectiveness Actual Budget Budget % of all vehicles and equipment issues resolved without recall 97% 97% 97% Personnel Services Supplies City Support Services Utility Services Operations Support Staff Support City Assistance Maintenance Services Rental /Leasing Operating Equipment Capital Outlay Total PROGRAM JUSTIFICATION AND ANALYSIS $182,982 $221,326 $313,447 164,311 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel Services Supplies City Support Services Utility Services Operations Support Staff Support City Assistance Maintenance Services Rental /Leasing Operating Equipment Capital Outlay Total PROGRAM JUSTIFICATION AND ANALYSIS $182,982 $221,326 $313,447 164,311 176,250 174,525 2,388 3,500 3,500 3,869 5,000 5,000 142 400 400 1,944 4,500 4,500 0 180 180 98,241 80,750 73,750 0 200 200 9,451 5,000 8,200 0 10,000 65,000 $463,328 $507,106 $648,702 The FY 2014 -15 Budget increases by 27.9% from the FY 2013 -14 year end estimates. This increase reflects the addition of two Mechanic I positions; one of which will be paid by EMS and be trained to specifically work on emergency service vehicles. There is also funding for replacement vehicles when they break down. 173 8 -25 -2014 02:23 PM 101 - GENERAL FUND INTERNAL SERVICE EXPENDITURES FLEET SERVICE Personnel Services 877 - 511110 Regular 877 - 511120 Overtime 877 - 511180 LTD 877 - 511210 Longevity 877 - 511310 FICA - Employer 877 - 511350 TMRS- Employer 877- 511410 Health - Employer 877 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 877 - 521000 Operating Supplies 877- 521005 Supplies - Inspection Sticker 877- 521100 Office Supplies 877 - 521200 Oil Lube Suppl, Chem Supplies 877- 521300 Motor Veh. Supplies 877 - 521600 Equip Maint Supplies TOTAL Supplies City Support Services 877- 532400 Computer Fees & Licenses TOTAL City Support Services Utility Services 877- 533500 Vehicle .Fuel TOTAL Utility Services Operations Support 877 - 534200 Printing & Binding TOTAL Operations Support Staff Support 877 - 535100 Uniforms 877 - 535200 Awards 877- 535500 Training /Travel 877 - 535510 Meeting Expenses TOTAL Staff Support C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 125,830 132,030 153,894 116,975 153,894 214,809 3,657 2,844 2,000 3,050 2,000 3,000 366 264 477 313 477 666 5,868 1;399 1,766 1,861 1,766 2,076 10,322 10,378 12,061 9,233 12,061 16,821 21,145 21,144 24,800 19,840 24,800 35,693 17,667 12,766 24,565 15,674 24,565 36,860 1,669 2,157 2,528 1,763 1,763 3,522 186,525 182,982 222,091 168,710 221,326 313,447 2,943 2,827 3,000 2,374 3,000 3,000 750 781 1,125 1,150 1,150 1,125 477 244 300 235 300 300 1,508 12,662 15,500 14,349 15,500 14,000 123,714 146,731 148,000 151,080 155,000 155,000 1,052 1,066 1,100 1,098 1,300 1,100 130,444 164,311 169,025 170,285 176,250 174,525 1,500 1,500 3,710 3,710 0 0 2,388 3,500 2,100 3,500 3,500 2,388 3,500 2,100 3,500 3,500 3,869 5,000 3,403 5,000 5,000 3,869 5,000 3,403 5,000 5,000 142 400 0 400 142 400 0 400 400 400 1,327 1,417 2,200 1,774 2,200 2,200 35 67 100 0 100 100 1,398 335 2,000 141 2,000 2,000 135 125 200 89 200 200 2,895 1,944 4,500 2,004 4,500 4,500 174 8 -25 -2014 02:23 PM 101 - GENERAL FUND INTERNAL SERVICE EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU City Assistance 877 - 537100 Medical Services 0 0 180 0 180 180 TOTAL City Assistance 0 0 180 0 180 180 Professional Services Maintenance Services 877 - 551000 Outside Fleet Repair 64,365 92,639 65,000 84,141 75,000 68,000 877- 551100 Building Maintenance 794 612 750 690 750 750 877 - 551400 Minor & Other Equip Maint 4,253 4,990 5,000 606 5,000 5,000 TOTAL Maintenance Services 69,411 98,241 70,750 85,436 80,750 73,750 Rental /Leasing 877- 561100 Rental - Equipment 270 0 200 0 200 200 TOTAL Rental /Leasing 270 0 200 0 200 200 Operating Equipment 877 - 571500 Operating Equipment 4,932 9,451 5,000 3,189 5,000 8,200 TOTAL Operating Equipment 4,932 9,451 5,000 3,189 5,000 8,200 Capital Outlay 877- 581200 Vehicles & Access. OVER $5,00 0 0 0 0 0 57,000 877- 581500 Equipment Over $5,000 0 0 10,000 0 10,000 8,000 TOTAL Capital Outlay 0 0 10,000 0 10,000 65,000 TOTAL FLEET SERVICE 399,686 463,328 490,646 435,127 507,106 648,702 175 THIS PAGE INTENTIONALLY LEFT BLANK 176 DEPARTMENT: PUBLIC WORKS DIVISION: 878 BUILDING MAINTENANCE FUND: 101 GENERAL FUND VISION STATEMENT Ensure facilities are a safe and comfortable environment, maintained and operated efficiently for the benefit of employees and the citizens of Schertz. Provide safe, enjoyable, and attractive facilities that allow diverse programs and responsive services that enhance the quality of life of citizens and employees by managing building functions, facility care, and security through quality maintenance in a professional environment. GOALS AND OBJECTIVES • Provide quality customer services in an effective and efficient manner. • Promote and implement energy efficiency programs to reduce utility consumption. • Provide high - quality preventative maintenance to extend the life of facilities. DEPARTMENT DESCRIPTION Building Maintenance services and maintains 19 facilities totaling 202,847 square feet with a value of $25,277,765, consisting of carpet, tile floors, other flooring, offices, storage areas, restrooms, meeting /training rooms. Provide facility maintenance repairs, and upkeep of City buildings. Provide preventive maintenance on HVAC units, stand -by generators, replacing light bulbs and ballasts, plumbing repairs, carpentry work, painting, and building access, minor electric and general building and fixture repairs. This department was reorganized and restructured to report to the Director of Public Works in December of 2012. 177 BUILDING MAINTENANCE ORGANIZATION CHART FACILITIES MAINTENANCE 2012 -13 2013 -14 2014 -15 Foreman 1 1 1 Worker 1 1 1 2 TOTAL POSITIONS 2 2 3 PERFORMANCE INDICATORS Square footage maintained 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Square footage maintained 202,847 213,847 234,202 City Buildings Maintained 19 19 21 Work Orders Received 972 1,044 1,080 Work Orders Completed 892 936 983 HVAC units air filters replaced 2,158 2,178 2,178 Light bulbs and ballasts replaced 818 672 800 Miscellaneous Items (office moving etc.) 741 777 816 Plumbing Repairs 197 206 217 Electrical Repairs 346 363 381 Preventive maintenance on Generators 3 3 0 178 BUILDING MAINTENANCE Personnel 2013 -14 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel $71,555 $94,670 $136,524 Supplies 0 1,043 1,043 Utility Services 2,712 4,350 2,350 Staff Support 582 2,800 2,900 Professional Services 12,623 10,000 12,000 Maintenance Services 60,293 93,170 71,132 Rental Equipment 375 400 1,400 Operating Equipment 540 0 1,500 Capital Outlay 0 118,000 38,750 Total $148,680 $324,433 $267,599 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget decreases 17.5% from the FY 2013 -14 year end estimates. FY 2014 -15 includes the addition of a new Worker I position and a vehicle; however this increase is offset by the one -time funding of the security and audio /visual upgrades to the Council Chambers in FY 2013 -14. 179 8 -25 -2014 02:23 PM 101 - GENERAL FUND INTERNAL SERVICE EXPENDITURES BUILDING MAINTENANCE Personnel Services 878- 511110 Regular 878 - 511120 Overtime 878- 511180 LTD 878- 511210 Lonegevity 878- 511310 FICA - Employer 878 - 511350 TMRS- Employer 878- 511410 Health - Employer 878 - 511500 Workman's Compensation TOTAL Personnel Services Supplies 878- 521000 Operating Supplies 878- 521300 Motor Vehicle Supplies TOTAL Supplies Utility Services 878- 533500 Vehicle Fuel TOTAL Utility Services Staff Support 878- 535100 Uniforms 878- 535200 Awards 878- 535300 Memberships 878- 535500 Training /Travel 878 - 535510 Meeting Expense TOTAL Staff Support Professional Services 878- 541310 Contractual Services TOTAL Professional Services Maintenance Services 878 - 551100 Building Maintenance 878 - 551400 Minor & Other Equip Maint 878 - 551800 Other Maintenance Agreements 878 - 551810 Maintenance Agr - Radios TOTAL Maintenance Services C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (---- - - - - -- - -- 2013 -2014 --------------- )(-- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 0 49,873 61,488 49,192 61,488 88,632 0 1,149 0 1,594 2,000 2,000 0 152 191 167 191 275 0 0 2,717 2,717 2,717 3,003 0 3,777 4,912 3,970 4,912 7,163 0 7,760 10,099 8,702 10,099 15,199 0 8,844 12,283 10,134 12,283 18,430 0 0 1,276 980 980 1,822 0 71,555 92,966 77,457 94,670 136,524 0 0 1,000 231 1,000 1,000 0 0 43 0 43 43 0 0 1,043 231 1,043 1,043 0 2,712 4,350 2,370 4,350 2,350 0 2,712 4,350 2,370 4,350 2,350 0 528 1,050 843 1,000 1,100 0 0 100 0 100 100 0 0 100 0 100 100 0 0 1,500 858 1,500 1,500 0 55 100 37 100 100 0 582 2,850 1,737 2,800 2,900 0 12,623 10,000 9,745 10,000 12,000 0 12,623 10,000 9,745 10,000 12,000 0 57,623 67,000 79,961 92,000 70,000 0 0 250 0 500 500 0 2,670 38 0 38 0 0 0 632 430 632 632 0 60,293 67,920 80,391 93,170 71,132 180 8 -25 -2014 02:23. PM - C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 INTERNAL SERVICE EXPENDITURES (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ----- - - - - -H -- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU Rental /Leasing 878- 561100 Rental - Equipment 0 375 1,400 0 400 1,400 TOTAL Rental /Leasing 0 375 1,400 0 400 1,400 Operating Equipment 878 - 571700 Improvement Under $5,000 0 540 0 0 0 1,500 TOTAL Operating Equipment 0 540 0 0 0 1,500 Capital Outlay 878- 581200 Vehicles G Access. OVER $5,00 0 0 0 0 0 28,000 878- 581700 Improvements Over $5,000 0 0 118,000 3,713 118,000 5,500 878- 581800 Equipment Over $5,000 0 0 0 0 0 5,250 TOTAL Capital Outlay 0 0 118,000 3,713 118,000 38,750 TOTAL BUILDING MAINTENANCE 0 148,680 298,529 175,643 324,433 267,599 TOTAL INTERNAL SERVICE 2,376,750 2,597,128 3,396,545 2,546,711 3,437,830 3,775,101 181 THIS PAGE INTENTIONALLY LEFT BLANK 182 DEPARTMENT: 901 CITY ASSISTANCE FUND: 101 GENERAL FUND DEPARTMENTAL DESCRIPTION The City will set up a preliminary budget of $46,390 for the operations of the Senior Center through January 2015. These expenses are offset by revenue generated by the program. An additional $45,000 is left in City Assistance for the possibility of a third party taking over operations of this program after the said date. The Patient Assistance program is an Interlocal Agreement between the City of Schertz and Guadalupe Valley Hospital. The Hospital agrees to provide prescription medication free of charge or at a low cost to citizens of Schertz who qualify for assistance under established guidelines. The Hospital agrees to maintain a part -time intake and information office in Schertz. Prescriptions will be filled and administered at the Hospital's Seguin facility. The City agrees to pay the hospital an agreed upon amount under the yearly contract. The Hospital agrees to provide written reports to the City and to provide the City with the complete budget for the Hospital's drug program. This contract is for $5,000. The City of Schertz also provides assistance to the Guadalupe Children's Advocacy Center. The Center provides a warm, homelike environment for children who visit to be interviewed about physical or sexual abuse. The Children's Advocacy Center's primary emphasis is placed on the well -being of the child to prevent further trauma. This agreement is for $5,000 Transportation Assistance is provided through Alamo Regional Transit for senior citizens. Senior Center City Assistance Total 183 $0 $60,955 $46,390 52,000 87,648 80,000 $52,000 $148,603 $126,390 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Senior Center City Assistance Total 183 $0 $60,955 $46,390 52,000 87,648 80,000 $52,000 $148,603 $126,390 CITY ASSISTANCE PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget will decrease by 15.0% from the FY 2013 -14 year end estimates. The decrease is due to one -time expenses related to the City taking over operation of the Senior Center that occurred in FY 2013 -14. 184 7 -31 -2014 03:00 PM 101 - GENERAL FUND PARKS 6 RECREATION EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU SENIOR CITIZEN CENTER 0 0 53,615 35,392 60,955 46,390 Personnel Services 1,156,670 1,159,429 1,250,388 764,787 1,226,515 1,380,331 Supplies 465 - 521000 Operating Supplies 0 0 5,400 4,703 5,400 6,000 465 - 521100 Office Supplies 0 0 0 42 42 150 465 - 521110 Office Supplies - Refreshment 0 0 2,359 301 2,359 1,500 TOTAL Supplies 0 0 7,759 5,046 7,801 7,650 Utility Services 465 - 533200 Electric Utility Service 0 0 3,600 414 3,600 3,600 465- 533410 Water Utility Service 0 0 640 0 640 640 TOTAL Utility Services 0 0 4,240 414 41240 4,240 Operations Support 465 - 534100 Advertising 0 0 2,400 0 1,500 1,500 TOTAL Operations Support. 0 0 2,400 0 1,500 1,500 City Assistance 465- 537700 Senior Citizen Hot Meals 0 0 31,950 15,120 25,000 20,000 TOTAL City Assistance 0 0 31,950 15,120 25,000 20,000 Professional Services 465- 541300 Other Consl /Prof Services 0 0 3,866 3,597 4,866 7,000 465 - 541920 Entertainment Services 0 0 1,000 3,666 10,000 1,000 TOTAL Professional Services 0 0 4,866 7,263 14,866 8,000 Maintenance Services 465 - 551100 Building Maintenance 0 0 2,400 7,548 7,548 5,000 TOTAL Maintenance Services 0 0 2,400 7,548 7,548 5.,000 TOTAL SENIOR CITIZEN CENTER 0 0 53,615 35,392 60,955 46,390 TOTAL PARKS 6 RECREATION 1,156,670 1,159,429 1,250,388 764,787 1,226,515 1,380,331 185 B-25-2014 02:23 PM 101 - GENERAL FUND MISC 6 PROJECTS EXPENDITURES C I T Y O F S. C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL, ACTUAL, BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU CITY'S ASSISTANCE Utility Services 901 - 533200 Electric Utility Service 281 0 0 0 0 0 TOTAL Utility Services 281 0 0 0 0 0 City Assistance 901 - 537300 Patient Assistence 5,000 5,000 5,000 5,000 5,000 5,000 901 - 537400 Transportation Assistance 0 0 22,000 22,020 22,020 31,678 901 - 537500 Children's Advocacy Assistanc 5,000 5,000 5,000 0 5,000 5,000 901 - 537700 Senior Citizens Program 42,000 42,000 42,000 55,628 55,628 45,000 TOTAL, City Assistance 52,000 52,000 74,000 82,648 87,648 86,678 TOTAL CITY'S ASSISTANCE 52,281 52,000 74,000 82,648 87,648 86,678 186 DEPARTMENT: 910 COURT RESTRICTED FUNDS FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The court security fee and court technology fees are revenues that are restricted on use. The court technology must only be spent to purchase new or replacement devices to improve or maintain the efficiency of the Municipal Court. Approved purchases are computers, servers where court files are stored and computerized ticket writers. The court security fee can only be used to add or enhance security measure to the court room for the safety of staff and citizens. Court Technology 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Court Technology $17,266 $840 $50,872 Court Security 3,816 0 35,000 Total $21,082 $840 $85,872 Expenditures Located in Other $30,409 $90,409 $30,409 Departments PROGRAM JUSTIFICATION AND ANALYSIS In FY 2014 -15 the court security fund will be used to remodel the Municipal Court counter and subsidize one half of a marshal's salary for the time they spend in court. Court technology expenditures will be to replace ticket writers and other equipment as the need arises throughout the year. 187 7 -31 -2014 01:37 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 101 - GENERAL FUND AS OF: JULY 31ST, 2014 MISC & PROJECTS EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013. CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU COURT - RESTRICTED FUNDS Operating Equipment 910 - 571600 Court Technology Expenditure 15,019 17,266 6,400 840 840 50,872 910 - 571700 Court Security Expenditure 0 3,816 0 0 0 35,000 TOTAL Operating Equipment 15,019 21,082 6,400 840 840 85,872 TOTAL COURT - RESTRICTED FUNDS 15,019 21,082 6,400 840 840 85,872 188 FUND: 106 SPECIAL EVENTS DESCRIPTION The Special Events Fund is designated to monitor and manage funds appropriated to pay for all events sponsored or co- sponsored by the City of Schertz. Events include: Wilenchik Walk for Life, Doggie Dash, Absolute Jazz, Trunk -or- Treat, Festival of Angels, and the Sweetheart Court Scholarship program. Revenues $112,161 $174,783 $153,800 Expenses Non Departmental 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenues $112,161 $174,783 $153,800 Expenses Non Departmental $732 $5,150 $10,850 Festival of Angels 16,018 10,284 15,000 Employee Appreciation 6,385 11,510 15,000 National Night Out 0 0 200 Walk for Life 20,846 $23,465 25,000 Sweetheart Event 31,350 40,500 35,000 Jazzfest 15,538 14,505 20,000 Hal Baldwin Scholarship 11,740 12,530 18,750 Other Events 2,337 66,857 14,000 Total $104,946 $184,801 $153,800 PROGRAM JUSTIFICATION AND ANALYSIS Revenue Revenue for the FY 2014 -15 Budget will decrease 12.0% from the FY 2013 -14 year end estimates. Fewer fund transfers from reserves are needed due to the completion of the Hal Baldwin Memorial Plaza. Revenue is set through transfers to balance this fund. Expenses The FY 2014 -15 Budget will decrease 16.8% from the FY 2013 -14 year end estimates. This decrease is due to the completion of the Hal Baldwin Memorial Plaza in FY 2013 -14. I B-25-2014 02:26 PM 106- SPECIAL EVENTS FUND FINANCIAL SUMMARY REVENUE SUMMARY Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT PUBLIC WORKS CULTURAL FESTIVAL OF ANGELS EMPLOYEE APPRECIATION EV 4th OF JULY JUBILEE NATIONAL NIGHT OUT WALK FOR LIFE TML EVENTS SWEETHEART EVENT JAZZFEST HAL BALDWIN SCHOLARSHIP OTHER EVENTS TOTAL CULTURAL TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 37,250 61,226 149,657 118,222 120,691 106,125 47,290 50,935 50,300 54,259 54,092 47,675 84,540 112,161 199,957 172,481 174,783 153,800 2,385 732 5,150 0 5,150 10,850 2,385 732 5,150 0 5,150 10,850 14,000 16,018 15,000 10,284 10,284 15,000 0 6,385 12,000 11,510 11,510 15,000 218 0 0 0 0 0 0 0 150 0 0 200 26,451 20,846 25,000 23,465 23,465 25,000 195 0 0 0 0 0 27,075 31,350 37,000 29,055 40,500 35,000 0 15,538 25,000 14,505 14,505 20,000 4,767 11,740 13,800 8,730 12,530 18,750 10,341 2,337 66,857 52,877 66,857 14,000 83,048 104,215 194,807 150,426 179,651 142,950 85,433 104,946 199,957 150,426 184,801 153,800 ( 893) 7,215 0 22,055 ( 10,018) 0 190 8 -25 -2014 02:26 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 106 - SPECIAL EVENTS FUND AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL Fees Fund Transfers ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 000 - 481000 Transfer In - Reserves 0 0 25,435 0 0 16,125 000 - 481314 Transfer In -Hotel /Motel Fund 37,250 61,226 118,222 118,222 114,691 28,000 000 - 485000 Interfund Transfer In 0 0 0 0 6,000 0 000 - 486100 Transfer In 0 0 6,000 0 0 9,000 000 - 486101 Transfer In- General Fund 0 0 0 0 0 53,000 TOTAL Fund Transfers 37,250 61,226 149,657 118,222 120,691 106,125 Miscellaneous 000 - 491200 Investment Income 137 70 75 17 0 75 000 - 492200 Wilenchik Walk for Life 26,451 20,846 25,000 23,465 23,465 25,000 000 - 493018 TML DINNER 195 0 0 0 0 0 000 - 493256 Donations - Police Events 0 0 3,000 0 0 3,000 000 - 493455 Proceeds - Festival of Angels 710 850 850 0 0 0 000 - 493460 Schertz Sweetheart 570 830 850 0 0 850 000 - 493621 Hal Baldwin Scholarship 19,227 19,669 13,800 23,762 23,612 18,750 000 - 493650 Donations -Hal Balwin Legacy 0 7,410 6,725 6,725 6,725 0 000 - 497000 Misc Income - Special Events 0 1,260 0 290 290 0 TOTAL Miscellaneous 47,290 50,935 50;300 54,259 54,092 47,675 TOTAL REVENUES 84,540 112,161 199,957 172,481 174,783 153,800 191 7 -31 -2014 01:41 PM 106 - SPECIAL EVENTS FUND GENERAL GOVERNMENT EXPENDITURES CI T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -20.12 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU NON DEPARTMENTAL Fund Charges /Transfers 101 - 548615 Transfer Out - Hist. Committe 2,385 732 5,150 0 5,150 10,850 TOTAL Fund Charges /Transfers 2,385 732 5,150 0 5,150 10,850 TOTAL NON DEPARTMENTAL 2,385 732 5,150 0 5,150 10,850 TOTAL GENERAL GOVERNMENT 2,385 732 5,150 0 5,150 10,850 192 7 -31 -2014 01:41 PM 106 - SPECIAL EVENTS FUND CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU FESTIVAL OF ANGELS City Support Services 601 - 532800 Festival of Angels 13,750 15,018 15,000 10,284 10,284 15,000 TOTAL City Support Services 13,750 15,018 15,000 10,284 10,284 15,000 Operations Support 601 - 534100 Advertising 250 1,000 0 0 0 0 TOTAL Operations Support 250 1,000 0 0 0 0 TOTAL FESTIVAL OF ANGELS 14,000 16,018 15,000 10,284 10,284 15,000 193 7 -31 -2014 01:41 PM 106 - SPECIAL EVENTS FUND CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU EMPLOYEE APPRECIATION EV City Support Services 602 - 532800 Employee Appreciation Events 0 4,985 12,000 11,510 11,510 15,000 602 - 532850 Employee Picnic 0 1,400 0 0 0 0 TOTAL City Support Services 0 6,385 12,000 11,510 11,510 15,000 TOTAL EMPLOYEE APPRECIATION EV 0 6,385 12,000 11,510 11,510 15,000 194 7 -31 -2014 01:41 PM 106 - SPECIAL EVENTS FUND CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 4th OF JULY JUBILEE City Support Services 604- 532800 4th of July Jubiilee 44 0 0 0 0 0 TOTAL City Support Services 44 0 0 0 0 0 Operations Support 604- 534100 Advertising 174 0 0 0 0 0 TOTAL Operations Support 174 0 0 0 0 0 TOTAL 4th OF JULY JUBILEE 218 195 0 0 0 0 0 7 -31 -2014 01:41 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 106 - SPECIAL EVENTS FUND AS OF: JULY 31ST, 2014 CULTURAL EXPENDITURES (-------- - - - - -- 2013 -2014 -------- - - - - -- )(-- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR RECOMMENDED BU NATIONAL NIGHT OUT City Support Services 607 - 532800 National Night Out 0 0 150 0 0 200 TOTAL City Support Services 0 0 150 0 0 200 TOTAL NATIONAL NIGHT OUT 0 0 150 0 0 200 196 7 -31 -2014 01:41 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 106 - SPECIAL EVENTS FUND AS OF: JULY 31ST, 2014 CULTURAL EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 20.14 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU WALK FOR LIFE City Support Services 608 - 532800 Wilenchik Walk for Life 26,451 20,846 25,000 23,465 23,465 25,000 TOTAL City Support Services 26,451 20,846 25,000 23,465 23,465 25,000 Operations Support TOTAL WALK FOR LIFE 26,451 20,846 25,000 23,465 23,465 25,000 197 7 -31 -2014 01:41 PM 106 - SPECIAL EVENTS FUND CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU TML EVENTS City Support Services 618 - 532800 TML DINNER 195 0 0 0 0 0 TOTAL City Support Services 195 0 0 0 0 0 TOTAL TML EVENTS 195 0 0 0 0 0 198 7 -31 -2014 01:41 PM 106 - SPECIAL EVENTS FUND CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU SWEETHEART EVENT City Support Services 619 - 532800 Schertz Sweetheart 22,075 27,850 33,000 26,555 33,000 30,000 619 - 532850 Scholarships- Sweethearts 5,000 3,500 4,000 2,500 7,500 5,000 TOTAL City Support Services 27,075 31,350 37,000 29,055 40,500 35,000 TOTAL SWEETHEART EVENT 27,075 31,350 37,000 29,055 40,500 35,000 199 7 -31 -2014 01:41 PM 106 - SPECIAL EVENTS FUND CULTURAL, EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU JAZZFEST City Support Services 620 - 532800 Jazzfest 0 15,538 25,000 14,505 14,505 20,000 TOTAL City Support Services 0 15,538 25,000 14,505 14,505 20,000 TOTAL JAZZFEST 0 15,538 25,000 14,505 14,505 20,000 200 7 -31 -2014 01:41 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 106 - SPECIAL EVENTS FUND AS OF: JULY 31ST, 2014 CULTURAL EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU HAL BALDWIN SCHOLARSHIP City Support Services 621 - 532800 Golf Tounament 0 7,990 10,000 8,730 8,730 15,000 621- 532850 Hal Baldwin Scholarship 3,767 3,750 3,800 0 3,800 3,750 TOTAL City Support Services 3,767 11,740 13,800 8,730 12,530 18,750 Fund Charges /Transfers 621 - 548101 Transfer Out - General Fund 1,000 0 0 0 0 0 TOTAL Fund Charges /Transfers 1,000 0 0 0 0 0 TOTAL HAL BALDWIN SCHOLARSHIP 4,767 11,740 13,800 8,730 12,530 16,750 201 7 -31 -2014 01:41 PM C I T Y O F S C H E R T Z - PAGE PROPOSED BUDGET WORKSHEET 106 - SPECIAL EVENTS FUND AS OF: JULY 31ST, 2014 CULTURAL EXPENDITURES (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU OTHER EVENTS City Support Services 626- 532600 Other Events - Baldwin Memorial 10,341 919 52,857 43,650 52,857 0 626 - 532600 Other Events 0 1,291 11,000 8,586 11,000 11,000 626 - 532610 Police Events 0 0 3,000 441 3,000 3,000 TOTAL City Support Services 10,341 2,209 66,857 52,877 66,857 14,000 Operations Support 626 - 534100 Advertising 0 128 0 0 0 0 TOTAL Operations Support 0 128 0 0 0 0 TOTAL OTHER EVENTS 10,341 2,337 66,857 52,877 66,657 14,000 TOTAL CULTURAL 83,048 104,215 194,807 150,426 179,651 142,950 TOTAL EXPENDITURES 85,433 104,946 199,957 150,426 184,801 153,800 202 FUND: 110 Public, Educational, and Government (PEG) Access Fund DESCRIPTION The PEG Fund is dedicated to provide communication infrastructure in the City. This will allow the City to better reach the citizens with necessary information. This fund is commonly used for public access television and institutional network capacity. Currently the level of funding from the collected fees is not great enough to warrant a public access channel but could be used so in the future. Revenues $91,851 $119,572 $209,000 Expenses Leases 0 33,000 33,500 Capital Outlay 45,546 50,052 175,500 Total $45,546 $83,052 $209,000 PROGRAM JUSTIFICATION AND ANALYSIS Revenue Revenue increases in FY 2014 -15 by 74.8% with a transfer from reserves to continue the Master Communication Plan. Expenses The FY 2014 -15 Budget increases 151.6% from the FY 2013 -14 year end estimates to continue the Master Communication Plan by purchasing the necessary equipment. 203 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenues $91,851 $119,572 $209,000 Expenses Leases 0 33,000 33,500 Capital Outlay 45,546 50,052 175,500 Total $45,546 $83,052 $209,000 PROGRAM JUSTIFICATION AND ANALYSIS Revenue Revenue increases in FY 2014 -15 by 74.8% with a transfer from reserves to continue the Master Communication Plan. Expenses The FY 2014 -15 Budget increases 151.6% from the FY 2013 -14 year end estimates to continue the Master Communication Plan by purchasing the necessary equipment. 203 7 -31 -2014 01 :42 PM 110 - PUBLIC, EDU, GOVMNT FEE FINANCIAL SUMMARY REVENUE SUMMARY C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Franchises 92,519 91.,851 100,950 39,386 119,572 119,572 Fund Transfers 0 0 260,550 0 0 89,428 Miscellaneous 19 0 0 0 0 0 TOTAL REVENUES 92,538 91,851 361,500 39,386 119,572 209,000 EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL 123 45,546 361,500 51,893 83,052 209,000 TOTAL GENERAL GOVERNMENT 123 45,546 361,500 51,893 83,052 209,000 TOTAL EXPENDITURES 123 45,546 361,500 51,893 83,052 209,000 REVENUE OVER /(UNDER) EXPENDITURES 92,415 46,305 0 ( 12,508) 36,520 0 204 7 -31 -2014 01:42 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 110 - PUBLIC, EDU, GOVMNT FEE AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Franchises 000 - 421350 Time Warner -PEG Fee 62,966 55,288 66,950 39,386 78,772 78,772 000 - 421465 AT &T PEG Fee 29,553 36,563 34,000 0 40,800 40,800 TOTAL Franchises 92,519 911851 100,950 39,386 119,572 119,572 Fund Transfers 000 - 481000 Transfer In - Reserves 0 0 260,550 0 0 89,428 TOTAL Fund Transfers 0 0 260,550 0 0 89,428 Miscellaneous 000 - 491000 Interest Earned 19 0 0 0 0 0 TOTAL Miscellaneous 19 0 0 0 0 0 TOTAL REVENUES 92,538 91,851 361,500 39,386 119,572 209,000 205 7 -31 -2014 01:42 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 110 - PUBLIC, EDU, GOVMNT FEE AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 ------------ - - -)(- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU NON DEPARTMENTAL Utility Services Professional Services 101 - 541600 Bank Charges 123 0 0 0 0 0 TOTAL Professional Services 123 0 0 0 0 0 Rental /Leasing 101 - 561200 Lease /Purcahse Payments 0 0 38,046 0 33,000 33,500 TOTAL Rental /Leasing 0 0 38,046 0 33,000 33,500 Operating Equipment 101 - 571400 Communications Equipmnt -Mino 0 0 0 22,888 0 0 TOTAL Operating Equipment 0 0 0 22,888 0 0 Capital Outlay 101 - 581400 Communications Equipment 0 45,546 323,454 29,005 50,052 175,500 TOTAL Capital Outlay 0 45,546 323,454 29,005 50,052 175,500 TOTAL NON DEPARTMENTAL, 123 45,546 361,500 51,893 83,052 209,000 TOTAL GENERAL GOVERNMENT 123 45,546 361,500 51,893 83,052 209,000 TOTAL EXPENDITURES 123 45,546 361,500 51,893 83,052 209,000 206 FUND: 505 INTEREST & SINKING FUND DESCRIPTION This fund is used to account for the accumulation of resources for and the payment of general long term debt principal and interest on city debt. The Interest & Sinking portion of the property taxes are directly deposited by the County Tax Assessor's Office into this fund. Revenue 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Taxes $5,051,475 Miscellaneous 371,087 Total $5,422,563 Expenses Professional Service 1,750 Debt Service 5,131,287 Total $5,133,037 PROGRAM JUSTIFICATION AND ANALYSIS $5,250,140 367,113 $5,617,253 42,350 5,554,425 $5,596,775 $5,338,513 368,763 $5,707,276 42,350 5,593,807 $5,636,157 Revenues Revenues for FY 2014 -15 will increase 1.6% from the FY 2013 -14 estimates with the growth of the tax base. Expenses The FY 2014 -15 Budget will increase 0.7% from the FY 2013 -14 year end estimates with the addition of a debt service for Public Works equipment. 207 7 -31 -2014 01:45 PM 505 -TAX I SS FINANCIAL SUMMARY REVENUE SUMMARY Taxes Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 4,306,882 5,051,475 5,204,493 5,261,669 5,250,140 5,338,513 0 0 1,069 0 0 0 390,726 371,087 391,213 346,141 367,113 368,763 4,697,608 5,422,563 5,596,775 5,607,810 5,617,253 5,707,276 4,587,185 5,133,037 5,596,775 5,052,072 5,596,775 5,636,157 4,587,185 5,133,037 5,596,775 5,052,072 5,596,775 5,636,157 4,587,185 5,133,037 5,596,775 5,052,072 5,596,775 5,636,157 110,424 289,526 0 555,738 20,478 71,119 208 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 505 -TAX I 6S AS OF: JULY 31ST, 2014 REVENUES Taxes 000 - 411900 Property Tax Revenue TOTAL Taxes Fund Transfers 000 - 481000 Transfer In - Reserves TOTAL Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000- 491200 Investment Income 000 - 495015 Contribution from SED 000 - 497000 Misc Income TOTAL Miscellaneous TOTAL REVENUES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 4,306,882 5,051,475 5,204,493 5,261,669 5,250,140 5,338,513 4,306,882 5,051,475 5,204,493 5,261,669 5,250,140 5,338,513 0 0 1,069 0 0 0 0 0 1,069 0 0 0 41 57 75 49 75 75 23,860 1,956 25,000 1,024 900 1,500 366,825 369,075 366,138 345,069 366,138 367,188 0 0 0 0 0 0 390,726 371,087 391;213 346,141 367,113 368,763 4,697,608 5,422,563 5,596,775 5,607,810 5,617,253 5,707,276 209 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 505 -TAX I SS AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU NON DEPARTMENTAL Professional Services 101 - 541500 Paying Agent 1,950 1,200 2,350 1,750 2,350 2,350 101 - 541502 Cost of Bond Issuance 35,810 550 40,000 0 40,000 40,000 TOTAL Professional Services 37,760 1,750 42,350 1,750 42,350 42,350 Debt Service 101 - 555612 Bond -GO Refunding 2010 - Princi 240,000 250,000 260,000 260,000 260,000 265,000 101- 555612.Bond -GO Refundin 2010 - Interes 82,650 77,125 70,750 37,000 70,750 63,525 101 - 555622 Bond - Schertz CO SR2003- Princi 200,000 210,000 0 0 0 0 101- 555622.Bond -CO SR2003- Interest 11,265 3,833 0 0 0 0 101 - 555624 Bond -Comm Proj SR04- Principal 315,000 325,000 0 0 0 0 101- 555624.Bond -Comm Proj SR04- Interest 20,703 6,906 0 0 0 0 101 - 555626 Bond -GO Series 2006 - Principal 100,000 200,000 200,000 200,000 200,000 350,000 101- 555626.Bond -GO Series 2006 - Interest 648,981 642,981 634,982 319,491 634,982 204,419 101 - 555628 Bond -CO 2007 - Principal 102,900 109,533 112,834 112,833 112,834 116,134 101- 555628.Bond -CO 2007 - Interest 22,177 18,498 14,106 14,106 14,106 9,582 101 - 555629 Bond -GO 2007 Principal 225,000 235,000 245,000 245,000 245,000 255,000 101- 555629.Bond -GO 2007 Interest 198,820 189,419 179,792 179,322 179,792 169,618 101 - 555630 Bond -GO SR2008 Principal 370,000 385,000 430,000 430,000 430,000 420,000 101- 555630.Bond -GO SR2008 Interest 364,679 349,088 332,259 332,259 332,259 314,706 101 - 555631 Bond -GO SR2009 Principal 505,000 510,000 590,000 590,000 590,000 535,000 101- 555631.Bond -GO SR2009 Interest 340,638 327,950 314,201 160,788 314,201 298,800 101 - 555633 Bond -GO SR2011 Principal 90,000 200,000 210,000 210,000 210,000 220,000 101- 555633.Bond -GO SR2011 Interest 474,592 367,238 358,038 358,038 358,038 349,438 101 - 555634 Bond -GO 2011A Refund - Principa 140,000 70,000 615,000 615,000 615,000 610,000 101- 555634.Bond -GO 2011A Refund - Interest 97,021 153,067 145,916 144,942 145,916 130,830 101- 555635 Bond -GO 2012 - Principal 0 295,000 285,000 285,000 285,000 295,000 101- 555635.Bond -GO 2012 - Interest 0 205,649 219,284 219,284 219,284 206,444 101- 555636 Tax Note - SR2013 - Principal 0 0 160,000 160,000 160,000 165,000 101- 555636.Tax Note - SR2013 - Interest 0 0 11,223 11,222 11,223 71543 101 - 555637 Tax Note - SR2013A - Principa 0 0 155,000 155,000 155,000 160,000 101- 555637.Tax Note - SR2013A - Interest 0 0 11,040 11,039 11,040 7,345 101- 555638 Bond -GO 2014 Refund- Principal 0 0 0 0 0 50,000 101- 555638.Bond -GO 2014 Refund- Interest 0 0 0 0 0 358,322 101 - 555900 Debt Service 0 0 0 0 0 32,101 TOTAL Debt Service 4,549,424 5,131,287 5,554,425 5,050,322 5,554,425 5,593,807 Other Financing Sources TOTAL NON DEPARTMENTAL 4,587,185 5,133,037 5,596,775 5,052,072 5,596,775 5,636,157 TOTAL GENERAL GOVERNMENT 4,587,185 5,133,037 5,596,775 5,052,072 5,596,775 5,636,157 TOTAL EXPENDITURES 4,587,185 5,133,037 5,596,775 5,052,072 5,596,775 5,636,157 210 FUND: 202 WATER & SEWER DESCRIPTION The Water & Sewer Fund tracks revenue and expenses for the City's water, sewer, and solid waste functions and is managed by the Public Works Department. Staff is responsible for the planning, operation, and maintenance of the "retail" water and wastewater service and infrastructure. This includes the water distribution system, wastewater collection system, and utility billing office. The City's "wholesaler" for water production and transport is the Schertz- Seguin Local Government Corporation. Wastewater treatment is handled by the Cibolo Creek Municipal Authority. Garbage collection is handled by Bexar Waste. Revenues 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenues Franchises $198,322 $195,710 Permits 38,794 60,000 Fees 15,190,455 16,286,108 Fund Transfers 119,298 2,917,282 Miscellaneous 1,737,963 264,516 Total $17,284,832 $19,723,616 Expenses Business Office $547,227 $619,211 W &S Administration 15,891,132 16,399,970 Projects 367,519 2,185,086 Total $16,805,878 $19,204,267 PROGRAM JUSTIFICATION AND ANALYSIS $211,813 60,000 17,169,500 276,425 142,940 $17,860,678 $682,347 17,106,216 0 $17,788,563 Revenue Revenue for FY 2014 -15 will decrease 9.4% from FY 2013 -14 year end estimates. Increases in service customers, water rates, and sewer rates are offset by the one -time transfer in FY 2013 -14 to fund waterline replacements and a new water tower. 211 WATER & SEWER FUND Expenses The FY 2014 -15 budget will decrease 7.4% from FY 2013 -14 year end estimates. Increases in service costs and maintenance are offset by the project funding in FY 2013 -14. 212 7 -31 -2014 01:42 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 202 -WATER 6 SEWER AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY REVENUE SUMMARY Franchises Permits Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL BUSINESS OFFICE TOTAL GENERAL GOVERNMENT PUBLIC WORKS W 6 S ADMINISTRATION TOTAL PUBLIC WORKS (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 184,016 198,322 195,710 166,218 195,710 211,813 0 38,794 12,000 56,904 60,000 60,000 14,873,696 15,190,455 16,092,683 13,250,563 16,286,108 17,169,500 113,004 11,184,841 2,917,282 93,237 2,917,282 276,425 401,864 1,737,963 165,440 228,211 264,516 142,940 15,572,580 28,350,375 19,383,115 13,795,132 19,723,616 17,860,678 0 0 0 4,965,000 0 0 525,592 547,227 621,700 440,328 619,211 682,347 525,592 547,227 621,700 5,405,328 619,211 682,347 15,451,102 15,891,132 16,438,338 11,571,524 16,399,970 17,106,216 15,451,102 15,891,132 16,438,338 11,571,524 16,399,970 17,106,216 PROJECTS 0 367,519 2,185,086 0 2,185,086 0 AVIATION HEIGHTS WTR IMP 0 0 11,652 0 0 0 TOTAL MISC 6 PROJECTS 0 367,519 2,196,738 0 2,185,086 0 TOTAL EXPENDITURES 15,976,695 16,805,878 19,256,776 16,976,853 19,204,267 17,788,563 REVENUE OVER /(UNDER) EXPENDITURES ( 404,114) 11,544,497 126,339 ( 3,181,721) 519,349 72,115 213 7 -31 -2014 01:42 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 202 -WATER & SEWER AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Franchises 000 - 421490 Cell Tower Leasing 184,016 198,322 195,710 166,218 195,710 211,813 TOTAL Franchises 184,016 198,322 195,710 166,218 195,710 211,813 Permits 000 - 432400 Development Permit 0 38,794 12,000 56,904 60,000 60,000 TOTAL Permits 0 38,794 12,000 56,904 60,000 60,000 Fees 000 - 455200 Garbage Collection Fee 3,427,008 3,542,592 3,600,000 3,233,849 3,600,000 4,000,000 000 - 455600 Fire Line Fees 20,414 20,439 22,000 23,985 23,995 25,000 000 - 455700 Recycle Fee Revenue 244,054 253,932 262,983 212,071 262,983 270,000 000 - 455800 W &S Line Constructn Reimbur 24,500 22,781 30,000 19,473 30,000 25,000 000 - 457100 Sale of Water 7,657,695 7,660,165 8,043,200 6,042,454 8,043,200 8,100,000 000 - 457110 Edwards Water Lease 204,399 96,942 127,000 310,931 320,950 127,000 000 - 457120 Water Transfer Charge -Selma 25,344 38,446 42,000 28,328 42,000 42,000 000 - 457130 Water Transfer Charge -UC 2,200 8,072 5,000 12,351 17,000 8,000 000 - 457140 Water Transfer Charge - Convers 0 32,351 30,000 22,971 30,000 30,000 000 - 457200 Sale of Meters 60,849 56,719 90,000 45,187 60,000 90,000 000 - 457400 Sewer Charges 3,023,567 3,271,096 3,658,000 3,114,086 3,658,000 4,250,000 000 - 457500 Water Penalties 180,795 182,379 180,000 167,041 180,000 200,000 000 - 458000 Sales of General Fixed Assets 0 2,000 0 0 0 0 000 - 458110 Sale of Merchandise - GovDeal 0 0 0 1,080 1,080 0 000 - 458400 Building Rental Fee 0 0 0 14,400 14,400 0 000 - 459200 NSF Check Fee - Water &Sewer 2,870 2,540 2,500 2,355 2,500 2,500 TOTAL Fees 14,873,696 15,190,455 16,092,683 13,250,563 16,286,108 17,169,500 Fund Transfers 000 - 481000 Transfer In - Reserves 0 0 2,185,086 0 2,185,086 0 000 - 486100 Transfer In 28,330 0 0 0 0 0 000 - 486102 Transfer In- Equipment Replace 0 0 197,500 0 197,500 0 000 - 486103 Transfer In- Vehicle Replacemn 0 0 290,380 0 290,380 0 000 - 486204 Interfnd Chrg- Drainage Billin 84,674 119,298 124,316 93,237 124,316 137,113 000 - 486411 Transfer In- Capital Recovery 0 11,065,543 120,000 0 120,000 139,312 TOTAL Fund Transfers 113,004 11,184,841 2,917,282 93,237 2,917,282 276,425 Miscellaneous 000 - 490000 Misc Charges 780 5,913 700 392 700 700 000 - 491000 Interest Earned 1,868 1,574 2,000 1,003 1,500 1,500 000 - 491200 Investment Income 13,470 10,145 12,000 3,424 5,000 10,000 000 - 493400 Donations - Christmas Activitie 750 0 0 0 0 0 000 - 495013 Capital Contribution -W &S ( 35,862) 1,301,235 0 0 0 0 000 - 496050 SSLG - SAWS RESERVATION 269,000 269,000 0 134,500 134,500 0 000 - 497000 Misc Income -W &S 47,833 47,291 40,000 9,179 12,000 20,000 000 - 498110 Salary Reimb -SSLGC 104,024 102,955 110,740 79,637 110,740 110,740 000 - 498300 Reimbumnt -City Property 0 ( 150) 0 76 76 0 TOTAL Miscellaneous 401,864 1,737,963 165,440 228,211 264,516 142,940 TOTAL REVENUES 15,572,580 28,350,375 19,383,115 13,795,132 19,723,616 17,860,678 214 7 -31 -2014 01 :42 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 202 -WATER & SEWER AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU NON DEPARTMENTAL Professional Services Fund Charges /Transfers 101 - 548406 Transfer To Public Improvemen 0 0 0 4,965,000 0 0 TOTAL Fund Charges /Transfers 0 0 0 4,965,000 0 0 Maintenance Services Capital Outlay TOTAL NON DEPARTMENTAL 0 0 0 4,965,000 0 0 215 THIS PAGE INTENTIONALLY LEFT BLANK 216 DEPARTMENT: PUBLIC WORKS DIVISION: 176 WATER AND SEWER BUSINESS OFFICE FUND: 202 WATER AND SEWER VISION STATEMENT Provide exceptional service and customer satisfaction; to build a closer partnership with our customers and the community. MISSION STATEMENT To provide an exceptional customer service experience by providing excellent customer service with accurate account tracking by using the latest technology and a smile. GOALS AND OBJECTIVES • Continue to provide friendly and efficient services for all customers. • To encourage and educate our customers to use delivery of e -mail statements. • To encourage and educate our customers to pay their utility bill by using the City's automatic draft payments services, online web payments, and e- services through their financial institution. • To read water meters in a safe, reliable, and efficient manner • Provide accurate utility billing statements DEPARTMENT DESCRIPTION Read meters for calculating usage. Prepare all utility bills for mailing. Collect utility payments and post to customer's account. Set up new customer accounts. Conduct sewer averaging annually. Collect payments for other departments. Collect debt for various departments. Solve complaints in timely and fair manner. Collect payments for other utilities and service providers. Take care of meter box maintenance. 217 BUSINESS OFFICE ORGANIZATIONAL CHART feral Building Water & ✓ices Streets Fleet Services Maintenance Sewer /Billing Drainage Office BUSINESS OFFICE 2012 -13 2013 -14 2014 -15 Business Office Manager 1 1 1 Business Office Assistant Manager 1 1 1 Utility Billing Clerk II 1 2 2 Utility Billing Clerk 1 1 2 2 Utility Billing Clerk 3* 0 0 Meter Tech 1 2* 2 2 Meter Tech I1 1 1 1 TOTAL POSITIONS 10 10 10 *One position is unfunded PERFORMANCE INDICATORS Water meter /accounts Garbage accounts Sewer accounts 12,192 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Water meter /accounts Garbage accounts Sewer accounts 12,192 12,748 12,867 11,237 11,740 12,084 11,386 11,429 11,500 Meters per meter tech Accounts per clerks 218 4,064 4,249 4,289 3,048 3,187 3,216 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Meters per meter tech Accounts per clerks 218 4,064 4,249 4,289 3,048 3,187 3,216 BUSINESS OFFICE Personnel Services 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel Services $395,924 $445,554 $446,006 Supplies 4,012 4,600 4,600 Human Services 122 183 183 City Support Services 0 6,375 24,098 Utility Services 0 0 170 Operations Support 106,068 119,000 123,000 Staff Support 2,711 5,300 7,300 Professional Services 22,423 24,000 62,000 Fund Charges /Transfers 4,715 0 0 Maintenance Services 9,800 11,000 13,440 Operating Equipment 1,452 3,199 1,550 Total $547,227 $619,211 $682,347 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget increases 10.2% from FY 2013 -14 year end estimates. This increase is due to additional costs of online transaction with the removal of the online convenience fee. 219 8 -25 -2014 02:27 PM 202 -WATER 6 SEWER GENERAL GOVERNMENT EXPENDITURES BUSINESS OFFICE C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 - 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL Personnel Services 297,573 176 - 511110 Regular 267,290 176 - 511120 Overtime 3,480 176 - 511180 LTD 774 176- 511210 Longevity 7,924 176 - 511310 FICA - Employer 19,967 176 - 511350 TMRS- Employer 41,399 176 - 511410 Health - Employer 41,665 176 - 511500 Workers` Compensation 1,492 TOTAL Personnel Services 383,991 Supplies 23,963 176 - 521000 Operating Supplies 1,893 176 - 521100 Office Supplies 2,808 176 - 521200 Medical /Chem Supplies 0 176 - 521300 Motor Vehicle Supplies 53 TOTAL Supplies 4,754 Human Services 56,852 176 - 531100 Pre - employment Check 40 TOTAL Human Services 40 City Support Services 2,061 176 - 532355 Software Maintenance 0 176- 532900 Contingencies 0 TOTAL City Support Services 0 Utility Services 1,507 176 - 533310 Telephone /Cell Phone 0 TOTAL Utility Services 0 Operations Support 2,500 176 - 5340.00 Postage 45,710 176 - 534200 Printing 6 Binding 47,049 176 - 534300 Equipment Maintenance - Copie 3,780 TOTAL Operations Support 96,538 Staff Support 0 176 - 535100 Uniforms 1,520 176 - 535200 Awards 0 176 - 535300 Memberships 65 176 - 535500 Training /Travel 1,694 176- 535510 Meeting Expenses 613 TOTAL Staff Support 3,893 PAGE ----- - - - - -H -- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 269,798 297,573 217,267 297,573 300,649 3,311 6,000 1,635 6,000 6,000 743 922 647 922 932 10,314 9,674 6,286 9,674 6,326 21,402 23,963 17,180 23,963 23,943 44,116 49,274 36,556 49,274 50,804 44,654 56,852 42,309 56,852 55,291 1,586 2,197 1,296 1,296 2,061 395,924 446,455 323,175 445,554 446,006 1,458 2,000 1,507 2,000 2,000 2,554 2,500 2,090 2,500 2,500 0 100 0 100 100 0 0 0 0 0 4,012 4,600 3,597 4,600 4,600 122 183 117 183 183 122 183 117 183 183 0 5,375 0 1,000 0 6,375 0 0 0 0 0 5,375 1,375 0 1,000 22,723 0 6,375 24,098 0 0 170 0 0 170 64,237 67,000 60,662 71,000 73,000 38,135 45,000 35,719 43,000 45,000 3,696 5,000 345 5,000 5,000 106,068 117,000 96,726 119,000 123,000 1,285 2,500 986 2,500 2,500 0 0 0 0 200 51 100 65 100 100 863 3,500 1,000 2,000 3,500 512 1,000 553 700 1,000 2,711 7,100 2,604 5,300 7,300 220 8 -25 -2014 02:27 PM 202 -WATER 6 SEWER GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Professional Services 176 - 541600 Misc bank charges 0 0 500 0 500 500 176 - 541650 Misc Expenses 395 0 500 0 500 500 176 - 541800 Credit Card Fees 22,988 22,423 23,000 21,791 23,000 61,000 TOTAL Professional Services 23,383 22,423 24,000 21,791 24,000 62,000 Fund Charges /Transfers 176 - 548700 Bad Debt Expense 0 4,715 0 0 0 0 TOTAL Fund Charges /Transfers 0 4,715 0 0 0 0 Maintenance Services 176 - 551800 Other Maintenance Agreements 7,060 9,800 13,440 6,540 11,000 13,440 TOTAL Maintenance Services 7,060 9,800 13,440 6,540 11,000 13,440 Rental /Leasing Operating Equipment 176- 571000 Furniture s Fixtures 500 0 500 0 500 600 176 - 571200 Vehicles s Access. LESS $5,00 5,433 0 100 0 100 0 176 - 571300 Computer s Periphe. LESS $500 0 1,452 800 0 1,452 750 176- 571400 Communication Equip LESS $500 0 0 200 0 200 200 176 - 571500 Equipment under $5,000 0 0 947 0 947 0 TOTAL Operating Equipment 5,933 1,452 2,547 0 3,199 1,550 Capital Outlay TOTAL BUSINESS OFFICE 525,592 547,227 621,700 454,549 619,211 682,347 TOTAL GENERAL GOVERNMENT 525,592 547,227 621,700 6,171,334 619,211 682,347 221 THIS PAGE INTENTIONALLY LEFT BLANK 222 DEPARTMENT: PUBLIC WORKS DIVISION: 575 WATER & SEWER ADMINISTRATION FUND: 202 WATER AND SEWER VISION STATEMENT Provide superior customer service by maintaining the best water and wastewater networks and supplies to guarantee future city demands. IlyiIRIA If] &]If- 114Lhl461 k0 To provide excellent quality of water and wastewater to deliver a safe and adequate supply of drinking water and prevent wastewater overflows and safely deliver wastewater to treatment plants. GOALS AND OBJECTIVES • Provide an efficient and reliable water and wastewater system that meets all of the State rules and regulations. • Maintain a sound water and sewer system. • Ensure an adequate future water supply. • Encourage staff to be active in making decision to strengthen our ability to respond promptly to daily events. • Emphasize safety to our employees to reduce preventable accidents. • Promote water conservation, delivery of quality services, and providing accurate and timely responses to customer requests. DEPARTMENT DESCRIPTION Provide water and wastewater services to all citizens. Conduct maintenance, repair, and expansion of water and wastewater services. Provide excellent 223 WATER AND SEWER ADMINISTRATION customer service. Assist other departments as needed. Provide administrative support to water and wastewater departments. Provide a weekly chipping service. Inspect new infrastructure. Review plat and subdivision plans. Review water and wastewater construction plans. Manage department improvement projects. Oversee drought, conservation plan, and rules. Maintain bookkeeping & records management. Provide letters of availability and Certificate of Convenience and Necessity. Meet with developers and utility providers. Conduct department training, education, and planning. ORGANIZATION CHART WATER & SEWER ADMINISTRATION 2012 -13 2013 -14 2014 -15 Director 1 1 1 Coordinator 1 1 1 Senior Administrative Assistant 1 1 1 Inspector 1 2 2 Clerk /Dispatcher 1 1 1 Schertz- Seguin Local Government Corp Gen Mgr 1 1 1 Water & Sewer Supervisor 1 1 1 Water & Sewer Foreman 1 1 1 Serviceman III 2 2 2 Serviceman II 4 4 4 Serviceman 1 8 8 8 TOTAL POSITIONS 22 23 23 224 WATER AND SEWER ADMINISTRATION PERFORMANCE INDICATORS Water Accounts 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Water Accounts 12,192 12,748 12,867 Miles of Water Main 195 199 204 Miles of Sewer Main 85 87 89 Gallons Pumped (Edwards), acre feet 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Gallons Pumped (Edwards), acre feet 114 150 180 Gallons Received (SSLGC), acre feet 5,230 5,440 6,000 Gallons Distributed, acre feet 4,950 5,080 5,160 New Meter Installed 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget New Meter Installed 271 297 357 New Service Taps 3 9 18 Water Service Calls 346 409 512 Water Main Break, Service Repair Calls 380 433 445 Sewer Backup and Repair Calls 118 145 160 225 MOM Personnel Services 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Personnel Services $1,062,234 $1,194,325 $1,223,136 Supplies 162,707 195,150 195,150 Human Services 398 1,000 1,000 City Support Services 47,615 92,507 150,103 Utility Services 3,180,990 3,341,350 3,454,440 Operations Support 3,488 5,750 9,250 Staff Support 21,934 28,200 31,150 City Assistance 510 1,900 1,900 Professional Services 406,005 249,138 249,113 Fund Charges /Transfers 4,713,331 3,336,760 3,594,442 Maintenance Services 5,876,511 5,947,233 6,496,250 Other Costs 29,542 35,000 35,000 Debt Service 380,455 1,458,925 1,534,512 Rental /Leasing 3,571 6,070 6,070 Operating Equipment 1,841 15,346 21,200 Capital Outlay 0 491,316 103,500 Total $15,891,132 $16,399,970 $17,106,216 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2014 -15 Budget increases 4.3% from the FY 2013 -14 year end estimates. For FY 2014 -15 the Cibolo Creek Municipal Authority (CCMA) is increasing its charge for sewer treatment 9.5 %. Funds are also budgeted to act on the Compensation Study once it's completed. The contribution to the Cibolo Valley Local Government Corporation (CVLGC) will increase since another member City backed out of the corporation, spreading their contribution to the remaining members. The waste contractor expense for garbage collection in the City is increasing but is offset by an increase in revenue. This increase is from additional customers only and does not reflect a change in the fees. To replace aging vehicles and equipment the Water & Sewer Fund will replace two vehicles and join with the Drainage and General Funds in a debt issuance to replace back hoes, chippers, mowers, and other equipment. 226 8 -25 -2014 02 :27 PM 202 -WATER & SEWER PUBLIC WORKS EXPENDITURES W & S ADMINISTRATION C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Personnel Services 575- 511110 Regular 684,096 718,287 798,848 601,200 798,848 819,543 575 - 511120 Overtime 22,056 19,882 17,500 14,084 17,500 17,500 575 - 511180 LTD 2,158 2,193 2,540 1,956 2,540 2,606 575 - 511210 Longevity 24,665 20,849 22,532 17,730 22,532 23,175 575 - 511230 Certification Allowance 15,325 15,221 14,101 11,286 14,101 12,901 575- 511240 Vehicle /phone Allowance 900 900 900 727 900 0 575- 511310 FICA - Employer 53,891 55,640 65,150 46,365 65,150 66,691 575 - 511350 TMRS- Employer 117,350 120,769 133,961 104,677 133,961 141,512 575- 511410 Health - Employer 89,799 97,376 129,337 95,123 129,337 128,781 575- 511500 Workers' Compensation 11,285 11,117 17,171 9,456 9,456 10,427 TOTAL Personnel Services 1,021,525 1,062,234 1,202,040 902,605 1,194,325 1,223,136 Supplies 575 - 521000 Operating Supplies 8,786 8,765 9,100 8,452 9,100 9,100 575 - 521100 Office Supplies 1,036 1,233 1,500 1,328 1,500 1,500 575 - 521200 Medical /Chem Supplies 1,908 1,087 4,000 1,893 4,000 4,000 575 - 521400 Plumbing Supplies 61,175 56,421 85,000 31,923 85,000 85,000 575 - 521405 Water Meters -New 61,969 95,202 95,000 73,650 95,000 95,000 575 - 521600 Equip Maint Supplies 573 0 550 53 550 550 TOTAL Supplies 135,448 162,707 195,150 117,299 195,150 195,150 Human Services 575- 531100 Pre - employment Check 596 398 1,000 390 1,000 1,000 TOTAL Human Services 596 398 1,000 390 1,000 1,000 City Support Services 575- 532400 Computer Fees & Licenses 0 5,375 30,500 30,207 30,207 30,500 575- 532410 Computer Consulting 1,010 3,211 7,000 32 7,000 71000 575 - 532500 City Insurance - Commercial 28,639 30,773 35,600 30,813 35,600 35,600 575- 532700 Records Management Service 0 2,606 10,000 0 10,000 10,000 575- 532800 Employee Appreciation Events 5,740 2,098 0 0 0 5,000 575 - 532900 Contingencies 0 3,552 9,700 0 9,700 62,003 TOTAL City Support Services 35,390 47,615 92,800 61,052 92,507 150,103 Utility Services 575- 533100 Gas Utility Service 1,842 780 2,100 1,240 2,100 2,100 575- 533200 Electric Utility Service 262,157 262,133 280,000 214,180 280,000 280,000 575- 533310 Telephone /Cell Phones 2,644 2,828 4,000 2,263 4,000 5,000 575 - 533320 Telephone /Air Cards 0 0 0 120 150 240 575- 533400 Water Purchase 3,027,035 2,852,811 2,988,000 2,210,002 2,988,000 3,100,000 575 - 533410 Water Utility Service 2,099 2,703 4,700 3,665 3,500 3,500 575- 533500 Vehicle Fuel 63,119 59,735 63,600 44,483 63,600 63,600 TOTAL Utility Services 3,358,895 3,180,990 3,342,400 2,475,954 3,341,350 3,454,440 227 B-25-2014 02:27 PM 202 -WATER & SEWER C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE PUBLIC WORKS EXPENDITURES ( - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Operations Support 575- 534100 Advertising 0 0 1,750 0 1.,750 1,750 575- 534200 Printing & Binding 3,400 1,679 4,000 454 2,000 4,000 575 - 534300 Equipment Maintenance - Copie 3,346 1,809 3,500 1,760 2,000 3,500 TOTAL Operations Support 6,746 3,488 9,250 2,215 5,750 9,250 Staff Support 575- 535100 Uniforms 7,513 6,763 9,500 7,912 9,500 10,450 575- 535200 Awards 0 195 600 0 600 600 575 - 535300 Memberships 4,242 5,357 7,500 5,462 7,500 7,500 575- 535400 Publications 155 250 400 53 400 400 575 - 535500 Training /Travel 6,746 8,098 8,100 7,108 8,100 8,100 575 - 535510 Meeting Expenses 976 1,187 1,800 1;038 1,800 2,000 575- 535600 Professional Certification 127 84 300 213 300 2,100 TOTAL Staff Support 19,759 21,934 28,200 21,787 28,200 31,150 City Assistance 575 - 537100 Medical Services 769 510 1,900 708 1,900 1,900 TOTAL City Assistance 769 510 1,900 708 1,900 1,900 Professional Services 575 - 541200 Legal Svcs 77,096 46,134 80,000 13,771 80,000 80,000 575- 541300 Other Consl /Prof Services 34,478 23,758 35,000 14,644 35,000 35,000 575- 541305 Cell Tower Management Fees 45,901 67,460 58,713 51,023 58,713 58,713 575 - 541310 Contractual Services 4,979 87,414 50,000 26,838 50,000 50,000 575 - 541400 Auditor /Accounting Service 24,000 24,000 24,000 24,000 24,000 24,000 575 - 541500 Paying Agent 950 800 1,400 800 1,400 1,400 575 - 541502 Cost of Bond Issuance 0 156,400 0 0 0 0 575 - 541650 Misc Expenses 62,029 40 0 25 25 0 TOTAL Professional Services 249,432 406,005 249,113 131,101 249,138 249,113 Fund Charges /Transfers 575 - 548040 Contribution To CVLGC 26,335 223,665 140,000 115,000 140,000 380,163 575 - 548050 Contribution to SSLG 1,594,009 1,516,043 1,516,043 1,362,639 1,516,043 1,600,000 575- 548060 Contribution to COMA 0 0 315,000 0 315,000 315,000 575 - 548101 Transfer Out - General Fund 0 0 136,000 0 136,000 40,000 575- 548106 Transfer Out - Special Events 0 0 3,000 0 3,000 4,000 575- 548411 Transfer Out to Capital Recov 487,342 0 0 0 0 0 575- 548600 Inter Fund Charges -Admin 881,222 1,060,963 1,152,350 960,292 1,152,350 1,152,350 575 - 548610 Interfund Charge -Fleet 47,749 51,548 54,367 45,306 54,367 57,929 575 - 548700 Bad Debt Expense 47,284 44,101 20,000 0 20,000 45,000 575 - 548800 Depreciation Expense 1,503,526 1,802,536 0 0 0 0 575 - 548900 Amortization Expense 26,002 14,475 0 0 0 0 TOTAL Fund Charges /Transfers 4,613,468 4,713,331 3,336,760 2,483,236 3,336,760 3,594,442 228 B-25-2014 02:27 PM 202 -WATER S SEWER PUBLIC WORKS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL Maintenance Services 4,250 575 - 551100 Building Maintenance 4,448 575 - 551300 Computer Maintenance 11,362 575 - 551400 Minor s Other Equip Maint 500 575 - 551500 Water Maintenance 49,984 575 - 551510 Waste Contractor Expense 3,307,186 575- 551520 Sewer Treatment -CCMA /MUD 2,358,369 575- 551530 Sewer Maintenance 31,595 575 - 551600 Street Maintenance Materials 22,211 575 - 551720 Low Flow Rebate Program 1,100 575 - 551740 Rebate -UB Customer 0 575- 551800 Other Maintenance Agreements 80 TOTAL Maintenance Services 5,786,836 Other Costs 2,003,638 575 - 554100 State Water Fees -TCEQ 30,956 TOTAL Other Costs 30,956 Debt Service 20,000 575 - 555900 Debt Service 0 575- 555900.Interest Expense 167,959 TOTAL Debt Service 167,959 Rental /Leasing 3,000 575 - 561000 Rental - Building 6 Land 2,331 575 - 561100 Rental - Equipment 885 TOTAL Rental /Leasing 3,216 Operating Equipment 3,000 575 - 571000 Furniture 6 Fixtures 180 575- 571200 Vehicles s Access. LESS $5,00 1,659 575 - 571300 Computer 6 Periphe. < $5000 184 575 - 571500 Minor Equipment 2,413 575 - 571800 Equipment Under $5,000 15,672 TOTAL Operating Equipment 20,107 Capital Outlay 35,000 575 - 581200 Vehicles s Access. OVER $5,00 0 575 - 581400 Communication Equip MORE $500 0 575 - 581800 Equipment over $5,000 0 TOTAL Capital Outlay 0 PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 1,713 4,250 276 4,250 4,250 1,225 12,000 235 12,000 12,000 4,656 2,500 2,279 2,500 2,500 27,704 15,000 10,424 25,000 15,000 3,370,489 3,300,000 2,908,854 3,322,983 3,600,000 2,438,409 2,528,000 2,003,638 2,528,000 2,800,000 24,204 30,000 6,546 20,000 30,000 7,370 22,000 14,196 22,000 22,000 500 3,000 800 3,000 3,000 0 3,000 0 3,000 3,000 240 4,500 3,180 4,500 4,500 5,876,511 5,924,250 4,950,427 5,947,233 6,496,250 29,542 35,000 27,650 35,000 35,000 29,542 35,000 27,650 35,000 35,000 0 969,000 0 969,000 1,029,600 380,455 489,925 399,880 489,925 504,912 380,455 1,458,925 399,880 1,458,925 1,534,512 2,401 3,570 2,473 3,570 3,570 1,170 2,500 212 2,500 2,500 3,571 6,070 2,685 6,070 6,070 400 3,100 1,026 1,026 5,000 0 0 8,273 8,273 0 0 0 0 0 0 996 3,000 1,237 1,237 3,000 445 5,064 4,810 4,810 13,200 1,841 11,164 15,346 15,346 21,200 0 446,316 431,787 446,316 62,000 0 98,000 0 45,000 0 0 0 0 0 41,500 0 544,316 431,787 491,316 103,500 229 B-25-2014 02:27 PM 202 -WATER 6 SEWER PUBLIC WORKS EXPENDITURES Water Line Relocation Aviation Heights TOTAL W 6 S ADMINISTRATION TOTAL PUBLIC WORKS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST., 2014 (-------- - - - - -- 2013 -2014 - 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 15,451,102 15,891,132 16,438,338 12,024,122 16,399,970 17,106,216 15,451,102 15,891,132 16,438,338 12,024,122 16,399,970 17,106,216 230 7 -31 -2014 01:42 PM 202 -WATER 6 SEWER MISC 6 PROJECTS EXPENDITURES PROJECTS City Support Services Operations Support Fund Charges /Transfers 900 - 548406 Transfer Out - Public Imprvment TOTAL Fund Charges /Transfers TOTAL PROJECTS C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 0 367,519 2,185,086 0 367,519 2,185,086 0 367,519 2,185,086 231 0 2,185,086 0 0 2,185,086 0 0 2,185,086 0 7 -31 -2014 01:42 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 202 -WATER 6 SEWER AS OF: JULY 31ST, 2014 MISC 6 PROJECTS EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU AVIATION HEIGHTS WTR IMP Personnel Services City Support Services 940 - 532900 Contingencies- AviationHts -WL 0 TOTAL City Support Services. 0 Operations Support Professional Services 940- 541100 Engineering- Aviation Hgts -WL 0 TOTAL Professional Services 0 Fund Charges /Transfers Maintenance Services TOTAL AVIATION HEIGHTS WTR IMP 0 232 0 3,662 0 0 0 0 3,662 0 0 0 0 7,990 0 0 0 0 7,990 0 0 0 0 11,652 0 0 0 7 -31 -2014 01:42 PM 202 -WATER 6 SEWER MISC S PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU FM3009 RDSBRIDGE EXPNDSN Professional Services Maintenance Services TOTAL MISC S PROJECTS 0 367,519 2,196,738 0 2,185,086 0 TOTAL EXPENDITURES 15,976,695 16,805,878 19,256,776 16,976,853 19,204,267 17,788,563 233 THIS PAGE INTENTIONALLY LEFT BLANK 234 FUND: 411 CAPITAL RECOVERY FUND WATER (Water & Sewer) VISION STATEMENT The City of Schertz Public Works Department takes pride in providing superior customer service, safe and efficient streets, community services, development of community, cleanliness, and efficiency of storm water systems, and excellent water and sewer services to the citizens of Schertz. MISSION STATEMENT The purpose of the Capital Recovery Fund is to implement infrastructure projects, remain complaint with State requirements, and keep pace with city growth as outlined in the Water & Sewer Capital Improvement Plan. GOALS AND OBJECTIVES • Ensure the Texas Commission of Environmental Quality (TCEQ) rules and regulations are met for future growth. • Continue to improve and provide an efficient and reliable water and wastewater system that meets all of the State rules and regulations and future growth in the community. • Provide citizens with quality projects completed on -time and on- budget. DESCRIPTION The Capital Recovery program is designated to support future growth of population and commercial water and wastewater demands without an impact on existing customers while keeping bond supported programs to a minimum. Capital Recovery projects are based on the number of connections sold to 235 CAPITAL RECOVERY FUND - WATER increase pumping, storage and transmission water lines, and wastewater programs. Impact funds (Capital Recovery) must be used within ten years of collection date. All water and wastewater improvements are constructed to meet State Board of Insurance and Texas Commission on Environmental Quality rules and regulations. The Sewer Capital Recovery portion was moved to its own fund in FY 2013 -14. PERFORMANCE INDICATORS Revenue Fees $1,435,840 $880,200 880,200 Miscellaneous 39,656 5,300 5,300 Total $1,475,496 $885,500 $885,500 Expenses Non Departmental 1,555,766 122,000 86,109 Water Projects 0 0 450,000 Total $1,555,766 $120,000 $536,109 PROGRAM JUSTIFICATION AND ANALYSIS Revenues Revenues for FY 2014 -15 are expected to remain at levels estimated for FY 2013 -14. Expenses The FY 2014 -15 Budget will increase 339.4% from the FY 2013 -14 year end estimates with the addition of the project to make improvements to the Live Oak Pump. Projects to be completed FY 2014 -15 • Engineering for the southeast elevated water tank • Improvements to the Live Oak Pump 236 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Fees $1,435,840 $880,200 880,200 Miscellaneous 39,656 5,300 5,300 Total $1,475,496 $885,500 $885,500 Expenses Non Departmental 1,555,766 122,000 86,109 Water Projects 0 0 450,000 Total $1,555,766 $120,000 $536,109 PROGRAM JUSTIFICATION AND ANALYSIS Revenues Revenues for FY 2014 -15 are expected to remain at levels estimated for FY 2013 -14. Expenses The FY 2014 -15 Budget will increase 339.4% from the FY 2013 -14 year end estimates with the addition of the project to make improvements to the Live Oak Pump. Projects to be completed FY 2014 -15 • Engineering for the southeast elevated water tank • Improvements to the Live Oak Pump 236 7 -31 -2014 01:44 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 411 - CAPITAL RECOVERY - WATER AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU REVENUE SUMMARY Fees 1,686,256 1,435,840 1,449,960 670,419 880,200 880,200 Fund Transfers 487,342 0 1,425,609 0 0 0 Miscellaneous 19,302 39,656 20,300 3,718 5,300 5,300 TOTAL REVENUES 2,192,901 1,475,496 2,895,869 674,137 685,500 885,500 EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL 446,387 11,077,706 576,109 2,000 122,000 536,109 TOTAL GENERAL GOVERNMENT 446,387 11,077,706 576,109 2,000 122,000 536,109 MISC & PROJECTS PROJECTS 0 0 1,750,000 0 0 0 TOTAL MISC & PROJECTS 0 0 1,750,000 0 0 0 TOTAL EXPENDITURES 446,387 11,077,706 2,326,109 2,000 122,000 536,109 REVENUE OVER /(UNDER) EXPENDITURES 1,746,513 ( 9,602,210) 569,760 672,137 763,500 349,391 237 7 -31 -2014 01:44 PM 411 - CAPITAL RECOVERY - WATER REVENUES 2011 -2012 ACTUAL C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 -------------- 2013 -2014 --------------- 2012 -2013 CURRENT Y -T -D ACTUAL BUDGET ACTUAL PROJECTED YEAR END PAGE -------- 2014 -2015 -- CITY ADMIN. ADO RECOMMENDED BU Fees 000 - 455900 Cap Rcvey -Water 1,038,730 827,388 880,200 670,419 880,200 880,200 000 - 455910 CapRcvey- WasteWtr 571,926 428,074 500,400 0 0 0 000 - 455913 Cap Rcvey -North Sewer Treat 75,600 180,378 69,360 0 0 0 TOTAL Fees 1,686,256 1,435,840 1,449,960 670,419 880,200 880,200 Fund Transfers 000 - 481000 Transfer In - Reserves 0 0 1,425,609 0 0 0 000 - 486202 Transfer In- WaterSSewer Fund 487,342 0 0 0 0 0 TOTAL Fund Transfers 487,342 0 1,425,609 0 0 0 Miscellaneous 000 - 491000 Interest Earned 398 27,151 300 192 300 300 000 - 491200 Investment Income 54,389 54,521 45,000 3,525 5,000 5,000 000- 491800 Gain /Loss Capital One Sewer ( 18,314) ( 31,506) 0 0 0 0 000 - 491900 Unrealize Gain /Loss- CapitlOn( 17,221) ( 10,509) ( 25,000) 0 0 0 000 - 497000 Misc Income 50 0 0 0 0 0 TOTAL Miscellaneous 19,302 39,656 20,300 3,718 5,300 5,300 TOTAL REVENUES 2,192,901 1,475,496 2,895,869 674,137 885,500 885,500 238 7 -31 -2014 01:44 PM 411 - CAPITAL RECOVERY - WATER GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Supplies 101 - 521000 Operating Supplies TOTAL Supplies City Support Services Utility Services Operations Support C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 0 0 5,000 0 0 5,000 101 - 534100 Advertising 109 0 109 101 - 534999 Misc Expense 0 1,800 0 TOTAL Operations Support 109 1,800 109 Professional Services 0 5,000 0 101 - 541100 Engineering 68 0 0 101 - 541200 Legal Svcs -Water 293 0 5,000 101- 541200.Legal Svcs -Sewer 0 0 5,000 101 - 541300 Professional Services -Wtr Mat 0 2,048 74,000 101- 541300.Professional Services -Sewer 0 2,048 0 101 - 541305 CCMA- NorthCliffe Impact Fees 0 0 360,000 101- 541400 Auditor /Accounting Service 2,000 2,000 2,000 101 - 541650 Investment Mgt Fee -Sewer 4,250 4,268 4,000 TOTAL Professional Services 6,610 10,363 450,000 Fund Charges /Transfers 1,000 0 0 101 - 548000 Transfer Out 0 1,543,603 0 101 - 548202 Transfer Out -Water s Sewer 0 9,521,940 120,000 101 - 548800 Depreciation Expense 215,429 0 0 101 - 548900 Amortization Expense 2,962 0 0 TOTAL Fund Charges /Transfers 218,391 11,065,543 120,000 Maintenance Services 101 - 551900 Construction 5,740 0 1,000 TOTAL Maintenance Services 5,740 0 1,000 Debt Service 101- 555628.Bond -CO SR2007- Interest 215,538 0 0 TOTAL Debt Service 215,538 0 0 239 0 0 5,000 0 0 5,000 0 0 109 0 0 0 0 0 109 0 0 0 0 0 5,000 0 0 0 0 0 74,000 0 0 0 0 0 0 2,000 2,000 1,000 0 0 0 2,000 2,000 80,000 0 0 0 0 120,000 0 0 0 0 0 0 0 0 120,000 0 0 0 1,000 0 0 1,000 0 0 0 0 0 0 7 -31 -2014 01:44 PM 411 - CAPITAL RECOVERY - WATER GENERAL GOVERNMENT EXPENDITURES Operating Equipment Capital Outlay 101 - 581000 MAJOR PROJECTS -Cap Rec TOTAL Capital Outlay TOTAL NON DEPARTMENTAL C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST., 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 0 0 0 0 0 0 0 0 0 0 450,000 450,000 446,387 11,077,706 576,109 2,000 122,000 536,109 240 7 -31 -2014 01:44 PM 411 - CAPITAL RECOVERY - WATER MISC 6 PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 - 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU PROJECTS Personnel Services City Support Services Utility Services Operations Support Professional Services Fund Charges /Transfers 900 - 548406 Transfer Out - Public Imprvment 0 0 1,750,000 0 0 0 TOTAL Fund Charges /Transfers 0 0 1,750,000 0 0 0 Maintenance Services Rental /Leasing TOTAL PROJECTS 0 0 1,750,000 0 241 0 THIS PAGE INTENTIONALLY LEFT BLANK 242 FUND: 421 CAPITAL RECOVERY FUND SEWER (Water & Sewer) VISION STATEMENT The City of Schertz Public Works Department takes pride in providing superior customer service, safe and efficient streets, community services, development of community, cleanliness, and efficiency of storm water systems, and excellent water and sewer services to the citizens of Schertz. MISSION STATEMENT The purpose of the Capital Recovery Fund is to implement infrastructure projects, remain complaint with State requirements, and keep pace with city growth as outlined in the Water & Sewer Capital Improvement Plan. GOALS AND OBJECTIVES • Ensure the Texas Commission of Environmental Quality (TCEQ) rules and regulations are met for future growth. • Continue to improve and provide an efficient and reliable water and wastewater system that meets all of the State rules and regulations and future growth in the community. • Preliminary engineering and land acquisition for a waste water treatment plant for South Schertz. Initiate plans for the Southeast Quad Pump Station and the Ground Storage and Distribution Main for South Schertz. • Initiate and institute a study to implement reuse water throughout the City. • Provide citizens with quality projects completed on -time and on- budget. 243 CAPITAL RECOVERY FUND - SEWER DESCRIPTION The Capital Recovery program is designated to support future growth of population and commercial water and wastewater demands without an impact on existing customers while keeping bond supported programs to a minimum. Capital Recovery projects are based on the number of connections sold to increase pumping, storage and transmission water lines, and wastewater programs. Impact funds (Capital Recovery) must be used within ten years of collection date. All water and wastewater improvements are constructed to meet State Board of Insurance and Texas Commission on Environmental Quality rules and regulations. Wastewater Capital Recovery was moved to its own fund in FY 2013 -14 PERFORMANCE INDICATORS Revenue Fees 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Fees $0 $680,400 $600,400 Fund Transfers 0 0 559,497 Miscellaneous 0 45,699 600 Total $0 $726,099 $1,160,497 Expenses Non Departmental $0 $122,143 $142,455 Sewer Projects 0 6,042 1,018,042 Total $0 $128,185 $1,160,497 I a:Z9Zr]:7_1►yi 1111RI] I I a KIN I Is]► I_1►1 O7_1 ki /_W,&*i 6*1 Revenues The revenue for FY 2014 -15 will increase 59.8% from the FY 2013 -14 year end estimates due to a transfer from reserves to fund the next phase of a project. Expenses The FY 2014 -15 Budget will increase 805.3% from the FY 2013 -14 year end estimates. This increase is to fund the finish out of phase three of the Town Creek Project. Projects to be completed FY 2014 -15 • Preliminary engineering for the south Schertz wastewater treatment plant • Finish Out of Phase III at Town Creek 244 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 421 - CAPITAL RECOVERY - SEWER AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D- PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU REVENUE SUMMARY Fees 0 0 0 440,604 680,400 600,400 Fund Transfers 0 0 0 0 0 559,497 Miscellaneous 0 0 0 11,076 45,699 600 TOTAL REVENUES 0 0 0 451,680 726,099 1,160,497 EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL 0 0 0 2,857 122,143 142,455 TOTAL GENERAL GOVERNMENT 0 0 0 2,857 122,143 142,455 MISC & PROJECTS SEWER PROJECTS 0 0 0 6,042 6,042 1,018,042 TOTAL MISC & PROJECTS 0 0 0 6,042 6,042 1,018,042 TOTAL EXPENDITURES 0 0 0 8,899 128,185 1,160,497 REVENUE OVER /(UNDER) EXPENDITURES 0 0 0 442,781 597,914 0 245 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 421 - CAPITAL RECOVERY - SEWER AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Fees 000 - 455910 Cap Rcvey -Waste Water 0 0 000 - 455913 Cap Rcvey -North Sewer Treat 0 0 TOTAL Fees 0 0 Fund Transfers 0 362,160 500,400 500,400 0 78,444 180,000 100,000 0 440,604 680,400 600,400 000 - 481000 Transfer In - Reserves 0 0 0 0 TOTAL Fund Transfers 0 0 0 0 Miscellaneous 000 - 491000 Interest Earned 0 0 000 - 491200 Investment Income 0 0 000 - 491800 Gain /Loss Capital One Sewer 0 0 000 - 491900 Unrealize Gain /Loss -Captl One 0 0 TOTAL Miscellaneous 0 0 TOTAL REVENUES 0 0 246 0 559,497 0 559,497 0 105 100 100 0 21,898 17,260 500 0 ( 40,016) 0 0 0 29,090 28,339 0 0 11,076 45,699 600 0 451,680 726,099 1,160,497 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 421 - CAPITAL RECOVERY - SEWER AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU NON DEPARTMENTAL Supplies Operations Support Professional Services 101- 541400 Auditor /Accounting Service 0 0 0 0 0 1,000 101- 541650 Investment Mgt Fee -Sewer 0 0 0 2,857 2,143 2,143 TOTAL Professional Services 0 0 0 2,857 2,143 3,143 Fund Charges /Transfers 101 - 548202 Transfer Out -Water 6 Sewer 0 0 0 0 120,000 139,312 TOTAL Fund Charges /Transfers 0 0 0 0 120,000 139,312 TOTAL NON DEPARTMENTAL 0 0 0 2,857 122,143 142,455 TOTAL GENERAL GOVERNMENT 0 0 0 2,857 122,143 142,455 247 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 421 - CAPITAL RECOVERY - SEWER AS OF: JULY 31ST, 2014 MISC S PROJECTS EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU SEWER PROJECTS City Support Services 902- 532900 Contingency - Sewer 0 0 0 0 0 45,000 TOTAL City Support Services 0 0 0 0 0 45,000 Operations Support Professional Services 902- 541100 Engineering - Sewer 0 0 0 6,042 6,042 6,042 902- 541200 Legal Services - Sewer 0 0 0 0 0 5,000 TOTAL Professional Services 0 0 0 6,042 6,042 11,042 Maintenance Services 902 - 551900 Construction - Sewer 0 0 0 0 0 960,000 TOTAL Maintenance Services 0 0 0 0 0 960,000 Rental /Leasing 902- 561300 Land Purchases - Sewer 0 0 0 0 0 2,000 TOTAL Rental /Leasing 0 0 0 0 0 2,000 TOTAL SEWER PROJECTS 0 0 0 6,042 6,042 1,018,042 TOTAL MISC S PROJECTS 0 0 0 6,042 6,042 1,018,042 TOTAL EXPENDITURES 0 0 0 8,899 128,185 1,160,497 248 FUND: 204 DRAINAGE FUND VISION STATEMENT Provide the infrastructure to protect property and life for generations to come. MISSION STATEMENT To operate, maintain, and improve the infrastructure for efficient and safe collection and discharge of storm water and drainage. GOALS AND OBJECTIVES • Protect lives and property. • Improve quality of the storm water system by adding a Storm Water Manager to implement & manage Phase II Storm Water Program to keep in compliance with local, state and federal regulations. Ensure compliance with program requirements associated with the National Pollutant Discharge Elimination System permit. • Institute best management practices in the maintenance of our natural creek ways and earthen channels to ensure water quality, reduce erosion, and increase conveyance. • Technical review and issuance of floodplain permits, floor insurance rate map revision, floodplain violation identification, coordination and prosecution support. • Review storm water infrastructure plans • Maintain storm water data collection. • Continue to evaluate, consider, and pursue all available resources for improving management of the local storm water infrastructure. • Provide Storm water pollution and floodplain awareness to the community and city personnel. 249 PUBLIC WORKS DRAINAGE DEPARTMENT DESCRIPTION The Public Works Drainage Department is responsible for the maintenance and management of drainage channels, storm water inlets, floodways, road right -of -ways, alleys, and compliance with regulations. Reviewing the issuance of permits for development that might affect the infrastructure such as subdivision plans, and providing guidance to other departments as needed. The revenues come from a fee charged to "users ". A "user" is any citizen or business that owns impervious surfaces, any man made structure, such as buildings, parking lots, or driveways. ORGANIZATIONAL CHART DRAINAGE 2012 -13 2013 -14 2014 -15 Assistant Public Works Director 1 1 1 Stormwater Manager 1 1 1 Drainage Foreman 1 1 1 Drainage Worker II 2 2 2 Drainage Worker 1 3 3 3 TOTAL POSITIONS 8 8 8 PERFORMANCE INDICATORS Acres of Alleys Mowed Acres of Rights -of -Way (ROW) Mowed Acres of Drainage Ditches Mowed 250 6.25 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Acres of Alleys Mowed Acres of Rights -of -Way (ROW) Mowed Acres of Drainage Ditches Mowed 250 6.25 6.25 6.25 45.39 47.47 48.00 157.75 157.75 158.00 PUBLIC WORKS DRAINAGE Monthly Operating Expenditures $58,288 $66,248 $69,248 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Monthly Operating Expenditures $58,288 $66,248 $69,248 ROW Maintenance & Mowing, Hours 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget ROW Maintenance & Mowing, Hours 2,988 2,600 3,500 Drainage Mowing, Hours 904 1200 1,300 Drainage Structure Maintenance, Hours 2062 2600 2,700 Revenue Permits 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Permits $0 $3,500 $3,000 Fees 1,027,958 1,063,500 1,155,500 Miscellaneous 3,781 891 700 Total $1,031,739 $1,067,891 $1,159,200 Expenses Personnel $355,610 $415,923 $453,529 Supplies 4,374 8,300 8,300 Human Services 0 325 325 City Support Services 3,234 21,500 30,432 Utility Services 28,094 29,500 30,370 Operations Support 0 2,460 2,460 Staff Support 4,542 7,625 8,116 City Assistance 168 840 840 Professional Services 17,073 23,500 23,500 Fund Charges /Transfers 258,763 197,304 221,818 Maintenance Services 13,449 22,000 22,000 Other Costs 10 200 200 Debt Services 2,588 18,074 140,530 Rental /Leasing 0 500 500 Operating Equipment 11,468 12,880 5,500 Capital Outlay 0 24,322 0 Projects 0 69,200 146,198 Total $699,464 $854,453 $1,094,618 251 PUBLIC WORKS DRAINAGE PROGRAM JUSTIFICATION AND ANALYSIS Revenue Revenue in FY 2014 -15 will increase 8.6% from the FY 2013 -14 year end estimates due to an increase in service population. There is no increase in fees. Expenses The FY 2014 -15 Budget will increase 28.1 % from the FY 2013 -14 year end estimates with the completion of projects started in FY 2013 -14 and for additional debt service to purchase new equipment for Public Works. 252 7 -31 -2014 01:43 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 204 - DRAINAGE AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY REVENUE SUMMARY Permits Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY TOTAL PUBLIC WORKS MISC S PROJECTS PROJECTS TOTAL MISC 6 PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES 546,848 (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMLENDED BU 0 0 215,398 39,040 69,200 146,198 0 0 0 3,020 3,500 3,000 734,530 1,027,958 1,041,000 833,259 1,063,500 1,155,500 4,034 0 0 0 0 0 1,573 3,781 1,700 746 891 700 740,137 1,031,739 1,042,700 837,025 1,067,891 1,159,200 546,848 699,464 823,610 512,587 785,253 948,420 546,848 699,464 823,610 512,587 785,253 948,420 0 0 215,398 39,040 69,200 146,198 0 0 215,398 39,040 69,200 146,198 546,848 699,464 1,039,008 551,627 854,453 1,094,618 193,289 332,275 3,692 285,399 213,438 64,582 253 7 -31 -2014 01:43 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 204 - DRAINAGE AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Permits 000 - 432400 Floodplain Permit 0 0 0 3,020 3,500 3,000 TOTAL Permits 0 0 0 3,020 3,500 3,000 Fees 000 - 457500 Drainage Penalties 5,170 7,527 5,000 7,052 7,500 8,000 000 - 457600 Drainage Fee 729,360 1,020,431 1,036,000 826,207 1,056,000 1,147,500 TOTAL Fees 734,530 1,027,958 1,041,000 833,259 1,063,500 1,155,500 Fund Transfers 000 - 486100 Transfer In 4,034 0 0 0 0 0 TOTAL Fund Transfers 4,034 0 0 0 0 0 Miscellaneous 000 - 491000 Interest Earned 91 87 100 102 125 100 000 - 491200 Investment Income 811 960 600 578 700 500 000 - 497000 Misc Income - Drainage 671 2,734 1,000 60 60 100 000 - 498300 Reimburmnt -City Property 0 0 0 6 6 0 TOTAL Miscellaneous 1,573 3,781 1,700 746 891 700 TOTAL REVENUES 740,137 1,031,739 1,042,700 837,025 1,067,891 1,159,200 254 8 -25 -2014 02:28 PM 204 - DRAINAGE PUBLIC WORKS EXPENDITURES DRAINAGE Personnel Services 579- 511110 Regular 579 - 511120 Overtime 579- 511180 LTD 579 - 511210 Longevity 579 - 511230 Certification Allowance 579 - 511310 FICA - Employer 579 - 511350 TMRS- Employer 579 - 511410 Health - Employer 579- 511500 Workers' Compensation TOTAL Personnel Services Supplies 579 - 521000 Operating Supplies 579- 521100 Office Supplies 579- 521200 Medical /Chem Supplies 579- 521300 Motor Vehicle Supplies 579- 521600 Equip Maint Supplies TOTAL Supplies Human Services 579- 531100 Pre - employment Check TOTAL Human Services City Support Services 579 - 532400 Computer Fees & Licenses 579- 532500 City Insurance- Commercial 579 - 532900 Contingencies TOTAL City Support Services Utility Services 579- 533300 Telephone /Land Line 579 - 533310 Telephone /Cell Phones 579- 533500 Vehicle Fuel TOTAL Utility Services Operations Support 579 - 534100 Advertising 579- 534200 Printing & Binding 579 - 534300 Copy Services TOTAL Operations Support C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 220,424 240,405 296,833 192,464 296,833 302,484 281 981 1,200 173 800 1,200 654 733 939 640 900 938 10,634 9,614 11,099 10,669 10,669 10,257 3,485 4,385 6,601 3,722 5,000 6,601 17,104 18,367 24,613 15,868 20,000 24,521 36,547 39,860 50,609 33,651 40,000 52,032 31,957 36,685 50,535 31,502 37,980 49,147 4,382 4,579 8,921 3,741 3,741 6,349 325,468 355,610 451,350 292,431 415,923 453,529 3,653 2,079 4,500 2,147 4,500 4,500 199 98 200 118 200 200 447 1,822 3,000 1,758 3,000 3,000 0 112 300 233 300 300 254 263 300 274 300 300 4,552 4,374 8,300 4,530 8,300 8,300 184 0 325 61 325 325 184 0 325 61 325 325 0 0 3,500 0 0 3,500 1,509 1,464 3,000 2,167 3,000 3,000 0 1,770 18,500 0 18,500 23,932 1,509 3,234 25,000 2,167 21,500 30,432 0 52 0 0 0 0 799 1,023 1,500 929 1,500 2,370 20,576 27,019 28,000 18,702 28,000 28,000 21,375 28,094 29,,500 19,630 29,500 30,370 0 0 0 0 0 0 0 0 255 1,000 1,000 460 2,460 0 1,000 1,000 0 1,000 1,000 0 460 460 0 2,460 2,460 8 -25 -2014 02:28 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 204 - DRAINAGE AS OF: JULY 31ST, 2014 PUBLIC WORKS EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Staff Support 579- 535100 Uniforms 579 - 535500 Training /Travel 579- 535510 Meeting Expenses 579 - 535600 Professional Certification TOTAL Staff Support City Assistance 579 - 537100 Medical Services TOTAL City Assistance Professional Services 579 - 541200 Legal Svcs 579 - 541310 Contractual Services 579 - 541400 Auditor /Accounting Service 579 - 541502 Cost of Bond Issuance TOTAL Professional Services Fund Charges /Transfers 579 - 548000 Transfer Out 579 - 548106 Transfer Out Special Events 579 - 548500 Inter -Fund Charge -Admin 579 - 548600 Inter -Fund Charge -Water 579 - 548610 Interfund Charge -Fleet 579 - 548700 Bad Debt Expense 579 - 548750 Loss on Sale of Fixed Asset 579 - 548800 Depreciation Expense 579 - 548900 Amortization Expense TOTAL Fund Charges /Transfers Maintenance Services 579 - 551300 Computer Maintenance 579 - 551610 Drainage Channel Maintenance TOTAL Maintenance Services Other Costs 579 - 554100 State Storm Water Fee -TCEQ TOTAL Other Costs Debt Service 579 - 555900 Debt Service 579- 555900.Interest Expense TOTAL Debt Service 3,128 2,391 4,000 2,628 4,000 4,000 174 1,638 2,950 906 2,950 2,950 225 239 300 247 300 300 179 274 375 335 375 866 3,705 4,542 7,625 4,116 7,625 8,116 378 168 840 0 840 840 378 168 840 0 840 840 1,898 12,193 2,000 860 2,000 2,000 17,362 2,463 20,000 348 20,000 20,000 1,500 1,500 1,500 1,500 1,500 1,500 0 917 0 0 0 0 20,759 17,073 23,500 2,708 23,500 23,500 0 25,140 0 0 0 0 0 0 0 0 0 1,000 35,480 49,708 51,800 43,167 51,800 57,130 84,674 119,298 124,316 103,597 124,316 137,113 14,922 19,330 20,388 16,990 20,388 26,575 663 1,861 800 0 800 0 0 12,801 0 0 0 0 29,241 30,625 0 0 0 0 66 0 0 0 0 0 165,046 258,763 197,304 163,753 197,304 221,818 0 0 2,000 0 2,000 2,000 42 13,449 20,000 5,595 20,000 20,000 42 13,449 22,000 5,595 22,000 22,000 100 100 200 200 200 200 100 100 200 200 200 200 0 0 16,500 0 16,000 32,800 3,169 2,588 2,074 2,073 2,074 107,730 3,169 2,588 18,574 2,073 18,074 140,530 256 8 -25 -2014 02:28 PM C I T Y O F S C HE R T Z PAGE PROPOSED BUDGET WORKSHEET 204 - DRAINAGE AS OF: JULY 31ST, 2014 PUBLIC WORKS EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Rental /Leasing 579 - 561100 Rental - Equipment 561 0 500 0 500 500 TOTAL Rental /Leasing 561 0 500 0 500 500 Operating Equipment 579 - 571200 Vehicles 6 Access Less $5,000 0 0 0 1,831 1,831 0 579- 571500 Equipment Under $5,000 0 11,468 11,049 9,473 11,049 5,500 TOTAL Operating Equipment 0 11,468 11,049 11,304 12,880 5,500 Capital Outlay 579- 581200 Vehicles 6 Access. Over $5,00 0 0 25,083 24,322 24,322 0 TOTAL Capital Outlay 0 0 25,083 24,322 24,322 0 TOTAL DRAINAGE 546,848 699,464 823,610 532,890 785,253 948,420 TOTAL PUBLIC WORKS 546,848 699,464 823,610 532,890 785,253 948,420 257 7 -31 -2014 01:43 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 204 - DRAINAGE AS OF: JULY 31ST, 2014 MISC & PROJECTS EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU PROJECTS City Support Services 900 - 532900 Contingency 0 0 3,200 0 0 3,200 TOTAL City Support Services 0 0 3,200 0 0 3,200 Operations Support 900- 534100 Advertising 0 0 1,000 0 0 1,000 TOTAL Operations Support 0 0 1,000 0 0 1,000 Professional Services 900 - 541100 Engineering 0 0 37,200 22,240 37,200 0 900 - 541200 Legal Services 0 0 1,000 0 0 1,000 900 - 541300 Professional Services 0 0 3,000 0 0 3,000 TOTAL Professional Services 0 0 41,200 22,240 37,200 4,000 Maintenance Services 900 - 551900 Construction 0 0 169,998 16,800 32,000 137,998 TOTAL Maintenance Services 0 0 169,998 16,800 32,000 137,998 TOTAL PROJECTS 0 0 215,398 39,040 69,200 146,198 TOTAL MISC & PROJECTS 0 0 215,398 39,040 69,200 146,198 TOTAL EXPENDITURES 546,848 699,464 1,039,008 551,627 854,453 1,094,618 258 FUND: 203 EMERGENCY MEDICAL SERVICES (EMS) MISSION STATEMENT Creating a healthier community by providing preventative, timely and efficient healthcare services and destination management for the citizens we serve VISION STATEMENT Currently we are using the most expensive means of transportation to take patients to the most expensive place to get healthcare; We want to change that. I:rZoL1WIF -110 1 exel OJ X0I1y/ *+ • Provide efficient pre - hospital healthcare services to the communities that we serve. • Integrate the care that we provide with the rest of the healthcare system to reduce demand for 911 services while elevating access to care and appropriate destination management for the citizens we serve. • Provide appropriate and timely education and training to our employees and our first responders to ensure the best and most current standard of care is provided. • Provide high quality pre - hospital training and community education for the communities we serve and the region as a whole. • Provide education and assistance to the community to prevent and prepare them for medical emergencies through community education, demonstrations, immunizations, and CPR and Automatic External Defibrillator training programs. • Be the preferred employer for pre - hospital healthcare providers in the State of Texas • Be thoroughly prepared for man -made and natural disasters in our jurisdiction, region, and statewide. • Meet the needs of our customers and to solidify relationships and agreements with all eight cities, three counties and one Emergency Services District for which we provide service. 259 EMERGENCY MEDICAL SERVICES (EMS) DEPARTMENTAL DESCRIPTION Schertz Emergency Medical Services responds to 911 requests for ambulance service across a 220 square mile service area that includes the municipalities of Schertz, Cibolo, Live Oak, Marion, Santa Clara, Selma, Universal City, western Guadalupe County, Comal County Emergency Services District (ESD) #6 (about 25% of Comal County including the City of Garden Ridge); and a small portion of unincorporated Bexar County. We also work with individual at -risk patients to insure they have the best access to primary healthcare and that their medical needs are being met before an emergency occurs. We also educate our employees by providing over sixty hours of Continuing Education annually and over thirty six hours for our first responders. Provide ambulance demonstrations and stand -by event coverage to further the knowledge of Emergency Medical Services and injury /illness prevention and preparedness. ORGANIZATIONAL CHART EMS 2012 -13 2013 -14 2014 -15 Director 1 1 1 Assistant Director 1 1 1 Clinical Manager 1 1 1 Office Manager 1 1 1 Senior Administrative Asst. 1 1 1 Billing Specialist 1 1 1 Billing Clerk 1 1 1 EMS Supervisor 3 3 3 Field Training Officer 3 3 3 Paramedic 21 21 23 Training Academy Coordinator 1 1 1 P/T Paramedics 15 15 15 P/T EMT Intermediates 5 1 5 5 TOTAL POSITIONS 55 1 55 57 260 EMERGENCY MEDICAL SERVICES (EMS) PERFORMANCE INDICATORS Requests for EMS Service 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Requests for EMS Service 8,357 9,285 9,831 Transports to Hospitals 5,448 5,950 6,313 Hospital to Hospital Transports 323 992 1100 Collections per Transport $398.45 $445.00 $450.00 Students Enrolled in Certification 87 87 87 Classes N/A 80% 90% Trips billed for Alamo Heights 609 617 625 Members of EMS Passport 435 470 550 Response Time 90% Reliability 2012 -13 2013 -14 2014 -15 Efficiency Actual Estimate Budget Response Time 90% Reliability 14:00 14:00 13:00 Total Time on Task (Minutes) 58:07 56:01 55:00 Transport Percentage 64.96% 64.50% 65.00% Days Sales Outstanding 124 130 100 Mutual Aid Requested 74 56 45 Students Graduated from N/A 80% 90% Certification Classes 50 50 50 Customer Service Card Scores 2012 -13 2013 -14 2014 -15 Effectiveness Actual Estimate Budget Customer Service Card Scores (Percentage all positive) 97.42% 96.80% 97.5% Critical Failures / 100,000 miles* N/A 8.0 4.0 Fleet Accidents / 100,000 miles* N/A 7.3 2.0 Cardiac Arrest Save %* N/A 10.0% 12.5% Correct recognition of STEMI* N/A 80% 90% EMS certification Pass Rate 89.13% 92% 94% *EMS will begin reporting several new effectiveness measures in FY 2015. Critical Failures are responses where the original dispatched ambulance could not respond or complete the call due to a vehicle failure of any type (other than an accident). Both these failures and fleet ambulance accidents will be measured and reported per 100,000 fleet miles driven. From our 261 EMERGENCY MEDICAL SERVICES (EMS) Clinical Department, we will begin reporting our cardiac arrest save percentage and the percentage of time we correctly recognize patients who are experiencing an ST- segment Myocardial Infarction (STEMI). Both of these reflect time sensitive patient encounters and the clinical expertise of our medics in recognizing and treat them appropriately. Revenue Fees $4,743,469 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Fees $4,743,469 $5,908,288 $6,416,343 Inter - Jurisdictional 1,489,615 1,559,528 1,601,076 Miscellaneous 92,093 127,126 169,500 Total $6,325,177 $7,594,942 $8,186,919 Expenses Personnel $2,781,261 $2,879,277 $3,036,899 Supplies 316,289 355,800 378,284 Human Services 193 800 1,000 City Support Services 15,572 37,826 110,052 Utility Services 146,409 118,407 154,500 Operations Support 53,827 60,555 62,555 Staff Support 63,412 82,503 85,786 City Assistance 12,823 13,400 11,900 Professional Services 151,294 150,500 147,080 Fund Charges /Transfers 2,038,948 2,445,761 3,366,084 Maintenance Services 31,415 46,820 59,500 Debt Service 8,521 152,772 270,820 Rental /Leasing 0 82,000 81,541 Operating Equipment 112,321 124,000 281,500 Capital Outlay 0 0 104,000 Total $5,732,284 $6,550,421 $8,151,501 PROGRAM JUSTIFICATION AND ANALYSIS Revenues Revenues for FY 2014 -15 will increase 7.8% from the FY 2013 -14 year end estimates due to an increase in expected transports. There are no change in fees. 262 EMERGENCY MEDICAL SERVICES (EMS) Expenses The FY 2014 -15 Budget will increase 22.9% from the FY 2013 -14 year end estimates. Along with the additional expenses related to an increase in transports, the budget also includes funds to act on the Compensation Study, debt service for new ambulances, equipment for new ambulances, and an increase in the interfund charge to reimburse the General Fund for a new Mechanic position. 263 7 -31 -2014 01:43 PM 203 -EMS FINANCIAL SU11-1ARY REVENUE SUMMARY r ees Inter - Jurisdictional Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY PUBLIC SAFETY SCHERTZ EMS TOTAL PUBLIC SAFETY MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 3,522,013 4,743,469 5,583,983 3,242,087 5,908,288 6,416,343 1,452,262 1,489,615 1,556,828 1,585,385 1,559,528 1,601,076 29,930 0 0 0 0 0 110,272 92,093 239,500 93,928 127,126 169,500 5,114,477 6;325,177 7,380,311 4,921,399 7,594,942 8,186,919 5,171,585 5,732,284 6,893,862 4,248,478 6,550,421 8,151,501 5,171,585 5,732,284 6,893,862 4,248,478 6,550,421 8,151,501 5,171,585 5,732,284 6,893,862 4,248,478 6,550,421 8,151,501 ( 57,108) 592,893 486,449 672,921 1;044,521 35,418 264 7 -31 -2014 01:43 PM 203 -EMS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE REVENUES -------------- 2013 -2014 - -------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Fees 000 - 456100 Ambulance /Mileage Transprt Fe 3,431,478 000 - 456110 Passport Membership Fees 18,300 000 - 456120 EMT Class - Fees 68,611 000- 456130 Immunization Fees 3,623 000 - 456140 Billing Fees -Alamo Heights EM 0 000- 458110 Sale of Merchandise - GovDeal 0 000- 459200 NSF Check Fee 0 TOTAL Fees 3,522,013 Inter - Jurisdictional 000 - 473500 Seguin /Guadalupe Co Support 000 - 474300 Cibolo Support 000 - 475100 Comal Co ESD #6 000 - 475200 Live Oak Support 000- 475300 Universal City Support 000 - 475400 Selma Support 000- 475500 Schertz Support 000 - 475600 Santa Clara Support 000 - 475800 Marion Support TOTAL Inter - Jurisdictional Fund Transfers 000 - 486100 Transfer In TOTAL Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000- 491200 Investment Income 000 - 493203 Donations -EMS 000- 493204 Donations - Dilworth Fund 000- 493205 Donations -Golf Tournament 000 - 497000 Misc Income 000 - 497100 Recovery of Bad Debt 000 - 497500 Misc Income -EMT Classes 000 - 498300 Reimburmnt -City Property TOTAL Miscellaneous TOTAL REVENUES 286,127 222,100 82,906 160,330 227,101 67,643 384,188 8,852 13,016 1,452,262 4,640,215 5,419,563 3,134,646 5,797,178 6,249,943 18,630 40,000 23,250 26,000 40,000 74,910 104,400 65,656 65,000 104,400 20 0 0 0 0 9,029 20,000 15,715 20,000 22,000 645 0 2,770 0 0 20 0 50 110 0 4,743,469 5,583,983 3,242,087 5,908,288 6,416,343 286,402 286,126 306,689 286,126 286,126 228,830 253,757 253,757 253,757 261,370 88,035 90,694 91;088 91,394 95,217 165,188 170,178 174,377 170,178 179,608 233,107 240,149 241,549 240,149 247,353 69,693 71,798 73,798 73,798 73,952 395,830 420,915 420,915 420,915 433,542 9,120 9,396 9,396 9,396 9,678 13,410 13,815 13,815 13,815 14,230 1,489,615 1,556,828 1,585,385 1,559,528 1,601,076 29,930 0 0 0 0 0 29,930 0 0 0 0 0 0 0 0 12 50 0 667 344 0 0 0 0 1,095 902 2,000 80 2,000 21000 0 0 3,500 0 3,500 3,500 15,550 14,162 4,000 15,525 15,525 91000 87,391 73,046 130,000 74,667 100,000 145,000 6,179 5,364 100,000 3,593 6,000 10,000 ( 610) ( 1,725) 0 0 0 0 0 0 0 51 51 0 110,272 92,093 239,500 93,928 127,126 169,500 5,114,477 6,325,177 7,380,311 4,921,399 7,594,942 8,186,919 265 B-25-2014 02:28 PM 203 -EMS PUBLIC SAFETY EXPENDITURES SCHERTZ EMS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Personnel Services 280 - 511110 Regular 1,546,731 1,552,743 1,560,828 1,272,567 1,556,965 1,614,143 280 - 511120 Overtime 470,036 483,597 536,548 415,270 536,548 600,671 280- 511180 LTD 5,404 5,598 6,008 3,746 4,979 4,181 280- 511210 Longevity 26,487 30,440 35,931 34,191 34,057 38,580 280- 511220 Clothing Allowance 8,844 9,128 9,334 7,356 9,216 9,360 280- 511230 Certification Allowance 9,608 10,600 9,370 12,606 14,756 15,880 280- 511310 FICA - Employer 147,933 152,726 148,240 128,049 158,956 165,556 280 - 511350 TMRS- Employer 289,736 299,527 284,473 255,121 326,317 331,981 280- 511410 Health - Employer 186,992 198,232 220,920 171,975 205,887 215,019 280- 511500 Workers' Compensation 33,426 38,669 52,340 31,596 31,596 41,528 TOTAL Personnel Services 2,725,196 2,781,261 2,863,992 2,332,477 2,879,277 3,036,899 Supplies 280 - 521000 Operating Supplies 4,498 4,640 8,100 7,651 8,100 8,100 280 - 521010 Operating Supplies -EMT Class 29,738 18,517 21,284 20,800 23,000 21,284 280 - 521015 Operating Supplies -Pmedi Clas 2,953 1,589 0 0 0 0 280 - 521020 Operating Supplies -Cert. Clas 9,672 9,376 9,200 2,940 8,000 13,000 280 - 521100 Office Supplies 4,509 2,475 5,400 3,492 5,200 5,400 280 - 521200 Medical /Chem Supplies 234,736 261,661 300,000 204,504 300,000 318,000 280- 521300 Motor Veh. Supplies 5,217 3,193 5,000 2,379 5,000 6,000 280 - 521600 Equip Maint Supplies 4,832 14,838 6,500 5,965 6,500 6,500 TOTAL Supplies 296,156 316,289 355,484 247,732 355,800 378,284 Human Services 280- 531100 Pre - employment Check 230 193 800 343 800 1,000 TOTAL Human Services 230 193 800 343 800 1,000 City Support Services 280- 532350 Software Maintenance 0 1,683 0 0 0 0 280- 532500 City Insurance - Commercial 10,277 13,889 12,500 17,826 17,826 17,850 280- 532900 Contingencies 0 0 20,000 0 20,000 92,202 TOTAL City Support Services 10,277 15,572 32,500 17,826 37,826 110,052 Utility Services 280 - 533100 Gas Utility Service 0 40 4,200 2,057 2,500 4,200 280- 533200 Electric Utility Service 5,210 4,788 4,000 1,012 4,000 4,000 280 - 533300 Telephone /Land Line 2,728 3,693 6,200 2,674 5,200 6,200 280- 533310 Telephone /Cell Phones 12,752 10,793 6,850 6,740 6,850 12,000 280- 533320 Telephone /Air Cards 3,858 9,556 3,750 5,972 6,127 6,400 280 - 533330 Telephone /Internet 692 124 3,144 3,095 4,730 3,200 280- 533410 Water Utility Service 1,716 2,852 3,000 2,055 3,000 3,500 280- 533500 Vehicle Fuel 104,883 114,563 89,800 81,865 86,000 115,000 TOTAL Utility Services 131,839 146,409 120,944 105,471 118,407 154,500 266 8 -25 -2014 02:28 PM 203 -EMS PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Operations Support 280- 534000 Postage 19,355 23,224 27,100 21,619 27,100 27,100 280 - 534100 Advertising 11,252 10,610 16,000 14,197 14,000 16,000 280 - 534200 Printing & Binding 6,497 8,151 7,750 6,952 8,000 8,000 280 - 534300 Equipment Maintenance - Copie 11,379 11,431 11,455 5,888 11,455 11,455 280 - 534999 Misc Expenses 0 410 0 0 0 0 TOTAL Operations Support 48,483 53,827 62,305 48,656 60,555 62,555 Staff Support 280- 535100 Uniforms 13,394 12,906 17,000 6,896 17,000 17,000 280- 535200 Awards 2,069 1,521 2,200 2,149 2,200 2,200 260- 535210 Employee Recognition- Morale 8,207 8,199 9,500 9,446 9,403 7,700 280 - 535250 Special Event 58 0 0 0 0 4,000 260 - 535300 Memberships 3,434 3,949 4,500 2,055 4,000 5,000 280- 535400 Publications 1,005 1,567 1,600 614 1,500 1,600 260 - 535500 Training /Travel 24,130 30,005 32,900 26,860 35,000 34,666 260- 535510 Meeting Expenses 1,624 2,242 2,400 1,568 2,400 2,400 260 - 535600 Professional Certification 7,566 3,003 11,000 11,706 11,000 11,000 TOTAL Staff Support 61,666 63,412 81,300 61,317 82,503 85,786 City Assistance 280- 537100 Medical Services 7,906 8,023 10,000 7,367 9,000 7,500 260 - 537600 Crime /Fire Prevention 3,844 4,600 4,400 4,160 4,400 4,400 TOTAL City Assistance 11,751 12,823 14,400 11,547 13,400 11,900 Professional Services 260 - 541200 Legal Svcs 2,786 6,314 10,000 16,624 24,000 10,000 260 - 541300 Other Consl /Prof Services 77,666 97,754 77,500 64,298 62,000 90,000 280- 541400 Auditor /Accounting Service 3,000 3,000 3,000 3,000 3,000 3,000 280 - 541500 EMT Class Instructors 30,451 24,350 33,280 20,039 32,000 33,260 280- 541502 Cost of Bond Issuance 0 8,919 0 0 0 0 260- 541600 Professional Cert Instructors 6,049 6,777 6,600 5,805 5,500 6,600 260- 541600 Credit Card Fees 2,123 2,161 1,936 3,960 4,000 4,000 TOTAL Professional Services 122,075 151,294 132,516 113,725 150,500 147,060 Fund Charges /Transfers 260 - 546101 Tranfer Out - General Fund 0 0 1,356 0 1,356 0 280- 548106 Transfer Out - Special Events 0 0 3,000 0 3,000 4,000 280 - 548600 Inter -Fund Charge- G /F -Admin 87,640 87,640 137,036 114,198 137,036 136,087 280- 546610 Inter -Fund Charge -Admin /Fleet 32,828 36,661 54,367 45,306 54,367 91,937 280- 548650 Interest Expense 1,621 1,262 0 600 0 0 280.- 548700 Bad Debt Expense 1,413,161 1,772,639 2,467,666 1,479,260 2,250,000 3,134,060 280- 546800 Depreciation Expense 130,962 136,325 0 0 0 0 260 - 546900 Amortization Expense 2,352 0 0 0 0 0 TOTAL Fund Charges /Transfers 1,668,764 2,036,946 2,663,429 1,639,564 2,445,761 3,366,084 267 8 -25 -2014 02:28 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 203 -EMS AS OF: JULY 31ST, 2014 PUBLIC SAFETY EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Maintenance Services 280- 551100 Building Maintenance 688 984 25,000 2,326 20,000 25,000 280- 551800 Other Maintenance Agreements 27,296 22,791 24,000 6,223 18,000 24,000 280 - 551810 Maintenance Agr. - Radios 11,650 7,640 8,820 5,940 8,820 10,500 TOTAL Maintenance Services 39,634 31,415 57,820 14,489 46,820 59,500 Debt Service 280- 555202 Repayment to WSS 0 0 9,945 0 9,945 9,945 280 - 555600 Principal -CO Bond 2007 0 0 31,667 0 31,667 31,667 280- 555600.Interest -CO Bond 2007 7,816 4,983 3,944 3,943 3,944 2,674 280- 555632 Tax Notes SR2010- Principal 0 0 65,000 0 65,000 65,000 280- 555632.Tax Notes SR2010- Interest 4,649 3,538 2,389 2,389 2,389 829 280- 555633 Tax Notes SR2014 - Principal 0 0 0 0 0 52,405 280- 555900 Debt Service 0 0 39,827 0 39,827 108,300 TOTAL Debt Service 12,466 8,521 152,772 6,332 152,772 270,820 Rental /Leasing 280- 561200 Lease /Purchase Payments 0 0 82,000 0 82,000 81,541 TOTAL Rental /Leasing 0 0 82,000 0 82,000 81,541 Operating Equipment 280- 571000 Furniture S Fixtures 1,663 0 8,000 599 3,500 5,000 280- 571200 VehiclessAccess. G $5,000 58 66 4,500 466 4,500 4,500 280- 571300 ComputersPeriphe. G $5000 33,123 37,441 127,100 20,929 27,000 125,000 280- 571400 Communication Equip G $5000 680 5,810 6,000 2,715 6,000 6,000 280- 571510 Specialized Medical Equipment 0 0 0 40,915 35,000 117,000 280- 571800 Equipment Under $5,000 7,484 69,004 48,000 15,552 48,000 24,000 TOTAL Operating Equipment 43,008 112,321 193,600 81,176 124,000 281,500 Capital Outlay 280- 581200 Vehicles S Access. OVER $5,00 0 0 80,000 0 0 80,000 280- 581800 Equipment over $5,000 0 0 0 0 0 24,000 TOTAL Capital Outlay 0 0 80,000 0 0 104,000 TOTAL SCHERTZ EMS 5,171,585 5,732,284 6,893,862 4,680,655 6,550,421 8,151,501 TOTAL PUBLIC SAFETY 5,171,585 5,732,284 6,893,862 4,680,655 6,550,421 8,151,501 268 7 -31 -2014 01:43 PM 203 -EMS MISC & PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU DONATIONS City Support Services TOTAL EXPENDITURES 5,171,585 5,732,284 6,893,862 4,248,478 6,550,421 8,151,501 269 THIS PAGE INTENTIONALLY LEFT BLANK 270 FUND: 620 SCHERTZ ECONOMIC DEVELOPMENT CORPORATION VISION STATEMENT To attract and expand business and industry to ensure a fiscally - responsible community that emphasizes a continued commitment to economic prosperity, workforce opportunities and high quality of life. MISSION STATEMENT The mission of the Schertz Economic create a proactive environment that development consistent with: • Attracting targeted industries. Development Corporation (EDC) is to encourages commercial and industrial • Fortifying Business Retention and Expansion Programs • Providing a supporting tax base to balance increasing residential growth • Generate investment in underdeveloped areas of the City. • Improving the Quality of Life. DEPARTMENT DESCRIPTION Promote the City of Schertz through a diversified and comprehensive marketing plan. Promote economic development opportunities for high value employers of all sizes. Educate and promote the adoption of land use policies that promote quality and sustainable economic development. Conduct incentive application analysis and field inquiries from public, prospects, and actively engage in business recruitment. 271 ECONOMIC DEVELOPMENT ORGANIZATIONAL CHART ECONOMIC DEVELOPMENT 2012 -13 2013 -14 2014 -15 Executive Director 1 1 1 Economic Development Analyst 1 1 1 Economic Development Specialist 1 1 1 Administrative Assistant 1 1 1 TOTAL POSITIONS 4 4 4 PERFORMANCE INDICATORS Number of inquiries /prospects assisted Number of companies visited in BRE (Business, Retention & Expansion) Program Attendance at business seminars Number of trade shows attended Number of businesses from target industries interested in locating Number of firms receiving assistance 272 64 2012 -13 2013 -14 2014 -15 Workload /Output Actual Estimate Budget Number of inquiries /prospects assisted Number of companies visited in BRE (Business, Retention & Expansion) Program Attendance at business seminars Number of trade shows attended Number of businesses from target industries interested in locating Number of firms receiving assistance 272 64 39 60 14 14 15 21 26 20 10 11 10 9 11 15 17 17 10 ECONOMIC DEVELOPMENT Revenue Taxes Miscellaneous Total Expenses Personnel Supplies Human Services City Support Services Utility Services Operations Support Staff Support City Assistance Professional Services Fund Charges /Transfers Debt Service Operating Equipment Total Economic Development Projects Total Schertz Economic Development $3,215,620 $3,537,182 $3,682,057 8,819 10,175 10,200 $3,224,439 $3,547,357 $3,692,257 $304,104 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Taxes Miscellaneous Total Expenses Personnel Supplies Human Services City Support Services Utility Services Operations Support Staff Support City Assistance Professional Services Fund Charges /Transfers Debt Service Operating Equipment Total Economic Development Projects Total Schertz Economic Development $3,215,620 $3,537,182 $3,682,057 8,819 10,175 10,200 $3,224,439 $3,547,357 $3,692,257 $304,104 $326,237 $364,312 553 1,250 1,050 0 200 1,000 1,212 16,545 16,545 1,128 2,795 4,120 103,408 148,200 147,145 6,649 18,050 18,250 588 1,525,000 1,025,000 154,501 102,500 92,500 566,934 503,605 471,280 428,504 427,672 430,608 737 2,500 2,000 $1,568,317 $3,074,554 $2,573,810 $0 $0 $450,000 $1,568,317 $3,074,554 $3,023,810 PROGRAM JUSTIFICATION AND ANALYSIS Revenues The revenue for FY 2014 -15 is projected to increase by 4.1 % from the FY 2013- 14 year end estimate. The increase is the result of general improvements in the economy. Expenses The proposed FY 2014 -15 Budget will decrease by 1.7% from the FY 2013 -14 year end projections. The SEDC continues to work with the City Manager's office to eliminate Non - Departmental Expenses from the SEDC Budget; this is the final year of the four year plan to eliminate the emergency service buildings and related expenses from the SEDC Budget. The SEDC has moved both the Development Incentive fund and the Impact Fee Matching fund to the projects section of the SEDC budget to more accurately 273 ECONOMIC DEVELOPMENT reflect year -to -year comparisons. Both incentive funds will have fund balances of $500,000; these funds will be used for qualified economic development projects. The SEDC has allocated $200,000 to the Construction fund for the extension of David Lack Boulevard which was approved by the Resolution No. 14 -R -14. The SEDC has allocated $250,000 to the Land Purchase fund. These funds have been set aside for future SEDC property purchases. These increases were offset by the one -time payout of an incentive during FY 2013 -14. 274 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 620 -SED CORPORATION AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY REVENUE SUMMARY Taxes Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT ECONOMIC DEVELOPMENT TOTAL MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 - CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 2,659,194 3,215,620 3,440,944 2,698,578 3,537,182 3,682,057 976 0 0 0 0 0 25,069 8,819 10,175 3,880 10,175 10,200 2,685,238 3,224,439 3,451,119 2,702,458 3,547,357 3,692,257 162,026 0 0 0 0 0 162,026 0 0 0 0 0 0 0 200,000 0 0 450,000 1,552,056 1,568,317 2,874,554 1,737,934 3,074,554 2,573,810 1,552,056 1,568,317 3,074,554 1,737,934 3,074,554 3,023,810 1,714,082 1,568,317 3,074,554 1,737,934 3,074,554 3,023,810 971,156 1,656,121 376,565 964,524 472,803 668,447 275 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 620 -SED CORPORATION AS OF: JULY 31ST, 2014 REVENUES 276 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Taxes 000 - 411500 Sales Tax Revenue (4B) 2,659,194 3,215,620 3,440,944 2,698,578 3,537,182 3,682,057 TOTAL Taxes 2,659,194 3,215,620 3,440,944 2,698,578 3,537,182 3,682,057 Fund Transfers 000 - 486000 Transfer In 976 0 0 0 0 0 TOTAL Fund Transfers 976 0 0 0 0 0 Miscellaneous 000 - 491000 Interest Earned 149 126 175 228 175 200 000 - 491200 Investment Income 9,046 8,693 10,000 3,652 10,000 10,000 000 - 497000 Misc Income 15,874 0 0 0 0 0 TOTAL Miscellaneous 25,069 8,819 10,175 3,880 10,175 10,200 TOTAL REVENUES 2,685,238 3,224,439 3,451,119 2,702,458 3,547,357 3,692,257 276 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 620 -SED CORPORATION AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET .ACTUAL YEAR END RECOMMENDED BU NON DEPARTMENTAL Supplies 101- 521000 Operating Supplies 22,903 0 0 0 0 0 101- 521200 Medical /Chem Supplies 3,324 0 0 0 0 0 TOTAL Supplies 26,227 0 0 0 0 0 Utility Services 101- 533100 Gas Utility Service 3,824 0 0 0 0 0 101 - 533200 Electricity Utility Service 57,086 0 0 0 0 0 101- 533410 Water Utility Service 19,372 0 0 0 0 0 101- 533500 Fuel- Diesel 3,149 0 0 0 0 0 TOTAL Utility Services 83,431 0 0 0 0 0 Operations Support Professional Services Fund Charges /Transfers Maintenance Services 101- 551100 Building Maintenance 34,895 0 0 0 0 0 101 - 551400 Minor & Other Equip Maint 1,185 0 0 0 0 0 101 - 551700 Ground Maintenance 358 0 0 0 0 0 101- 551800 Other Maintenance Agreements 15,930 0 0 0 0 0 TOTAL Maintenance Services 52,368 0 0 0 0 0 Debt Service Rental /Leasing Operating Equipment Capital Outlay TOTAL NON DEPARTMENTAL 162,026 0 0 0 0 0 277 8 -25 -2014 02:28 PM 620 -SED CORPORATION MISC S PROJECTS EXPENDITURES 2011 -2012 ACTUAL ECONOMIC DEVELOPMENT Personnel Services 966- 511110 Regular 181,297 966 - 511120 Overtime 0 966 - 511180 LTD 529 966 - 511210 Longevity 1,241 966- 511240 Allowance 6,720 966 - 511310 FICA - Employer 14,382 966 - 511350 TMRS - Employer 29,180 966- 511410 Health - Employer 14,938 966- 511500 Workers' Compensation 243 TOTAL Personnel Services 248,531 Supplies 35,720 37,347 966 - 521000 Operating Supplies 174 966 - 521100 Office Supplies 557 966 - 521110 Office Supplies - Refreshment 0 TOTAL Supplies 731 Human Services 476 966 - 531100 Pre - employment Check 0 TOTAL Human Services 0 City Support Services 0 966 - 532500 City Insurance - Commercial 1,181 966 - 532800 Promotional Events 7,947 TOTAL City Support Services 9,128 Utility Services 500 966 - 533300 Telephone /Land Line 388 966- 533310 Telephone /Cell Phones 313 966 - 533320 Telephone /Air Cards 0 966- 533500 Vehicle Fuel 682 966 - 533550 Vehicle Maintenance 34 TOTAL Utility Services 1,417 Operations Support 1,545 966- 534000 Postage 140 966 - 534100 Advertising 42,483 966 - 534105 Goodwill 0 966 - 534150 TexasOne 0 966 - 534190 Trade Shows 0 966- 534200 Printing s Binding 370 966 - 534300 Equipment Maintenance - Copie 4,052 966- 534400 Computer Licenses - Software 4,751 966- 534500 Memberships - Organizations 0 966 - 534510 Membership - Commuter Rail Br 49,500 TOTAL Operations Support 101,297 C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2012 -2013 CURRENT Y -T -D ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 221,362 236,612 175,024 236,612 265,267 185 0 ( 185) 0 0 689 733 576 733 816 450 810 1,246 810 880 6,720 6,720 6,028 6,720 7,920 16,920 18,163 13,499 18,163 20,210 35,720 37,347 29,677 37,347 44,169 21,469 25,267 17,213 25,267 24,574 590 585 482 585 476 304,104 326,237 243,560 326,237 364,312 0 0 0 0 0 309 750 389 750 750 244 500 75 500 300 553 1,250 464 1,250 1,050 0 200 0 200 1,000 0 200 0 200 1,000 1,172 1,545 1,174 1,545 1,545 40 15,000 0 15,000 15,000 1,212 16,545 1,174 16,545 16,545 565 495 396 495 720 0 0 0 0 1;000 30 500 316 500 600 508 1,500 811 1,500 1,500 25 300 0 300 300 1,128 2,795 1,522 2,795 4,120 134 1,000 113 1,000 500 4,210 15,000 0 15,000 15,000 712 1,200 454 1,200 1,200 38,283 60,000 32,640 60,000 50,000 3,392 10,000 9,025 10,000 20,000 58 1,000 150 1,000 1,000 3,185 5,000 1,767 5,000 2,945 3,779 4,000 0 4,000 51500 155 1,500 990 1,500 1,500 49,500 49,500 49,500 49;500 49,500 103,408 148,200 94,638 148,200 147,145 278 7 -31 -2014 01:45 PM 620 -SED CORPORATION MISC & PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 2011 -2012 2012 -2013 ACTUAL ACTUAL Staff Support 300 966 - 535100 Uniforms 200 966 - 535210 Employee Recognition- Morale 0 966 - 535300 Memberships - Staff Support 4,132 966 - 535400 Publications 119 966 - 535500 Training /Travel 28,066 966 - 535510 Meeting Expenses - EDC Board 1,443 TOTAL Staff Support 33,959 City Assistance 12,000 966 - 537600 Development Incentive Fund 10,000 966 - 537610 Impact Fee Matching Fund 0 966 - 537650 Prospect Services 0 TOTAL City Assistance 10,000 Professional Services 800,000 966 - 541200 Legal Svcs 29,112 966 - 541300 Professional Services 171 966 - 541400 Auditor /Accounting Service 7,000 966- 541410 Consulting Services - Charrette 175,328 966 - 541415 Consulting Svcs -S Charrette 3,188 966- 541420 Consulting Svc- DwntwnCharrett 2,785 966 - 541450 Consulting Services 27,897 TOTAL Professional Services 245,481 Fund Charges /Transfers 25,000 966 - 548101 Contributions to General Fund 50,000 966- 548505 Contribution to I & S 366,825 966 - 548600 Interfund Charges -Admin 53,000 966 - 546610 Interfund Charge - Fleet 2,985 TOTAL Fund Charges /Transfers 472,810 Fund Replenish Maintenance Services Debt Service 966 - 555632 Tax Notes SR2010- Principal 250,000 966- 555632.Tax Notes SR2010- Interest 19,656 966 - 555650 Bond -CO 2007 - Principal 130,000 966- 555650.Bond -CO 2007- Interest 28,672 TOTAL Debt Service 426,329 (-------- - - - - -- 2013 -2014 - CURRENT Y -T -D BUDGET ACTUAL PAGE ----- - - - - -H -- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 0 300 0 300 300 38 750 62 750 750 1,670 2,500 450 2,500 2,500 386 500 118 500 700 3,717 12,000 4,064 12,000 12,000 837 2,000 491 2,000 2,000 6,649 18,050 5,185 18,050 18,250 0 800,000 500,000 1,000,000 500,000 0 500,000 0 500,000 500,000 588 25,000 1,525 25,000 25,000 588 1,325,000 501,525 1,525,000 1,025,000 56,592 50,000 10,132 50,000 40,000 0 25,000 0 25,000 45,000 7,000 7,500 6,000 7,500 7,500 90,909 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 20,000 0 20,000 0 154,501 102,500 16,132 102,500 92,500 0 0 0 0 0 369,075 366,138 345,069 366,138 367,188 194,637 136,245 102,184 136,245 100,296 3,222 1,222 916 1,222 3,796 566,934 503,605 448,169 503,605 471,280 255,000 255,000 255,000 255,000 265,000 15,045 9,627 9,626 9,627 3,378 135,000 145,000 145,000 145,000 150,000 23,459 18,045 18,045 18,045 12,230 428,504 427,672 427,671 427,672 430,608 279 7 -31 -2014 01:45 PM 620 -SED CORPORATION MISC 6 PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (----- - - - - -- -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Operating Equipment 966 - 571100 Furniture s Fixtures 20 613 1,000 20 1,000 500 966- 571300 Computer s Periphe. < $5000 142 124 1,500 19 1,500 1,500 966 - 571800 Operating Equipmt under $5,00 210 0 0 0 0 0 TOTAL Operating Equipment 372 737 2,500 39 2,500 2,000 Capital Outlay TOTAL ECONOMIC DEVELOPMENT 1,552,056 1,568,317 2,874,554 1,737,934 3,074,554 2,573,810 280 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET 620 -SED CORPORATION AS OF: JULY 31ST, 2014 MISC S PROJECTS EXPENDITURES (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END .RECOMMENDED BU PROJECTS Utility Services Professional Services Maintenance Services 900 - 551900 CONSTRUCTION 0 0 200,000 0 0 200,000 TOTAL Maintenance Services 0 0 200,000 0 0 200,000 Rental /Leasing 900 - 561300 LAND PURCHASE 0 0 0 0 0 250,000 TOTAL Rental /Leasing 0 0 0 0 0 250,000 TOTAL PROJECTS 0 0 200,000 0 0 450,000 281 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 620 -SED CORPORATION AS OF: JULY 31ST, 2014 MISC S PROJECTS EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU SCHWAB RD PROJECT Maintenance Services TOTAL MISC s PROJECTS 1,552,056 1,568,317 3,074,554 1,737,934 3,074,554 3,023,810 TOTAL EXPENDITURES 1,714,082 1,568,317 3,074,554 1,737,934 3,074,554 3,023,810 282 FUND: 314 HOTEL /MOTEL OCCUPANCY TAX DESCRIPTION Revenues for the Hotel /Motel Fund are derived from a 7% tax on rooms rented in the City. There are four hotels in Schertz; the Best Western Plus with 61 rooms, Hampton Inn with 98 rooms, La Quinta with 81 rooms and Fairfield Inn with 118 rooms. These revenues are used to support Schertz as a destination location. Advertising campaigns to increase awareness of all Schertz has to offer reach citizens all across the State and beyond. These funds are also used to support City held events and organizations such as the Absolute Jazz festival and the Schertz Sweethearts which also promote the City. Revenue Taxes $503,780 $517,844 $544,753 Miscellaneous 513 375 600 Total $503,780 $518,219 $545,353 Expenses Supplies 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Taxes $503,780 $517,844 $544,753 Miscellaneous 513 375 600 Total $503,780 $518,219 $545,353 Expenses Supplies $0 $2,000 $2,500 City Support Services 77,760 69,128 61,500 Operations Support 45,708 47,500 69,500 Professional Services 11,685 5,625 5,825 Fund Charges /Transfers 238,743 431,576 126,405 Building Maintenance 0 26,000 0 Operating Equipment 50,195 48,567 37,000 Total $424,091 $630,396 $302,730 PROGRAM JUSTIFICATION AND ANALYSIS Revenue The revenue for FY 2014 -15 will increase 5.2% from year end estimates due to an increase in hotel stays. 283 HOTEL TAX FUND Expenses The FY 2014 -15 Budget will decrease 52.0% from the FY 2013 -14 year end estimates. This decrease reflects the removal of direct support for the Event Facilities such as the Civic and Community Centers. The direct support consisted of expenditures for building maintenance, equipment, and reimbursements of Event Facilities related staff costs. The Festival of Angels and the Steve Simonson Award and Luncheon will now be funded by the General Fund instead of the Hotel Tax Fund. There was also a one -time transfer to fund lighting at the soccer fields in FY 2013 -14 which adds to the overall budget decrease. 284 8 -25 -2014 02:28 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 314 -HOTEL TAX AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY (-------- - - - - -- 2013 -2014 --------------- )( -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL .BUDGET ACTUAL YEAR END RECOMMENDED BU REVENUE SUMMARY Taxes Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES 470,290 503,267 485,000 341,629 517,844 544,753 0 0 173,810 0 0 0 420 513 550 246 375 600 470,710 503,780 659,360 341,875 518,219 545,353 381,667 424,091 659,360 377,712 630,396 302,730 381,667 424,091 659,360 377,712 630,396 302,730 381,667 424,091 659,360 377,712 630,396 302,730 89,043 79,689 0 ( 35,83.8) ( 112,177) 242,623 285 B-25-2014 02:28 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 314 -HOTEL TAX AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Taxes 000 - 411800 Hotel Occupancy Tax 470,290 503,267 485,000 341,629 517,844 544,753 TOTAL Taxes 470,290 503,267 485,000 341,629 517,844 544,753 Fund Transfers 000 - 481000 Transfer In - Reserves 0 0 173,810 0 0 0 TOTAL Fund Transfers 0 0 173,810 0 0 0 Miscellaneous 000 - 491000 Interest Earned 90 66 50 57 95 100 000 - 491200 Investment Income 329 447 500 189 280 500 TOTAL Miscellaneous 420 513 550 246 375 600 TOTAL REVENUES 470,710 503,780 659,360 341,875 518,219 545,353 286 8 -25 -2014 02:28 PM 314 -HOTEL TAX GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Personnel Services Supplies C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL 101 - 521700 Materials 1,827 TOTAL Supplies 1,827 City Support Services 2,800 101 - 532800 Special Events 59,128 101 - 532820 Community Programs 6,190 TOTAL City Support Services 65,318 Operations Support 5,625 101 - 534100 Advertising 39,435 101- 534120 Advertising - Billboards 5,994 TOTAL Operations Support 45,429 City Assistance 145,385 Professional Services 145,385 101 - 541300 Other Professional Services 0 101 - 541400 Auditor /Accounting Service 2,500 TOTAL Professional Services 2,500 Fund Charges /Transfers 23,500 101 - 548000 Transfer Out 0 101 - 548100 Interfund Transfer Out 142,626 101 - 548106 Transfer Out - Special Events 37,250 101 - 548614 Contribution -Park S Rec Fundt 20,000 TOTAL Fund Charges /Transfers 199,876 Maintenance Services 26,000 101 - 551100 Building Maintenance 0 TOTAL Maintenance Services 0 Operating Equipment 0 101 - 571500 Operating Equipment 29,338 101 - 571700 Improvements Under $5,000 14,605 101 - 571810 Event Banners 22,775 TOTAL Operating Equipment 66,718 PAGE ------------ )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 0 2,000 0 2,000 2,500 0 2,000 0 2,000 2,500 61,760 59,128 59,128 59,128 55,500 16,000 7,659 0 10,000 6,000 77,760 66,787 59,128 69,128 61,500 35,093 31,841 11,188 33,500 53,500 10,614 16,000 9,593 14,000 16,000 45,708 47,841 20,781 47,500 69,500 8,885 2,825 0 2,825 2,825 2,800 2,800 2,800 2,800 3,000 11,685 5,625 2,800 5,625 5,825 0 148,000 0 148,000 0 157,517 145,385 121,154 145,385 66,405 61,226 118,222 118,222 114,691 28,000 20,000 23,500 23,500 23,500 32,000 238,743 435,107 262,876 431,576 126,405 0 26,632 23,462 26,000 0 0 26,632 23,462 26,000 0 24,417 12,368 1,000 13,000 0 2,091 10,000 2,664 10,000 10,000 23,687 33,000 5,002 25,567 27,000 50,195 55,368 8,666 48,567 37,000 287 8 -25 -2014 02:28 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 314 -HOTEL TAX AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Capital Outlay 101 - 581750 Civic Center Improvements 0 0 20,000 0 0 0 TOTAL Capital Outlay 0 0 20,000 0 0 0 TOTAL NON DEPARTMENTAL 381,667 424,091 659,360 377,712 630,396 302,730 TOTAL GENERAL GOVERNMENT 381,667 424,091 659,360 377,712 630,396 302,730 TOTAL EXPENDITURES 381,667 424,091 659,360 377,712 630,396 302,730 288 FUND: 317 PARK FUND DESCRIPTION The Parks Fund is a special fund designated to monitor and manage funds for the management of the City of Schertz Urban Forest and capital improvements of the City of Schertz Park System. The Fund is composed of parkland dedication revenues. Revenues are derived from developer fees (in lieu of parkland dedication), local citizen groups, state, local nonprofit neighborhood associations, home owners associations (HOA's), regional non - profit grants, and donations. Revenue Fees $192,000 $129,000 $100,000 Miscellaneous 225 11 0 Total $192,225 $129,151 $100,000 Expenses Non - Departmental 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Fees $192,000 $129,000 $100,000 Miscellaneous 225 11 0 Total $192,225 $129,151 $100,000 Expenses Non - Departmental $189,650 $0 $0 Professional Services 545 0 0 Fund Charges /Transfers 138,884 0 0 Operating Equipment 10,049 0 0 Capital Outlay 0 40,000 60,000 Total $339,128 $40,000 $60,000 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: The revenue for FY 2014 -15 will decrease 22.5% from the FY 2013 -14 year end estimates due to fewer known upcoming developments which would result in parkland dedication fees. Expenses The FY 2014 -15 Budget will increase 50.0% from FY 2013 -14 year end estimates. Projects planned for FY 2014 -15 include pavilions for the upcoming Dog Park and for the skate park and for Crossvine park improvements including a decomposed granite trail and two park benches. 289 7 -31 -2014 01:43 PM 317 -PARK FUND FINANCIAL SUMMARY REVENUE SUMMARY Fees Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT PUBLIC ENVIRONMENT PARKLAND DEDICATION TREE MITIGATION TOTAL PUBLIC ENVIRONMENT TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (------ -- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 217,160 192,000 150,000 120,150 129,000 100,000 656 225 300 11 0 0 217,816 192,225 150,300 120,161 129,000 100,000 0 189,650 0 0 0 0 0 189,650 0 0 0 0 214,804 149,478 40,000 0 40,000 60,000 26,236 0 0 0 0 0 241,039 149,478 40,000 0 40,000 60,000 241,039 339,128 40,000 0 40,000 60,000 ( 23,223) ( 146,903) 110,300 120,161 89,000 40,000 290 7 -31 -2014 01:43 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 317 -PARK FUND AS OF: JULY 31ST, 2014 REVENUES ( -------------- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Fees 000 - 458800 Parkland Dedication 148,025 192,000 150,000 120,150 129,000 100,000 000 - 458900 Tree Mitigation 69,135 0 0 0 0 0 TOTAL Fees 217,160 192,000 150,000 120,150 129,000 100,000 Miscellaneous 000 - 491000 Interest Earned 49 34 0 10 0 0 000 - 491200 Investment Income 607 191 300 1 0 0 TOTAL Miscellaneous 656 225 300 11 0 0 TOTAL REVENUES 217,816 192,225 150,300 120,161 129,000 100,000 291 7 -31 -2014 01:43 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 317 -PARK FUND AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT - EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU NON DEPARTMENTAL Supplies City Support Services Professional Services Fund Charges /Transfers 101 - 548900 Developer Refund 0 189,650 0 0 0 0 TOTAL Fund Charges /Transfers 0 189,650 0 0 0 0 Maintenance Services Operating Equipment Capital Outlay TOTAL NON DEPARTMENTAL 0 189,650 0 0 0 0 TOTAL GENERAL GOVERNMENT 0 189,650 292 0 0 0 0 7 -31 -2014 01:43 PM 317 -PARK FUND PUBLIC ENVIRONMENT EXPENDITURES 2011 -2012 ACTUAL C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 {-------- - - - - -- 2013 -2014 2012 -2013 CURRENT Y -T -D ACTUAL BUDGET ACTUAL PAGE --------------- -------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU PARKLAND DEDICATION Supplies Utility Services Professional Services 301 - 541300 Other Consl /prof Services 23,350 545 0 0 0 0 TOTAL Professional Services 23,350 545 0 0 0 0 Fund Charges /Transfers 301 - 548000 Transfer Out 100,000 138,884 0 0 0 0 TOTAL Fund Charges /Transfers 100,000 138,884 0 0 0 0 Maintenance Services 301 - 551710 Landscaping 136 0 0 0 0 0 TOTAL Maintenance Services 136 0 0 0 0 0 Operating Equipment 301 - 571000 Sign /Fixtures 26,013 10,049 0 0 0 0 301 - 571700 Improvements Under $5,000 41,889 0 0 0 0 0 TOTAL Operating Equipment 67,902 10,049 0 0 0 0 Capital Outlay 301 - 581700 Improvements Over $5,000 23,416 0 40,000 0 40,000 60,000 TOTAL Capital Outlay 23,416 0 40,000 0 40,000 60,000 TOTAL PARKLAND DEDICATION 214,804 149,478 40,000 0 40,000 60,000 293 7 -31 -2014 01:43 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 317 -PARK FUND AS OF: JULY 31ST, 2014 PUBLIC ENVIRONMENT EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU TREE MITIGATION Supplies Professional Services Fund Charges /Transfers Maintenance Services 302 - 551110 Trees 5,853 0 0 0 0 0 302 - 551710 Landscaping 483 0 0 0 0 0 TOTAL Maintenance Services 6,336 0 0 0 0 0 Operating Equipment Capital Outlay 302 - 581700 Improvements Over $5,000 19,900 0 0 0 0 0 TOTAL Capital Outlay 19,900 0 0 0 0 0 TOTAL TREE MITIGATION 26,236 0 0 0 0 0 TOTAL PUBLIC ENVIRONMENT 241,039 149,478 40,000 0 40,000 60,000 TOTAL EXPENDITURES 241,039 339,128 40,000 0 40,000 60,000 294 FUND: 319 TREE MITIGATION DESCRIPTION Tree mitigation fund is a special fund that is derived from revenue from permits for tree removal issued in connection with a building permit, subdivision plan, and site plan. These funds are used to replace trees on City Parks, City owned property, Public lands, and SCUCISD school property. Revenue Fees 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Fees $19,173 $227,758 $36,000 Fund Transfers 0 0 80,125 Miscellaneous 1,843 210 210 Total $21,015 $227,968 $116,335 Expenses Maintenance Services $57,730 $45,000 $116,125 Capital Outlay 23,226 0 0 Total $80,956 $45,000 $116,125 PROGRAM JUSTIFICATION AND ANALYSIS Revenue Revenue for FY 2014 -15 will decrease 50.0% from FY 2013 -14 year end estimates with fewer fees expected to be collected. Offsetting this will be a transfer from reserves to fund additional projects. Expenses The FY 2014 -15 Budget will increase 158.1 % from the FY 2013 -14 year end estimates. Projects to be funded in FY 2014 -15 include trees for the soccer complex, the baseball fields, E. Live Oak Road, and the Arroyo Verde Drainage Project. 295 7 -31 -2014 04:20 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 319 -TREE MITIGATION AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY REVENUE SUMMARY Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY PUBLIC ENVIRONMENT (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN_ ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 0 19,173 35,000 227,758 227,758 36,000 0 0 0 0 0 80,125 0 1,843 104,525 140 210 210 0 21,015 139,525 227,897 227,968 116,335 TREE MITIGATION 0 80,956 139,525 39,956 45,000 116,125 TOTAL PUBLIC ENVIRONMENT 0 80,956 139,525 39,956 45,000 116,125 TOTAL EXPENDITURES 0 80,956 139,525 39,956 45,000 116,125 REVENUE OVER /(UNDER) EXPENDITURES 0 ( 59,941) 0 187,941 182,968 210 296 7 -31 -2014 04:2.0 PM 319 -TREE MITIGATION REVENUES 2011 -2012 ACTUAL C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 t-------- - - - - -- 2013 2012 -2013 CURRENT ACTUAL BUDGET -2014 --------------- Y -T -D ACTUAL PAGE -------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU Fees 000 - 458900 Tree Mitigation 0 19,173 35,000 227,758 227,758 36,000 TOTAL Fees 0 19,173 35,000 227,758 227,758 36,000 Fund Transfers 000 - 481000 Transfer In- Reserves 0 0 0 0 0 80,125 TOTAL Fund Transfers 0 0 0 0 0 80,125 Miscellaneous 000 - 491000 Interest Earned 0 26 50 79 90 90 000 - 491200 Investment Income 0 127 150 61 120 120 000 - 497000 Misc Income 0 1,690 0 0 0 0 000 - 499000 Transfer In 0 0 104,325 0 0 0 TOTAL Miscellaneous 0 1,843 104,525 140 210 210 TOTAL REVENUES 0 21,015 139,525 227,897 227,968 116,335 297 7 -31 -2014 04:20 PM C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET 319 -TREE MITIGATION AS OF: JULY 31ST, 2014 PUBLIC ENVIRONMENT EXPENDITURES (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU TREE MITIGATION 0 80,956 139,525 39,956 45,000 116,125 Supplies 0 80,956 139,525 39,956 45,000 116,125 , Professional Services 0 80,956 139,525 39,956 45,000 116,125 Fund Charges /Transfers Maintenance Services 302- 551110 Trees 0 33,430 90,125 0 18,793 92,125 302- 551710 Landscaping 0 24,300 49,400 39,956 26,207 24,000 TOTAL Maintenance Services 0 57,730 139,525 39,956 45,000 116,125 Operating Equipment - Capital Outlay 302 - 581800 Equipment Over $5,000 0 23,226 0 0 0 0 TOTAL Capital Outlay 0 23,226 0 0 0 0 TOTAL TREE MITIGATION 0 80,956 139,525 39,956 45,000 116,125 TOTAL PUBLIC ENVIRONMENT 0 80,956 139,525 39,956 45,000 116,125 , TOTAL EXPENDITURES 0 80,956 139,525 39,956 45,000 116,125 298 all 010W06916iIi no] M,all d2010i ij DESCRIPTION The purpose of the Library Advisory Board is to provide citizen input to the City of Schertz on Library policy and operation and to raise community awareness of the library and its services. The Library Advisory Board oversees various fund- raising activities including the operation of the Read Before Bookstore, paper recycling and book consignment sales with all proceeds providing supplementary funding for library materials, programs, projects and building enhancements. Revenue Fees $20,772 $20,546 $21,000 Fund Transfers 0 10,000 10,000 Miscellaneous 1,825 1,960 2,060 Total $22,597 $32,506 $33,060 Expenses Supplies 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Fees $20,772 $20,546 $21,000 Fund Transfers 0 10,000 10,000 Miscellaneous 1,825 1,960 2,060 Total $22,597 $32,506 $33,060 Expenses Supplies $2,787 $2,400 $1,000 City Support Services 6,461 12,000 12,000 Operating Equipment 1,198 18,000 17,000 Total $10,446 $32,400 $30,000 PROGRAM JUSTIFICATION AND ANALYSIS Revenues Revenues for FY 2014 -15 are expected to increase 1.7% FY 2013 -14 from year end estimates through additional book sales. Expenses The FY 2014 -15 Budget will decrease 7.4% from FY 2013 -14 year end estimates due to a reduction in operating equipment. 299 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 609 - LIBRARY BOARD AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY (-------- - - - - -- 2013 -2014 --------------- )( -------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU REVENUE SUMMARY Fees 21,515 20,772 21,200 18,528 20,546 21,000 Fund Transfers 0 0 10,000 0 10,000 10,000 Miscellaneous 1,134 1,825 4,060 89 1,960 2,060 TOTAL REVENUES 22,649 22,597 35,260 18,616 32,506 33,060 EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL 17,480 10,446 34,500 11,995 32,400 30,000 TOTAL GENERAL GOVERNMENT 17,480 10,446 34,500 11,995 32,400 30,000 TOTAL EXPENDITURES 17,480 10,446 34,500 11,995 32,400 30,000 REVENUE OVER /(UNDER) EXPENDITURES 5,168 12,151 760 6,621 106 3,060 300 7 -31 -2014 01:45 PM 609 - LIBRARY BOARD REVENUES 2011 -2012 ACTUAL, Fees 20,000 000 - 458100 Sale of Merchandise 20,476 000 - 458200 Sale of Recyclying Material 1,038 TOTAL Fees 21,515 Fund Transfers 0 000 - 481000 Transfer In - Reserves 0 TOTAL Fund Transfers 0 Miscellaneous 0 000 - 491000 Interest Earned 4 000 - 491200 Investment Income 80 000 - 493000 Donations 1,050 TOTAL Miscellaneous 1,134 TOTAL REVENUES 22,649 C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 19,807 20,000 17,982 20,000 21,000 965 1,200 546 546 0 20,772 21,200 18,528 20,546 21,000 0 10,000 0 10,000 10,000 0 10,000 0 10,000 10,000 10 10 9 10 10 51 50 29 50 50 1,764 4,000 51 1,900 2,000 1,825 4,060 89 1,960 2,060 22,597 35,260 18,616 32,506 33,060 301 7 -31 -2014 01:45 PM 609 - LIBRARY BOARD GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Supplies 101 - 521000 Operating Supplies TOTAL Supplies City Support Services 101 - 532800 Special Events TOTAL City Support Services City Assistance 101 - 537300 Contributions TOTAL City Assistance Operating Equipment C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 3,526 2,787 2,500 209 2,400 1,000 3,526 2,787 2,500 209 2,400 1,000 6,895 6,461 12,000 5,437 12,000 12,000 6,895 6,461 12,000 5,437 12,000 12,000 0 0 1,000 0 0 0 0 0 1;000 0 0 0 101 - 571000 Furniture 6 Fixtures 0 101 - 571400 Library Materials 1,310 101 - 571500 Improvement Under $5,000 0 TOTAL Operating Equipment 1,310 Capital Outlay 101 - 581500 Improvements over $5,000 5,750 TOTAL Capital Outlay 5,750 0 1,000 0 0 1,000 1,198 8,000 0 8,000 10,000 0 10,000 6,350 10,000 6,000 1,198 19,000 6,350 18,000 17,000 0 0 0 0 0 0 0 0 0 0 TOTAL NON DEPARTMENTAL 17,480 10,446 34,500 11,995 32,400 30,000 TOTAL GENERAL GOVERNMENT 17,480 10,446 34,500 11,995 32,400 30,000 TOTAL EXPENDITURES 17,480 10,446 34,500 11,995 32,400 30,000 302 FUND: 615 HISTORICAL COMMITTEE MISSION STATEMENT To gather, preserve, and make available to the public historical information regarding people, places, and events that have contributed to the development of the City of Schertz. DESCRIPTION This fund is funded from the Special Events Fund by a transfer. The Historical Committee reviews locations for possible historic value and distributes books about the history of Schertz. Revenue Fees $168 $3,100 $11,100 Fund Transfers 732 2,850 10,850 Total $899 $3,100 $11,100 Expenses Supplies 2012 -13 2013 -14 2014 -15 Budget I Actual Estimate Budget Revenue Fees $168 $3,100 $11,100 Fund Transfers 732 2,850 10,850 Total $899 $3,100 $11,100 Expenses Supplies $677 $750 $1,500 Operations Support 222 250 1,000 Staff Support 0 500 7,150 Professional Services 0 1,308 1,450 Operating Equipment 0 200 0 Total $899 $3,008 $11,100 PROGRAM JUSTIFICATION AND ANALYSIS Revenues Revenues for FY 2014 -15 increase 258.1 % from the FY 2013 -14 year end estimates. This increase comes from additional funding for the committee from the Special Events Fund. Expenses The FY 2014 -15 Budget increases 269.0% from the FY 2013 -14 year end estimates. This increase is to provide additional funding for training for all committee members. 303 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 615 - HISTORICAL COMMITTEE AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY REVENUE SUMMARY Fees Fund Transfers TOTAL REVENUES EXPENDITURE SUMMARY CULTURAL HISTORICAL COMMITTEE TOTAL CULTURAL TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2013 -2014 --------------- )( -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 391 168 500 157 250 250 2,385 732 5,150 0 2,850 10,850 2,776 899 5,650 157 3,100 11,100 3,149 899 5,650 1,891 3,008 11,100 3,149 899 5,650 1,891 3,008 11,100 3,149 899 5,650 1,891 3,008 11,100 ( 373) 0 0 ( 1,735) 92 0 304 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 615 - HISTORICAL COMMITTEE AS OF: JULY 31ST, 2014 REVENUES (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL --- - - - - -- )(-- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU Fees 000 - 458100 Sale of Merchandise 391 168 500 157 250 250 TOTAL Fees 391 168 500 157 250 250 Fund Transfers 000 - 486106 Transfer In- Special Events 2,385 732 5,150 0 2,850 10,850 TOTAL Fund Transfers 2,385 732 5,150 0 2,850 10,850 Miscellaneous TOTAL REVENUES 2,776 899 5,650 157 3,100 11,100 305 7 -31 -2014 01:45 PM 615 - HISTORICAL COMMITTEE CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL PAGE ---------- )(-------- 2014 -2015 PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU HISTORICAL COMMITTEE 3,149 899 5,650 1,891 3,008 11,100 Supplies 3,149 899 5,650 1,891 3,008 11,100 609 - 521000 Operating Supplies 1,002 677 2,000 111 750 1,500 TOTAL Supplies 1,002 677 2,000 111 750 1,500 Operations Support 609 - 534200 Printing & Binding 1,645 222 1,000 217 250 1,000 TOTAL Operations Support 1,645 222 1,000 217 250 1,000 Staff Support 609 - 535200 Awards 0 0 150 56 500 1,000 609 - 535300 Memberships 0 0 150 0 0 150 609 - 535500 Training /Travel 0 0 1,000 0 0 6,000 TOTAL Staff Support 0 0 1,300 56 500 7,150 Professional Services 609 - 541300 Other Consl /Prof Services 0 0 1,350 1,318 1,308 1,450 TOTAL Professional Services 0 0 1,350 1,318 1,308 1,450 Operating Equipment 609 - 571000 Furniture & Fixtures 502 0 0 190 200 0 TOTAL Operating Equipment 502 0 0 190 200 0 TOTAL HISTORICAL COMMITTEE 3,149 899 5,650 1,891 3,008 11,100 TOTAL CULTURAL 3,149 899 5,650 1,891 3,008 11,100 TOTAL EXPENDITURES 3,149 899 5,650 1,891 3,008 11,100 306 FUND: 616 PARKS & RECREATION FOUNDATION MISSION STATEMENT The Schertz Parks and Recreation Foundation, in partnership with the City of Schertz, raises funds, fosters partnerships, and advocates in support of specific projects and activities that improve and benefit our City parks; providing recreation and educational experiences to all. Funds raised by quality of life events hosted by the Foundation; the 4t" of July Jubilee and Schertz Fest, are used to improve city parks as well as provide for the cost of hosting future events. Both events include music, vendors, carnival, and a BBQ Cook -off. Revenue Fees $176,776 $248,198 $246,500 Fund Transfers 20,000 23,500 23,500 Miscellaneous 27,108 33,823 34,850 Total $223,884 $305,521 $304,850 Expenses Non Departmental 2012 -13 2013 -14 2014 -15 Budget Actual Estimate Budget Revenue Fees $176,776 $248,198 $246,500 Fund Transfers 20,000 23,500 23,500 Miscellaneous 27,108 33,823 34,850 Total $223,884 $305,521 $304,850 Expenses Non Departmental $43,916 $37,839 $33,500 4t" of July Jubilee 99,099 93,213 124,200 Schertz Fest 76,814 102,378 140,200 Total $219,829 $233,430 $297,900 PROGRAM JUSTIFICATION AND ANALYSIS Revenues Revenues for FY 2014 -15 are expected to remain at the same levels as FY 2013 -14. Expenses The FY 2014 -15 Budget will increase 27.6% from FY 2013 -14 year end estimates in order to grow the events and provide improvements to parks in Schertz. 307 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 616 -PARKS 6 RECREATION FNDA AS OF: JULY 31ST, 2014 FINANCIAL SUMMARY REVENUE SUMMARY Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMAENDED BU 4th OF JULY JUBILEE 100,466 99,099 124,696 176,776 238,000 91,662 248,198 246,500 20,000 20,000 23,500 23,500 23,500 23,500 101,061 27,108 32,350 14,915 33,823 34,850 245,758 223,884 293,850 130,077 305,521 304,850 NON DEPARTMENTAL 16,013 43,916 20,700 8,039 37,839 33,500 TOTAL GENERAL GOVERNMENT 16,013 43,916 20,700 8,039 37,839 33,500 CULTURAL 4th OF JULY JUBILEE 100,466 99,099 135,850 84,535 93,213 124,200 SCHERTZ FEST 42,530 76,814 118,700 11,341 102,378 140,200 TOTAL CULTURAL 142,996 175,913 254,550 95,877 195,591 264,400 TOTAL EXPENDITURES 159,008 219,829 275,250 103,916 233,430 297,900 REVENUE OVER /(UNDER) EXPENDITURES 86,750 4,055 18,600 26,161 72,091 6,950 308 7 -31 -2014 01:45 PM 616 -PARKS 6 RECREATION FNDA REVENUES 2011 -2012 ACTUAL Fees 100,000 000 - 450001 Sales - Schertz Pest 410 000 - 450002 Sales - Schertz Pest Raffle 883 000 - 450006 Sales -July Jubilee 110,728 000- 450007 Sales -July Jubilee Raffle 0 000 - 450101 Fees - Schertz Pest BBQ Entry 7,670 000 - 450102 Fees - Informational Booths -Fes 325 000 - 450111 Fees - Jubilee BBQ Entry 1,775 000 - 450112 Fees - Informational Booths -4th 0 000 - 450113 Fees - Jubilee Parade Entry 100 000 - 450150 Fees Soccer Leagues 2,805 000 - 450152 Fees -BVYA 0 TOTAL Fees 124,696 Fund Transfers 450 000 - 486314 Contribution - Hotel /Motel 20,000 TOTAL Fund Transfers 20,000 Miscellaneous 2,290 000- 491000 Interest Earned 39 000 - 493000 Donations -Parks Foundation 6,000 000 - 493001 Donations - Schertz Pest 5,128 000 - 493002 Donations - Schertz Pest BBQ 7,000 000 - 493010 Donations -4th of July Jubilee 9,300 000 - 493011 Donations - Jubilee BBQ 1,002 000 - 497000 Misc Income- Foundation 72,200 000 - 497001 Misc Income - Jubilee ATM 0 000 - 497002 Misc Income - Schertz Pest ATM 0 000 - 497604 Misc Income - Jubilee 393 000 - 497617 Misc Income - Schertz Pest 0 TOTAL Miscellaneous 101,061 TOTAL REVENUES 245,758 C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 47,211 100,000 0 120,000 100,000 1,394 2,000 0 2,200 2,000 106,528 120,000 84,285 106,528 120,000 972 0 841 972 1,000 11,338 8,000 3,345 5,900 13,000 2,325 1,000 450 5,000 2,000 2,290 1,500 2,341 2,290 2,000 450 1,000 250 430 1,000 25 500 150 635 500 4,243 3,000 0 4,243 4,000 0 1,000 0 0 1,000 176,776 238,000 91,662 248,198 246,500 20,000 23,500 23,500 23,500 23,500 201000 23,500 23,500 23,500 23,500 37 50 25 40 50 0 6,000 0 0 1,000 3,500 7,000 0 7,740 7,000 7,000 8,000 0 10,000 8,000 12,500 10,000 12,500 12,500 14,000 1,000 1,000 0 1,000 1,000 10 100 112 50 100 99 0 0 375 100 26 0 0 145 100 1,873 100 2,178 1,873 2,000 1,064 100 100 100 1,500 27,108 32,350 14,915 33,823 34,850 223,884 293,850 130,077 305,521 304,850 309 7 -31 -2014 01:45 PM 616 -PARKS 6 RECREATION FNDA GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Supplies C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 101 - 521000 Operating Supplies 236 2,045 500 352 11729 1,000 101 - 521600 Equip Maint Supplies 0 259 50 96 259 100 TOTAL Supplies 236 2,304 550 448 1,988 1,100 City Support Services 101 - 532900 Contingencies 0 0 100 0 0 0 TOTAL City Support Services 0 0 100 0 0 0 Operations Support 744 669 800 869 669 1,000 101- 534000 Postage 0 20 100 16 14 100 101 - 534100 Advertising 0 3,904 0 0 750 2,000 101 - 534999 Misc Expense- Administrative 260 164 200 73 835 200 TOTAL Operations Support 260 4,087 300 89 1,599 2,300 Staff Support 101 - 535100 Uniforms 417 671 300 108 671 300 101 - 535510 Meeting Expenses 159 286 150 154 150 200 TOTAL Staff Support 575 957 450 262 821 500 City Assistance 101 - 537901 Minor Events 499 15 100 436 15 200 101 - 537902 Appreciation Luncheon 1,200 0 1,200 0 1,200 1,200 TOTAL City Assistance 1,699 15 1,300 436 1,215 1,400 Professional Services 101 - 541300 Professional Services 0 2,193 700 0 1,813 700 101 - 541400 Accounting Services 1,150 3,875 4,000 2,400 3,875 3,000 101 - 541960 Insurance Svcs - Administrative 744 669 800 869 669 1,000 TOTAL Professional Services 1,894 6,937 5,500 3,269 6,557 4,700 Fund Charges /Transfers Maintenance Services 101 - 551100 Building Maintenance 697 255 500 160 100 500 TOTAL Maintenance Services 697 255 500 160 100 500 Operating Equipment 101 - 571500 Operating Equipment 8,571 17,870 8,000 1,520 16,040 8,000 101 - 571900 Improvement To Parks 2,080 11,490 4,000 1,856 9,519 15,000 TOTAL Operating Equipment 10,651 29,361 12,000 3,376 25,559 23,000 310 7 -31 -2014 01:45 PM C I T Y O F S C H E R T Z PAGE PROPOSED BUDGET WORKSHEET 616 -PARKS 6 RECREATION FNDA AS OF: JULY 31ST, 2014 GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2013 -2014 ---------- - - - - -H -- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU Capital Outlay TOTAL NON DEPARTMENTAL 16,013 43,916 20,700 8,039 37,839 33,.500 TOTAL GENERAL GOVERNMENT 16,013 43,916 20,700 8,039 37,839 33,500 311 7 -31 -2014 01:45 PM 616 -PARKS & RECREATION FNDA CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- H-- - - - - -- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU 4th OF JULY JUBILEE Utility Services 604 - 533500 Fuel 0 0 1,000 0 0 500 TOTAL Utility Services 0 0 1,000 0 0 500 Operations Support 604 - 534000 Postage 70 5 100 0 0 100 604 - 534100 Advertising 361 0 1,000 0 0 1,000 604 - 534110 Tickets 329 224 350 260 224 350 604- 534900 Awards & Prizes 2,063 1,962 2,000 0 1,414 2,000 604 - 534902 Parade Candy 282 369 300 0 300 300 604- 534905 Permits & Licenses 231 231 400 231 231 250 604- 534910 Beer -Wine- Beverage Costs 2,979 3,211 3,500 3,015 3,211 3,500 604 - 534915 Ice Costs 600 690 1,000 713 690 1,000 604 - 534999 Misc Expense 736 1,261 1,000 1,443 769 1,000 TOTAL Operations Support 7,652 7,953 9,650 5,662 6,839 9,500 City Assistance Professional Services 604 - 541300 Professional Services 360 450 1,500 600 450 1,000 604- 541910 Fireworks 7,750 12,500 12,500 12,500 6,250 12,500 604 - 541920 Entertainment Services 3,700 2,500 15,000 3,825 2,500 5,000 604- 541922 Stage & Lighting 5,015 5,015 6,500 5,015 5,015 6,500 604 - 541930 Security Services 3,088 3,638 6,000 0 3,638 6,000 604- 541931 Fencing 0 0 500 0 677 0 604 - 541932 Medical Standby Services 1,000 1,000 1,000 1,000 1,000 1,000 604- 541933 Fire Standby Service 375 0 1,000 0 800 11000 604 - 541934 Judging Services 0 0 500 0 0 500 604 - 541936 ATM Services 0 0 200 0 0 200 604 - 541940 Vendor Expense 25,139 29,496 30,000 23,954 29,496 30,000 604 - 541945 BBQ Expense 0 0 0 2,457 0 0 604- 541950 Carnival Expense 42,903 34,033 45,000 24,087 34,033 45,000 604 - 541960 Insurance Costs 2,675 1,705 2,500 3,696 1,705 2,500 604- 541971 Portable Toilets 810 810 1,000 884 810 1,000 TOTAL Professional Services 92,814 91,146 123,200 78,018 86,374 112,200 Rental /Leasing 604 - 561100 Rental Equipment 0 0 2,000 855 0 2,000 TOTAL Rental /Leasing 0 0 2,000 855 0 2,000 TOTAL 4th OF JULY JUBILEE 100,466 99,099 135,850 84,535 93,213 124,200 312 7 -31 -2014 01:45 PM 616 -PARKS & RECREATION FNDA CULTURAL EXPENDITURES SCHERTZ FEST Utility Services 617- 533500 Fuel TOTAL Utility Services - Operations Support 617- 534000 Postage 617 - 534100 Advertising 617 - 534110 Tickets 617- 534900 Awards & Prizes 617- 534901 Awards & Prizes - Raffle 617 - 534905 Permits & Licenses 617 - 534910 Beer - Wine - Beverage Costs 617 - 534915 Ice Costs 617 - 534999 Misc Expense TOTAL Operations Support City Assistance 617- 537900 Participating Organizations TOTAL City Assistance Professional Services 617- 541300 Professional Services 617 - 541920 Entertainment Services 617 - 541921 Catering /Bar Service 617 - 541922 Stage & Lighting 617- 541930 Security Services 617 - 541932 Medical Standby Services 617- 541933 Fire Standby Service 617 - .541934 Judging Services 617 - 541936 ATM Services 617- 541940 Vendor Expense 617- 541945 BBQ Expense 617 - 541950 Carnival Expense 617- 541960 Insurance Costs 617 - 541970 Sanitation Costs 617- 541971 Portable Toilets TOTAL Professional Services Rental /Leasing 617 - 561100 Rental Equipment TOTAL Rental /Leasing C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 (-------- - - - - -- 2013 -2014 2011 -2012 2012 -2013 CURRENT Y -T -D ACTUAL ACTUAL BUDGET ACTUAL 0 195 1,000 0 195 1,000 0 46 100 6,640 9,597 7,000 329 295 350 6,852 10,220 7,000 0 1,748 0 251 231 300 0 3,821 3,000 0 1,315 500 89 1,605 1,000 14,161 28,877 19,250 PAGE ----- - - - - -H -- - - - - -- 2014 -2015 -- PROJECTED CITY ADMIN. ADO YEAR END RECOMMENDED BU 0 195 500 0 195 500 0 100 100 814 5,557 10,000 0 250 350 0 6,175 12,000 500 1,038 2,000 0 235 300 0 2,700 3,000 0 450 1,500 698 1,275 1,000 2,012 17,780 30,250 0 0 250 0 250 250 0 0 250 0 250 250 0 0 1,000 0 1,040 1,000 17,940 18,540 20,000 0 15,750 20,000 776 15 2,500 0 1,900 2,000 0 0 6,500 0 6,500 6,500 3,413 0 3,500 3,500 3,225 3,500 0 1,000 1,,000 1,000 1,000 1,000 0 0 1,000 0 1,000 0 737 399 500 0 0 1,000 0 99 200 0 100 200 3,634 14,997 10,000 61 4,239 20,000 114 2,460 3,000 147 1,624 3,000 0 6,704 45,000 0 45,000 45,000 0 1,705 0 3,696 1,705 2,000 0 720 1,000 0 720 1,000 0 0 1,000 675 350 1,000 26,614 46,639 96,200 9,079 84,153 107,200 1,755 1,103 2,000 250 0 2,000 1,755 1,103 2,000 250 0 2,000 TOTAL SCHERTZ FEST 42,530 76,814 118,700 11,341 102,378 140,200 TOTAL CULTURAL 142,996 175,913 254,550 95,877 195,591 264,400 313 7 -31 -2014 01:45 PM 616 -PARKS S RECREATION FNDA CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JULY 31ST, 2014 PAGE (-------- - - - - -- 2013 -2014 --------------- )(-------- 2014 -2015 -- 2011 -2012 2012 -2013 CURRENT Y -T -D PROJECTED CITY ADMIN. ADO ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BU TOTAL EXPENDITURES 159,008 219,829 275,250 103,916 233,430 297,900 314 Glossary Account A designation assigned to an accounting entry where a running total of all entries is kept. It is a grouping of assets, liabilities, reserves, retained earnings, revenues, or expenses. Accounting Standards The generally accepted accounting principles (GAAP) set by the Governmental Accounting Standards Board (GASB) that guide the recording and reporting of financial information. Accounts Payable A short term liability (less than one year) showing the amounts currently owed for goods and services received by the City. Accounts Receivable A short term asset (less than one year) showing the amount currently due to the City for goods and services provided. Accrual Accounting An accounting method in which revenues and expenses are recorded at the time they occur, rather than when cash is traded hands. Used for financial reports Ad Valorem Taxes Commonly referred to as property taxes. The charges levied on all real and certain personal property according to the property's assessed value and the tax rate. Used to support the General Fund and pay general obligation debt. Adopted Budget The budget as approved by the City Council. It sets the legal spending limits and funding sources for the fiscal year. Assessed Value A value set upon real estate or other property as a basis for levying property taxes. For the City of Schertz, the Appraisal Districts of Bexar, Comal, and Guadalupe Counties are responsible for assessing property values. Asset Resources of the City that cover liability obligations. Bad Debt Expense This expense is used to recognize the City's estimated amount of uncollectable revenue. Balanced Budget A budget where current revenues meet or exceed current expenses resulting in a positive fund balance at the end of the fiscal year. Bond Are a long term debt issued by the City to pay for large capital projects such as buildings, streets, and water /sewer system improvements. Budget Calendar The schedule of key dates used as a guide to complete various steps of the budget preparation and adoption processes. 315 Glossary Capital Improvements Capital Outlay Cash Cash Basis Certificates of Obligation Expenditures for the construction, purchase, or renovation of City facilities or property. Purchase of property or equipment greater than $5,000 which will be added to the City's fixed assets. Currency on hand with the bank. An accounting method that recognizes revenues and expenses when cash enters or leaves the bank instead of when services are provided. Tax supported bonds similar to general obligation bonds and can be issued after meeting strict publication requirements and council approval. Charter A document that establishes the city's governmental structure and provides distribution of powers and duties. In order to be implemented or changed it must be approved with a vote by the people City Council The elected governing body of the City, consisting of the Mayor and five (5) council members acting as the legislative and policy- making bod of the City. CRM Client Resource Management - a type of software for tracking dates, events, and clients. Debt Service Payments on debt made up of principle and interest following a set schedule. Delinquent Taxes Property taxes remaining unpaid after the due date. Delinquent taxes incur penalties and interest at rates specified by law. Department A functional group of the City with related activities aimed at accomplishing a major City service or program. Depreciation In accounting, this is a noncash expense that reduces the value of a capital asset over its expected useful life. Effective Tax Rate The rate that would produce the same amount of property taxes from the properties on the previous year's tax rolls. Enterprise Fund See Proprietary Fund. Expenditure Any payment made by the City. 316 Glossary Expense Any reduction in Fund Balance. Fiscal Year The time period designated by the City signifying the beginning and ending period for recording the financial transactions of the City. The City of Schertz' fiscal year begins each October 1 st and ends the following September 30th. Fixed Assets Assets of a long -term character which are intended to be held or used, such as land, buildings, machinery, furniture, and equipment. FTE Full Time Equivalent (FTE) is a measure of employment of a position based on the total hours worked in a week versus the expected 40 hours of a full time employee. Fund A fiscal and accounting entity established to record receipt and disbursement of income from sources set aside to support specific activities or to attain certain objectives. Each fund is treated as a distinct fiscal entity where assets equal liabilities plus fund balances. Fund Balance The difference between fund assets and fund liabilities of governmental and trust funds. Fund Equity The difference between assets and liabilities of any fund. General Fund The major fund in most governmental entities. It contains many activities associated with municipal government, such as police and fire rescue, libraries, parks and recreation. General Obligation Bonds A municipal bond backed by property taxes Goals Department /Division objectives intended to be accomplished or begun within the coming fiscal year. Governmental Fund Funds, or specific groups of revenues and expenses, including the General Fund, Special Revenue Funds, Capital Project Funds, and Debt Service Funds. Home Rule City Cities which have over 5,000 in population and have adopted home rule charters. I &S Interest and Sinking - The portion of the property tax that goes to pay debt issued by the City Interest & Sinking Fund See Debt Service Fund. 317 Glossary Interfund Transfers Transfer made from one City fund to another City Fund for the purpose of reimbursement of expenditures, general and administrative services, payments -in -lieu of taxes, or debt service. Intergovernmental Revenues Revenues from other governments in the form of grants, entitlements, shared revenues, or payments -in -lieu of taxes. Service contracts? Liability Debt or other legal obligations arising out of transactions in the past that must be liquidated, renewed, or refunded at some future date. The term does not include encumbrances. LUE's Living Unit Equivalent, the amount of water in gallons per year that an average household would produce M &O Acronym for "maintenance and operations ". (1) The recurring costs associated with a department or activity; (2) the portion of the tax rate that is applied to the General Fund. Mission The basic purpose of a department/division - the reason for its existence. Mixed Beverage Tax A tax imposed on the gross receipts of a licensee for the sale, preparation, or serving of mixed beverages. Modified Accrual basis Method of governmental accounting recognizes revenues when they are measurable and available and expenditures when goods or services are received with the exception of principal and interest on long term debt. Operating Budget Plans of current expenditures and the proposed means of financing them. The annual operating budget is the primary means by which most of the financing activities of the City are controlled. Operating Expenses Proprietary Fund expenses related directly to the Fund's primary activity. Ordinance A formal legislative enactment by City Council. Payment -in -lieu of Taxes A payment made to the City in lieu of taxes. These payments are generally made by tax exempt entities for which the City provides specific services. For example, the City's Water & Sewer Fund provides this payment to the City's General Fund because of the Water & Sewer Fund's exemption from property taxation. 318 Glossary Proprietary Fund Also referred to as Enterprise Fund. A governmental accounting fund in which services are provided, such as water and sewer service, are financed and operated similarly to those in a private business. The intent is that the costs of providing these services be recovered through user charges. Resolution A special or temporary order of the City Council. Requires less formality than an ordinance. Retained Earnings An equity account reflecting the accumulated earnings of a proprietary fund. Revenue Bonds Bonds whose principal and interest are payable exclusively from earnings of a proprietary fund. Special Revenue Fund Accounts for the proceeds of specific revenue sources that are legally restricted to expenditure for specified purposes. Tax Base The total net taxable value after exemptions of all real and personal property in the City. Tax Levy The result of multiplying the ad valorem property tax rate per one hundred dollars times the tax base. Tax Rate The rate applied to all taxable property to general revenue. The City's tax rate is comprised of two components; the debt service rate, and the maintenance and operations (M &O) rate. Tax Roll The official list showing the amount of taxes levied against each taxpayer or property. See also Tax Base. Taxes Compulsory charges levied by a government to finance services performed for a common benefit. TMRS The Texas Municipal Retirement System provides retirement plans to its member cities. Each city selects its own plan and its contributions are computed on each individual city's plan and actuarial information. Transmittal Letter A general discussion and overview of the proposed budget as presented in writing by the City Manager to the City Council Unencumbered Balance The amount of an appropriation that is not expended or encumbered. It is essentially the amount of money still available for future purchases. 319 Glossary User Charges The payment of a fee for direct receipt of a public service by the party who benefits from the service. Utility Fund See Proprietary Fund. Vision The desired optiumum state or ultimate goal of the City or Department. 320 Agenda No. 6 CITY COUNCIL MEMORANDUM City Council Meeting: September 2, 2014 Department: Subject: BACKGROUND Finance Second Reading Ordinance No. 14 -T -43- FY 2014 -15 Tax Rate In accordance with Chapter 26 of the Texas Tax Code the City Council must hold two (2) public hearings on a proposed tax rate. At the August 5th, 2014 regular session the City Council, by record vote, established a proposed preliminary maximum tax rate of $0.4974 per $100 of value. The proposed rate is not subject to rollback. The first required public hearing was conducted at the August 19th regular session and the second required public hearing was conducted at the August 26th regular session. FISCAL IMPACT The Property Tax Rate is $0.4974 per $100 valuation. The M &O portion of the tax rate will increase to $0.3164 per $100 valuation. The I &S portion will decrease to $0.1810. RECOMMENDATION Staff recommends that the City Council approve Ordinance No. 14 -T -43 approving the Fiscal Year 2014 -15 Proposed Tax Rate on the second and final reading. The motion is "I move that property taxes be increased by the adoption of a tax rate of $0.4974, which is effectively a 2.4% increase in the tax rate." ATTACHMENT Ordinance No. 14 -T -43 ORDINANCE NO. 14 -T -43 AN ORDINANCE APPROVING THE APPRAISAL ROLL; SETTING THE TAX RATE; LEVYING AND ASSESSING GENERAL AND SPECIAL AD VALOREM TAXES FOR THE USE AND SUPPORT OF THE MUNICIPAL GOVERNMENT OF THE CITY OF SCHERTZ, TEXAS; APPORTIONING THE LEVIES FOR SPECIFIC PURPOSES; PROVIDING A SEVERABILITY CLAUSE; AND PROVIDING AN EFFECTIVE DATE. WHEREAS, the City Manager of the City of Schertz submitted a tax rate proposal to the City Council prior to the beginning of the fiscal year, and in said tax rate proposal set forth the estimated necessary tax rate required to provide adequate revenues for the general use and support of the Municipal Government of the City of Schertz Texas; and WHEREAS, the City Council finds that all provisions pertaining to the adoption of an ad valorem tax rate have been in all things complied with; and WHEREAS, a Public hearing was held by the City Council of the City of Schertz on the 19th day of August, 2014 and a second Public Hearing was held on the 26th day of August 2014; and WHEREAS, after a full and final consideration, the City Council is of the opinion that the tax rate and ad valorem tax appraisal roll should be approved and adopted; and WHEREAS, the taxes have been levied in accordance with the adopted 2014 -15 budget as required by state law; NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS, THAT: SECTION 1. The ad valorem tax appraisal roll and effective tax rate information as presented by the tax assessor for the tax year 2014, be and is hereby in all things approved and adopted. SECTION 2. This tax rate will raise more taxes for Maintenance and Operations than last year's tax rate. SECTION 3. This tax rate will raise taxes for Maintenance and Operations on the average Home by approximately $46. SECTION 4. There is hereby levied and assessed and there shall be collected for the tax year 2014 for the general use and support of the Municipal Government of the City of Schertz, Texas a total ad valorem tax of Forty -Nine Seventy -Four Cents ($0.4974) on each One Hundred Dollars ($100.00) of valuation of property — real and personal — within the corporate limits of the City of Schertz, Texas, subject to taxation. The assessment ratio shall be One Hundred percent (100 %). SECTION 5. The City Council of the City of Schertz, Texas, does hereby levy or adopt the tax rate on $100.00 valuation for this city for tax year 2014 as follows: 1. 0.3164 for the purpose of maintenance and operation 1. 0.1810 for the payment of principal and interest on debt 2. 0.4974 total tax rate SECTION 6. It is hereby declared to be the intention of the City Council that the phrases, clauses, sentences, paragraphs and sections of this ordinance are severable, and if any phrase, clause, sentence, paragraph or section of the ordinance shall be declared unconstitutional by the valid judgment or decree of any court of competent jurisdiction, such unconstitutionality shall not affect any of the remaining phrases, clauses, sentences, paragraphs and sections of this ordinance, since the same would have been enacted by the City Council without the incorporation in this ordinance of any such unconstitutional phrase, clause, sentence, paragraph or section. SECTION 7. This ordinance shall be in full force and effect from and after its passage, and it is so ordained. SECTION 8. Ad valorem taxes for the year are due and payable on October 1, 2014 and shall become delinquent after January 31, 2015. A delinquent tax shall incur all penalty and interest authorized by state law, Section 33.01 of the Property Tax Code. Taxes that remain delinquent on and after July 1, 2015, incur an additional penalty of 15% of the amount of the taxes, penalty and interest due, such additional penalty to defray the cost of collection as authorized in Section 6.30 of the Property Tax Code. The City shall have available all rights and remedies provided by law for the enforcement of the collection of taxes levied under this ordinance. SECTION 9. Taxes are payable at the office of the counties of Comal, Bexar and Guadalupe. PASSED AND APPROVED ON FIRST READING THIS 26th DAY OF AUGUST 2014. Michael R. Carpenter, Mayor ATTEST: Brenda Dennis, City Secretary PASSED AND APPROVED ON SECOND READING THIS 2nd DAY OF SEPTEMBER 2014. Michael R. Carpenter, Mayor ATTEST: Brenda Dennis, City Secretary Agenda No. 7 CITY COUNCIL MEMORANDUM City Council Meeting: September 2, 2014 Department: Subject: BACKGROUND Administration Cancellation of the September 9, 2014 City Council meeting City Staff has found there are no items to be presented to Council for action. FISCAL IMPACT None RECOMMENDATION Staff recommends Council approve the cancellation of the September 9, 2014 City Council meeting.