14-R-90 - Accepting three semiannual reports for progress of the Capital Improvements PlanRESOLUTION NO. 14 -R -90
A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF
SCHERTZ, TEXAS ACCEPTING THREE SEMIANNUAL REPORTS
WITH RESPECT TO THE PROGRESS OF THE CAPITAL
IMPROVEMENTS PLAN, AND OTHER MATTERS IN CONNECTION
THEREWITH
WHEREAS, the Capital Improvements Advisory Committee has reviewed the revenue
and expenditures relating to the established Capital Recovery Fees in accordance with the
Capital Improvements Plan for the City of Schertz; and
WHEREAS, the City Council accepts the three Semiannual Reports as filed by the
Capital Improvements Advisory Committee in accordance with Texas Local Government Code
Chapter 395; then
BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS
THAT:
Section 1. The City Council hereby accepts the minutes of the September 10, 2014
City of Schertz Capital Improvements Advisory Committee as shown in the attached Exhibit A,
and the three Capital Recovery Advisory Reports with respect to the progress of the Capital
Improvements Plan for the City of Schertz, Texas for the periods of October 1, 2012 through
March 31, 2013, April 1, 2013 through September 30, 2013 and October 1, 2103 through March
31, 2014 as shown in the attached Exhibit B.
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any provision of this Resolution are hereby repealed to the extent of such conflict, and the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.
50459012.1
Section 7. This Resolution shall be in force and effect from and after its final
passage, and it is so resolved.
PASSED AND ADOPTED, thisJ��day of 2014.
CITY OF R TEXAS
Michael R. Carpenter, Mayor
ATTEST:
Bre a Dennis, City Secretary
(CITY SEAL)
50459012.1
EXHIBIT A
50459012.1 A -1
Capital Improvements Advisory Committee
Minutes
September 10, 2014
The Capital Improvements Advisory Committee convened on Wednesday, September 10, 2014 at 6:00 pm in
the Council Chambers, 1400 Schertz Parkway, Bldg. 4 Schertz, Texas.
Members Present:
Richard Braud
Bert Crawford
Ken Greenwald
David Richmond
Michael Dahle
Ernie Evans
Tim Brown
Dr. Mark Penshorn
Members Absent:
Christian Glombik
Staff Present:
Brian James, Executive Director of
Michelle Sanchez, Director of Development
Lesa Wood, Senior Planner _ru —LL
Bryce Cox, Planner I _
Patti White, Executive Lis nt DWeQNic
2.
reports from October 1, 2012 through
'the City bf Schertz on achieving the Capital Improvements
implementing the plans or administering the capital recovery
1es, who stated that when the three semiannual reports were presented
months ago, there were questions including how this fits with our
ibute a complete set of the plan to the committee.
The first report is thec ree ed semi - annual report from October 1, 2012 through March 31, 2013. In
order to finalize this report , staff had to do several years of research on the history of the Capital
Recovery Fund. During this review, Staff found an error when the loan was made to the Water Fund for
water meters. This was corrected and coordinated with the independent auditor. The correction resulted
in a higher ending fund balance. In addition, the reporting format was reviewed for consistency. You
are also reviewing two reports tonight for April 2013 — September 2013, and for October 2013 — March
2014. The next six month report you will receive will be for the period ending September 30, 2014.
For the previous five year window, you will see how much was collected in capital recovery fees for
sewer and water. Compared with what the City built, and you will see how the methodology enabled
these impact fees to be used. Capital fees can only be used to fund projects developed during that
window, and part of the new growth is funded by existing users.
Mr. Richmond opened the Public Hearing at 6:15 P.M. There being no one to speak, the Public Hearing
was closed at 6:16 P.M.
Oct. 1, 2012 to March 31, 2013 Impacts Fees
Beginning Impact Fee Balance
Revenues:
Impact Fees
Fund Transfers
Investments Gain/Loss
Reimbursements
Expenses:
Capital Recovery Study Review
CCMA- NorthCliffe Impact Fees
Auditor /Accounting Service
Investment Management Fee
East Oak Water Pump - Advertising
East Oak Water Pump - Engineering
S. WW Treatment Plant - Pre- Design
Woman Hollering Creek Treatment-Y
Schaefer Road Water Line = r:
Total Revenue Over /
Ending
* **
Oct 1, 201 -fo -Mar 31,
Beginning Img7fFee Balance
Revenues: -
Impact Fees
Interest Earned
Water Loan - Interest _
Investments Income
Capital One - Investment Income
Expenses:
Capital Recovery Study Review
Investment Management Fee
East Oak Water Pump - Advertising
East Oak Water Pump - Engineering
S. Reg. Reclamation Plant - Pre - Design
Water
*$2,953,706.10
385,821.00
* * * **
Water
110.20
385,821.00
132.26
14,439.01
2,144.62
0.00
(2,047.50)
0.00
(264.64)
(2,495.00)
0.00
Sewer Total
2,850,443.72 $5,804,149.82
219,586.68 605,407.68
- 0.00 0.00
4,496.60 6,772.26
N .00 0.00
(2,047.0-1-7 (4,095.00)
0.00
`
0.00
0.00
=
0.00
910.89
(2,133.49)
3,538.50
(2,133.49)
0.00
(264.64)
0.00
(2,495.00)
32,262.17)
(82,262.17)
m_ =_ 0.00
0.00
n3 0.00
0.00
37,640.17 520,929.64
2,988,083.89 6,325,079.46
Sewer Total
2,839,542.58 6,114,952.78
219,586.68
605,407.68
45.99
178.25
0.00
14,439.01
910.89
3,055.51
3,538.50
3,538.50
(2,047.50) (4,095.00)
(2,133.49) (2,133.49)
0.00 (264.64)
0.00 (2,495.00)
(82,262.17) (82,262.17)
Total Revenue Over/(Under) Expense
397,729.75
137,638.90
535,368.65
Ending Impact Fee Balance
3,673,139.95
2,977,181.48
6,650,321.43
Apr 1, 2013 to Sept 30, 2013
Water Sewer Total
Beginning Impact Fee Balance 3,673,139.95 J277,181.48 6,650,321.43
Revenues
Impact Fees
__0:0Ff2'
441,567.00�. '388,865.16
830,432.16
Interest Earned
14 8.o4i10P
22.87
170.91
Water Loan - Interest
12J62p6S
KW.00
12,362.65
Investment Income
1715:77
3,640.88
Capital One - Investment Income
rffi:H .00
2,2711.
2,270.48
Expenses:
152.04
77.03
229.07
CCMA
2,647.64
(1,800.00)
i (1,800.00)
Auditor/Accounting Service
(1,145.03) m
(854.97)
= (2,000.00)
Investment Management Fee 0.00
(2,134.34)
(2,134.34)
East Oak Water Pump - Advertising 0.00 0.00
0.00
East Oak Water Pump - Engineering
neering
(1-2-M76-N�Z6
2 X; 6_4
0.00
(12,378.64)
S. Reg. Reclamation Plant -Pre Design
0.00
qm�
1.30)
(49,861.30)
Total Revenue Ove Expense
r/M
`��=-QE7_3_37,623.67
780,702.80
Total Revenue Over/(Under) Expense
Ngr�
_NT1
786,759.58
Total Impact Fee Balance4
4,1 iW08
3,314,805.15
7,431,024.23
Oct 1A 20f3 to Mar 31, 201
=rte
Water
BeginningifeNpt Fee Balance qj&
�41 ��-4,116,219.08
Sewer
3,314,805.15
Total
7,431,024.23
Revenues:
Impact Fees
400,491.00
386,104.22
786,595.22
Interest Earned
152.04
77.03
229.07
Investments Income
2,647.64
1,040.74
3,688.38
Capital One mffl
- Investment InCo;:;
0.00
4,438.63
4,438.63
Expenses:
Investment Management Fee
0.00
(2,142.65)
(2,142.65)
South East Quad Elevated Tank
(6.77)
0.00
(6.77)
S. Reg. Reclamation Plant - Pre-Design
0.00
(6,042.30)
(6,042.30)
Total Revenue Over/(Under) Expense
403,283.91
383,475.67
786,759.58
Ending Impact Fee Balance
4,519,502.99
3,698,280.82
8,217,783.81
* * * * * * * * * * * * * * * * * * * * **
Discussion continued between Staff and the Committee.
Mr. Brown moved to accept and file the three semi - annual reports with City Council as presented. Mr.
Crawford seconded the motion. Vote was 8 -0. Motion carried.
5. Adjournment: Mr. Richmond adjourned the meeting at 6:22
Chairman, Capital Improvements Advisory Committee
Recording Secretary
EXHIBIT B
50459012.1 A -2
Oct i, 2012 to War 31, 20•i3
(2,047.50)
(4,095.00)
0.00
(2,133.49)
mfrmCTS FEES
�-
Beginning Impact Fee Balance'
Water
Sewer
Total
(2,495.00)
3,275,410.20
2,839,542.56
6,114,952.78
Revenues:
Impact Fees
InterestEarned z
385.821.00
219.566.68
- _
605,407:68_ _
Wafer Loan - Inferest 0
132.28
45.99
178.25
Investments Income 4
14,439.01
0.00
14,439.01
Capital One - Invesh nentlncome°
2,144.62
910.89
3,C55.51
Expenses:
0.00
3,538.50
3,538.50
Capital Recovery Study Review a
Investment Management Fee r
East Oak Water Pump - Advertising a
East Oak Water Pump - Engineering 9
S. Reg. Reclamation Plant - Pre -Design 10
Total Revenue Overt(Under) Expense
(2,047.50)
(2,047.50)
(4,095.00)
0.00
(2,133.49)
(2,133,49)
(264.64)
0.00
(264.64)
(2,495.00)
0.00
(2,495.00)
0.00
(82,262.17)
(82,262.17)
397,729.75 137,M8.90 535,368.65
Ending Impact Fee Balance 3,673,139.95 2,977,181.48 6,850,321.43
Beginning Water Impact fee includes loan for water meters of $450 ,506.76
1 Impact Fees collected between Oct 1, 2012 through Mar 31, 2013
z Bank Interest collected between Oct 1, 2012 through Mar 31, 2013. Based on ending bank cash balance.
Water ending cash balance of $838,933.10 Bower ending cash balance of $159,736.44
s Interest From loan to Water department far purchase of water meters.
4 Investment Income collected between Oct 1, 2012 through Mar 31, 2013
Water and Sewer have separate investment accounts.
6 Investment income from the Capital One Investment for Sewer recorded between Oct, 12012
through Mar 31, 2013.
e Capital Recovery Study Review expenses 60% to Water and
60% to Sewer. Conducted by Economist,com
r Investment Management Fee charged on the Capital One Investmentfor Capital Recovery
Sewer Fund.
° Advertising forengineering bids on the East Live Oak Plant]Pump upgrades.
Engineering costs from Ford Engineering forthe East Live Oak PlantiPUmp upgrades
10 Design costs from Clbolo Creek Municipal Authority for the South Regional Water Reclamation Plant.
Explanation of changes /revisions for report submitted June 2013
The beginning balances in the previous report were Water $2,953,706.10 and Sewer $2,850,44.3.72.
The corrected beginning balances are Water $3,275,410.20 and Sewer $2,839,542.58. The difference in the
Water balance was a correction to the water meter loan of $310,802.96. There was also an adjustment of
$10,901.14 for the reassignment of the cost of an asset to Sewer.
Total revenues in the previous report were Water $383,289.7 and Sewer $> 37,64o.17, The corrected
total revenues are Water $397,729,75 and Sewer $137,638,90. The difference in the Water revenues were
the Water Loan Interest of $14,439.01 and an adjustment to Interest of $1.27. For Sewer total revenues, the
difference was Interest adjustment of of - $1.27.
In the previous report, ending balances for Water were $3,336,995,57 and Sewer $2,988,083.89 for a total of
$6,325,079.46. The corrected ending balances are Water $3,673,139.95 and $2,977,18148 for a total of
$6,650,321.43. A difference of $325,241.97.
Apr 1, 2013 W Sopt 30, 2013
Beginning Impact Fee Balance'
Revenues:
Expenses:
Impact Fees 2
Interest Earned'
Water Loan - Interest"
Investment Income 5
Capital One - Investment Income 0
CCMA'
Auditor /Accounting Service e
Investment Management Fee 0
East Oak Water Pump - Engineering 70
S. Reg. Reclamation Plant - Pre - Design "
Total Revenue Overl(Under) Expense
Total Impact Fee Balance
' Beginning Impact Fee balance as of Apr 1, 2013
2 Impact Fees collected between Apr 1, 2013 through Sept 30, 2013
IMPACTS FEES
Water Sewer Total
3,673,139.95 2,977,181.48 6,650,321.43
441,567.00
388,865.16
830,432.16
148.04
22.87
12,362.65
0.00
12,362.65
2,525.11
1,115.77
3,640.88
0.00
2,270.48
2,270.48
0.00
(1,800.00)
(1,800.00)
(1,145.03)
(854.97)
(2,000.00)
0.00
(2,134.34)
(2,134.34)
(12,378.64)
0.00
(12,378.64)
0.00
(49,861.30)
(49,861.30)
443,079.13 337,623.67 780,702.80
4,116,219.08 3,314,805.15 7,431,024.23
' Bank interest collected between Apr 1, 2013 through Sept 30, 2013. Based on ending bank cash balance.
Water cash balance of $434,858.54 Sewer cash balance of $67,169.28
° Interest from loan to Water department for purchase of water meters. Loan paid off in Sept 2013.
s Investment Income collected between Apr 1, 2013 through Sept 30, 2013
Water and Sewer have separate investment accounts.
8 Investment Income from Capital One Investment for Sewer fund collected between Apr 1, 2013 thru Sept 30, 2013
' Payment to CCMA - Correction
8 Auditor /Accounting Service expenses allocated by percentage of Water fund
balance and Sewerfund balance.
9 Investment Management Fee charged on the Capital One Investment for Sewer Fund.
10 Engineering costs from Ford Engineering for the East Oak Plant/Pump upgrades
" Design costs from Ctbolo Creek Municipal Authority forthe South Regional
Water Reclamation Plant.
Oct 1, 2013 to Mar 31, 2014
Beginning Impact Fee Balance
Revenues:
Expenses:
Impact Fees'
Interest Earned 2
Investments Income 3
Capital One - Investment Income 4
Investment Management Fee 5
South East Quad Elevated Tanka
S. Reg. Reclamation Plant - Pre - Design
Total Revenue Over /(Under) Expense
Ending Impact Fee Balance
1 Impact Fees collected between Oct 1, 2013 through Mar 31, 2014
2 Bank Interest collected between Oct 1, 2013 through Mar 31, 2014.
IMPACTS FEES =< "•*�•�•• =•,
Water
Sewer
Total
4,116,219.08
3,314,805.15
7,431,024.23
400,491.00
386,104.22
786,595.22
152.04
77:03
229.07
2,647.64
1,040.74
3,688.38
0.00
4,438.63
4,438.63
0.00
(2,142.65)
(2,142.65)
(6.77)
0.00
(6.77)
0.00
(6,042.30)
(6,042.30)
3 Investment Income collected between Oct 1, 2013 through Mar 31, 2014
Water and Sewer have separate Investment accounts.
403,283.91 383,475 67 786,759.58
4,519,502.99 3,698,280.82 8,217,783.81
4 Investment Income from the Capital One investment for Sewer recorded between Oct, 12013
through Mar 31, 2014.
5 Investment Management Fee charged on the Capital One Investment for Capital Recovery
Sewer Fund.
6 Engineering costs on the South East Quad Elevated Tank. (Poslage•certlfed mall to TCEQ)
2 Oeslgn costs from Cibolo Creek Municipal Authority for the South Regional Water Reclamation Plant.