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FY 2018-19 BudgetCity of Schertz Fiscal Year 2018 -19 Budget Cover Page This budget will raise more total property taxes than last year's budget by $1,442,093 or 9% increase, and of that amount, $570,214 is tax revenue to be raised from new property added to the tax roll this year. The members of the governing body voted on the proposal to consider the budget as follows: FOR: Councilmember Davis Councilmember Gutierrez Councilmember Edwards Councilmember Kiser Councilmember Crawford AGAINST: Councilmember Larson Councilmember Scagliola PRESENT and not voting: N/A ABSENT: N/A Property Tax Rate Comparison 2018 -19 Property Tax Rate: $0.5146/100 Effective Rate: $0.4892/100 Effective Maintenance & Operations Tax Rate: $03238/100 Rollback Tax Rate: $0.5146/100 Debt Rate: $0.1649/100 2017 -18 $0.4910/100 $0.4910/100 $0.3168/100 $0.5083/100 $0.1662/100 Total debt obligation for the City of Schertz secured by property taxes: $ 90,439,353 E : in W a s ym CITY COUNCIL MICHAEL CARPENTER Mayor MARK DAVIS Council Member, Place 1 RALPH GUTIERREZ Council Member, Place 2 SCOTT LARSON Council Member, Place 3 CEDRIC EDWARDS Mayor Pro -Tem Council Member, Place 4 DAVID SCAGLIOLA Council Member, Place 5 ANGELINA KISER Council Member, Place 6 BERT CRAWFORD Council Member, Place 7 -- - BRIAN C. JAMES, ACTING CITY MANAGER DUDLEY D. WAIT, EXECUTIVE DIRECTOR KYLE KINATEDER, EXECUTIVE DIRECTOR SARAH GONZALEZ, ASSISTANT TO THE CITY MANAGER JAMES P. WALTERS, FINANCE DIRECTOR RICARDO J. FRAIRE, FINANCIAL ANALYST RENE A. ZARATE, STAFF ACCOUNTANT ELIZABETH WILEY, SENIOR PAYROLL SPECIALIST MARTHA CANSECO- AMESCUA, SENIOR ACCOUNTS PAYABLE SPECIALIST City of Schertz Our Vision Community. Service. Opportunity. Our Mission Leading, improving, and serving a livable, sustainable and financially sound community City Policy Values 1. Safe Community 2. Essential Services 3. High Quality of Life 4. Attractive Community 5. Economic Prosperity 6. Fiscally Sustainable City Operational Values 1. Systems Management 2. Engaged Workforce 3. Innovative 4. Proactive 5. Service Oriented City Core Value 1. Do the right thing 2. Do the best you can 3. Treat others the way you want to be treated 4. Work cooperatively as a tea CITY OF SCHERTZ 2018 -19 BUDGET Table of Contents Budget Ordinance 1 Drainage Tax Rate Ordinance 4 Summary Organization Chart 7 Revenues Executive Summary 8 Expenditures General Fund Summary 21 Revenues 26 City Council 31 City Manager 35 Municipal Court 39 311 /Customer Relations 44 Planning & Zoning 48 Legal Services 55 City Secretary 58 Non - Departmental 62 Public Affairs 65 Engineering 73 Geographic Information Systems 80 Police 84 Fire Rescue 96 Inspections 103 Streets 110 Parks, Recreation, & Community Services 115 Pools 121 Event Facilities 125 Library 130 Animal Services 137 Information Technology 142 Human Resources 146 Finance 151 Purchasing & Asset Management 156 Fleet Services 161 Facility Services 166 City Assistance 171 Court Restricted Funds 173 Special Events 175 Interest & Sinking Fund 178 Water & Sewer Summary 183 Business Office 189 Water & Sewer Administration 194 Capital Recovery - Water 204 Capital Recovery — Sewer 210 Emergency Medical Services (EMS) Summary Revenues Expenditures Schertz Economic Development Corporation Summary Revenues Expenditures Special Revenue Funds Public, Educational, and Government (PEG) Access Fund Hotel /Motel Tax Park Fund Tree Mitigation Library Board Fund Historical Committee Position Authorization Table Pay Tables Capital Project List Debt Service Tables Glossary 216 222 223 227 234 235 239 246 247 251 256 261 265 269 273 277 282 288 290 327 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 Acting 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 28th day of August 2018, and the 4th day of September 2018; and WHEREAS, after a full and final consideration, the City Council is of the opinion 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, 2018, and ending September 30, 2019, 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 2018, and ending the thirtieth day of September 2019. 1 of 332 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: General Fund $33,489,265 Special Events Fund 156,510 Tax I &S Fund 6,653,723 Water & Sewer Fund 24,435,188 Capital Recovery -Water 256,000 Capital Recovery -Sewer 260,500 Drainage Fund 1,162,559 EMS Fund 9,235,636 SEDC 5,749,744 PEG Fund 195,000 Hotel Occupancy Tax Fund 256,732 Park Fund 100,000 Tree Mitigation 75,000 Library Fund 32,400 Historical Committee 11,750 Total $82,070,007 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. 2 of 332 SECTION 5. 3 of 332 WHEREAS, the Acting 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 28th day of August 2018 and a second Public Hearing was held on the 4th day of September 2018; and WHEREAS, after a full and final consideration, the City Council is of the opinion 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 2018 -19 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 2018, 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. The tax rate will effectively be raised by 8% and will raise taxes for maintenance and operations on a $100,000 home by approximately $25.90. 4 of 332 x'• e\ •. There is hereby levied and assessed and there shall be collected for the tax year 2018 for the general use and support of the Municipal Government of the City of Schertz, Texas a total ad valorem tax of Fifty -One Forty-Six Cents ($0.5146) 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 %). 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 2018 as follows: 1. 0.3497 for the purpose of maintenance and operation 2. 0.1649 for the payment of principal and interest on debt 3. 0.5146 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, 2018 and shall become delinquent after January 31, 2019. 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, 2019, 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. 5 of 332 SECTION 9m 6 of 332 CITY OF SCHERTZ ORGANIZATIONAL FY 2018-19 1 *Appointed by City Council 7 of 332 Executive Summary General Fund Revenue: General Fund revenue will increase 1.2% over FY 2017 -18 year end estimates and the largest contributor to this increase will be from property taxes. The property taxes for FY 2018 -19 are estimated to increase 11.2% from FY 2017 -18 year end estimates with the increase in the Maintenance and Operations (M &O) rate to $0.3497. The revenue generated by this rate increase will go to fund additional streets, parks, and facility maintenance. Sales Taxes are expected to increase 5.8% from year end estimates. This trend follows the area population growth and the potential for new businesses yet is conservative when looking at the average 5 -year growth. Permits, Fees, Fines, and Other Tax are expected to decrease 25.2% from year end estimates due to an irregular volume of permits in FY 2017 -18 which marked the second highest intake of permit revenue received by the City in a single year. Permit revenue is expected to return to regular historic levels for FY 2018 -19. Miscellaneous Income will also decrease 25.6% due to an influx in public safety deployment reimbursements in FY 2017 -18. Throughout the end of FY2016 -17 and all of FY 2017 -18, City of Schertz Firefighters were deployed to disasters statewide ranging from Hurricane Harvey aftermath to wildfires to render aid. These deployments are fully reimbursed by Federal and State programs. FY 2017 -18 is a high year for deployment request reimbursements which is not expected to continue in FY 2018 -19. Expenses: The overall FY 2018 -19 General Fund Budget increased 9.2% from FY 2017- 18 year end estimates. This increase includes $735,000, or a 2.4% increase, for streets, parks, and facility maintenance programs. The City's parks and streets were identified in the Citizen Satisfaction Survey of 2016 as areas for the City to improve upon. The tax rate increase was proposed to raise the funds start addressing concerns about levels of service in these areas. Also new to the FY 2018 -19 Budget is the grand opening of Fire Station 3 which includes full year funding of operational costs and the final 3 personnel that were hired mid 2017- 18. Another notable item for the FY 2018 -19 Budget is the implementation of the Classification & Compensation Study's fourth and final year of the recommendation. 131 employees in 65 different positions throughout the General Fund and other Operating Funds will receive a pay change in accordance with the recommendation. These were positions identified in a survey conducted by a 3rd party that were below market averages 8 of 332 EXECUTIVE SUMMARY for pay in their field. The fiscal impact on the General Fund for the fourth year adjustment will be $265,000. In FY 2017 -18 a new permit software began the implementation process. The total project cost is estimated to be $375,000 and will improve the plan review and permit issuing process by making it streamlined for a faster and more convenient way for developers and residents to build in Schertz. The estimated remaining project cost that was not expensed in FY 2017 -18 of is included in the FY2018 -19 to complete the project. City Council The FY 2018 -19 Budget increase 16.4% from FY 2017 -18 year end estimates due to recording costs for Council on the Go meetings. City Manager The FY 2018 -19 Budget decrease 11.9% from the FY 2017 -18 year end projections due to decrease in personnel costs. Municipal Court The FY 2018 -19 Budget decrease 7.3% from FY 2017 -18 year end projections with the transfer of a Court Clerk position to a Floating Clerk position split between Inspections and Utility Billing. This transfer was due to increased workloads seen in Inspections and Utility Billing while less citations are being issued. 311 Customer Service The FY 2018 -19 Budget will decrease 1.4% from FY 2017 -18 year end projections. There will be no change in operations. Planning & Zoning The FY 2018 -19 Budget increase 2.2% from FY 2017 -18 year end projections by increasing supplies and training. Legal Services The FY 2018 -19 Budget will increase 15.9% from FY 2017 -18 year end projections to $160,000 which is estimated to be enough to cover charges for the most common legal matters including contract review. City Secretary The FY 2018 -19 Budget will increase 3.0% from FY 2017 -18 due to additional Unified Development Code amendments that will need to be recorded in the City's Code of Ordinances. Non - Departmental The FY 2018 -19 Budget will increase 18.3% from FY 2017 -18 year end projections by increasing City Support Services to set contingencies to the starting value of $300,000 and increasing the County Appraisal District costs due to a rising population. 9 of 332 EXECUTIVE SUMMARY Public Affairs The Public Affairs Budget for FY 2018 -19 combined the previously separated Records Management, Schertz Magazine, and Public Affairs. The FY 2018 -19 Budget will decrease 13.9% from the FY 2017 -18 year end estimates due to a transfer of the two Special Events personnel to the Parks Department. Offsetting part of the decreased from the transferred program, is the implementation of the second Citizen Satisfaction Survey to take place in FY 2018 -19. Records Management Beginning FY 2018 -19, this Budget will be combined with the Public Affairs Department. Schertz Magazine Beginning FY 2018 -19, this Budget will be combined with the Public Affairs Department. Engineering The FY 2018 -19 Budget will increase 8.8% from FY 2017 -18 year end projections by providing for additional plan review services and a replacement work truck. GIS The FY 2018 -19 Budget increases 0.1 % from the FY 2017 -18 year end projections with no change in operations. Police Beginning in FY 2018 -19, this Budget will be combined with the Marshal and Environmental Health Budgets. The FY 2018 -19 Budget increases 6.2% from the FY 2017 -18 year end estimates with the addition of 1 Student Resource Officer with a vehicle and equipment as well with lower turnover with the new cadet program. Fire Rescue The FY 2018 -19 Budget will increase 10.1% from the FY 2017 -18 year end estimates. This increase is due to the additional operating costs associated with opening of Fire Station 3 including full year funding of all personnel assigned to Station 3 and associated overtime and the purchase of a replacement Brush Truck. Inspections The FY 2018 -19 Budget will decrease 4.8% from the FY 2017 -18 year end estimates. The addition of half of a Floating Clerk salary, split with Utility Billing, will be offset by lowering the third party inspection services contract use. FY 2017 -18 saw an increase use of this contract with the large number of permits that is not expected to continue into FY 2018 -19. Contract Services will further be decreased and will fully offset the hiring of 2 additional Building Inspector positions. Marshal Services Beginning FY 2018 -19, this Budget will be combined with the Police Department. 10 of 332 EXECUTIVE SUMMARY Streets The FY 2018 -19 Budget will increase 7.3% from the FY 2017 -18 year end estimate with the addition of $235,000 for additional streets and sidewalk maintenance throughout the City. Parks The FY 2018 -19 Budget will increase 46.0% from the FY 2017 -18 year end estimate. This increase is from the addition of $235,000 for regular park maintenance through additional supplies and improvements. Also included in the Budget are improvements for the Senior Center Parking Lot of $50,000 and $165,500 for two replacement mowers, a replacement work truck, and a replacement bucket truck. Pools The FY 2018 -19 Budget will increase 10.5% from the FY 2017 -18 year end estimate. The annual contribution for the operations of the Aquatics Center can vary year by year based on fiscal performance of the YMCA. The proposed budget includes an average of the actual costs incurred since the Aquatics Center opened. Event Facilities The FY 2018 -19 Budget will increase $281,373 from the FY 2017 -18 year end estimate due to the dedicated support staff being transferred from Building Maintenance to this budget as well as the Civic Center Manager position from Public Affairs. Overall, this includes the transfer of 4 full time personnel and 1 part time and no new positions. This increase also includes $20,000 for a cleaning contract for the Civic Center to assist in keeping the facility clean and ready for customers' use. Library The FY 2018 -19 Budget will increase 1.2% from the FY 2017 -18 year end estimate with the one time funding of additional $20,000 of library materials. Animal Services The FY 2018 -19 Budget will decrease 4.5% from the FY 2017 -18 year end estimates due to the decrease in capital expenditures. Capital expenditures do not occur every year and only when the vehicle or equipment needs to be replaced. Non - capital expenditures will increase 8.3% for estimating lower turnover in FY 2018 -19. Environmental Health Beginning FY 2018 -19, this Budget will be combined with the Police Department. Information Technology The Information Technology FY 2018 -19 Budget increased 15.5% from the FY 2017 -18 year end estimates. Included in FY 2018 -19 is the remaining costs of setting up the new permit software of $233,137 plus additional $20,000 in tablets and peripherals for staff and board members to leverage the new software for operating efficiencies. Personnel Services increased with the transfer of the Public Safety Systems Technician from the 11 of 332 EXECUTIVE SUMMARY Police Budget to Information Technology. New software and equipment also includes new Animal Shelter management software. Human Resources The FY 2018 -19 Budget will increase 19.3% from the FY 2017 -18 year end estimate for a formal employee compensation study conducted by a third party and transferring existing budget for Employee Appreciation Events from the Special Events Fund to Staff Support. Finance The FY 2018 -19 Budget will increase 9.6% from the FY 2017 -18 year end estimate due to a higher personnel estimates caused by lower expected turnover. Purchasing & Asset Management The FY 2018 -19 Budget will decrease 5.8% from the FY 2017 -18 year end estimate due to lower capital expenditures. Capital expenditures include vehicles and equipment that are not expected to be replaced or purchased every year. Fleet Services The FY 2018 -19 Budget will increase 11.0% from the FY 2017 -18 year end estimate due to additional capital expenditures related to replacement of a tire balancing machine and vehicle and the purchase of a new hot water pressure washer and parts cleaning tank. Facility Services The FY 2018 -19 Budget will increase 7.5% from the FY 2017 -18 year end estimate. This increase added an additional $200,000 in supplies and improvements for additional maintenance of city facilities. Also included is a new HVAC Technician to perform regular maintenance on the City's air conditioning system which will extend its life and reduce future costs. This increase is offset by a transfer of personnel to Event Facilities, including 3 full time positions and a part time position to be dedicated to the civic and community centers. City Assistance The FY 2018 -19 Budget will increase 4.4% from the FY 2017 -18 year end estimate due to an increase in the transportation assistance program to match the growth. Court Restricted Funds The FY 2018 -19 Budget will increase $27,180 from the FY 2017 -18 to replace old ticket writers from the Court Technology Fund Balance. Special Events Fund Revenue: The revenue for FY 2018 -19 is expected to decrease 4.5% from FY 2017 -18 year end estimates for with the removal of transfers for employee appreciation events. 12 of 332 EXECUTIVE SUMMARY Expenses: The Special Events Fund FY 2018 -19 Budget increased 6.5% from the FY 2017 -18 year end estimates. This increase is for new events such as a Daddy Daughter Dance, a Kickball League, and a Dodgeball League which are offset by registration and ticket fees. Employee appreciation events will now be in Human Resources' budget. Interest & Sinking Fund Revenues: Revenues for FY 2018 -19 increase 5.9% from the FY 2017 -18 estimate with a $113,723 transferred from reserves for the year. This withdraw is a planned transfer of excess reserves to reduce the tax rate. Expenses: The FY 2018 -19 Budget will decrease 2.4% from the FY 2017 -18 year end estimate with the completion of the 2013 Tax Notes. Water & Sewer Fund Revenue: Revenues for FY 2018 -19 are expected to increase 6.2% from the FY 2017- 18 year end estimate. Expenses: The FY 2018 -19 Budget increases 7.0% from the FY 2017 -18 year end estimates to include additional bond payments for infrastructure improvements, a higher contribution to SSLGC for the new water line construction, and higher sewer treatment costs. Utility Billing The FY 2018 -19 Budget increases 15.2% from the FY 2017 -18 year end estimate with the addition of a Floating Clerk, split with Inspections, and higher expected credit card fees. Administration The FY 2018 -19 Budget will increase 11.1 % from the FY 2017 -18 year end estimate. Maintenance Services are expected to increase $600,000 due to higher sewer treatment costs. The new 2018 bond issuance will fund the replacement and installation of a new water meter system, loop lines for continuous service, and the relocation of utilities on FM1103 to make room for the road expansion which results in higher debt payments. Expected contributions to Schertz Seguin Local Government Corporation will increase to begin construction on a new water supply line into Schertz and ensure the water supply for the City. Capital Recovery Fund - Water Projects for FY 2018 -19 include conducting the Water/Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the 1 million gallon elevated tank at Corbett. Capital Recovery Fund - Sewer Projects for FY 2018 -19 include conducting the Water/Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the construction of the 13 of 332 EXECUTIVE SUMMARY main trunk line in southern Schertz that will connect to the new sewer treatment facility being added to the area. Drainage Fund Revenue: The FY 2018 -19 revenue from drainage fees is expected to increase 6.8% with new commercial and residential development occurring in the City. Overall revenue will decrease 6.8% from the prior year which saw a one time contribution from Cibolo for the bridge reconstruction. Expenses: The FY 2018 -19 Budget will increase 15.3% from the FY 2017 -18 year end estimate due to an expected reduction in turnover and additional administrative costs supporting the Engineering Department through the Interfund Charge. Overall expenditures will decrease by $1.6 million since FY 2017 -18 saw a many drainage improvement projects funded during that year, using up all available construction funds. EMS Fund Revenue: Revenues for FY 2018 -19 are expected to increase 4.0% from FY 2017 -18 year end estimates. In addition to additional transports increasing revenue, the Inter - Jurisdictional revenues will increase with a 3% rate increase to provide coverage for each community serviced by the City's EMS. Expenses: The FY 2018 -19 Budget will increase 4.5% from the FY 2017 -18 year end estimate with additional personnel and supply costs. Schertz Economic Development Corporation (SEDC) Revenues: The revenue for FY 2018 -19 is projected to increase by 35.9% from the FY 2017 -18 year -end estimate. The increase reflects a 5.8% increase in sales tax from general increases in the economy and a planned transfer from reserves of $1,249,164 for Performance Agreements. Expenses: The expenses for FY 2018 -19 are projected to increase by 145.1%, or $3,403,570, from the FY 2017 -18 year -end estimate to include $4,800,000 in Annual Infrastructure Grants associated with four SEDC Performance Agreements. This increase is partially offset with the removal in debt contributions since the corporation paid off all outstanding debt and the removal of General Fund contributions for permitting software that was made in FY 2017 -18. Public, Educational, and Governmental Access (PEG) Fund Revenue: Revenues for FY 2018 -19 are expected to increase 134.9% from the FY 2017- 18 year end estimates with a $116,009 transfer from reserves to continue the communication master plan. 14 of 332 EXECUTIVE SUMMARY Expenses: The PEG Fund FY 2018 -19 Budget increased $195,000 from the FY 2017- 18 year end estimates with the continued implementation of the communication master plan. Hotel Motel Tax Fund Revenue: Revenue for FY 2018 -19 is expected to increase 7.1 % from the FY 2017 -18 year end estimates with the addition of a new hotel in the city. Expenses: The Hotel Motel Tax Fund FY 2018 -19 Budget decreased 13.0% from FY 2017 -18 year end estimates. FY 2017 -18 included some improvements to the Civic Center which increased the budget higher than it is normally. FY 2018 -19 will decrease back to normal operating amounts. Park Fund Revenue: The revenue for FY 2018 -19 is expected to decrease 53.3% from 2017 -18 year end estimates with an expected reduction in new development to historic averages. As a project based fund, revenues are built up and collected in reserves then spent once they have reached a level to fund new projects. Expenses: The FY 2018 -19 Budget decreases 56.1% from FY 2017 -18 year end estimates with the completion of the public restrooms at the library playscape. Tree Mitigation Revenue: The revenue for FY 2018 -19 is expected to decrease 30.6% from 2017 -18 year end estimate with an expected reduction in new development to historic averages. As a project based fund, revenues are built up and collected in reserves then spent once they have reached a level to fund new projects. Expenses: The FY 2018 -19 Budget will not change from the FY 2017 -18 year end estimate. The FY 2018 -19 Budget includes shade parks throughout the city. Library Fund Revenues: Revenue for FY 2018 -19 is expected to increase 47.3% from the FY 2017- 18 year end estimate with a transfer from reserves. Expenses: The Library Fund's FY 2018 -19 Budget increased 55.0% from the FY 2017- 18 year end estimates to purchase an additional $10,000 in library materials. Historical Committee Revenues: Revenue for FY 2017 -18 will remain at the same funding allocation as FY 2017 -18. Expenses: The Historical Committee's FY 2018 -19 Budget will remain the as the FY 2017 -18 Budget. 15 of 332 Year Tax Year Rates and Property Evaluation Rate Total Taxable Valuation 2008 0.4090 2,025,0861726 2009 0.4342 2,279,1.24,755 2010 0.4493 2,3301508,707 2011 0.4843 213881205,570 2012 0.4999 2,330,237,535 2013 0.4974 21476,084,067 2014 0.4974 21706,3081881 2015 0.4911 3,029,803,646 2016 0.4911 31255,978,906 2017 0.4910 31413,283,122 2018 0.5146 39545,808,786 16 of 332 17 of 332 Revenues - All Funds General Revenue $ 331489,266 Debt Services 6,653,723 Water & Sewer 251190,685 Drainage 1,238,300 Schertz EMS 91345,316 Capital Recovery 1,826,000 Special Revenue 855,400 Historical Committee 11,750 SED Corporation 51749,744 TOTAL $ 84,360,184 18 of 332 Expenditures - All Funds Debt Service 81963,078 Personnel 28,104,647 Supplies 1,3441566 Professional & City Services 11,741,433 Utility & Maintenance Services 15,8591276 Operation Support & Services 139034,898 Capital Expense 39022,113 TOTAL 82,070,011 19 of 332 Fund Balance - All Funds 20 of 332 Estimated Beginning Balance 10/01/2018 Budgeted Change Budgeted Ending Balance 9/30/2019 General Fund 13,120,949 (1,609,075) 11,511,874 Special Events 1.01,608 250 101,858 Public, Ed., & Gov. Fund 721,506 (116,009) 605,497 Tax I &S Fund 1,244,858 (11.3,723) 1,131,135 Water & Sewer Fund 8,069,372 755,497 8,824,869 Capital Recovery Fund 1.2,718,865 1,309,500 14,028,365 Drainage Fund 269,162 75,741 344,903 EMS Fund 3,676,703 109,679 3,786,382 SEDC Fund 16,952,943 (1,249,164) 15,703,779 Hotel Tax Fund 1,701,562 271,268 1,972,830 Park Fund 295,581 (22,250) 273,331 Tree Mitigation Fund 372,51.2 5,250 377,762 Library Board 68,968 (9,500) 59,468 Historical Committee 12,628 - 1.2,628 All Funds 59,327,217 (592,536) 58,734,681 20 of 332 General Fund Expenditures - By Function Public Safety $ 141513,001 General Government 61751,996 Health 500,269 Parks & Culture 39636,417 Public Environment 194741297 Internal Services 69240,620 Miscellaneous Expense 372,666 TOTAL $ 3394899266 21 of 332 General Fund - Revenues Taxes Sales Tax Franchises Permits /License /Fees Municipal Court Inter - Jurisdictional Inter -Fund Transfers Miscellaneous Income 13,267,002 8,252,000 2,373,688 2,910,784 616,269 967,008 4,445,965 656,550 TOTAL $ 33,4891266 22 of 332 General Fund - Expenditures Personnel Supplies Professional & City Services Utility & Maintenance Services Operation Support & Services Capital Expense 21,976,794 713,866 3,157,440 2,862,588 3,354,756 1,423,822 TOTAL $ 33,489,266 23 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET FINANCIAL SUMMARY REVENUE SUMMARY Taxes 18,449,210 19,581,110 19,774,050 21,519,002 Franchises 2,213,198 2,229,265 2,245,342 2,373,688 Permits 2,304,766 1,573,356 2,164,230 1,604,320 Licenses 63,164 51,160 71,460 56,760 Fees 2,661,262 2,126,546 2,461,676 1,843,973 Fines 23,339 20,000 20,000 22,000 Inter - jurisdictional 876,886 873,008 869,019 967,008 Inter -Fund Transfers 2,484,140 4,561,214 3,011,050 4,445,965 Miscellaneous 513,522 828,350 882,907 656,550 EXPENDITURE SUMMARY GENERAL GOVERNMENT CITY COUNCIL 93,414 107,152 86,764 100,959 CITY MANAGER 1,077,769 1,130,180 1,318,103 1,161,522 MUNICIPAL COURT 342,227 375,407 374,340 346,940 CUSTOMER RELATIONS -311 117,777 117,469 123,665 121,957 PLANNING & ZONING 214,452 231,433 235,015 240,266 LEGAL SERVICES 150,698 160,000 138,000 160,000 CITY SECRETARY 190,572 195,247 200,942 207,049 NONDEPARTMENTAL 2,352,849 2,701,734 2,413,089 2,853,931 PUBLIC AFFAIRS 319,030 318,344 308,117 644,841 RECORD MANAGEMENT 47,680 66,109 62,107 - SCHERT TALES MAGAZINE 349,951 395,483 379,100 - ENGINEERING 540,453 659,326 679,527 739,220 GIS 163,737 169,488 175,061 175,311 TOTAL GENERAL GOVERNMENT 5,960,609 6,627,372 6,493,830 6,751,996 PUBLIC SAFETY POLICE 6,870,564 7,543,713 7,269,186 8,355,809 FIRE & RESCUE 4,076,530 4,896,959 4,780,700 5,261,613 INSPECTIONS 811,916 948,947 940,277 895,579 MARSHAL SERVICE 481,980 490,472 378,038 - TOTAL PUBLIC SAFETY 12,240,990 13,880,091 13,368,201 14,513,001 24 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND PUBLIC ENVIRONMENT STREETS TOTAL PUBLIC ENVIRONMENT PARKS & RECREATION PARKS POOLS COMMUNITY /CIVIC CENTER TOTAL PARKS & RECREATION CULTURAL LIBRARY TOTAL CULTURAL HEALTH ANIMAL CONTROL ENVIRONMENTAL HEALTH TOTAL HEALTH INTERNAL SERVICE INFORMATION TECHNOLOGY HUMAN RESOURCES FINANCE PURCHASING & ASSET MANAGEMENT FLEET SERVICE BUILDING MAINTENANCE TOTAL INTERNAL SERVICE MISCELLANEOUS CITIZENS ASSISTANCE COURT RESTRICTED FUNDS TOTAL MISCELLANEOUS 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 1,264,786 1,380,192 1,373,820 1,474,297 1,264,786 1,380,192 1,373,820 1,474,297 970,349 1,062,331 1,097,878 1,603,030 629,056 693,978 578,858 639,878 117,289 151,974 144,232 425,605 1,716,694 1,908,283 1,820,968 2,668,513 904,485 928,598 956,613 967,904 904,485 928,598 956,613 967,904 555,663 620,571 523,987 500,269 204,878 280,576 222,453 - 760,541 901,147 746,440 500,269 1,544,744 2,242,804 2,002,362 2,312,442 428,742 474,575 512,981 611,935 604,458 636,539 613,422 672,482 191,859 250,455 240,251 226,299 695,952 792,132 788,318 875,043 1,405,161 1,464,990 1,384,915 1,542,419 4,870,916 5,861,495 5,542,249 6,240,620 298,164 325,872 313,872 327,666 357 21,983 17,820 45,000 298,521 347,855 331,692 372,666 TOTAL E PEN �TURES 28,017,542 31,835,0133 30,533;813 33,489,26e OVER /UNDER 1,571,945 8,976 865,921 - FUNDING FROM RESERVES - (1,548,564) - (1,609,075) BEGINNING FUND BALANCE 10,683,083 12,255,028 12,255,028 13,120,949 ENDING FUND BALANCE 12,255,028 10,715,440 13,120,949 11,511,874 25 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET REVENUES Taxes 000 - 411100 Advalorem Tax - Current 11,128,370 11,726,025 11,800,000 13,122,952 000 - 411200 Advalorem Tax - Delinquent (192) 50,000 50,000 50,000 000 - 411300 Advalorem Tax - P &I 54,759 50,000 80,000 50,000 000 - 411500 Sales Tax Revenue - General Fund 7,223,574 7,711,085 7,800,000 8,252,000 000 - 411600 Bingo Tax 31 - 50 50 000 - 411700 Mixed Beverage 42,668 44,000 44,000 44,000 Total Taxes Other Telecom Franchise 18,449,210 19,581,110 19,774,050 21,519,002 Franchises 000 - 421200 Center Point /Entex Energy 68,524 67,793 68,000 82,989 000 - 421220 City Public Service 910,771 946,888 946,000 1,022,834 000 - 421240 Guadalupe Valley Elec Co -op 423,898 416,134 416,000 423,554 000 - 421250 New Braunfels Utilities 69,790 75,394 75,394 74,473 000 - 421300 Time Warner /Paragon Cable 273,989 269,020 270,000 298,638 000 - 421460 AT &T Franchise Fee 200,597 191,124 191,000 152,419 000 - 421480 Other Telecom Franchise 135,724 113,964 130,000 162,781 000 - 421500 Solid Waste Franchise Fee 129,905 148,948 148,948 156,000 Total Franchises 2,213,198 2,229,265 2,245,342 2,373,688 Permits 000 - 431100 Home Occupation Permit 490 500 500 500 000 - 431205 Bldg Permit - Residential 630,839 573,156 671,000 618,520 000 - 431210 Bldg Permit - Commercial 630,642 370,400 680,000 270,000 000 - 431215 Bldg Permit - General 534,711 150,000 280,000 220,000 000 - 431300 Mobile Home Permit 300 300 300 300 000 - 431400 Signs Permit 5,482 6,000 6,000 5,800 000 - 431500 Food Establishment Permit 62,715 60,000 60,000 63,000 000 - 431600 Garage Sale Permit 9,490 10,500 2,135 - 000- 431700 Plumbing Permit 139,490 121,000 155,000 128,800 000 - 431750 Electrical Permit 71,500 61,000 80,000 65,500 000 - 431800 Mechanical Permit 71,800 62,000 73,195 65,900 000 - 431900 Solicitor /Peddler Permit 1,485 1,500 2,100 1,500 000 - 431950 Animal /Pet Permit 365 1,000 500 1,000 000 - 432000 Certificate of Occupancy Permit 5,650 7,000 7,000 6,500 000 - 432100 Security Alarm Permit 40,356 36,000 40,500 36,000 000 - 432300 Grading /Clearing Permit 9,046 7,000 14,000 15,000 000 - 432400 Development Permit 61,037 81,000 60,000 81,000 000 - 435000 Fire Permit 29,368 25,000 30,000 25,000 000 - 436010 Network Nodes - - 2,000 - Total Permits 2,304,766 1,573,356 2,164,230 1,604,320 26 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET Licenses 000 - 441000 Alcohol Beverage License 7,075 8,000 8,000 8,000 000 - 441300 Mobile Home License 160 160 160 160 000 - 442000 Contractors License 52,600 40,000 60,000 45,600 000 - 444000 Pet License 3,329 3,000 3,300 3,000 Total Licenses 63,164 51,160 71,460 56,760 Fees 000 - 451000 Municipal Court Fines 742,592 682,252 559,358 382,303 000 - 451100 Arrest Fee 28,080 21,714 21,000 21,012 000 - 451110 Expunction Fee 90 120 60 120 000 - 451200 Warrant Fees 102,156 124,000 96,000 98,000 000 - 451210 Court - Claims & Judgements (1,856) - - 291 000 - 451340 Judicial Fee - City 3,854 3,152 2,678 2,776 000 - 451400 Traffic Fine Costs TTL 13,403 10,265 8,931 6,000 000 - 451510 Juvenile Court Fee 32,149 26,352 22,392 23,236 000 - 451520 Truancy Fees 5,706 4,464 3,997 3,934 000 - 451600 Technology Fund Fee 24,918 21,983 17,820 18,793 000 - 451700 Security Fee 19,355 15,817 13,552 7,475 000 - 451800 Time Payment Fee - City 5,936 9,689 5,427 4,119 000 - 451850 State Fines 10% Service Fee 38,000 20,488 30,000 20,000 000 - 451900 DPS Payment - Local 7,581 8,829 6,265 6,210 000 - 452000 Child Safety Fee 3,210 3,810 5,500 4,874 000 - 452100 Platting Fees 66,500 62,000 47,000 57,000 000 - 452200 Site Plan Fee 28,000 43,500 48,500 38,000 000 - 452300 Plan Check Fee 894,728 463,261 800,000 514,260 000 - 452320 Tree Mitigation Admin Fee 11,800 20,000 20,000 12,000 000 - 452400 BOA/Variance Fees 3,111 5,000 5,000 6,500 000 - 452600 Specific Use /Zone Chng Fee 20,500 14,300 28,300 18,000 000 - 452710 Zoning Ltr &Dev Rights 2,400 1,200 1,200 1,950 000 - 453100 Reinspection Fees 108,427 90,000 150,000 100,100 000 - 453110 Swim Pool Inspection Fee 2,530 2,600 2,700 2,920 000 - 453200 Lot Abatement 2,243 5,000 5,000 5,000 000 - 453211 Admin Fee - Inspections 15,800 10,400 24,000 15,500 000 - 453310 Misc Inspection Fees - - 3,500 - 000- 453710 Foster Care 1,200 1,000 1,200 1,200 27 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Fees continued 000 - 454200 Pool Gate Admission Fee 000 - 454300 Seasonal Pool Pass Fee 000 - 456120 Senior Center Meal Fee 000 - 456500 Hazard Material Fee 000 - 456600 Fire Re- inspection Fee 000 - 458000 Sale of General Fixed Assets 000 - 458110 Sale of Merchandise -Gov Deals 000 - 458300 Sale of Property /Auction 000 - 458400 Civic Center Rental Fees 000 - 458401 Capital Recover Fee -Civic Center 000 - 458450 North Center Rental Fees 000 - 458460 Senior Center Rental 000 - 458500 Community Center Rental Fees 000 - 458550 Pavilion Rental Fees 000 - 458560 Chamber of Commerce Rent 000 - 458570 Non - Resident SYSA League 000 - 458650 Nonresident User Fee- BVYA 000 - 458660 BVYA Utility Reimbursement 000 - 458670 SYSA Utility Reimbursement 000 - 458675 Lions Futbol Utility Reimbursement 000 - 458700 Vehicle Impoundment 000 - 459200 NSF Check Fee 000 - 459300 Notary Fee 000 - 459400 Maps, Copies, UDC Misc 000 - 459600 Animal Adoption Fee 000 - 459700 Pet Impoundment Fee 000 - 459800 Police Reports Fee 000 - 459990 Fire - False Alarm Fee Total Fees 7,800 Fines 000 - 463000 Library Fines Total Fines 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 25,465 24,000 24,000 24,000 5,894 5,000 5,000 5,000 802 - 802 - 400 5,000 5,000 5,000 1,200 1,000 1,150 1,000 - - 19,252 20,000 52,261 40,000 70,000 25,000 - 3,000 3,000 - 194,964 200,000 200,000 197,000 14,660 10,000 10,000 7,500 26,397 18,500 24,000 23,000 8,100 15,000 5,000 7,200 31,978 25,000 38,000 35,000 19,498 20,000 20,000 20,000 7,800 7,800 7,800 7,800 - 10,000 13,080 10,000 8,451 10,000 9,090 10,000 26,160 15,000 20,000 15,000 - - 6,000 15,000 9,376 10,000 10,000 10,000 9,860 10,000 11,340 10,000 50 250 100 100 126 250 150 200 40 250 50 - 18,581 12,500 17,000 12,500 6,267 7,000 7,000 6,300 6,019 5,800 5,482 5,800 4,500 - - - 2,661,262 2,126,546 2,461,676 1,843,973 23,339 20,000 20,000 22,000 23,339 20,000 20,000 22,000 28 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET Inter - Jurisdictional 000 - 473100 Bexar Co - Fire 21,078 21,077 21,078 21,077 000 - 473200 City of Seguin -Fire Contract 29,231 29,231 29,231 29,231 000 - 473300 Guad Co. Library 217,152 218,000 217,152 218,000 000 - 473400 Randolph AFB - Animal Control 1,200 1,200 1,200 1,200 000 - 474200 Library Services - Cibolo 35,000 35,000 35,000 35,000 000 - 474210 Library Services - Selma 31,540 20,000 21,750 22,000 000 - 474400 Dispatch Service - Cibolo 160,000 166,000 166,000 166,000 000 - 474600 School Crossing Guard - Bexar 37,806 38,000 36,696 38,000 000 - 474610 School Crossing Guard - Guadalupe 38,879 38,000 35,912 38,500 000 - 474620 School Crossing Guard -Coma) - 1,500 - - 000- 474700 School Officer Funding 255,000 255,000 255,000 348,000 000 - 474750 Crime Victim Liaison Agreement 50,000 50,000 50,000 50,000 Total Inter - Jurisdictional 876,886 873,008 869,019 967,008 Fund Transfers 000 - 480000 Indirect Costs -EMS 150,087 170,087 170,087 175,587 000 - 480100 Indirect Costs -Hotel 66,405 67,605 67,605 67,582 000 - 481000 Transfer from Reserves - 1,548,564 - 1,609,075 000 - 482100 Transfer -Court Tech. Reserve - - - 26,207 000 - 485000 Interfund Charge- Drainage -5% 184,425 271,430 271,430 295,157 000 - 486000 Interfund Charges - Water 1,186,812 1,344,140 1,344,140 1,365,998 000 - 486202 Transfer In - W &S - - - 4,000 000 - 486203 Transfer In - EMS - - - 4,000 000 - 486204 Transfer In - Drainage - - - 1,000 000 - 487000 Interfund Charges -Fleet 397,581 344,026 344,026 370,729 000 - 488000 Interfund Charges -413 430,445 441,395 441,395 456,630 000 - 489000 Transfer In 68,385 108,967 107,367 70,000 000 - 489620 Transfer In - SEDC - 265,000 265,000 - Total Fund Transfers 2,484,140 4,561,214 3,011,050 4,445,965 29 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET Miscellaneous 000 - 491000 Interest Earned 4,707 1,500 26,000 35,000 000 - 491200 Investment Income 136,001 150,000 180,000 200,000 000 - 491800 Gain /Loss (1,421) - (4,691) - 000- 491900 Unrealized Gain /Loss -Cap One (11,305) (30,000) (20,000) - 000- 493120 Donations - Public Library 4,044 7,500 7,500 10,000 000 - 493400 Donations - Animal Control 18,191 15,000 15,000 15,000 000 - 493401 Donations -A/C Microchip 640 1,000 800 1,000 000 - 493402 Donations -Spay & Neuter 810 1,000 250 1,000 000 - 493403 Donations- A.S Adoption Trailer 552 - - - 000- 493404 Donations -TRN Progaram - 500 - 500 000 - 493460 Donations- Parks 13,741 12,000 12,000 10,000 000 - 493465 Donations- Senior Center 10,572 12,000 12,000 10,000 000 - 493502 Donations - Police Department 4,222 28,600 28,599 - 000- 493503 Donations- Fire Rescue 9,541 15,350 15,350 - 000- 494481 LawEnforcemtOfficersStnd &Ed 3,679 3,650 3,823 3,650 000 - 494482 Grants- Police, Fire, General Fund 4,892 5,000 2,970 3,000 000 - 495100 Mobile Stage Rental Fees 1,550 - 2,100 2,100 000 - 497000 Misc Income -Gen Fund (25,323) 30,000 80,000 45,000 000 - 497005 Schertz Magazine Advertising 186,000 195,000 143,665 140,000 000 - 497100 Misc Income- Police 17,866 18,500 4,750 3,800 000 - 497150 Misc Income- Fire Department 1,750 - 1,000 - 000- 497200 Misc Income - Library 4,965 5,000 5,000 4,500 000 - 497210 Misc Income - Library Copier 18,187 18,000 18,000 18,000 000 - 497300 Misc Income - Animal Control 390 - 400 - 000- 497400 Misc Income - Streets Dept 51,735 60,000 25,000 60,000 000 - 497500 Misc Income - TML Insurance 9,252 10,000 40,000 20,000 000 - 497550 Misc Income - TML Reimbursement 11,957 20,000 5,000 15,000 000 - 497600 Misc Income - Parks Vending 2,257 2,500 2,500 2,500 000 - 497610 Misc Income- Muni Court - - 2,036 - 000- 498000 Reimbursement- General Fund 20,359 35,000 12,000 20,000 000 - 498100 Reimbursement- Fire Training 7 500 500 500 000 - 498105 Reimbursement- Police DEA 5,764 5,000 5,000 - 000- 498110 Reimbursement- Fire Emg Acti -OT 3,267 200,000 250,000 30,000 000 - 498150 Reimbursement- Library 4,673 5,750 6,355 6,000 Total Miscellaneous 513,522 828,350 882,907 656,550 30 of 332 DEPARTMENT: 150 CITY COUNCIL FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Schertz City Council is made up of eight elected officials. City residents currently elect a Mayor and seven Council members at- large. A Mayor Pro - Tempore is appointed with a majority vote of the Council. Term dates for the Mayors Pro - Tempore shall be appointed for one -year terms beginning and ending in February of each year. Mayors Pro Tempore shall be appointed by a majority vote of the City Council following a properly made motion to appoint a member who is both: (a) Eligible to serve as Mayor Pro Tempore; (b) Is, at the time of the motion, a Councilmember in good standing. The Mayor and seven 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 10 City advisory boards, committees, and commissions; and appoints and supervises the performances of the City Manager, City Secretary, City Attorney, and Municipal Court Judges. ORGANIZATIONAL CHART 31 of 332 CITY COUNCIL PERFORMANCE INDICATORS Number of ordinances passed 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Number of ordinances passed 52 55 55 Number of resolutions passed 125 120 125 Requests for Information 11 11 11 Number of Council Meetings 42 42 42 Requests for Agenda Items 32 25 25 Council on the Go Meetings 3 3 3 Meeting Attendance rate 96 96 96 2016 -17 2017 -18 2018 -19 Efficiency Actual Estimate Budget Meeting Attendance rate 96 96 96 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $33,361 $35,349 $35,009 Supplies 630 700 1,000 City Support Services 34,369 21,685 24,500 Operations Support 336 200 300 Staff Support 23,993 28,189 32,150 Professional Services 0 0 8,000 Operating Equipment 723 0 0 Total $93,412 $86,764 $100,959 ' : :. 11 ' ► ijoll Aj0fAjW .1p The FY 2018 -19 Budget increase 16.4% from FY 2017 -18 year end estimates due to recording costs for Council on the Go meetings. 32 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET GENERAL GOVERNMENT EXPENDITURES VIII WK016111 r; Eli [ Personnel Services 150 - 511110 Regular 24,809 22,809 26,763 23,097 150 - 511240 Vehicle Allowance 6,183 9,424 6,074 9,424 150 - 511310 FICA-Employer 2,370 2,466 2,512 2,488 Total Personnel Services 33,362 34,699 35,349 35,009 Supplies 150 - 521000 Operating Supplies 591 750 600 500 150 - 521100 Office Supplies 39 300 100 500 Total Supplies 630 1,050 700 1,000 City Support Services 150 - 532600 City Elections 26,390 31,893 17,685 15,000 150 - 532800 Special Events 7,979 9,500 4,000 9,500 Total City Support Services 34,369 41,393 21,685 24,500 Utility Services 150 - 533330 Telephone /Internet - 641 641 - Total Utility Services - 641 641 - Operations Support 150 - 534200 Printing & Binding 336 500 200 300 Total Operations Support 336 500 200 300 33 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Staff Support 150 - 535100 Uniforms 150 - 535300 Memberships 150 - 535400 Publications 150 - 535500 Training /Travel Total Staff Support Professional Services 150 - 541300 Other Consl /Professional Service: Total Professional Services Operating Equipment 150 - 571000 Furniture & Fixtures Total Operating Equipment 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 910 960 300 500 10,663 12,000 12,000 15,000 147 50 30 150 12,274 15,859 15,859 16,500 23,994 28,869 28,189 32,150 34 of 332 723 - 723 - 8,000 8,000 DEPARTMENT: 151 CITY MANAGER FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The City Manager and his department advise the Council on policy and operational planning issues. This 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. The City Manager serves as a focal point for the management of City staff. 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. ORGANIZATIONAL CHART 35 of 332 CITY MANAGER CITY MANAGER 2016 -17 2017 -18 2018 -19 City Manager 1 1 1 Executive Director 2 2 2 Assistant to the City Manager 1 1 1 Executive Assistant 1 1 1 TOTAL POSITIONS 51 51 5 ECONOMIC DEVELOPMENT 2016 -17 2017 -18 2018 -19 Executive Director 1 1 1 Business Retention Manager 0 1 1 Economic Development Analyst 1 1 1 Economic Development Specialist 1 0 0 Executive Assistant 1 1 1 TOTAL POSITIONS 4 4 4 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $1,047,156 $1,284,572 $1,123,847 Supplies 2,286 1,000 2,000 City Support Services 5,093 10,000 6,000 Utility Services 233 1,500 2,000 Operations Support 24 0 50 Staff Support 22,977 20,031 26,625 Furniture & Fixtures 0 1,000 1,000 Total $1,077,769 $1,318,103 $1,161,522 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget decrease 11.9% from the FY 2017 -18 year end projections due to decrease in personnel costs. 36 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES CITY MANAGER Personnel Services 151 - 511110 Regular 151 - 511120 Overtime 151 - 511180 LTD 151 - 511210 Longevity 151 - 511220 Clothing Allowance 151 - 511230 Certification Allowance 151 - 511240 Vehicle Allowance 151 - 511310 FICA - Employer 151 - 511350 TMRS - Employer 151 - 511355 ICMA Contributions - Employer 151 - 511410 Health - Employer 151 - 511500 Workers Compensation Total Personnel Services Supplies 151 - 521100 Office Supplies Total Supplies City Support Services 151 - 532800 Special Events Total City Support Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 764,837 791,738 947,341 823,242 - 485 - 485 2,245 2,454 2,934 2,552 6,140 7,300 7,456 7,649 312 312 306 312 2,880 2,880 2,825 2,880 14,400 13,968 9,554 13,968 53,708 61,384 74,012 63,820 126,667 130,741 154,942 137,028 10,000 10,000 10,000 - 64,734 65,665 74,302 70,859 1,233 1,518 900 1,052 1,047,156 1,088,445 1,284,572 1,123,847 2,286 1,000 1,000 2,000 2,286 1,000 1,000 2,000 5,093 12,674 10,000 6,000 5,093 12,674 10,000 6,000 Utility Services 151 - 533500 Vehicle Fuel 233 - 1,500 2,000 Total Utility Services 233 - 1,500 2,000 37 of 332 101 GENERAL FUND CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET Operation Support 151 - 534200 Printing & Binding 24 - - 50 Total Operation Support 24 - - 50 Staff Support 151 - 535100 Uniforms 352 375 375 375 151 - 535200 Employee Recognition 2,028 5,000 2,500 5,000 151 - 535300 Memberships 3,783 6,260 4,000 4,000 151 - 535400 Publications 493 1,020 1,000 500 151 - 535500 Training /Travel 11,213 9,156 9,156 11,500 151 - 535510 Meeting Expenses 4,912 5,250 3,000 5,250 151 - 535600 Professional Certification 196 - - - Total Staff Support 22,977 27,061 20,031 26,625 Operating Equipment 151 - 571000 Furniture & Fixtures - 1,000 1,000 1,000 Total Operating Equipment - 1,000 1,000 1,000 38 of 332 DEPARTMENT: 152 MUNICIPAL COURT FUND: 101 GENERAL FUND 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. 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. 39 of 332 MUNICIPAL COURT • 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. • Renovate front counter to include and efficient work station for clerks and defendants. • Establish an education program for young adults to understand the effects of how making the wrong choice or decision can affect their lives. ORGANIZATIONAL CHART MUNICIPAL COURT 2016 -17 2017 -18 2018 -19 Court Administrator 1 1 1 Senior Deputy Court Clerk /Juvenile Case Manager 1 1 1 Deputy Court Clerk 4 4* 2 TOTAL POSITIONS 1 61 61 4 *One unfunded 40 of 332 MUNICIPAL COURT W:W Traffic Citations Filed 2016-17 2017-18 2018-19 Workload/Output Actual Estimate Budget Traffic Citations Filed 5,662 3,662 2,000 State Law Citations Filed 1,586 1,203 820 Municipal Ordinances Filed 230 243 230 Cases Disposed 11,107 7,180 4,080 Charges Processed per Clerk 2,776 1,795 1,020 2016-17 2017-18 2018-19 Efficiency Actual Estimate Budget Cases Disposed 11,107 7,180 4,080 Charges Processed per Clerk 2,776 1,795 1,020 Cases Disposed per Clerk 24% 25% 25% 2016-17 2017-18 2018-19 Effectiveness Actual Estimate Budget Cases Disposed per Clerk 24% 25% 25% Personnel Services 2016-17 2017-18 2018-19 Budget Actual Estimate Budget Personnel Services $274,744 $297,320 $254,795 Supplies 1,623 1,600 2,000 City Support Services 431 500 975 Operations Support 869 2,000 3,000 Staff Support 4,964 7,220 8,510 Court Support 186 200 700 Professional Services 56,230 62,500 73,960 Maintenance Services 3,142 3,000 3,000 Operating Equipment 39 0 0 Total $342,228 $374,340 $346,940 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018-19 Budget decrease 7.3% from FY 2017-18 year end projections with the transfer of a Court Clerk position to a Floating Clerk position split between Inspections and Utility Billing. This transfer was due to increased workloads seen in Inspections and Utility Billing while less citations are being issued. 41 of 332 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES MUNICIPAL COURT Personnel Services 152 - 511110 Regular 152 - 511120 Overtime 152 - 511180 LTD 152 - 511210 Longevity 152 - 511230 Certification Allowance 152 - 511310 FICA - Employer 152 - 511350 TMRS - Employer 152 - 511410 Health - Employer 152 - 511500 Workers Compensation Total Personnel Services Supplies 152 - 521100 Office Supplies Total Supplies City Support Services 152 - 532800 Special Events Total City Support Services Operations Support 152 - 534200 Printing & Binding Total Operations Support CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 186,323 194,057 200,248 170,908 70 - - - 554 602 621 530 6,356 7,043 6,563 7,097 1,200 2,328 1,200 2,037 14,211 15,546 15,913 13,757 31,213 32,545 33,313 29,051 34,501 36,481 39,234 31,188 316 385 228 227 274,744 288,987 297,320 254,795 2,000 1,600 2,000 2,000 1,600 2,000 431 1,i/1' 1,004 42 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET 152 - 535100 Uniforms 492 700 700 700 152 - 535300 Memberships 22 810 720 810 152 - 535400 Publications 223 500 400 500 152 - 535500 Training /Travel 2,178 3,500 2,500 3,500 152 - 535500.1 Training /Travel - Juv Case Mg 213 1,000 900 1,000 152 - 535510 Meeting Expenses 1,835 2,000 2,000 2,000 Total Staff Support 4,963 8,510 7,220 8,510 Court Support 152 - 536500 Court/Jury Cost 186 700 200 700 Total Court Support 186 700 200 700 Professional Services 152 - 541310 Judges Services 26,950 37,350 40,000 37,500 152 - 541320 Prosecutor Services 28,900 29,650 22,000 35,500 152 - 541330 Interpreter Services 380 960 500 960 Total Professional Services 56,230 67,960 62,500 73,960 Maintenance Services 152 - 551400 Minor & Other Equip. Maint. 50 - - - 152- 551800 Other Maintenance Agreement 3,092 3,000 3,000 3,000 Total Maintenance Services 3,142 3,000 3,000 3,000 Operating Equipment 152 - 571000 Furniture & Fixtures 39 - - - Total Operating Equipment 39 - - - 43 of 332 DEPARTMENT: PUBLIC AFFAIRS DIVISION: 153 CUSTOMER RELATIONS /311 Fund: 101 General Fund DEPARTMENT DESCRIPTION Under the umbrella of Public Affairs, 311 Customer Care connects callers with specially trained customer service representatives ready to assist with City service requests -- potholes, stray animals, street lights out, trash collection, special events and all other City requests. This division is under the supervision of the Public Affairs Office Manager. GOALS AND OBJECTIVES • To provide excellent customer service to all callers • To provide consistent and accurate information to all callers • To reduce or eliminate abandoned calls • To reduce or eliminate misrouted calls • To improve call tracking capabilities to better analyze callers need for service 44 of 332 CUSTOMER RELATIONS /311 ZYA TZTJ CUSTOMER RELATIONS /311 2016 -17 2017 -18 2018 -19 Customer Relations /311 Rep 2 2 2 Customer Relations /311 Re PT 1 1 1 TOTAL POSITIONS 3 3 3 PERFORMANCE INDICATORS Work Orders (initiated for other depts.) Calls Received Calls Not Answered Average Calls Per Day Received 351 2016 -17 2017 -18 2018 -19 Workload /Output Actual Estimate Budget Work Orders (initiated for other depts.) Calls Received Calls Not Answered Average Calls Per Day Received 351 300 300 38,548 40,000 39,000 1,969 2,000 1,800 207 203 205 I 2016 -17 2017 -18 1 2018 -19 Budget Actual Estimate I Budget Personnel Supplies Staff Support Operating Equipment Total $117,567 40 170 0 $117,777 45 of 332 $122,910 $120,977 100 150 100 830 555 0 $123,665 $121,957 CUSTOMER RELATIONS/311 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018-19 Budget will decrease 1.4% from FY 2017-18 year end projections. There will be no change in operations. 46 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET GENERAL GOVERNMENT EXPENDITURES CUSTOMER RELATIONS -311 Personnel Services 153 - 511110 Regular 85,167 82,041 88,778 85,362 153 - 511120 Overtime 65 243 50 243 153 - 511180 LTD 206 210 275 219 153 - 511210 Longevity 3,497 3,785 3,785 4,073 153- 511310 FICA - Employer 6,739 6,576 7,081 6,851 153 - 511350 TMRS - Employer 14,273 13,766 14,824 14,468 153 - 511410 Health - Employer 7,489 9,120 8,020 9,648 153 - 511500 Workers Compensation 131 163 97 113 Total Personnel Services 117,567 115,904 122,910 120,977 Supplies 153- 521100 Office Supplies 40 150 100 150 Total Supplies 40 150 100 150 Staff Support 153 - 535100 Uniforms 99 165 100 180 153 - 535300 Memberships 71 - - - 153- 535500 Training /Travel - 650 - 650 Total Staff Support 170 815 100 830 Operating Equipment 153 - 571000 Furniture & Fixtures - 600 555 - Total Operating Equipment - 600 555 - 47 of 332 DEPARTMENT: PLANNING & COMMUNITY DEVELOPMENT DIVISION: 154 PLANNING & ZONING FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Planning & Zoning Division ensures planned and purposeful development within the City limits and the Extraterritorial Jurisdiction through an efficient, consistent, unbiased, and effective development review process in order to promote quality development. 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 development regulations. Staff works with other governmental agencies to coordinate development projects and promote regional planning. The Division provides staff support and recommendations to the City Council, Planning and Zoning Commission, Board of Adjustment, and the Capital Improvements Advisory Committee. GOALS AND OBJECTIVES • Review and update the Comprehensive Land Plan for the City, to include the central area of Schertz, which promotes all aspects of our vision to ensure that Schertz is the best place to live. • Continue to implement the Joint Land Use Study Strategies to ensure the compatibility of land uses and development surrounding Randolph AFB. • Continue to implement the Comprehensive Land Plan (including Schertz Sector Plans) to support the future vision of the community through Unified Development Code amendments, zoning and long range plan development. • Continue to update the Planning website, including "What's Developing in Schertz ", and the development manual to provide improved customer service by updating forms, flowcharts, providing information on current residential and commercial developments, and providing information on the city's webpage for public hearings. • Continue to review and revise the Unified Development Code to further the City's Policy Values and support the City's Strategic Plan. 48 of 332 PLANNING & ZONING • Promote staff development including continued education and cross training to provide outstanding customer service. • Scan and convert project case files into a digital media to improve access and availability. • Implement Community Development software to provide increased customer service, transparency, and improved accuracy and efficiency on all project reviews. • Ensure that anew article for the Schertz Magazine —From the Development Whiteboard column is published every month to provide helpful information, transparency, and improved customer service for all residents. • Continue to provide timely updates to the website feature, "What's Developing in Schertz" to ensure residents are provided information on current residential and commercial projects within the City. ACCOMPLISHMENTS • Received the 2017 Certificate of Achievement for Planning Excellence by the American Planning Association — Texas Chapter which recognizes a commitment to professional planning by City Administration, Elected and Appointed Officials and exemplary professional standards demonstrated by the Planning Staff for the fourth year in a row. • Maintained and expanded upon the partnership with Joint Base San Antonio (JBSA) by participating and attending the Randolph Task Force Meeting and the 2017 Air Installation Compatible Use Zone Open House. • Attended various continuing education classes including National APA Conference, Texas APA State Conference, Certified Floodplain Manager training, Deer Oak Supervisor Excellence & Leadership Certificate Series, AACOG - Planning and Zoning Workshop, Building Professional Institute, TML- Time Management & Organizational Skills, and Integrity, Ethics, & Leadership in the Workplace. • Lead and participated in the Process Improvement Team to improve customer service and operations by creating and revising current development processes, practices and applications. • Maintained partnerships with developers and land owners to create and update Planned Development Districts that contain a mix of residential and commercial land uses. 49 of 332 PLANNING & ZONING • Improved and expanded upon partnerships with local utility providers to include, Guadalupe Valley Electric Coop., Cibolo Creek Municipal Authority, Texas Department of Transportation, by increasing communication. • Updated Unified Development Code Article 1 General Provisions, Article 3 Boards, Commissions and Committees; Article 4.15 Public infrastructure Improvement Constructions Plans and Community Facilities Agreements; Article 10.4 Schedule of Off - Street Parking Requirements; Article 14 .6 Sidewalks and Hike and Bike Trails; Article 9.9 Tree Preservation and Mitigation; and various other amendments to provide clarification. • Updated the department applications and checklists for Annexations, Variances, and Utility Approval and created a Zoning Verification Request form to improve ease of application submittal. • Created a Building and Standards Commission to provide an appropriate board for residents and customers to appeal building and fire code decisions, and provide an opportunity for public hearings on substandard structures. • Created a website feature, "What's Developing in Schertz ", to provide information on new residential subdivisions and new commercial sites currently under construction to improve public relations and transparency, while providing useful, accessible information to the public. • Implemented a new Schertz Magazine reoccurring column entitled "From the Development Whiteboard ", in which staff members write articles to provide information and updates to the residents. 50 of 332 PLANNING & ZONING ORGANIZATIONAL CHART PLANNING AND ZONING 2016 -17 2017 -18 2018 -19 Senior Planner 1 1 1 Planner 1 2 2 2 TOTAL POSITIONS 3 3 3 PERFORMANCE INDICATORS Plats 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Plats 50 30 36 Site Plans and Master Plan 27 33 32 Variances 4 12 13 Zone Changes and Specific Use Permits 8 11 12 UDC/ Comp. Plan Revisions 8 7 12 Annexation 0 1 0 All Plats $66,500 $47,000 $57,000 Site Plan, Master Plan $28,000 $48,500 $38,000 Variance $3,111 $5,000 $6,500 Zone Change, Specific Use Permit $20,500 $28,300 $18,000 Other (Zoning Letters and Additional Admin fees) $2,400 $1,200 $1,950 Total Revenue $120,511 $130,000 $121,450 51 of 332 PLANNING & ZONING Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $193,915 $209,210 $210,124 Supplies 1,451 1,100 2,863 Operations Support 70 100 174 Staff Support 18,913 $24,255 $26,755 Professional Services 105 100 100 Operating Equipment 0 250 250 Total $214,454 $235,015 $240,266 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget increase 2.2% from FY 2017 -18 year end projections by increasing supplies and training. 52 of 332 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES PLANNING AND ZONING Personnel Services 154-511110 Regular 154 - 511120 Overtime 154 - 511180 LTD 154 - 511210 Longevity 154 - 511230 Certification Allowance 154 - 511310 FICA - Employer 154 - 511350 TMRS - Employer 154 - 511410 Health - Employer 154 - 511500 Workers Compensation Total Personnel Services Supplies 11,106 154 - 521000 Operating Supplies 154-521100 Office Supplies 154 - 521600 Equipment Supplies Total Supplies Operations Support 154 - 534200 Printing & Binding Total Operations Support CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 134,420 139,180 144,416 143,928 2,781 4,278 4,000 4,171 388 431 448 446 510 870 1,140 1,292 900 873 277 873 10,137 11,106 11,324 11,492 22,260 23,250 23,707 24,269 22,314 21,888 23,740 23,469 204 267 158 184 193,914 202,143 209,210 210,124 418 1,450 500 1,619 979 1,402 500 900 53 350 100 344 1,450 3,202 1,100 2,863 53 of 332 / V 1 V V 1 V V 1 t- CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 101 GENERAL FUND ACTUAL BUDGET 2017 -18 2018 -19 ESTIMATE BUDGET Staff Support 154 - 535100 Uniforms 608 750 750 650 154 - 535300 Memberships 855 2,290 1,655 1,655 154 - 535400 Publications - 750 750 750 154 - 535500 Training /Travel Staff 12,230 14,700 14,700 16,700 154 - 535501 Training /Travel Commission 4,758 6,098 6,000 6,000 154 - 535510 Meeting Expenses 462 1,000 400 1,000 Total Staff Support 18,913 25,588 24,255 26,755 Professional Services 154- 541500 State /County Admin Fees 105 100 100 100 Total Professional Services 105 100 100 100 Operating Equipment 154 - 571000 Furniture & Fixtures - 250 250 250 Total Operating Equipment - 250 250 250 54 of 332 DEPARTMENT: 155 LEGAL SERVICES FUND: 101 GENERAL FUND 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. 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. 55 of 332 LEGAL SERVICES ORGANIZATIONAL CHART Operations Support $12,036 $3,000 $10,000 Professional Services 138,662 135,000 150,000 Total $150,698 $138,000 $160,000 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 15.9% from FY 2017 -18 year end projections to $160,000 which is estimated to be enough to cover charges for the most common legal matters including contract review. 56 of 332 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Operations Support $12,036 $3,000 $10,000 Professional Services 138,662 135,000 150,000 Total $150,698 $138,000 $160,000 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 15.9% from FY 2017 -18 year end projections to $160,000 which is estimated to be enough to cover charges for the most common legal matters including contract review. 56 of 332 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES LEGAL SERVICES Operations Support 155 - 534100 Advertising /Legal Notices Total Operations Support Professional Services 155 - 541200 Legal Services Total Professional Services CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 12,036 5,000 3,000 10,000 12,036 5,000 3,000 10,000 138,662 155,000 135,000 150,000 138,662 155,000 135,000 150,000 57 of 332 DEPARTMENT: 164 CITY SECRETARY FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The position of City Secretary is a statutory position required by State law and the City Charter. The City Secretary's Office functions as a primary contact for citizens seeking information regarding the community, supports the City Council in the fulfillment of their duties and responsibilities as elected officials and provides daily assistance to all city administrative departments. The City Secretary serves as a member of the City Management Team and oversees the many functions of the City Secretary's Office, including election administration, record management and preservation and Council 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, delivering continuity to 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. 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. • Process Liens (filed and released) • 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. 58 of 332 CITY SECRETARY • Public Education (Student Mayor/Council Program, Volunteer Fair) • 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. ORGANIZATIONAL CHART CITY SECRETARY 2016-17 2017-18 2018-19 City Secretary 1 1 1 Deputy City Secretary 1 1 1 TOTAL POSITIONS 2 2 2 PERFORMANCE INDICATORS Ordinances Passed and Processed 2016-17 2017-18 2018-19 Workload Actual � Estimated � Budget Ordinances Passed and Processed 52 55 55 Resolutions Passed and Processed 125 120 125 Council Meetings Attended 45 43 43 Open Records 310 315 320 Ordinances & Resolutions Executed within 72 hours of Council Meeting 2016-17 2017-18 2018-19 Efficiency Actual � Estimated � Budget Ordinances & Resolutions Executed within 72 hours of Council Meeting 154 175 180 Documents completed, signed, scanned within 48 hours of council approval 154 160 165 Council meeting minutes transcribed within 48 hours following Council meeting 45 45 45 Agendas available to citizens within legally required timeframe - Posted on website 45 45 45 Alcohol permits processed within the month of expiration 38 45 45 59 of 332 CITY SECRETARY Volunteer Fair Student Mayor /Councilmember for the Day Program 4 4 4 2016 -17 2017 -18 2018 -19 Education Initiatives Actual Estimated Budget Volunteer Fair Student Mayor /Councilmember for the Day Program 4 4 4 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimated Budget Personnel $180,387 $186,959 $186,399 Supplies 1,319 1,050 1,150 City Support Services 4,975 8,500 15,000 Operations Support 0 100 100 Staff Support 3,890 4,333 4,400 Total $190,571 $200,942 $207,049 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 3.0% from FY 2017 -18 due to additional Unified Development Code amendments that will need to be recorded in the City's Code of Ordinances. 60 of 332 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES CITY SECRETARY Personnel Services 164-511110 Regular 164- 511180 LTD 164- 511210 Longevity 164- 511310 FICA - Employer 164- 511350 TMRS - Employer 164- 511410 Health - Employer 164 - 511500 Workers Compensation Total Personnel Services Supplies 164-521100 Office Supplies Total Supplies City Support Services 164 - 532700 Records Management Total City Support Services Operations Support 164 - 534200 Printing & Binding Total Operations Support Staff Support 164 - 535100 Uniforms 164 - 535300 Memberships 164 - 535400 Publications 164 - 535500 Training /Travel Total Staff Support CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 131,556 129,195 135,698 135,043 382 401 421 419 1,925 2,189 2,189 2,583 9,627 10,046 10,548 10,522 21,465 21,031 22,083 22,221 15,230 14,592 15,872 15,437 202 249 148 174 180,387 177,703 186,959 186,399 1,319 1,050 1,050 1,150 1,319 1,050 1,050 1,150 4,975 9,744 8,500 15,000 4,975 9,744 8,500 15,000 - 100 100 100 - 100 100 100 - 100 75 100 899 1,000 958 1,000 297 550 300 300 2,695 5,000 3,000 3,000 3,891 6,650 4,333 4,400 61 of 332 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 2016 -17 2017 -18 2018 -19 Budget Actual Estimated Budget City Support Services $378,333 $394,480 $726,966 Operations Support 153,601 159,227 163,500 Staff Support 166 320 250 City Assistance 1,711,329 $1,705,944 1,844,730 Professional Services 71,974 59,385 51,235 Fund Charges /Transfers 37,447 93,733 67,250 Total $2,352,849 $2,413,089 $2,853,931 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 18.3% from FY 2017 -18 year end projections by increasing City Support Services to set contingencies to the starting value of $300,000 and increasing the County Appraisal District costs due to a rising population. 62 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES City Support Services 167 - 532200 County Appraisal District 167 - 532210 Tax Assessor /Collector Services 167- 532500 City Ins- Commercial 167 - 532900 Contingencies 167 - 532901 Contingencies -Act on Study Total City Support Services Operations Support 167 - 534000 Postage 167 - 534300 Equip. Maintenance 167 - 534500 Memberships- Organizations 167 - 534810 Electronic Filing Services 167 - 534999 Misc. Expense Total Operations Support Staff Support 167 - 535500 Travel/Training Total Staff Support 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 204,082 194,852 194,852 228,966 - 16,000 16,000 18,000 170,251 175,000 180,000 180,000 3,999 31,402 3,628 200,000 - 199,730 - 100,000 378,332 616,984 394,480 726,966 10,517 12,000 10,500 11,000 136,049 130,000 136,000 140,000 7,500 7,500 7,500 7,500 (465) 5,000 5,000 5,000 - - 227 - 153,601 154,500 159,227 163,500 166 320 320 250 166 320 320 250 City Assistance 167- 537100 Emergency Medical Services 504,084 556,325 556,325 581,537 167- 537450 Tax Reimbursements /AbatementE 1,207,245 1,185,237 1,149,619 1,263,193 Total City Assistance 1,711,329 1,741,562 1,705,944 1,844,730 Professional Services 167- 541300 Other Prof Services 8,155 - - - 167- 541400 Auditor /Accounting Srvc 18,000 - - - 167- 541500 State /County & Admin Fees 35 35 35 35 167- 541600 Miscellaneous Bank Charges 656 600 750 600 167 - 541650 Investment Management Fee 3,395 - - - 167- 541800 Credit Card Service Fee 41,733 44,000 54,600 48,000 167 - 541810 Credit Card Fees - AMEX - - 4,000 2,600 Total Professional Services 71,974 44,635 59,385 51,235 63 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Fund Charges /Transfers 167- 548000 Transfer Out 167 - 548106 Transfer to Special Event Fund 167- 548401 Transfer Out - Bond Fund 167- 548615 Transfer Out - Hist. Committee Total Transfers 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 18,183 18,183 37,447 64,800 64,800 56,500 - 50,000 - - - 10,750 10,750 10,750 37,447 143,733 93,733 67,250 64 of 332 . , PUBLIC 101 GENERAL DEPARTMENT DESCRIPTION The Public Affairs Department serves an internal audience of 350 employees, elected and appointed officials, as well as an estimated city population of 37,938. Public Affairs is responsible for establishing and maintaining internal and external communications that enhance the understanding, perception, and image of the City of Schertz. Public Affairs promotes, organizes and supports informational, educational, and special event activities that benefit the community and /or City employees through advertising, production of city videos, radio spots, print ads, press releases, email blasts, website and electronic sign ad creation and posting, and award submissions. Public Affairs creates photographic /video /audio recording of City events and activities, designs City marketing materials, documents, hiring packets, graphics, logos, plaques, trophies, proclamations, etc. Public Affairs publishes Schertz Magazine, one of the leading publications in the Tri County area with a circulation of 15,000 copies; including 13,000+ direct mailed and 500+ subscriptions. Over 1,000 magazines are distributed to businesses with hundreds of copies made available at local and regional banks, hospitals and clinics, schools, pharmacies, and restaurants. Operations of the Civic Center and 311 Customer Care are maintained under the umbrella of Public Affairs. GOALS AND OBJECTIVES • To be the primary source of City information for all current and potential residents and businesses. • To promote City activities /events /festivals throughout the region. • To disseminate accurate and timely information to residents and the media during emergency and non - emergency situations. • To provide excellent customer service to all callers while providing accurate information. 65 of 332 PUBLIC AFFAIRS PUBLIC AFFAIRS 2016 -17 2017 -18 2018 -19 Public Affairs Director 1 1 1 Communications Manager 1 1 1 Marketing and Communications Specialist 1 1 1 Administrative Assistant 0 1 1 Records Management Coordinator 1 1 0 0 Civic Center Manager 1 1 0 Events Specialist 1 1 0 Events Manager 1 1 0 TOTAL POSITIONS 1 71 7 1 4 PERFORMANCE INDICATORS Press Releases City Sponsored Events(Internal /External) Marketing Materials Produced Completed website work orders Number of customers served (advertisers) Number of Magazines Printed 66 of 332 31 2016 -17 2017 -18 2018 -19 Workload /Output Measures Actual Estimate Budget Press Releases City Sponsored Events(Internal /External) Marketing Materials Produced Completed website work orders Number of customers served (advertisers) Number of Magazines Printed 66 of 332 31 22 30 15/9 12/10 0/0 105 389 400 - 70 100 85 80 83 180,000 180,000 180,000 PUBLIC AFFAIRS Total Schertz Magazine Articles /Ads /Photos produced Percentage of Magazine Contracted Average cost per Advertising Run outside of the magazine Average Amount of Dollars Raised for Events 600 550 575 50% 50% 50% $5,888 $3,885 $3,500 2016 -17 2017 -18 2018 -19 Efficient Actual Estimate Budget Total Schertz Magazine Articles /Ads /Photos produced Percentage of Magazine Contracted Average cost per Advertising Run outside of the magazine Average Amount of Dollars Raised for Events 600 550 575 50% 50% 50% $5,888 $3,885 $3,500 Schertz Magazine Ad revenue City Sponsored /Non- revenue 186,600 145,938 145,000 43,575 45,065 44,320 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget Schertz Magazine Ad revenue City Sponsored /Non- revenue 186,600 145,938 145,000 43,575 45,065 44,320 Personnel Supplies Operations Support Staff Support Professional Services Operating Equipment Total PROGRAM JUSTIFICATION AND ANALYSIS $442,462 $451,619 $288,461 1,508 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel Supplies Operations Support Staff Support Professional Services Operating Equipment Total PROGRAM JUSTIFICATION AND ANALYSIS $442,462 $451,619 $288,461 1,508 2,220 1,050 4, :00 43,500 4,171 .: 250,801 263,620 304,980 335 30 0 $715,447 $749,324 $644,841 The Public Affairs Budget for FY 2018 -19 combined the previously separated Records Management, Schertz Magazine, and Public Affairs. The FY 2018 -19 Budget will decrease 13.9% from the FY 2017 -18 year end estimates due to a transfer of the two Special Events personnel to the Parks Department. Offsetting part of the decreased from the transferred program, is the implementation of the second Citizen Satisfaction Survey to take place in FY 2018 -19. 67 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND PUBLIC AFFAIRS Personnel Services 170 - 511110 Regular 170 - 511120 Overtime 170 - 511180 LTD 170 - 511210 Longevity 170- 511310 FICA - Employer 170 - 511350 TMRS - Employer 170 - 511410 Health - Employer 170 - 511500 Workers Compensation Total Personnel Services Supplies 170 -52100 Operating Supplies 170 - 521010 Operating Supplies- Events 170 - 521100 Office Supplies Total Supplies Operations Support 170 - 534000 Postage 170 - 534100 Advertising 170 - 534200 Printing & Binding 170 - 534500 Memberships- Organizations 170 - 534550 Business Meetings /Networking Total Operations Support Staff Support 203,778 170 - 535100 Uniforms 170 - 535300 Memberships 170 - 535400 Publications 170 - 535500 Training /Travel Total Staff Support 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 201,085 203,778 203,496 202,593 235 728 728 1,213 586 632 631 624 3,944 4,492 4,629 3,560 15,545 15,978 15,977 15,855 33,024 33,449 33,448 33,483 22,040 23,712 17,854 30,873 311 395 234 260 276,770 283,164 276,997 288,461 - 800 400 100 655 1,000 700 - 640 970 970 950 1,295 2,770 2,070 1,050 3,224 5,100 5,000 23,050 6,520 14,250 1 1,750 7,150 4,626 5,000 5,000 12,350 229 250 250 500 566 450 300 450 15,165 25,050 22,300 43,500 126 220 220 220 55 - 20 200 134 300 150 300 2,356 3,710 3,210 6,130 2,671 4,230 3,600 6,850 68 of 332 101 GENERAL FUND CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 ACTUAL BUDGET Professional Services 170 - 541300 Other /Cons) /Prof Services 170 - 541305 Prof Services- Writers /Photogr 170 - 541350 Magazine- Printing 170 - 541355 Design Services 170 - 541360 Magazine- Postage 170 - 541365 Delivery Services Total Professional Services 22,900 2017 -18 2018 -19 ESTIMATE BUDGET 40,500 10,000 - - 88,000 3,100 3,120 94,980 - - 70,000 - - 1,500 3,100 3,120 304,980 Operating Equipment 170 - 571000 Furniture & Fixtures 229 30 30 - Total Operating Equipment 229 30 30 - 69 of 332 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES RECORDS MANAGEMENT Personnel Services 171 - 511110 Regular 171 - 511120 Overtime 171- 511180 LTD 171 - 511210 Longevity 171 - 511310 FICA - Employer 171 - 511350 TMRS - Employer 171 - 511410 Health - Employer 171 - 511500 Workers Compensation Total Personnel Services Supplies 171 - 521000 Operating Supplies Total Supplies Staff Support 171 - 535100 Uniforms 171 - 535500 Training /Travel Total Staff Support Professional Services 171- 541310 Contractual Services Total Professional Services CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 ACTUAL BUDGET 2017 -18 2018 -19 ESTIMATE BUDGET 22,911 30,485 30,328 - - 243 50 - 74 109 94 - 1,752 1,896 1,896 - 1,820 2,853 2,466 - 4,077 5,973 5,163 - 7,217 7,296 7,753 - 57 71 42 - 37,908 48,926 47,792 - 31 100 - - 31 100 - - - 55 55 - 300 260 - 355 315 - 9,741 16,728 14,000 - 9,741 16,728 14,000 - 70 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET GENERAL GOVERNMENT EXPENDITURES SCHERTZ MAGAZINE Personnel Services 172 - 511110 Regular 172 - 511120 Overtime 172 - 511180 LTD 172 - 511210 Longevity 172 - 511240 Vehicle Allowance 172- 511310 FICA - Employer 172 - 511350 TMRS - Employer 172 - 511410 Health - Employer 172 - 511500 Workers Compensation Total Personnel Services Supplies 172 - 521100 Office Supplies Total Supplies Operations Support 172 - 534000 Postage 172 - 534200 Printing & Binding 172 - 534550 Business Meetings /Networking Total Operations Support Staff Support 172 - 535100 Uniforms 172 - 535300 Memberships 172 - 535500 Training /Travel 172 - 535510 Meeting Expenses Total Staff Support 90,723 365 194 1,076 1,154 7,106 15,051 13,183 145 128,997 U.6.0 F. 6,732 14,093 14,592 165 123,853 181 200 181 200 277 290 6,865 14,371 15.482 126,830 150 150 618 700 700 - 367 1,400 1,400 - - 500 400 - 985 2,600 2,500 - 57 110 50 - 235 320 170 - 1,000 2,900 2,900 - 209 - - - 1,501 3,330 3,120 - 71 of 332 Professional Services 172 - 541305 Professional Services 172 - 541350 Schertz Tales- Printing 172 - 541355 Schertz Tales- Design 172 - 541360 Schertz Tales- Postage 172 - 541365 Delivery Services Total Professional Services Fund Charges /Transfers 172 - 548700 Bad Debt Expense Total Fund Charges/ Transfers Operating Equipment 172- 571310 Computer Software Total Operating Equipment CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 ACTUAL BUDGET 2017 -18 2018 -19 ESTIMATE BUDGET 7,655 12,000 8,000 - 73,764 83,000 83,000 - 85,545 94,000 94,000 - 51,072 65,000 60,000 - 125 1,500 1,500 - 218,161 255,500 246,500 - 10,000 - - 10,000 - - 126 - - - 126 - - - 72 of 332 DEPARTMENT: 173 ENGINEERING FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Engineering Department serves as technical advisor to the City Manager, City Council, Executive Staff, and other City departments. Engineering collaborates with Public Works, Planning and Community Development, Economic Development, Parks and Recreation, and other 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. Engineering is responsible for the development and implementation of the City's Capital Improvement Programs for water, wastewater, streets, and drainage. 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. Engineering Inspectors ensure that the construction of public infrastructure — both privately and publicly constructed — follows appropriate standards and specifications. Ensuring compliance promotes a safe community in which the essential services of the provision of water, wastewater, transportation, and drainage are available and arranged for fiscal sustainability. The Engineering Department maintains standard construction details, technical specifications, and design guidelines. The Transportation Safety Advisory Commission (TSAC) is staffed by the Engineering Department. The TSAC is a Commission that hears citizen input, considers transportation issues, and makes recommendations to City Council regarding traffic and transportation related matters throughout the City. 73 of 332 ENGINEERING •: 1-1 z I I F, f—A Vt I I*] z F —Al we] WS 10—A -f U ENGINEERING 2016-17 2017-18 2018-19 City Engineer 1 1 1 Engineer 1 1 1- Senior Graduate Engineer (previously Stormwater Manager) 1 1 1 Engineer 1 1 1 -Graduate Project Manager 1 1 - 1 Engineering Inspector 2 2 2 TOTAL POSITIONS 7 7 7 ACCOMPLISHMENTS AND GOALS FY 2017-2018 Accomplishments • Along with other Departments, successfully managed the following Capital Improvement Projects (in various stages of completion): • Northcliffe Waterline Replacement Phase 3 - complete • Schertz Parkway Improvements - Live Oak Road to Maske Road - complete • Lower Seguin Cibolo Creek Crossing Culvert Replacement (technical support for Public Works) - complete • Corbett Elevated Storage Tank - design complete • Woman Hollering Creek Wastewater Trunk Main - design complete, easement acquisition underway • Street Preservation and Maintenance Project (based on PCI) - in design 74 of 332 ENGINEERING o Trail and Bike Lane Project (technical support for Parks) - in design • Produced and Began Implementation of Roadway Impact Fee Program • Continued implementation of results of Pavement Condition Analysis Project using Pavement Condition Index values to program roadway repair and improvement prioritization and assisted in generating roadway maintenance program • Supported Public Works Department with technical and project management support of projects • Various Drainage Projects • Water Storage Tank Painting • FM 1103 Utility Relocation • Supported strong partnership with TxDOT and acted as liaison to TxDOT projects in Schertz • Expansion and improvements on FM 1103 • Planning for improvements on FM 1518 • Operational improvements on IH 35 north of FM 1103 • Completed engineering review, development support, and construction inspection of numerous residential and commercial subdivisions and site development projects FY 2018 -2019 Goals • Continue improvement and update of standard construction details, technical specifications, and design guidelines • Develop and maintain comprehensive 10 -year Capital Improvement Program including water, wastewater, drainage, and roadway projects • Lead development of Water and Wastewater Master Plan, updated Water and Wastewater Capital Improvement Plan, and updated Impact Fee Analysis • Provide efficient, clear review of construction plans and other development submittals • Continue promotion of efficacy of TSAC activities and actions PERFORMANCE INDICATORS Capital Improvement Projects (number active) Capital Improvement Project Construction Expenditures 10 19 15 $1,236,720.30 $3,345,000.00 $23,800,000.00 75 of 332 2016 -17 2017 -18 2018 -19 Workload/Output Measures Actual Estimate Budget Capital Improvement Projects (number active) Capital Improvement Project Construction Expenditures 10 19 15 $1,236,720.30 $3,345,000.00 $23,800,000.00 75 of 332 ENGINEERING Grading and Clearing Permits Issued Grading and Clearing Permits Active (Average Monthly Concurrent Maximum) Grading and Clearing Permits Active (Concurrent Maximum) Grading and Clearing Permits Issued — acreage Number of Non - Construction Plan Reviews (includes master plans, plats, site plans, etc.) Residential Subdivision Construction — number of projects (completed projects) Residential Subdivision Construction — dollar value of public improvements (completed projects) Commercial Subdivision Construction — number of projects (completed projects) Commercial Subdivision Construction — dollar value of public improvements (completed projects) 43 34 35 35 42 35 46 48 45 338 368 275 90 90 95 8 7 4 $15.4 mil $7.8 mil $5.0 mil 2 3 3 $ 0.8 mil $1.7 mil $1.0 mil Personnel Supplies City Support Services Utility Services Operations Support Staff Support Professional Services Rental /Leasing Operating Equipment Capital Outlay Total 76 of 332 $464,056 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel Supplies City Support Services Utility Services Operations Support Staff Support Professional Services Rental /Leasing Operating Equipment Capital Outlay Total 76 of 332 $464,056 $615,572 $614,373 1,616 810 2,720 295 650 900 1,190 2,500 4,118 102 48 100 6,431 7,580 12,658 63,579 51,967 71,000 2,824 0 0 359 400 3,351 0 0 30,000 $540,453 $679,527 $739,220 ENGINEERING W :1610 ZT-Al ITA MIUR11 9 1 M1 19YA I Lei z F-Al z I DXTAI z r-Al WM P The FY 2018-19 Budget will increase 8.8% from FY 2017-18 year end projections by providing for additional plan review services and a replacement work truck. 77 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET GENERAL GOVERNMENT EXPENDITURES Personnel Services 173 - 511110 Regular 337,341 422,186 442,865 440,465 173 - 511120 Overtime - 2,134 - - 173- 511180 LTD 925 1,309 1,373 1,365 173 - 511210 Longevity 3,661 4,828 4,399 5,840 173 - 511230 Certification Allowance 2,770 2,619 3,000 2,619 173 - 511310 FICA - Employer 25,892 33,019 34,445 34,329 173 - 511350 TMRS - Employer 53,596 69,124 72,110 72,495 173 - 511410 Health - Employer 37,240 51,073 55,351 54,824 173 - 511500 Workers Compensation 2,633 3,422 2,029 2,436 Total Personnel Services 464,058 589,714 615,572 614,373 Supplies 173 - 521000 Operating Supplies 684 - - 740 173 - 521100 Office Supplies 931 1,452 750 1,500 173 - 521600 Motor Vehicle Supplies - 120 60 480 Total Supplies 1,615 1,572 810 2,720 City Support Services 6,600 4,000 8,000 173 - 535510 173 - 532400 Computer Fees & Licenses 295 650 650 900 Total City Support Services 295 650 650 900 Utility Services Total Staff Support 6,431 11,475 173 - 533330 Telephone /Internet - - - 1,618 173 - 533500 Vehicle Fuel 1,190 3,500 2,500 2,500 Total Utility Services 1,190 3,500 2,500 4,118 Operations Support 173 - 534000 Postage - 48 48 - 173- 534200 Printing & Binding 102 - - 100 Total Operations Support 102 48 48 100 173- 535100 Uniforms 1,171 1,975 1,200 2,148 173- 535300 Memberships 400 1,120 600 1,120 173 - 535400 Publications 88 500 500 500 173 - 535500 Training /Travel 4,160 6,600 4,000 8,000 173 - 535510 Meeting Expenses - 200 200 320 173- 535600 Professional Certification 612 1,080 1,080 570 Total Staff Support 6,431 11,475 7,580 12,658 78 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET Professional Services 173 - 541100 Engineering Services 173 - 541300 Other Prof Services 173 - 541310 Prof Svcs- Plan Review Total Professional Services Rental /Leasing 173 - 561100 Rental -Equipment Total Rental /Leasing Operating Equipment 173 - 571000 Furniture & Fixtures 173 - 571300 Computer & Peripherals Total Operating Equipment Capitalized Equipment 173 - 581200 Vehicles & Accessories over $5,000 Total Capitalized Equipment - 25,000 25,000 25,000 - 10,800 10,800 10,000 63,579 16,167 16,167 36,000 63,579 51,967 51,967 71,000 79 of 332 2,824 359 400 400 900 - - - 2,451 359 400 400 3,351 - - - 30,000 30,000 DEPARTMENT: 174 GEOGRAPHIC INFORMATION SYSTEMS (GIS) FUND: 101 GENERAL FUND The City of Schertz uses a Geographic Information System (GIS) to create maps, analyze information, and visually examine the geographic features of our region. Many function of City government have a geographic dimension and the successful execution of GIS Services can substantially increase efficiency, collaboration and empowerment in the decision - making process. 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. 80 of 332 GIS DEPARTMENTAL DESCRIPTION The City of Schertz uses a Geographic Information System (GIS) to create maps, analyze information, and visually examine the geographic features of our region. Many function of City government have a geographic dimension and the successful execution of GIS Services can substantially increase efficiency, collaboration and empowerment in the decision - making process. ORGANIZATIONAL CHART GIS 2016 -17 2017 -18 2018 -19 GIS Coordinator 1 1 1 GIS Specialist 1 1 1 TOTAL POSITIONS 2 2 2 PERFORMANCE INDICATORS Data Update 2016 -17 2017 -18 2018 -19 Percentage of Time per Task Actual Estimate Budget Data Update 47.4 60.7 50.0 Data Creation 22.9 14.5 17.0 Project /Mapping 10.3 8.7 13.0 GIS Assistance 5.3 4.9 4.5 Training 3.1 4.3 4.0 Field Work 2.0 2.3 2.5 Email /Messages 0.9 0.6 1.0 Miscellaneous 4.9 0.3 3.0 Meeting 1.4 1.6 2.0 Addressing 1.7 1.8 2.0 Plot/Print/Finish 0.2 0.2 1.0 81 of 332 GIS Personnel 2016 -17 2017 -18 2018 -19 Budget I Actual Estimate Budget Personnel $155,410 $166,636 $166,886 Supplies 2,226 1,740 1,740 Staff Support 4,015 4,600 4,600 Rental /Leasing 2,084 2,085 2,085 Total $163,735 $175,061 $175,311 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget increases 0.1% from the FY 2017 -18 year end projections with no change in operations. 82 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES GEOGRAPHIC INFORMATION SYSTEMS Personnel Services 174 - 511110 Regular 174 - 511180 LTD 174-511210 Longevity 174- 511310 FICA - Employer 174 - 511350 TMRS - Employer 174 - 511410 Health - Employer 174 - 511500 Workers Compensation Total Personnel Services Supplies 174 - 521000 Operating Supplies 174 - 521100 Office Supplies Total Supplies Staff Support 174 - 535500 Training /Travel Total Staff Support Rental /Leasing 174 - 561200 Lease /Purchase Payments Total Rental /Leasing 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 111,176 115,053 118,961 118,660 324 357 369 368 2,321 2,708 2,708 3,108 8,543 9,002 9,308 9,308 18,222 18,846 19,485 19,657 14,434 14,592 15,506 15,437 391 505 299 348 155,411 161,063 166,636 166,886 1,722 1,440 1,440 1,440 505 300 300 300 2,227 1,740 1,740 1,740 4,015 4,600 4,600 4,600 4,015 4,600 4,600 4,600 2,084 2,085 2,085 2,085 2,084 2,085 2,085 2,085 83 of 332 DEPARTMENT: 256 POLICE FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Schertz Police Department patrols the 44.9 square miles of Schertz, with a current population of 38,697. The City of Schertz lies within three counties, with 268 centerline miles of roads. The police department receives thousands of calls for services annually through the communications division and dispatches for Police, Fire, Emergency Medical Service, Marshals and Animal Services. Additionally, the police department provides dispatch services for the City of Cibolo Police, Fire Departments and Animal Services, 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 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 Section receives and prepares cases for submission to County and District Attorneys. The School Resource Program provides a visible presence on the campuses within the city; makes educational presentations to the students and staff, along with investigating crimes on campus. The Community Outreach 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. Our new Crime Victim Liaison protects the rights and assists in the needs of not only the crime victims in Schertz, but Live Oak and Cibolo as well. GOALS AND OBJECTIVES • Promoting a safe community through public education, community involvement, criminal investigations, enforcement action and other essential services. • Enhance our citizens' quality of life by promoting a feeling of safety for all citizens and visitors to the city, including neighborhoods, commercial areas, parks and public facilities. 84 of 332 POLICE • To increase department participation in community programs and increase citizen interest and participation in police department programs which lends to an attractive, safe community and promotes economic prosperity. • 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 with an engaged workforce. ORGANIZATIONAL CHART 85 of 332 POLICE POLICE 2016 -17 2017 -18 2018 -19 Chief of Police 1 1 1 Assistant Chief of Police 1 1 1 Lieutenants 4 4 4 Sergeants 6 6 6 Corporals 10 11 11 School Resource Sergeant 1 1 1 School Resource Corporal 1 1 1 School Resource Officer 1 1 2 Officers 30 31 31 DEA Task Force Operators 2 2 2 Traffic Corporal 1 1 1 Traffic Officer 1 1 1 Environmental Officer 1 1 1 Code Enforcement Officers 1 2 2 Sanitarian 1 1 1 Senior Administrative Assistant 1 1 1 Administrative Assistant 1 1 1 Records Manager 1 1 1 Records Clerk 2 2 2 Civilian Evidence Technician 1 1 1 Crime Victim Liaison 1 1 1 Communications Manager 1 1 1 Communications Shift Supervisor 4 4 4 Communications Officer 12 12 12 Crossing Guards (Part Time) 12 16 16 TOTAL POSITIONS 1 98 105 106 LAW ENFORCEMENT COMMISSIONS 2016 -17 2017 -18 2018 -19 Fire Dept. Law Enforcement Commission 1 1 1 TOTAL COMMISSIONS 1 1 1 86 of 332 POLICE •:i ► -D l 2015 -16 2016 -17 2017 -18 Efficiency Actual Estimate Budget Average time on calls for service Average time on tickets, per minute Average response time to calls (minutes) Patrol- Percentage of Available Time Dispatch -911 Calls answered <10 sec Dispatch -911 Calls answered <15 sec Dispatch -911 Calls answered <40 sec 87 of 332 28:20 27:06 27:45 10:22 10:40 10:30 11:33 11:18 11:30 36% 32% 31% 96.15% 96.02% 96.08% 2.81% 2.84% 2.82% .75% 1.06% .90% POLICE Budget 2016 -17 Estimate Budget Actual Personnel $6,553,865 $6,706,787 $7,246,007 Supplies 85,023 69,581 59,348 City Support Services 21,294 24,230 26,000 Utility Services 84,814 94,236 127,279 Operations Support 3,053 3,800 12,121 Staff Support 129,736 156,605 148,369 City Assistance 17,160 20,100 18,200 Professional Services 52,193 74,550 70,443 Maintenance Services 53,445 68,953 62,645 Rental /Leasing 44,159 0 0 Operating Equipment 155,084 64,723 86,075 Capital Outlay 357,603 586,112 499,322 Total $7,557,429 $7,869,677 $8,355,808 PROGRAM JUSTIFICATION AND ANALYSIS Beginning in FY 2018 -19, this Budget will be combined with the Marshal and Environmental Health Budgets. The FY 2018 -19 Budget increases 6.2% from the FY 2017 -18 year end estimates with the addition of 1 Student Resource Officer with a vehicle and equipment as well with lower turnover with the new cadet program. 88 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND PUBLIC SAFETY EXPENDITURES Personnel Services 256- 511110 Regular 256- 511120 Overtime 256- 511180 LTD 256- 511210 Longevity 256- 511220 Clothing Allowance 256- 511230 Certification Allowance 256- 511310 FICA - Employer 256- 511350 TMRS - Employer 256- 511410 Health - Employer 256- 511500 Workers Compensation Total Personnel Services Supplies 4,394,731 256- 521000 Operating Supplies 256- 521100 Office Supplies 256- 521150 Child Safety Supplies 256- 521300 Motor Veh. Supplies Total Supplies City - Support Services 256- 532500 City - Insurance- Commercial Total City Support Services Utility Services 256- 533500 Vehicle Fuel Total Utility Services Operations Support 256- 534200 Printing & Binding Total Operations Support 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 4,015,928 4,394,731 4,188,184 4,972,573 125,591 98,056 190,000 98,056 11,852 13,347 12,983 15,139 103,404 99,353 93,353 102,406 58,256 63,907 58,968 70,949 40,764 41,720 38,955 47,171 324,417 359,151 347,728 404,773 690,008 739,307 727,955 842,113 503,878 559,976 509,506 649,838 47,490 59,910 35,514 42,989 5,921,588 6,429,458 6,203,146 7,246,007 28,120 23,996 31,980 35,438 3,293 4,500 4,804 6,400 38,796 15,211 15,211 - 11,805 13,585 13,566 17,510 82,014 57,292 65,561 59,348 21,294 21,500 24,230 26,000 21,294 21,500 24,230 26,000 78,641 90,302 87,156 127,279 78,641 90,302 87,156 127,279 2,075 3,735 2,500 12,121 2,075 3,735 2,500 12,121 89 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Staff Support 256- 535100 256- 535200 256- 535210 256- 535300 256- 535400 256- 535500 256- 535500.5 256- 535510 Total Staff E Uniforms Annual Awards Employee Recognition Memberships Publications Training/Travel T -Class Training Meeting Expense support City Assistance 256- 537100 Medical Services 256- 537800 Crime /Fire Prevention Total City Assistance Professional Services 256- 541300 Other Consult/Prof Sery Total Professional Services Maintenance Services 256- 551100 Building Maintenance 256- 551400 Minor & Other Equip. Maint. 256- 551800 Other Maintenance Agrmt 256- 551810 Maintenance Arg. Radios Total Maintenance Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 50,614 45,889 51,485 41,364 1,380 2,000 1,800 2,500 2,971 3,000 2,500 4,300 1,544 2,810 2,798 3,330 488 485 350 490 59,708 76,691 85,447 93,285 1,773 - - - 1,508 2,850 1,500 3,100 119,986 133,725 145,880 148,369 11,512 16,500 13,000 10,500 4,747 6,722 5,000 7,700 16,259 23,222 18,000 18,200 48,012 49,948 55,000 70,443 48,012 49,948 55,000 70,443 1,584 1,000 1,000 - 818 2,500 2,448 2,500 1,697 745 745 745 41,120 50,400 55,760 59,400 45,219 54,645 59,953 62,645 Rental /Leasing 256- 561200 Lease /Purchase Payments 44,159 Total Rental /Leasing 44,159 Operating Equipment 256- 571000 Furniture & Fixtures 256- 571200 Vehicle Accessories 256- 571300 Computer & Peripherals 256- 571600 Donation - Expense 256- 571800 Other Equipment Total Operating Equipment 9,281 92,105 20,483 11,845 133,714 90 of 332 4,600 4,527 5,230 20,530 24,329 25,265 29,600 995 - 46,223 26,822 55,580 100,953 56,673 86,075 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Capitalized Equipment 256- 581200 Motor Vehicles 256- 581800 Equipment Over $5,000 Total Capitalized Equipment 2016 -17 ACTUAL 351,345 6,258 357,603 91 of 332 2017 -18 BUDGET 553,508 25,425 578,933 2017 -18 ESTIMATE 522,612 2018 -19 BUDGET 470,847 28,475 28,475 551,087 499,322 101 GENERAL FUND GENERAL GOVERNMENT EXPENDITURES MARSHAL'S OFFICE Personnel Services 259 - 511110 Regular 259 - 511120 Overtime 259 - 511180 LTD 259 - 511210 Longevity 259 - 511220 Clothing Allowance 259 - 511230 Certification Allowance 259 - 511310 FICA - Employer 259 - 511350 TMRS - Employer 259 - 511410 Health - Employer 259 - 511500 Workers Compensation Total Personnel Services Supplies 316,548 259 - 521000 Operating Supplies 259 - 521100 Office Supplies 259 - 521300 Motor Vehicle Supplies 259 - 521600 Equip Maint Supplies Total Supplies Utility Services 259 - 533500 Vehicle Fuel Total Utility Services Operations Support 259 - 534200 Printing & Binding Total Operations Support CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 302,812 316,548 237,397 1,865 1,455 5,000 920 981 736 13,895 6,423 6,526 3,982 4,035 3,120 2,780 2,900 2,210 24,181 25,334 19,179 53,703 53,037 40,151 38,247 36,481 31,517 3,928 4,803 2,847 446,313 451,997 348,683 167 550 500 515 800 800 1,630 2,000 2,000 - 125 100 2,312 3,475 3,400 6,173 8,500 7,080 6,173 8,500 7,080 275 1,000 550 275 1,000 550 92 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 Staff Support 259 - 535100 Uniforms 259 - 535200 Awards 259 - 535300 Memberships 259 - 535400 Publications 259 - 535500 Training /Travel 259 - 535510 Meeting Expenses Total Staff Support City Assistance 259 - 537800 Community Outreach Total City Assistance Maintenance Services 259 - 551800 Other Maintenance Agreements 259 - 551810 Maintenance Agr Radios Total Maintenance Services Operating Equipment 259 - 571000 Furniture & Fixtures 259 - 571800 Equipment Less $5,000 Total Operating Equipment 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 1,265 1,200 1,200 - - 200 - - 300 900 550 - - 150 150 - 3,836 9,200 5,000 - 107 250 125 - 5,508 11,900 7,025 - - 2,750 1,500 - - 2,750 1,500 - 1,500 2,500 1,650 - 2,200 2,600 2,400 - 3,700 5,100 4,050 - - 950 950 - 17,699 4,800 4,800 - 17,699 5,750 5,750 - 93 of 332 101 GENERAL FUND HEALTH EXPENDITURES ENVIRONMENTAL HEALTH CITY OF SCHERT2 OPERATING BUDGET 2018 -19 2016 -17 ACTUAL Personnel Services 772 - 511110 Regular 772 - 511120 Overtime 772- 511180 LTD 772 - 511210 Longevity 772 - 511220 Clothing Allowance 772 - 511310 FICA - Employer 772 - 511350 TMRS - Employer 772 - 511410 Health- Employer 772 - 511500 Workers Compensation Total Personnel Services Supplies 772 - 521000 Operating Supplies 772 - 521100 Office Supplies Total Supplies Operations Support 772 - 534200 Printing & Binding Total Operations Support Staff Support 772- 535100 Uniforms 772 - 535300 Memberships 772 - 535400 Publications 772 - 535500 Training /Travel 772 - 535510 Meeting Expenses Total Staff Support City Assistance 772- 537800 Community Outreach Total City Assistance Professional Services 772 - 541300 Other Consult /Prof Service Total Professional Services 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 130,805 129,023 104,158 - 739 2,910 2,500 - 370 462 313 - 1,742 2,055 2,010 - 2,540 3,107 1,900 - 10,260 12,199 7,969 - 21,040 25,537 15,624 - 18,466 25,536 19,812 - - 672 672 - 185,962 201,501 154,958 - 165 1,200 220 - 530 500 400 - 695 1,700 620 - 703 800 750 - 703 800 750 - - 800 500 - - 270 - - - 150 - - 4,108 4,280 3,200 - 132 250 - - 4,240 5,750 3,700 - 901 1,000 600 - 901 1,000 600 - 481 20,500 15,500 - 481 20,500 15,500 - 94 of 332 CITY OF SCHERT2 OPERATING BUDGET 2018 -19 2016 -17 101 GENERAL FUND ACTUAL Maintenance Services 772 - 551700 Abatement Total Maintenance Services Operating Equipment 772- 571000 Furniture & Fixtures 772 - 571800 Equipment Under $5,000 Total Operating Equipment Capital Outlay 772 - 581200 Vehicles & Access. Over $5,000 Total Operating Equipment 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 8,225 12,000 9,000 8,225 12,000 9,000 - 1,000 1,000 3,671 1,300 1,300 3,671 2,300 2,300 95 of 332 35,025 35,025 35,025 35,025 DEPARTMENT: 257 FIRE RESCUE FUND: 101 GENERAL FUND DEPARTMENTAL DESCRIPTION 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. 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. • 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. • Semi - Annual inspects all schools and nursing homes. • Encourage public speaking for all firefighters. • Maintain safe construction and occupancy within the city through code enforcement. 96 of 332 FIRE RESCUE • 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. ORGANIZATIONAL CHART FIRE RESCUE 2016 -17 2017 -18 2018 -19 Fire Chief 1 1 1 Assistant Chief 1 1 1 Fire Marshal 1 1 1 Battalion Chief 3 3 3 Training/Safety/Emergency Manager 1 1 1 Lieutenant 6 9 9 Fire Inspector 1 1 1 Fire Apparatus Operator 6 9 9 Firefighter 18 18 18 Senior Administrative Assistant 1 1 1 TOTAL POSITIONS 39 45 45 97 of 332 FIRE RESCUE WANA" i • 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 870 2016 -17 2017 -18 2018 -19 Input Actual Estimate Budget 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 870 900 930 39 45 45 33 39 39 2 2 2 4 4 4 2 3 3 2 3 3 Number of incidents 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Number of incidents 2,844 2,800 2,900 Unit Responses (# calls for all units Actual Estimate Budget responding to all emergencies) 4,250 4,250 4,300 Buildings preplan contacts 398/104 350/140 Training Hours /Employee Community Contact (citizen contact) 11,438 11,500 12,000 Fire Inspections Conducted 519 520 530 Plan Reviews Completed 209 240 250 Training Hours Provided 9,449 8,000 8,500 Average Drive Time (Minutes) 2016 -17 2017 -18 2018 -19 Efficiency Actual Estimate Budget Average Drive Time (Minutes) 5.48 5.48 • Drive Time < 4 Minutes 35% 35% • of Buildings Preplanned 100% 100% • Prevention Contacts 29% 29% Inspections per Inspector 398/104 350/140 Training Hours /Employee 248.65 240 98 of 332 5.42 35% 100% 29% 360/150 242 FIRE RESCUE Personnel 2016-17 2017-18 2018-191 Budget Actual Estimate � Budget Personnel $3,647,597 $4,173,236 $4,552,388 Supplies 4,961 16,900 19,600 Utility Services 49,079 47,050 64,600 Operations Support 0 150 550 Staff Support 136,416 163,850 180,075 City Assistance 22,490 15,000 23,000 Professional Services 32,696 33,500 33,500 Maintenance Services 40,403 72,500 62,500 Rental/Leasing 15,916 23,500 33,900 Operating Equipment 89,154 106,800 105,000 Capital Outlay 37,207 121,864 186,500 Total $4,076,531 $4,779,350 $5,261,613 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018-19 Budget will increase 10.1% from the FY 2017-18 year end estimates. This increase is due to the additional operating costs associated with opening of Fire Station 3 including full year funding of all personnel assigned to Station 3 and associated overtime and the purchase of a replacement Brush Truck. 99 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 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 - 533100 257 - 521000 Operating Supplies 257 - 521100 Office Supplies 257- 521200 Medical /Chemical Supplies 257 - 521300 Motor Veh. Supplies 257 - 521600 Equip Maint Supplies Total Supplies Utility Services 257 - 533100 Gas 257 - 533200 Electricity 257 - 533320 Telephone /Air Cards 257 - 533330 Telephone /Internet 257 - 533410 Water Utility Service 257 - 533500 Vehicle Fuel Total Utility Services Operations Support 257 - 534100 Advertising 257 - 534200 Printing & Binding Total Operations Support 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 27299,294 2,738,624 2,553,590 2,848,190 300,878 351,004 450,000 400,000 6,910 7,673 7,916 8,381 63,820 57,365 62,279 62,399 11,568 13,316 12,312 13,316 40,575 48,597 40,435 47,588 202,138 232,345 231,001 256,686 429,195 486,405 483,592 542,060 269,508 317,380 312,060 349,183 23,710 33,825 20,051 24,585 3,647,596 4,286,534 4,173,236 4,552,388 2,658 4,500 4,000 4,500 1,172 2,100 2,100 2,500 706 9,025 8,300 10,000 15 700 700 800 411 1,875 1,800 1,800 4,962 18,200 16,900 19,600 2,677 6,000 3,500 6,000 18,624 20,000 10,000 23,000 - - 1,350 3,000 - 1,350 650 - 2,395 2,300 1,900 2,600 25,383 24,000 31,000 30,000 49,079 53,650 48,400 64,600 - 150 - 150 - 400 150 400 - 550 150 550 100 of 332 101 GENERAL FUND Staff Suppc 257 - 535000 257- 535210 257 - 535300 257 - 535400 257 - 535500 257 - 535510 257 - 535600 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 rt Uniforms Employee Recognition - Morale Memberships Publications Training /Travel Meeting Expenses Professional Certifications Total Staff Support City Assistance 257 - 537800 Crime /Fire Prevention Total City Assistance Professional Services 257- 541300 Other Professional Services Total Professional Services Maintenance Services 257 - 551400 Minor & Other Equip Maint 257 - 551800 Other Maintenance Agreements 257- 551810 Maintenance Arg. Radios 257 - 551900 Construction Total Maintenance Services Other Costs 257 - 554200 Deployment -Reimb TIFMAS Total Other Costs Rental /Leasing 257- 561200 Lease /Purchase Payments Total Rental /Leasing Operating Equipment 85,000 257 - 571000 Furniture & Fixtures 257 - 571200 Vehicle Accessories 257- 571300 Computer Equipment 257 - 571310 Computer Software 257- 571400 Communications Equipment 257 - 571600 Police /Fire /Medical Equip. 257 - 571800 Other Equipment Total Operating Equipment 2016 -17 ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 65,002 85,000 85,000 95,600 3,971 4,500 4,000 4,500 2,238 2,500 2,750 3,100 2,792 3,500 2,800 3,500 52,094 58,000 58,000 58,000 3,496 4,375 3,800 4,375 6,823 10,000 7,500 11,000 136,416 167,875 163,850 180,075 22,490 20,000 15,000 23,000 22,490 20,000 15,000 23,000 32,696 33,500 33,500 33,500 32,696 33,500 33,500 33,500 1,723 2,500 2,000 2,500 16,544 24,000 24,000 30,000 10,640 14,000 14,000 15,000 11,496 32,500 32,500 15,000 40,403 73,000 72,500 62,500 611 - 5,000 - 611 - 5,000 - 15,916 23,500 23,500 33,900 15,916 23,500 23,500 33,900 6,741 15,000 15,000 15,000 15,424 8,500 7,000 7,000 5,706 16,000 16,000 14,500 1,541 5,800 5,800 12,500 6,643 14,500 7,000 10,000 40,330 41,000 41,000 41,000 12,769 7,000 15,000 5,000 89,154 107,800 106,800 105,000 101 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Capitalized Equipment 257 - 581200 Vehicles & Access. over $5,000 257- 581600 Donation - Expense 257- 581800 Equipment over $5,000 Total Capitalized Equipment 2016 -17 2017 -18 ACTUAL BUDGET 30,407 90,000 - 15,350 6,800 7,000 37,207 112,350 102 of 332 2017 -18 2018 -19 ESTIMATE BUDGET 90,000 • 111 7,000 7,500 121,864 186,500 DEPARTMENT: PLANNING AND COMMUNITY DEVELOPMENT DIVISION: 258 BUILDING INSPECTIONS FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Building Inspections Division assists customers seeking permits and inspections for various residential and commercial construction projects. The Division is responsible for ensuring the health, safety, and welfare of individuals occupying structures through professional review of building plans, permits and performing inspections to ensure consistency of the City's adopted building codes and ordinances. Staff works closely with contractors, builders, developers, citizens and other City Departments to assist in creating an attractive and safe community. GOALS AND OBJECTIVES • Continue to improve department processes to expedite the plan review and permitting process. • Strive to provide superior customer service through courteous and professional relationships with the community. • Continue to train counter staff to interpret building code regulations with the goal to successfully guide customers through the permit and inspection process. • Promote the use of automated technology in permit application and inspection software which will streamline the process and provide the applicant with on -line access to projects. • Continue to provide and improve upon a high level of professional services to the varied stakeholders served, including builders, developers, land owners, neighborhood groups, business owners, appointed officials and Council members, and citizens of the community. • Promote continuous staff development and cross training, including the training of the Plans Examiner, to improve efficiency and customer service by increasing the technical knowledge of staff. 103 of 332 INSPECTIONS • Build stronger partnerships with adjacent municipalities through attendance at quarterly Building official meetings. • Expand efforts for community education of Building Safety through the City of Schertz Building Safety Month festivities to include additional school presentations, information sessions at local stores, and a presentation to the City of Schertz Senior Center to raise awareness on the importance of building safety. • Review, adopt and implement new Building Codes in order to ensure the health and safety of Schertz residents. • Contribute to the publication of a new article for the Schertz Magazine — From the Development Whiteboard column is published every month to provide helpful information, transparency, and improved customer service for all residents. ACCOMPLISHMENTS • Continually improved upon the customer service kiosk in the lobby to assist customers with the permitting process. • Updated applications and created fillable forms to provide improved customer service. • Expanded the yearly program to raise awareness for Building Safety Month which included an elementary school presentation, weekly safety tips on the City social media site, informational sessions at the local home improvement store, and article in the Schertz Magazine and a presentation at the Schertz Senior Center. • Continually reviewed and improved the online inspection request system based on customer input to improve communication with customers and to include the ability to upload attachments for all contractor submittals. • Improved Permit Technician processes by implementing new work flows, to include immediately scanning permits, to provide increased customer service and ensure proper tracking of all submitted permits. • Continued the monthly contractor meetings and quarterly meetings with the Greater San Antonio Builders Association (GSABA) to foster partnerships with the building community. • Continued with weekly department meeting to include all Planning and Community Development staff to foster a team mentality, increase 104 of 332 INSPECTIONS awareness of construction projects and improve communication within the department. • Focus on continued training for staff. • Seven (7) International Code Council (ICC) Certifications were earned by staff members. • Assisted with the creation of a Building and Standards Commission to provide an appropriate board for residents and customers to appeal building and fire code decisions, and provide an opportunity for public hearings on substandard structures. • Contributed to the Schertz Magazine reoccurring column entitled "From the Development Whiteboard ", in which staff members write articles to provide information and updates to the residents. • Updated the Code of Ordinance to eliminate the requirement for obtaining a garage sale permit. 105 of 332 INSPECTIONS ORGANIZATIONAL CHART INSPECTIONS 2016 -17 2017 -18 2018 -19 Dir. of Planning & Comm. Dev. 1 1 1 Executive Assistant 1 1 1 Chief Building Official 1 1 1 Plans Examiner 0 1 1 Assistant Chief Inspector 1 0 0 Building Inspector 2 3 5 Permit Technician 2 2 2 Floating Clerk* 0 0 1 TOTAL POSITIONS 8 9 13 *Split with Utility Billing PERFORMANCE INDICATORS New Residential Construction New Commercial Construction Reroof Permits Accessory/Temporary Building Permits Deck /Patio Permits Sign Permits Other Permits 106 of 332 399 2016 -17 I 2017 -18 2018 -19 Workload /Output Actual Estimate Budget New Residential Construction New Commercial Construction Reroof Permits Accessory/Temporary Building Permits Deck /Patio Permits Sign Permits Other Permits 106 of 332 399 415 360 26 32 30 587 1300 500 73 60 60 86 80 80 88 75 100 3407 4500 3200 INSPECTIONS Mechanical Permits 920 1000 900 Electric Permits 743 800 800 Plumbing Permits 970 1200 1000 Total Permit /License /Fee Revenue $3,308,953 $2,878,236 $2,116,827 Median days to complete residential 20 25 20 plan review Median days to complete commercial 60 60 45 plan review 2016 -17 2017 -18 2018 -19 Efficiency Actual Estimate Bud et Median days to complete residential 20 25 20 plan review Median days to complete commercial 60 60 45 plan review Standard Inspections (i.e. framing) 13,269 17,000 15,000 Re- Inspections 1,638 3,000 3,000 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget Standard Inspections (i.e. framing) 13,269 17,000 15,000 Re- Inspections 1,638 3,000 3,000 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $578,866 $632,982 $729,754 Supplies 2,836 3,050 4,145 Utility Services 3,747 5,000 5,000 Operations Support 1,845 2,000 2,219 Staff Support 18,063 21,345 29,961 Professional Services 206,558 270,400 70,000 Operating Equipment 0 5,500 50 Capital Outlay 0 0 54,000 Total $811,916 $940,277 $895,579 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will decrease 4.8% from the FY 2017 -18 year end estimates. The addition of half of a Floating Clerk salary, split with Utility Billing, will be offset by lowering the third party inspection services contract use. FY 2017- 18 saw an increase use of this contract with the large number of permits that is not expected to continue into FY 2018 -19. Contract Services will further be decreased and will fully offset the hiring of 2 additional Building Inspector positions. 107 of 332 101 GENERAL FUND PUBLIC SAFETY EXPENDITURES INSPECTIONS Personnel Services 258 - 511110 Regular 258 - 511120 Overtime 258 - 511180 LTD 258 - 511210 Longevity 258 - 511230 Certification Allowance 258 - 511310 FICA - Employer 258 - 511350 TMRS - Employer 258 - 511410 Health - Employer 258 - 511500 Workers Compensation Total Personnel Services Supplies 1,400 258 - 521000 Operating Supplies 258 - 521100 Office Supplies 258 - 521300 Motor Vehicle Supplies 258 - 521600 Equip Maint Supplies Total Supplies Utility Services 258 - 533500 Vehicle Fuel Total Utility Services Operations Support 258 - 534200 Printing & Binding Total Operations Support CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 ACTUAL 401,722 10,023 1,141 8,647 31,066 67,477 57,542 1,248 578,866 2017 -18 BUDGET 423,260 27,811 1,368 7,252 35,046 73,366 63,841 1,823 633,767 2017 -18 ESTIMATE 425,933 29,000 1,320 7,295 34,383 71,979 61,991 1,081 C •:i 2018 -19 BUDGET 496,158 19,400 1,538 8,911 291 39,382 83,165 79,562 1,347 729,754 1,118 1,400 1,000 1,405 1,675 2,000 1,600 2,000 44 200 200 240 - 500 250 500 2,837 4,100 3,050 4,145 3,747 5,000 5,000 5,000 3,747 5,000 5,000 5,000 1,845 2,000 2,000 2,219 1,845 2,000 2,000 2,219 108 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 101 GENERAL FUND ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET Staff Support 258 - 535100 Uniforms 4,821 5,360 3,500 6,250 258 - 535300 Memberships 219 745 745 745 258 - 535400 Publications 536 2,100 2,100 2,298 258 - 535500 Training /Travel 9,665 15,025 12,000 15,300 258 - 535510 Meeting Expense 1,829 3,000 2,000 3,336 258 - 535600 Professional Certifications 993 1,950 1,000 2,032 Total Staff Support 18,063 28,180 21,345 29,961 Professional Services 258 - 541300 Other Consult /Prof Service 206,558 270,400 270,400 70,000 Total Professional Services 206,558 270,400 270,400 70,000 Operating Equipment 258 - 571000 Furniture & Fixtures - 5,500 5,500 500 Total Operating Equipment - 5,500 5,500 500 Capital Outlay 258 - 581200 Vehicles & Access. over $5,000 - - - 54,000 Total Capital Outlay - - - 54,000 109 of 332 DEPARTMENT: PUBLIC WORKS DIVISION: 359 STREETS FUND: 101 GENERAL FUND Q • 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. GOALS AND OBJECTIVES • 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. 110 of 332 PUBLIC WORKS- STREETS STREETS 2016 -17 2017 -18 2018 -19 Public Works Manager Streets/Drainage 1 1 1 Street Supervisor 1 1 1 Foreman 1 1 1 Street Worker II 5 5 5 Street Worker 1 6 6 6 TOTAL POSITIONS 14 14 14 PERFORMANCE INDICATORS Street Sweeping hours 2016 -17 2017 -18 2018 -19 Workload /Output Actual Estimate Budget Street Sweeping hours 2,020 1,954 2,050 Number of signs produced 472 708 778 Quantity of asphalt purchased (tons) 94 109 180 Special projects (Hours) 730 1,286 1,414 Street centerline miles Annual cost to operate street sweepers (operators and fuel) Cost per ton of asphalt Approved daily budget expenditures for operation 111 of 332 11,5000 117,000 48 48 3,580 3,845 ONEI 2016 -17 2017 -18 2018 -19 Efficient Actual Estimate Budget Annual cost to operate street sweepers (operators and fuel) Cost per ton of asphalt Approved daily budget expenditures for operation 111 of 332 11,5000 117,000 48 48 3,580 3,845 ONEI PUBLIC WORKS- STREETS Effectiveness 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Hours spent on roadway maintenance 2,900 3,000 3,200 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $730,408 $765,320 $800,297 Supplies 92,868 65,550 102,450 Utility Services 167,423 172,700 177,200 Staff Support 11,586 10,800 14,550 Professional Services 71,705 15,750 15,000 Maintenance Services 40,094 75,000 285,500 Rental /Leasing 2,763 4,000 4,000 Operating Equipment 12,133 6,800 10,300 Capital Outlay 135,808 257,900 65,000 Total $1,264,787 $1,373,820 $1,474,297 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 7.3% from the FY 2017 -18 year end estimate with the addition of $235,000 for additional streets and sidewalk maintenance throughout the City. 112 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND 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 507,834 359 - 521000 Operating Supplies 359 - 521050 Operating Supplies- Street Sig 359 - 521055 Operating Supplies- StreetMain 359 - 521100 Office Supplies 359 - 521200 Medical /Chemical Supplies 359 - 521300 Motor Vehicle Supplies Total Supplies Utility Services 359 - 533200 Electricity Utility Service 359 - 533410 Water Utility Service 359 - 533500 Vehicle Fuel Total Utility Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 478,528 507,834 505,077 520,366 6,592 4,753 4,753 6,305 1,406 1,574 1,566 1,613 13,796 16,274 15,381 16,724 2,112 2,037 2,239 2,037 38,208 40,333 40,521 41,328 80,366 84,945 84,829 87,783 90,556 102,145 96,996 108,056 18,844 23,547 13,958 16,085 730,408 783,442 765,320 800,297 3,444 2,750 3,250 3,750 30,324 20,000 20,000 20,000 56,576 56,000 40,000 75,000 233 300 300 400 470 1,000 800 1,500 1,820 1,000 1,200 1,800 92,867 81,050 65,550 102,450 131,119 118,000 134,000 140,000 630 1,200 700 1,200 35,674 30,000 38,000 36,000 167,423 149,200 172,700 177,200 113 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Staff Support 8,500 359 - 535100 Uniforms 359 - 535200 Annual Awards 359 - 535300 Memberships 359 - 535500 Training /Travel 359 - 535510 Meeting Expense 359 - 535600 Professional Certifications Total Staff Support Professional Services 359 - 541310 Contractual Services Total Professional Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 9,474 8,500 8,500 9,900 - 100 - 100 - 550 - 150 1,399 1,100 1,400 3,000 536 600 600 1,000 177 400 300 400 11,586 11,250 10,800 14,550 71,705 18,340 15,750 15,000 71,705 18,340 15,750 15,000 Maintenance Services 359 - 551400 Minor & Other Equip. Maintenance (267) - - 500 359 - 551600 Street Maintenance 40,361 69,000 75,000 285,000 Total Maintenance Services 40,094 69,000 75,000 285,500 Rental Equipment 359 - 561100 Rental Equipment Total Rental Equipment Operating E 359 - 571000 359 - 571200 359 - 571750 359 - 581800 Total Oper Is wipment Furniture & Fixtures Vehicles & Accessories < $5,000 Street Crossing Minro Improvement! Other Equipment sting Equipment 3,210 4,000 4,000 3,210 4,000 4,000 254 300 300 300 1,178 1,200 1,200 5,000 9,184 - - - I rli cz F 11nn F '2(1() F nnn 359 - 581200 Vehicles & Access. over $5,000 27,884 170,000 170,000 - 359- 581750 Street Crossing Improvements 84,034 27,000 27,000 - 359- 581800 Equipment over $5,000 23,890 60,900 60,900 65,000 Total Capital Outlay 135,808 257,900 257,900 65,000 114 of 332 FUND: 101 GENERAL FUND 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, campus formal bed maintenance contracts, and oversight of athletic field maintenance by sports associations (Buffalo Valley Youth Association and Schertz Youth Soccer Alliance). It conducts community -wide tree planting and beautification programs. Acquires, designs, constructs, and renovates existing and additional park land and facilities. It provides citizen input and communication venues utilizing the Parks and Recreation Advisory Board, community surveys, and community meetings. It supports seasonal special events. The Director of Parks, Recreation, and Community Services oversees the budgets for Parks, Swimming Pools, Tree Mitigation, and Parkland Dedication. In addition, the Director oversees and manages the contracts with the YMCA of Greater San Antonio for the Recreation Center staffing /programming, the Senior Center staffing /programming, the outdoor pools at Pickrell and Wendy Swan Parks staffing /programming, as well as, the Schertz Aquatic Center staffing /programming. 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. • 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, swimming pools, and senior center. 115 of 332 PARKS, RECREATION AND COMMUNITY SERVICES • Continue to expand our internal, recreation services program through our Music & Movies in the Park series, restructuring of our established special events, and introduction of more adult-oriented sports opportunities. • Continue to expand our nature park educational opportunities through more organized, structured site tours and programming accomplished through partnerships with the Friends of Crescent Bend Nature Park, members of the local birding community, and the local school district (SCUCISD). ORGANIZATIONAL CHART PARKS, RECREATION & COMMUNITY SERVICES 2016-17 2017-18 2018-19 Director of Parks, Recreation & Community Services 1 1 1 Assistant Director 1 1 1 Senior Administrative Assistant 1 1 1 Park Maintenance Crew Leader 1 1 1 Park Worker 1 4 4 4 Park Worker 1, Part Time 1 1 1 Seasonal Park Workers 1 1 1 TOTAL POSITIONS 10 10 10 116 of 332 PARKS, RECREATION AND COMMUNITY SERVICES PERFORMANCE INDICATORS Total Acres of Park Land Managed Total Acres of City Campuses Managed Total Acres of Land Managed Per FTE Routine Park Maintenance Hours Special Event Hours 394.35 410.35 401.11 48.68 78.87 58.62 89.96 7,830 12,694 11,700 362 2016 -17 2017 -18 2018 -19 Workload /Outputs Actual Estimate Budget Total Acres of Park Land Managed Total Acres of City Campuses Managed Total Acres of Land Managed Per FTE Routine Park Maintenance Hours Special Event Hours 394.35 410.35 401.11 48.68 78.87 58.62 89.96 7,830 12,694 11,700 362 Acres of Contractual Mowing Acres of Athletic Association Maintenance Hours of Volunteer Service Hours of Athletic Association Service 25.38 164.97 119.40 49 49 70.02 800 950 1,200 1,200 2016 -17 2017 -18 2018 -19 Efficiency Actual Estimate Budget Acres of Contractual Mowing Acres of Athletic Association Maintenance Hours of Volunteer Service Hours of Athletic Association Service 25.38 164.97 119.40 49 49 70.02 800 950 1,200 1,200 Cost Benefit for Athletic Association Field Maintenance Cost Benefit for Volunteer Hours $550,000 $550,000 $550,000 $19,142 $24,180 $12,000 Budget 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget Cost Benefit for Athletic Association Field Maintenance Cost Benefit for Volunteer Hours $550,000 $550,000 $550,000 $19,142 $24,180 $12,000 Budget 2016 -17 2017 -18 2018 -19 Supplies Actual Estimate Bud et Personnel $496,446 $503,616 $673,965 Supplies 38,934 68,795 99,900 City Support Services 12,005 10,358 10,000 Utility Services 247,033 228,028 220,500 Operations Support 1,673 999 1,000 Staff Support 10,351 9,330 12,665 Professional Services 90,230 133,146 137,500 Maintenance Services 17,352 18,902 67,500 Rental /Leasing 37,229 32,115 36,822 Operating Equipment 19,024 24,674 12,500 Capital Outlay 0 70,408 365,500 Total $970,348 $1,097,878 $1,603,030 117 of 332 PARKS, RECREATION AND COMMUNITY SERVICES • :_IA WWII 9 1 M1 lef-Al •► _►B _►_ The FY 2018 -19 Budget will increase 46.0% from the FY 2017 -18 year end estimate. This increase is from the addition of $235,000 for regular park maintenance through additional supplies and improvements. Also included in the Budget are improvements for the Senior Center Parking Lot of $50,000 and $165,500 for two replacement mowers, a replacement work truck, and a replacement bucket truck. 118 of 332 101 GENERAL FUND CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 ACTUAL PARKS, RECREATION, & COMMUNITY SERVICES EXPENDITURES Personnel Services 460- 511110 Regular 460- 511120 Overtime 460- 511180 LTD 460- 511210 Longevity 460- 511230 Certification Allowance 460- 511310 FICA - Employer 460- 511350 TMRS - Employer 460- 511410 Health - Employer 460- 511500 Workers Compensation Total Personnel Services Supplies 460- 533100 460- 521000 Operating Supplies 460- 521100 Office Supplies 460- 521200 Medical /Chemical Supplies 460- 521300 Motor Vehicle Supplies 460- 521310 Landscaping Supplies- Parks 460- 521315 Landscaping Supplies- Campus 460- 521400 Plumbing Supplies 460- 521610 Building Maintenance Supplies Total Supplies 51,000 City Support Services 460- 532800 Special Events Total City Support Services Utility Services 460- 533100 Gas Utility Service 460- 533200 Electric Utility Service 460- 533310 Telephone /Cell Phones 460- 533410 Water Utility Service 460- 533500 Vehicle Fuel Total Utility Services Operations Support 460- 534100 Advertising Total Operations Support 328,886 15,523 955 12,901 3,208 25,886 56,401 47,722 4 QFiS 496,447 2017 -18 BUDGET 296,026 16,065 1,005 7,330 3,898 29,185 57,284 52,897 5 7(11 469,391 2017 -18 ESTIMATE 337,377 16,000 1,046 6,669 2,516 27,588 57,754 51,286 mn 503,616 2018 -19 BUDGET 444,258 14,793 1,341 8,514 14,550 36,862 75,873 73,714 4 nRn 673,965 32,785 42,195 39,195 35,750 362 451 451 550 1,717 2,730 2,730 2,600 - 256 600 1,000 - 20,000 20,000 51,000 - 1,400 1,200 5,000 4,070 5,000 4,000 4,000 - 619 619 - 38,934 72,651 68,795 99,900 12,005 10,508 10,358 10,000 12,005 10,508 10,358 10,000 692 - - - 80,465 76,000 76,000 76,000 75 - 28 - 155,319 136,000 142,000 136,000 10,482 10,000 10,000 8,500 247,033 222,000 228,028 220,500 1,673 999 999 1,000 1,673 999 999 1,000 119 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET �Y�:T,16 _ ... 460- 535100 Uniforms 5,760 4,500 4,500 4,665 460- 535300 Memberships 441 1,200 500 1,350 460- 535500 Training /Travel 4,151 3,830 3,830 5,800 460- 535510 Meeting Expenses - 500 500 850 Total Staff Support 10,352 10,030 9,330 12,665 Professional Services - 12,000 12,000 - 460- 541300 Other Prof. Services 1,420 1,646 1,646 6,000 460- 541310 Contract Services 88,810 131,500 131,500 131,500 Total Professional Services 90,230 133,146 133,146 137,500 Maintenance Services 460- 551100 Building Maintenance 250 1,078 1,078 2,500 460- 551400 Minor & Other Equip Maintenanc 2,080 5,418 5,418 5,000 460- 551600 Street Maint. Material - - - 50,000 460- 551618 Veteran's Memorial Maint. 189 7,000 7,000 5,000 460- 551710 Landscaping 14,833 5,406 5,406 5,000 Total Maintenance Services 17,352 18,902 18,902 67,500 �. :•, 460- 561100 Rental- Equipment 1,069 2,450 2,450 2,000 460- 561200 Lease Payments - Principal 36,230 27,172 27,172 - Total Rental -ROW 37,299 29,622 29,622 2,000 Operating Equipment 460- 571000 Furniture & Fixtures - 2,574 2,574 2,500 460- 571600 Donation - Expense - 12,000 12,000 - 460- 571800 Equpment under $5000 19,024 10,100 10,100 10,000 Total Operating Equipment 19,024 24,674 24,674 12,500 Capital Outla 460- 581200 Vehicles & Access. over $5,000 - - - 128,000 460- 581700 Improvements - - - 200,000 460- 581800 Equipment over $5,000 - 70,408 70,408 37,500 Total Capital Outlay - 70,408 70,408 365,500 120 of 332 DEPARTMENT: PARKS, RECREATION, AND COMMUNITY SERVICES DIVISION: 463 POOLS FUND: 101 GENERAL FUND 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 contractual oversight of the management, programming, and maintenance of the Schertz Aquatic Center. Provide citizen input and communication venues utilizing the Parks and Recreation Advisory Board, surveys, and community meetings. 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. • Incorporate management oversight of the Schertz Aquatic Center in order to expand the availability of recreational and health/well being programming and provide year-round access to same. 121 of 332 '1• ORGANIZATIONAL CHART PERFORMANCE INDICATORS Revenue per year 2016 -17 2017 -18 2018 -19 Workload/Outputs Actual Estimate Budget Revenue per year 30,816 26,073 27,700 Days open per year 71 62 67 In -House Pool Renovation Hours Daily Admissions Wendy Swan Pool 3,934 3,367 3,650 Daily Attendees Wendy Swan Pool 2,684 2,297 2,500 Daily Admissions Pickrell Pool 21,357 18,196 19,800 Daily Attendees Pickrell Pool 12,419 10,486 11,452 Season Pool Pass Sales 5,524 4,480 5,000 Cost per resident for Pool Operations *Cost per resident with the new Schertz Aquatic Center 122 of 332 6.45 *19.45 *17.30 2016 -17 2017 -18 2018 -19 Efficiency Actual Estimate Budget Cost per resident for Pool Operations *Cost per resident with the new Schertz Aquatic Center 122 of 332 6.45 *19.45 *17.30 10• 1 Supplies 2016-17 2017-18 2018-19 Budget Actual � Estimate � Budget Supplies $25,814 $17,070 $25,000 Utility Services 24,900 31,250 16,500 Professional Services 3,633 0 0 Maintenance Services 574,709 529,506 597,878 Operating Equipment 0 1,032 0 Total $629,056 $578,858 $639,878 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018-19 Budget will increase 10.5% from the FY 2017-18 year end estimate. The annual contribution for the operations of the Aquatics Center can vary year by year based on fiscal performance of the YMCA. The proposed budget includes an average of the actual costs incurred since the Aquatics Center opened. 123 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND PARKS & RECREATION EXPENDITURES 114114 Supplies 463- 521000 Operating Supplies 463- 521200 Medical /Chemical Supplies 463- 521600 Equip Maint Supplies Total Supplies Utility Services 463- 533200 Electric Utility Service 463- 533410 Water Utility Service Total Utility Services Professional Services 463- 541300 Other Consl /Prof Services Total Professional Services Maintenance Services 463- 551400 Minor & Other Equip Maintenance 463- 551700 Contract Maintenance 463- 551710 Landscaping Total Maintenance Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 6,827 4,000 4,500 4,500 18,553 19,500 12,000 18,000 434 570 570 3,000 25,814 24,070 17,070 25,500 8,810 9,500 11,000 10,000 16,090 10,500 20,250 6,500 24,900 20,000 31,250 16,500 3,633 - - - 3,633 - - - 9,393 14,433 14,433 539,877 634,443 515,073 25,439 - - 574,709 648,876 529,506 Operating Equipment 463- 571000 Furniture & Fixtures - 1,032 1,032 Total Capital Outlay - 1,032 1,032 124 of 332 ��� DEPARTMENT: PUBLIC AFFAIRS DIVISION: 464 EVENT FACILITIES FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION Under the umbrella of Public Affairs, Event Facilities provides a place where customers can gather for social or cultural activities, as well as a centrally located venue for businesses and other organizations to hold meetings, training, and /or other specialized events. This department handles all aspects of event rental, and in cooperation with other department's plans, coordinates and executes each event from start to finish (initial deposit to event feedback). GOALS AND OBJECTIVES • Promotes community involvement by attracting public events such as fundraisers, tradeshows /conventions, and performing arts events. • Promotes high quality of life for residents and other customers by providing an affordable, friendly, and safe gathering place for special events. • Promotes relationships with surrounding cities, organizations, and citizens by offering audio /video capabilities and attractive, flexible and diverse use of venue space through upgrades in technology and building improvements. 125 of 332 EVENT FACILITIES ei Ztey 1i I I F, f-A Vt I Lei A EVENT FACILITIES 2016 -17 2017 -18 2018 -19 Civic and Community Centers Coordinator 1 1 1 Civic Center Manager 0 0 1 Event Attendants 0 0 4 TOTAL POSITIONS 1 1 1 6 PERFORMANCE INDICATORS Number of events booked Number of events cancelled Number of facility tours 1,283 2016 -17 2017 -18 1 2018 -19 Workload /Output Actual Estimate I Budget Number of events booked Number of events cancelled Number of facility tours 1,283 1200 1100 67 72 50 250 300 300 Revenue Comp'd Value 126 of 332 • • • • .1 111 1 111 • 111 111 2016 -17 1 2017 -18 1 2018 -19 Efficiency Actual I Estimate I Budget Revenue Comp'd Value 126 of 332 • • • • .1 111 1 111 • 111 111 EVENT FACILITIES Tradeshows /conventions Customer satisfaction Rating 10 19 20 93% 95% 95% 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget Tradeshows /conventions Customer satisfaction Rating 10 19 20 93% 95% 95% Personnel Services 2016 -17 1 2017 -18 1 2018 -19 Budget Actual I Estimate I Budget Personnel Services $52,855 $59,987 $299,770 Supplies 3,352 4,650 6,150 Utility Services 47,116 51,650 51,350 Operations Support 4,949 5,600 11,200 Staff Support 1,351 845 5,135 Maintenance Services 0 0 20,000 Operating Equipment 7,665 21,500 32,000 Total $117,289 $144,232 $425,605 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase $281,373 from the FY 2017 -18 year end estimate due to the dedicated support staff being transferred from Building Maintenance to this budget as well as the Civic Center Manager position from Public Affairs. Overall, this includes the transfer of 4 full time personnel and 1 part time and no new positions. This increase also includes $20,000 for a cleaning contract for the Civic Center to assist in keeping the facility clean and ready for customers' use. 127 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND CULTURAL EXPENDITURES EVENT FACILITIES Personnel Services 464- 511110 Regular 464- 511120 Overtime 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 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 & Binding 464- 534550 Business Meetings /Networking Total Operations Support Staff Support 464- 535100 Uniforms 464- 535300 Memberships 464- 535500 Training /Travel 464- 535510 Meeting Expenses Total Staff Support 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 37,444 42,080 41,952 197,507 353 582 152 9,600 113 130 130 557 313 260 10 3,361 2,901 3,283 3,222 15,945 6,135 6,873 6,745 33,955 5,531 7,296 7,728 38,591 65 80 48 254 52,855 60,584 59,987 299,770 851 4,000 4,000 5,000 2,300 500 150 450 201 500 500 700 3,352 5,000 4,650 6,150 789 850 850 850 39,010 44,000 44,000 45,000 2,329 2,350 1,500 - 4,988 5,400 5,300 5,500 47,116 52,600 51,650 51,350 4,752 6,900 5,000 8,000 198 2,500 500 3,000 - 200 100 200 4,950 9,600 5,600 11,200 - 55 45 1,910 297 275 300 275 982 1,760 500 2,750 72 - - 200 1,351 2,090 845 5,135 128 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET Maintenance Services 464- 551800 Other Maintenance Agreements Total Maintenance Services Operating Equipment 464- 571000 Furniture & Fixtures 464- 571500 Operating Equipment Under $5,000 464- 571550 Capital Recovery Equipment Total Operating Equipment 129 of 332 20,000 - - - 20,000 5,544 1,500 1,500 5,000 9191 1 n Fnn in nnn 17 nnn 7,665 22,100 21,500 32,000 • • i W 1 MIJ ilk I am 1 a j ' I • • • 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 Internet usage, computer software, e- readers and other personal digital devices, health and fitness, financial planning, crafts, and book clubs; • 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, online chat, and in- person queries; • Provides meeting and study space to individuals and community groups; • Provides community outreach for underserved local residents through special programs, 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. The Library's overall operation most closely aligns with the City's policy value of "High Quality of Life" and operational value of "Service Oriented." 130 of 332 LIBRARY 2018 -19 GOALS • Improve the collection and acceptable items -to- customer ratio by adding titles in a variety of formats. Focus will continue to be on collections with high turnover rates, e.g., Bestsellers, DVDs, graphic novels, beginning readers, etc. • Continue systematic review and update of policies and procedures relating to circulation and collection development with an eye toward improving our customers' ability to do business with us and to ensure we provide excellent customer - focused service. • Complete transition to new web page platform. • Research and implement online payment options for customers. • Weed adult fiction collection; continue other weeding projects according to schedule. • Evaluate programming offerings and current services based on results of customer survey and make changes if needed. • Complete library- specific disaster preparedness plan and emergency response procedures. • Update job descriptions and job titles. 2017 -18 HIGHLIGHTS AND ACCOMPLISHMENTS Operations and Collections • Added approximately 6,700 new and replacement items to library's physical collections and withdrew more than 5,200 dated, worn, lost and damaged items from library's physical collections. • Weeded and re- classified the majority of the reference collection materials into the regular non - fiction collection to improve accessibility to customers. • Completely refreshed Adult Spanish collection. • Successfully implemented management, weeding, and selection policies for the 31- member Lone Star Digital Library Consortium. Implemented collection curation for the consortium. • Completed third annual Edge Initiative for Public Library Technology assessment; library's overall technology score improved from 700 to 755 out of a possible 1,000 points. The library's score is 175 points above our peer group average. • Completed first Technology Impact Survey to determine how customers use library technology. • Implemented several new operating policies and procedures, including automatic materials renewals, extended DVD check -out periods, and digital access only library cards. • Completed scheduled 2018 public software and equipment upgrades including Office 2016, public access computers, projectors, speakers, iPad catalogs, and 131 of 332 LIBRARY new equipment to facilitate computer usage by people with mobility and dexterity impairments. Completed updates 0o collection development, behavior, and computer and internet usage policies. Programming * Implemented a new evening technology program for adults. ~ Organized and hosted second local author fair. * Implemented oyampround. all-ages "Extreme Book Nerd" reading challenge. w Implemented a new adult Bring Your Own Craft program. Outreach and Partnerships • Initiated new partnership with Communities in Schools to offer Youth Mental Health First Aid Training at the library. • Worked closely with the Schertz Library Foundation to plan and offer the 31 annual mini golf fundraising event. • Continue t0 partner with the Texas State Library tV provide service 8s alFexas lF8|hing Books Program [}ennQ Library. • Continue iQ partner with the SCORE organization tO provide mentOringand education for small business owners. • Worked with VViederatein school librarian to offer afall reading program for VViederStein students using the library's reading program tracking software, Beanatooh. • Youth Services Librarian was appointed to Texas Library Association's Maverick Committee to work as 8 selector for n8COrnrnend8d graphic nOme|8 for youth. • Partnered with Schertz and Cibolo businesses during library's winter reading club "Read Around Town" program tO encourage reading iO non-traditional places and t0 encourage fund-raising for the organization FirGtB0Ok. • Youth Services—monthly visits tU1 m Baptist Preschool and ChiCk-fi|-A; 9-10 visits to various GCUC|8K] campuses for literacy events; 2 events with the Sohertz Sweetheart Court; hosted several field trips to library bySCUC|GO classes and 1 � �B8ctistPr8SChOO|;vvOrkedvithv2riOuSCitvdep@rtrn8ntSGnd (]VECtO host 7-OUCh-8--T[UCkevent. • Adult Services/Virtual Services--monthly technology help sessions at Schertz Senior Center; created 8 modified, 8-vv88k Summer Reading program for SCh8rtz Senior Center; several outreach programs on electronic resources to counselors and teachers aLSCUC|SI] schools; initiated discussions with other area facilities that serve seniors for possible outreach opportunities. 132 of 332 LIBRARY ORGANIZATION CHART LIBRARY 2016-17 2017-18 2018-19 Library Director 1 1 1 Adult Services Librarian 1 1 1 Youth Services Librarian 1 1 1 Virtual Services Librarian 1 1 1 Library Assistant 2 2 2 Library Clerk 11 3 3 3 Part-time Library Clerk 120 hours) 5 6 6 Part-time Library Clerk 110 hours) 2 2 2 Part-time Processing Clerk (20 hours) 1 1 1 Part-time Shelving Clerk (20 hours) 1 0 0 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 PERFORMANCE INDICATORS Service population* 2016-17 2017-18 2018-19 Input Actual � Estimate Budget Service population* 98,625 102,379 106,000 Total Staffing FTE 14.0 14.0 14.0 Circulation Staffing FTE 8.5 8.5 8.5 Total Operating Budget 904,485 957,000 947,904 Total Materials Collection 107,382 109,000 105,000 Registered Borrowers 31,432 32,000 32,000 Materials Budget 104,308 105,000 105,000 *determined by Texas State Library 133 of 332 LIBRARY Circulation per Capita 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Circulation per Capita 3.91 3.76 3.63 Library Visits per Capita 2.39 2.49 2.36 Program Attendance per Capita .17 .16 .15 Collection Turnover Rate 3.59 3.53 3.38 Total Circulation 385,206 385,000 385,000 Total Library Visits 235,428 255,000 255,000 Total Program Attendance 16,814 16,000 16,000 Cost per Person Served Cost per Circulation Circulation per Circulation FTE 9.17 9.35 8.94 2.35 2.49 2.46 45,318 45,294 45,294 Efficiency 2016 -17 Actual 2017 -18 Estimate 2018 -19 Bud et Cost per Person Served Cost per Circulation Circulation per Circulation FTE 9.17 9.35 8.94 2.35 2.49 2.46 45,318 45,294 45,294 Percentage of Service Population With Library Cards 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Bud et Percentage of Service Population With Library Cards 31.87% 31.26% 30.19% Materials Expenditures per Capita $1.06 $1.03 $0.99 Materials Expenditures as a Percentage of 46,977 55,500 55,500 Operating Budget (striving for 15 %) 11.53% 10.97% 11.08% Items per Capita (striving to meet 1.53 items 5,520 5,850 5,700 per capita standard) 1.09 1.06 1.08 Personnel Services 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel Services $728,195 $759,275 $750,254 Supplies 13,241 15,500 15,500 Utility Services 46,977 55,500 55,500 Operations Support 1,500 4,170 3,650 Staff Support 5,520 5,850 5,700 Professional Services 2,252 2,318 2,300 Maintenance Services 0 1,500 0 Operating Equipment 106,800 112,500 135,000 Total $904,485 $956,613 $967,904 1:2 :161CRT_1►Til I&I II I J N-A fiel i<I_101 87_1,11 EW&9f+� The FY 2018 -19 Budget will increase 1.2% from the FY 2017 -18 year end estimate with the one time funding of additional $20,000 of library materials. 134 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET CULTURAL EXPENDITURES LIBRARY Personnel Services 665 - 511110 Regular 524,468 525,963 540,961 536,238 665 - 511120 Overtime 832 582 1,164 1,067 665- 511180 LTD 1,151 1,205 1,677 1,234 665- 511210 Longevity 9,997 12,006 10,024 13,483 665 - 511230 Certification Allowance 1,200 582 1,200 582 665- 511310 FICA - Employer 39,457 41,094 42,331 42,149 665- 511350 TMRS - Employer 81,894 81,669 88,619 84,601 665 - 511410 Health- Employer 68,436 65,665 72,717 70,229 665- 511500 Workers Compensation 760 982 582 671 Total Personnel Services 728,195 729,748 759,275 750,254 Supplies 665 - 521000 Operating Supplies 10,781 12,000 12,000 12,000 665 - 521100 Office Supplies 2,460 3,500 3,500 3,500 Total Supplies 13,241 15,500 15,500 15,500 Utility Services 665 - 533100 Gas Utility Service 1,167 2,500 2,500 2,500 665 - 533200 Electric Utility Service 37,819 45,000 45,000 45,000 665 - 533410 Water Utility Service 7,991 8,000 8,000 8,000 Total Utility Services 46,977 55,500 55,500 55,500 Operations Support 665 - 534000 Postage 1,500 2,500 2,500 3,000 665 - 534200 Printing & Binding - 1,700 1,670 650 Total Operations Support 1,500 4,200 4,170 3,650 Staff Support 665 - 535100 Uniforms 286 400 400 400 665 - 535200 Annual Awards 96 300 300 300 665 - 535300 Memberships 1,444 1,725 1,350 1,200 665 - 535500 Training /Travel 3,482 4,650 3,500 3,500 665 - 535510 Meeting Expenses 211 300 300 300 Total Staff Support 5,519 7,375 5,850 5,700 135 of 332 101 GENERAL FUND Professional Services 665 - 541365 Courier Delivery Service Total Professional Services Maintenance Services 665 - 551800 Other Maint Agreement Total Maintenance Services Operating Equipment 665- 571400 Library Materials 665 - 571600 Donation - Expense Total Operating Equipment CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 2,252 2,275 2,318 2,300 2,252 2,275 2,318 2,300 - 1,500 1,500 - - 1,500 1,500 - 104,308 105,000 105,000 125,000 2,493 7,500 7,500 10,000 106,801 112,500 112,500 135,000 136 of 332 DEPARTMENT: POLICE DIVISION: 762 ANIMAL SERVICES FUND: 101 GENERAL FUND 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. 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 protect 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 and humans. • To strengthen the relationship with volunteers. • To provide a Texas Department of State Health Services approved quarantine facility for control and eradication of rabies. 137 of 332 ANIMAL SERVICES ORGANIZATIONAL CHART ANIMAL SERVICES 2016 -17 2017 -18 2018 -19 1 1 1 -Manager Officer 4 4 4 Kennel Technician 1 1 1 Kennel Technician — art -time 2 2 2 TOTAL POSITIONS 81 8 8 138 of 332 ANIMAL SERVICES •:� ► ►I _ � Animals brought in by staff Animals brought in by public Calls for service per year Animals saved via adoption, redemption, or transfer 370 2016 -17 2017 -18 2018 -19 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 370 400 410 539 500 525 1132 1100 1200 838 800 850 Animals licensed 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget Animals licensed Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate I Budget Personnel $304,804 $291,907 $327,839 Supplies 35,016 32,380 37,380 City Support Services 2,112 1,500 3,500 Utility Services 60,217 50,500 44,000 Operations Support 712 750 1,000 Staff Support 6,864 8,000 13,750 City Assistance 15,638 16,500 17,000 Professional Services 21,606 23,200 25,800 Maintenance Services 12,164 6,000 7,500 Operating Equipment 8,922 31,250 22,500 Capital Outlay 87,605 62,000 0 Total $555,661 $523,987 $500,269 The FY 2018 -19 Budget will decrease 4.5% from the FY 2017 -18 year end estimates due to the decrease in capital expenditures. Capital expenditures do not occur every year and only when the vehicle or equipment needs to be replaced. Non - capital expenditures will increase 8.3% for estimating lower turnover in FY 2018 -19. 139 of 332 101 GENERAL FUND HEALTH EXPENDITURES ANIMAL SERVICES Personnel Services 762 - 511110 Regular 762 - 511120 Overtime 762 - 511180 LTD 762 - 511210 Longevity 762- 511220 Clothing Allowance 762 - 511230 Certification Allowance 762 - 511310 FICA - Employer 762 - 511350 TMRS - Employer 762- 511410 Health- Employer 762- 511500 Workers Compensation Total Personnel Services Supplies 762 - 521000 762 - 521100 762 - 521200 762- 521300 Total Sup CITY OF SCHERTZ OPERATING BUDGET 2018 -19 Operating Supplies Office Supplies Medical /Chemical Supplies Motor Veh. Supplies plies City Support Services 762 - 532800 Promotional Events Total City Support Services Utility Services 762 - 533200 Electric Utility Service 762 - 533410 Water Utility Service 762 - 533500 Vehicle Fuel Total Utility Services Operations Support 762- 534200 Printing & Binding Total Operations Support 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 199,973 222,978 192,000 215,458 9,664 9,700 8,000 9,700 523 550 576 599 4,136 3,733 2,504 1,010 3,392 5,044 400 - 1,850 3,153 1,825 3,153 16,244 18,704 14,688 17,541 34,582 39,156 28,800 37,042 31,217 31,008 40,722 40,821 3,224 4,035 2,392 2,515 304,805 338,061 291,907 327,839 18,187 17,000 17,000 17,000 1,565 1,000 1,000 2,000 15,256 17,000 14,000 18,000 9 380 380 380 35,017 35,380 32,380 37,380 2,112 1,500 1,500 3,500 2,112 1,500 1,500 3,500 19,624 23,000 20,000 22,000 33,940 24,000 21,000 14,000 6,653 11,843 9,500 8,000 60,217 58,843 50,500 44,000 140 of 332 712 257 750 1,000 712 257 750 1,000 101 GENERAL FUND Staff Support 762 - 535100 Uniforms 762- 535300 Memberships 762- 535500 Training /Travel 762- 535510 Meeting Expenses Total Staff Support Citv Assistance CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 2,151 3,500 3,500 7,000 - - - 250 4,608 4,000 4,000 6,000 106 400 500 500 6,865 7,900 8,000 13,750 762 - 537100 Medical Services 15,538 17,500 16,000 15,000 762 - 537105 TNR Program 100 1,000 500 2,000 Total City Assistance 15,638 18,500 16,500 17,000 Professional Services 762- 541310 Contractual Srvc -Blue Bonnet 515 1,000 1,200 800 762- 541700 Microchip Service 2,060 5,000 4,000 5,000 762- 541702 Spay & Neuter 19,031 18,000 18,000 20,000 Total Professional Services 21,606 24,000 23,200 25,800 Maintenance Services 762- 551100 Building Maintenance 762- 551400 Minor & Other Equip Maintenance 762- 551700 Abatement 762- 551800 Other Maintenance Agreements 762- 551810 Maintenance Agr Radios Total Maintenance Services Operating Ei 762 - 571000 762- 571200 762 - 571500 762 - 571600 762- 571700 Total Oper 3uipment Furniture & Fixtures Vehicles & Access. Under $5,000 Equipment Donation - Expense Improvements under $5,000 ating Equipment 10,404 35,000 1,000 - 500 500 5,000 2,500 1,760 2,380 2,000 ::0 6,000 1,930 - 250 250 3,892 5,000 5,000 3,100 24,000 24,000 - 2,000 2,000 8,922 31,250 31,250 Capital Outlay 762- 581200 Vehicles & Access. over $5,000 59,735 762- 581700 Improvements over $5,000 27,870 Total Capital Outlay 87,605 141 of 332 500 5,000 2,000 1,0uu 5,000 17,500 22,500 62,000 62,000 - 62,000 62,000 - DEPARTMENT: 853 INFORMATION TECHNOLOGIES (IT) FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Information Technologies Dept. is charged with maintaining, operating and securing the City's information assets. These assets form the foundation upon which many of the City's core operations depend. Therefore, this foundation must be reliable, resilient and responsive. To meet these expectations, the department focuses daily on customer service, education and planning. ORGANIZATIONAL CHART INFORMATION TECHNOLOGY 2016 -17 2017 -18 2018 -19 Director 1 1 1 Administrative Assistant 1 1 1 Senior Systems Administrator 1 1 1 Senior Computer Support Engineer 1 1 1 Customer Services Technician II 1 1 1 Customer Services Technician 1 1 1 1 Help Desk Technician 1 1 1 Public Safety Administator 1 1 1 TOTAL POSITIONS 8 8 8 142 of 332 INFORMATION TECHNOLOGY Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $483,227 $554,266 $626,643 Supplies 6,681 7,300 9,140 City Support Services 555,609 835,969 858,029 Utility Services 199,889 209,974 235,768 Staff Support 29,832 39,650 43,600 Professional Services 0 17,320 246,102 Maintenance Services 16,314 14,500 14,500 Rental /Leasing 33,457 0 0 Operating Equipment 219,734 242,999 245,160 Capital Outlay 0 80,384 33,500 Total $1,544,743 $2,002,362 $2,312,442 PROGRAM JUSTIFICATION AND ANALYSIS The Information Technology FY 2018 -19 Budget increased 15.5% from the FY 2017 -18 year end estimates. Included in FY 2018 -19 is the remaining costs of setting up the new permit software of $233,137 plus additional $20,000 in tablets and peripherals for staff and board members to leverage the new software for operating efficiencies. Personnel Services increased with the transfer of the Public Safety Systems Technician from the Police Budget to Information Technology. New software and equipment also includes new Animal Shelter management software. 143 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET INTERNAL SERVICE EXPENDITURES INFORMATION TECHNOLOGY Personnel Services 853 - 511110 Regular 322,319 363,193 366,925 424,428 853 - 511120 Overtime 36,460 31,189 41,000 31,189 853 - 511180 LTD 609 1,126 1,137 1,316 853 - 511210 Longevity 2,470 3,584 3,352 3,618 853 - 511310 FICA - Employer 27,000 30,436 31,004 35,123 853 - 511350 TMRS - Employer 57,809 63,717 64,905 74,172 853 - 511410 Health - Employer 36,036 45,601 45,532 56,257 853 - 511500 Workers Compensation 524 694 411 540 Total Personnel Services 483,227 539,540 554,266 626,643 Supplies 853 - 521100 Office Supplies 1,183 1,500 1,500 2,000 853 - 521300 Motor Vehicle Supplies - - - 840 853 - 521600 Equip Maint Supplies 5,499 5,600 5,800 6,300 Total Supplies 6,682 7,100 7,300 9,140 City Support Services 853 - 532300 Computer Consulting 11,546 48,350 48,396 4,400 853- 532355 Software Maintenance - Citywide 217,353 312,076 311,637 364,396 853 - 532360 Software Maintenance - Departments 310,568 456,276 456,276 472,668 853 - 532400 Computer Fees & Licenses 16,142 19,660 19,660 16,565 Total City Support Services 555,609 836,362 835,969 858,029 Utility Services 853 - 533300 Telephone /Lane Lines 48,987 45,000 45,000 52,375 853 - 533310 Telephone /Cell Phones 51,124 54,724 54,724 54,740 853 - 533320 Telephone /Air Cards 38,904 38,750 38,750 48,716 853 - 533330 Telephone /Internet 60,340 70,500 70,500 78,437 853 - 533500 Vehicle Fuel 534 1,500 1,000 1,500 Total Utility Services 199,889 210,474 209,974 235,768 Staff Support 853 - 535100 Uniforms 716 750 650 1,200 853 - 535300 Memberships 815 1,250 1,000 1,250 853 - 535500 Training /Travel 28,301 38,000 38,000 41,150 Total Staff Support 29,832 40,000 39,650 43,600 Professional Services 853 - 541300 Other Consl /Prof Services - 233,137 1,320 233,137 853 - 541800 IT Svcs -Web Design /Maint - 16,000 16,000 12,965 Total Professional Services - 249,137 17,320 246,102 144 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET Maintenance Services 853 - 551300 Computer Maintenance 14,412 14,692 14,500 14,500 853 - 551800 Other Maintenance Agreement 1,902 - - - Total Maintenance Services 16,314 14,692 14,500 14,500 Rental /Leasing 853 - 561200 Lease /Purchase Payments 33,457 - - - Total Rental Leasing 33,457 - - - Operating Equipment 853 - 571000 Furniture & Fixtures 570 2,500 2,500 400 853 - 571300 Computer & Peripherals 174,536 252,999 227,999 241,260 853 - 571401 Communication Equipment 43,267 15,000 12,500 3,500 853 - 571800 Equipment 1,361 - - - Total Operating Equipment 219,734 270,499 242,999 245,160 Capital Outlav 853 - 581200 Vehicles & Access. Over $5,000 - - - 28,000 853 - 581300 Computer & Peripherals - 75,000 80,384 5,500 Total Capital Outlay - 75,000 80,384 33,500 145 of 332 DEPARTMENT: 866 HUMAN RESOURCES FUND: 101 GENERAL FUND 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, and policy administration. GOALS AND OBJECTIVES • Deliver HR services, programs, and communications that add value for our prospective employees and current employees. • Compete for top talent with effective recruitment strategies and an efficient recruitment processes. • Improve employee retention by leading efforts for adoption of strategies which promote a diverse workforce and create a great work climate. • Support the talent development of our employees through professional and career development. • Administer HR policy and programs effectively and efficiently, while maintaining internal customer satisfaction and meeting budget constraints. • Ensure our compensation and performance management processes are designed and executed to align and maximize our people's performance with the goals of the organization. 146 of 332 HUMAN RESOURCES HUMAN RESOURCES 2016 -17 2017 -18 2018 -19 Director 1 1 1 HR Manger 1 1 1 Senior Generalist 1 1 1 Generalist 1 1 1 Administrative Assistant 1 1 1 TOTAL POSITIONS 5 5 5 147 of 332 HUMAN RESOURCES Total No. of Employees (Avg.) 2016 -17 2017 -18 2018 -19 Workload/Output Measures Actual Estimate Budget Total No. of Employees (Avg.) 350 376 380 # Full Time Employees (Avg.) 310 323 330 Job Announcements Posted 37 59 65 # Applications received 2,413 3,104 3,500 # Full Time Positions Filled 50 60 70 # Part Time Positions Filled 25 17 25 # Total Turnover 64 53 55 # Full Time Turnover 50 43 45 # Part Time Turnover 14 10 15 # Retirements 12 4 8 # FMLA Claims 40 35 40 # General Training Courses 8 12 10 # of tuition reimbursements 9 11 10 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $332,663 $402,275 $424,635 Supplies 926 972 700 Human Services 52,825 67,446 74,500 City Support Services 311 204 0 Utility Services 0 456 0 Operations Support 6,941 10,114 9,000 Staff Support 14,672 11,265 36,500 City Assistance 9,730 10,000 10,000 Professional Services 9,437 9,600 54,600 Operating Equipment 1,235 650 2,000 Total $428,739 $512,981 $611,935 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 19.3% from the FY 2017 -18 year end estimate for a formal employee compensation study conducted by a third party and transferring existing budget for Employee Appreciation Events from the Special Events Fund to Staff Support. 148 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND INTERNAL SERVICE EXPENDITURES HUMAN RESOURCES Personnel Services 866 - 511110 Regular 866 - 511120 Overtime 866 - 511180 LTD 866- 511210 Longevity 866 - 511310 FICA - Employer 866 - 511350 TMRS - Employer 866 - 511410 Health - Employer 866 - 511500 Workers Compensation 866- 511600 Unemployment Compensation Total Personnel Services Supplies 38,266 866 - 521000 Office Supplies Total Supplies Human Services 866 - 531100 Pre - Employment Check 866 - 531150 Interview Expenses 866 - 531200 Medical Co -Pay 866 - 531300 Employee Assistance 866 - 531400 Tuition Reimbursement 866 - 531500 Employee Wellness Program 866 - 531600 Training Classes Total Human Services City Support Services 866 - 532400 Computer Fees & Licenses Total City Support Services Utility Services 866 - 533320 Telephone /Air Card Total Utility Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 225,228 233,738 282,939 288,386 39 1,649 1,584 340 616 725 877 894 4,746 3,959 3,959 5,558 16,116 18,279 22,069 22,500 34,881 38,266 46,200 47,515 27,890 36,481 33,875 38,906 524 378 378 536 22,624 16,000 10,394 20,000 332,664 349,475 402,275 424,635 926 1,000 972 700 926 1,000 972 700 4,037 7,000 4,000 4,000 2,432 3,000 3,000 3,000 2,625 3,000 2,800 3,000 21,533 23,000 23,000 23,000 6,067 15,000 10,000 15,000 4,713 7,000 5,285 7,000 11,418 18,500 19,360 19,500 52,825 76,500 67,445 74,500 311 204 204 - 311 204 204 - - 456 456 - - 456 456 - 149 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND Operations Support 866 - 534000 Postage 866 - 534100 Advertising 866 - 534200 Printing & Binding 866 - 534800 Temporary Empl. Services Total Operations Support Staff Support - 866 - 535100 Uniforms 866 - 535210 Employee Recognition 866 - 535300 Memberships 866 - 535400 Publications 866 - 535500 Training /Travel Total Staff Support City Assistance 866 - 537100 Medical Services Total City Assistance Professional Services 866 - 541300 Other Consul /Prof Service Total Professional Services Operating Equipment 866 - 571000 Furniture & Fixtures 866 - 571300 Computer & Periphe. < $5,000 Total Operating Equipment 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 60 - - - 5,642 5,000 4,000 6,000 1,239 2,340 2,000 3,000 - - 4,114 - 6,941 7,340 10,114 9,000 249 500 500 500 5,679 5,963 2,265 26,500 1,265 2,500 2,500 2,500 1,412 1,037 1,000 2,000 6,068 5,000 5,000 5,000 14,673 15,000 11,265 36,500 9,730 14,000 10,000 10,000 9,730 14,000 10,000 10,000 9,437 9,600 9,600 54,600 9,437 9,600 9,600 54,600 1,198 1,000 650 500 37 - - 1,500 1,235 1,000 650 2,000 150 of 332 011 ms 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 Utility Billing and Municipal Court Divisions. 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 31St 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. • Update long term debt service plan. 151 of 332 FINANCE •:ley-,I z A • _ 1 ACCOUNTING 2016 -17 2017 -18 2018 -19 Finance Director 1 1 1 Assistant Director 1 1 1 Staff Accountant 1 1 1 Financial Analyst 1 1 1 Accountant 1 1 1 1 Senior Payroll Specialist 1 1 1 Senior AP Specialist 1 1 1 Administrative Assistant 1 1 1 TOTAL POSITIONS 1 81 81 8 152 of 332 FINANCE • A;1 i DR I L', e • Accounts payable checks Number of Purchase Orders Processed Payroll checks Payroll Requests 5,814 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Accounts payable checks Number of Purchase Orders Processed Payroll checks Payroll Requests 5,814 5,819 5,825 8,218 7,669 8,000 9,236 9,417 9,560 268 278 280 Certificate of Achievement for Excellence in Financial Reporting, Accumulative 32 33 34 Quarterly Financials completed within 30 days 3 3 4 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget Certificate of Achievement for Excellence in Financial Reporting, Accumulative 32 33 34 Quarterly Financials completed within 30 days 3 3 4 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $564,955 $566,472 $620,362 Supplies 4,894 3,660 4,700 City Support Services 0 138 0 Operations Support 1,917 1,200 2,155 Staff Support 5,469 8,982 9,495 Professional Services 24,255 32,970 34,500 Operating Equipment 2,970 0 1,270 Total $604,458 $613,422 $672,482 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 9.6% from the FY 2017 -18 year end estimate due to a higher personnel estimates caused by lower expected turnover. 153 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND INTERNAL SERVICE EXPENDITURES FINANCE Personnel Services 868 - 511110 Regular 868 - 511120 Overtime 868- 511180 LTD 868- 511210 Longevity 868 - 511230 Certification Allowance 868- 511310 FICA - Employer 868 - 511350 TMRS - Employer 868 - 511410 Health - Employer 868- 511500 Workers Compensation Total Personnel Services Supplies 868 - 521000 Operating Supplies 868 - 521100 Office Supplies Total Supplies City Support Services 868 - 532350 Software Maintenance Total City Support Services Operations Support 868 - 534200 Printing & Binding Total Operations Support Staff Support 417,153 868 - 535100 Uniforms 868 - 535300 Memberships 868- 535500 Training /Travel 868 - 535600 Professional Certification Total Staff Support Professional Services 868 - 541300 Other Consl /Prof Services 868 - 541400 Auditor /Accounting Service 868 - 541650 Investment Management Fee Total Maintenance Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 400,942 417,153 401,256 439,793 1,852 243 1,500 2,134 1,176 1,293 1,244 1,363 12,418 10,359 10,074 11,332 1,827 873 2,200 873 30,843 32,766 31,750 34,715 67,152 68,595 66,467 73,310 48,074 52,897 51,501 56,272 670 810 480 570 564,954 584,989 566,472 620,362 2,782 2,460 2,460 3,700 2,112 1,700 1,200 1,000 4,894 4,160 3,660 4,700 - - 138 - - - 138 - 1,917 1,655 1,200 2,155 1,917 1,655 1,200 2,155 256 320 242 320 1,224 1,435 1,000 1,435 3,914 7,740 7,740 7,740 75 - - - 5,469 9,495 8,982 9,495 24,255 13,970 13,970 15,000 - 15,000 15,500 16,000 - 3,500 3,500 3,500 24,255 32,470 32,970 34,500 154 of 332 101 GENERAL FUND Operating Equipment 868 - 571000 Furniture & Fixtures 868 - 571200 Office Equipment 868 - 571300 Computer & Peripherals Total Operating Equipment CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 2,857 240 - 270 112 2,000 - 1,000 - 1,530 - - 2,969 3,770 - 1,270 155 of 332 DEPARTMENT: HUMAN RESOURCES DIVISION: 872 PURCHASING & ASSET MANAGEMENT FUND: 101 GENERAL FUND 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, and fleet vehicle registration and titles. 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. 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. • 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. • Manage procedures for Capital and Fixed asset inventory and accountability, and conduct physical surveys of City property. 156 of 332 PURCHASING & ASSET MANAGEMENT • 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. ORGANIZATIONAL CHART PURCHASING & ASSET MGMT. 2016 -17 2017 -18 2018 -19 Purchasing Manager 1 1 1 Senior Purchasing Specialist 1 1 1 Risk & Sa ety Specialist 1 1 1 TOTAL POSITIONS 1 3 1 31 3 157 of 332 PURCHASING & ASSET MANAGEMENT Bids and Proposals Drafted Bids and Proposals Responses Contracts Reviewed Meetings with Vendors Research Requests Quotes Received Active Works Comp Claims Accident and Injuries Investigated New Hire Safety Training Training Classes Held Vehicles Processed (Titles, Gas Cards, Plates) Property Damage Claims Certificates of Insurance Processed MSDS /SDS Added 12 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Bids and Proposals Drafted Bids and Proposals Responses Contracts Reviewed Meetings with Vendors Research Requests Quotes Received Active Works Comp Claims Accident and Injuries Investigated New Hire Safety Training Training Classes Held Vehicles Processed (Titles, Gas Cards, Plates) Property Damage Claims Certificates of Insurance Processed MSDS /SDS Added 12 19 20 60 70 75 100 105 110 50 40 50 80 100 100 100 95 100 35 40 35 65 95 75 6 0 0 18 35 30 210 245 220 45 30 30 85 45 50 99 20 50 Personnel 2016 -17 2017 -18 1 2018 -19 Budget Actual Estimate I Budget Personnel $181,479 $204,920 $210,449 Supplies 4,455 450 650 Utility Services 223 250 0 Operations Support 26 100 5,150 Staff Support 3,513 4,469 6,700 City Assistance 1,711 1,458 3,000 Operating Equipment 451 546 350 Capital Outlay 0 28,058 0 Total $191,858 $240,251 $226,299 The FY 2018 -19 Budget will decrease 5.8% from the FY 2017 -18 year end estimate due to lower capital expenditures. Capital expenditures include vehicles and equipment that are not expected to be replaced or purchased every year. 158 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET INTERNAL SERVICE EXPENDITURES PURCHASING & ASSET MANAGEMENT Personnel Services 872 - 511110 Regular 872 - 511120 Overtime 872 - 511180 LTD 872 - 511210 Longevity 872 - 511310 FICA - Employer 872 - 511350 TMRS - Employer 872 - 511410 Health - Employer 872 - 511500 Workers Compensation Total Personnel Services Supplies 872- 521000 Operating Supplies 872 - 521100 Office Supplies 872 - 521300 Motor Vehicle Supplies Total Supplies Utility Services 872 - 533500 Vehicle Fuel Total Utility Services Operations Support 872- 534000 Postage 872 - 534100 Advertising 872 - 534200 Printing & Binding Total Operations Support Staff Support 872 - 535100 Uniforms 872- 535300 Memberships 872 - 535500 Training /Travel 872 - 535510 Meeting Expenses Total Staff Support 134,753 149,777 148,364 152,242 - 1,361 - - 372 464 460 472 2,354 2,708 2,778 3,194 9,794 11,763 11,667 11,884 21,627 24,625 24,423 25,095 12,360 16,416 16,937 17,366 219 291 291 196 181,479 207,405 204,920 210,449 346 500 200 300 3,711 500 200 350 398 50 50 - 4,455 1,050 450 650 223 250 250 - 223 250 250 - (10) 50 50 50 - 3,000 - 5,000 36 100 50 100 26 3,150 100 5,150 176 250 75 250 1,499 1,100 1,144 1,100 1,615 4,454 3,000 5,000 224 250 250 350 3,514 6,054 4,469 6,700 159 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 101 GENERAL FUND ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET City Assistance 872- 537100 Medical Services 1,711 3,000 1,458 3,000 Total City Assistance 1,711 3,000 1,458 3,000 Operating Equipment 872 - 571000 Furniture and Fixtures 451 546 546 350 Total Operating Equipment 451 546 546 350 Capital Outlay 872- 581200 Vehicles & Access. Over $5,000 - 29,000 28,058 - Total Capital Outlay - 29,000 28,058 - 160 of 332 DEPARTMENT: FLEET & FACILITY SERVICES DIVISION: 877 FLEET SERVICES FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION Fleet Services provides maintenance, repair, upgrade and outfitting services for all City owned vehicles and equipment totaling approximately 350 units . The list of services include: all P.M. services, all fluid and filter changes, state inspections, and tire services, troubleshooting, diagnosis, and repair of mechanical and electrical systems. Fleet Services also provides motor pool services, vehicle and equipment replacement schedules, spec'ing and standardization throughout the fleet. 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. • Maintain and improve vehicle and equipment safety ORGANIZATIONAL CHART 161 of 332 FLEET MAINTENANCE 2016 -17 2017 -18 2018 -19 Director of Fleet & Facility Services 1 1 1 Fleet Foreman 1 1 1 Fleet Mechanic III 1 0 0 Fleet Mechanic II 1 0 0 Mechanic 1 2 4 4 TOTAL POSITIONS 6 6 6 PERFORMANCE INDICATORS Work Orders: - Police Department vehicles and equipment 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Work Orders: - Police Department vehicles and equipment 496 608 650 -EMS vehicles and equipment 380 420 480 - Streets vehicles and equipment 341 312 320 - Administration vehicles 41 22 30 - Animal Control vehicles 44 56 70 - Facilities Services vehicles 67 56 60 -Fire vehicles and equipment 205 166 160 -Fleet Service vehicles 125 156 130 - Inspection vehicles 31 32 35 - Marshal Service vehicles 58 52 55 -Parks vehicles and equipment 221 240 240 -Water & Sewer vehicles and equipment 401 436 440 - Drainage vehicles and equipment 347 294 350 - Economic Development vehicles 4 4 4 - Purchasing vehicles 5 3 3 -Motor Pool vehicles 79 98 125 Total Work Orders Issued 2845 2955 2,852 Number of after -hour calls 104 128 135 Actual field service calls, vehicle and equipment Failures 148 156 160 Average response time for emergency repair, in minutes 20 20 20 162 of 332 2016 -17 2017 -18 2018 -19 Efficiency Actual Estimate Budget Actual field service calls, vehicle and equipment Failures 148 156 160 Average response time for emergency repair, in minutes 20 20 20 162 of 332 IaIa a guy I_1 ION 100111_ 0104 % of all vehicles and equipment issues resolved without recall 97 96 97 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget % of all vehicles and equipment issues resolved without recall 97 96 97 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $340,129 $306,468 $354,881 Supplies 165,709 173,750 167,230 City Support Services 3,649 15,000 11,000 Utility Services 8,393 11,000 8,000 Operations Support 60 0 0 Staff Support 9,347 10,650 20,982 Maintenance Services 160,906 193,250 149,750 Operating Equipment 7,758 8,200 8,200 Capital Outlay 0 70,000 115,000 Total $695,951 $788,318 $875,043 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 11.0% from the FY 2017 -18 year end estimate due to additional capital expenditures related to replacement of a tire balancing machine and vehicle and the purchase of a new hot water pressure washer and parts cleaning tank. 163 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET INTERNAL SERVICE EXPENDITURES FLEET SERVICE Personnel Services 877 - 511110 Regular 237,656 210,819 211,446 243,412 877 - 511120 Overtime 3,911 4,850 4,850 4,850 877 - 511180 LTD 684 716 655 755 877 - 511210 Longevity 1,424 2,222 2,423 2,796 877 - 511310 FICA - Employer 18,550 18,194 16,732 19,200 877 - 511350 TMRS - Employer 39,100 38,088 35,028 40,545 877 - 511410 Health - Employer 35,409 38,305 32,975 40,521 877 - 511500 Workers Compensation 3,396 3,979 2,359 2,802 Total Personnel Services 340,130 317,173 306,468 354,881 Supplies 877 - 521000 Operating Supplies 3,993 3,900 3,900 5,250 877- 521005 Supplies - Inspection Stickers 2,102 2,700 2,700 2,800 877 - 521100 Office Supplies 300 631 650 500 877 - 521200 Medical /Chemical Supplies 15,098 18,000 18,000 17,440 877 - 521300 Motor Veh. Supplies 143,187 147,000 147,000 139,740 877 - 521600 Equip Maint Supplies 1,029 1,500 1,500 1,500 Total Supplies 165,709 173,731 173,750 167,230 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 3,649 6,500 15,000 11,000 3,649 6,500 15,000 11,000 8,393 8,500 11,000 8,000 8,393 8,500 11,000 8,000 60 200 - - 60 200 - - 164 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 101 GENERAL FUND ACTUAL 2017 -18 2017 -18 BUDGET ESTIMATE .� � • Staff Support 877 - 535100 Uniforms 4,681 5,178 5,000 7,500 877 - 535200 Annual Awards - 100 - 100 877 - 535500 Training /Travel 4,469 6,060 5,000 12,632 877 - 535510 Meeting Expenses 196 650 650 750 Total Staff Support 9,346 11,988 10,650 20,982 Maintenance Services 877- 551000 Outside Fleet Repair 148,962 135,000 135,000 85,000 877 - 511050 Outside Collision Repair - 35,000 37,000 35,000 877 - 551100 Building Maintenance 1,210 750 750 750 877 - 551400 Minor & Other Equip Maintenance 4,927 5,000 5,000 5,000 877 - 551800 Other Maint Agreement 5,808 15,500 15,500 24,000 Total Maintenance Services 160,907 191,250 193,250 149,750 Operating Equipment 877 - 571500 Operating Equipment 7,758 8,790 8,200 8,200 Total Operating Equipment 7,758 8,790 8,200 8,200 Capital Outlay 877 - 581200 Vehicles & Access. Over $5,000 - 74,000 70,000 118,000 877 - 581500 Equipment Over $5,000 - - - 37,000 Total Capital Outlay - 74,000 70,000 155,000 165 of 332 DEPARTMENT: FLEET & FACILITY SERVICES DIVISION: 878 Facility Services FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION Facility Services supports and maintains 22 facilities totaling 250,202 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. Provides custodial services, and basic maintenance and upkeep of all City buildings including; City Hall, Administration Building, Police, Fire, EMS, Community Center Central, 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 Facility Services building, Employee ID badges and building access. In mid -year for FY 2015 -16 the General Services and Building Maintenance divisions were reunited and moved under the Fleet and Facility Services Department. 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. • Provide safe and clean facilities. ORGANIZATION CHART 166 of 332 FACILITY SERVICES FACILITY SERVICES 2016 -17 2017 -18 2018 -19 Facility Services Manager 1 1 1 Facility Services Supervisor 1 1 1 Facility Services Administrative Assistant 1 1 1 Facilities Technician 9 9 4 PT Facilities Technician 1 1 0 HVAC Technician 0 0 1 Facilities Maint Foreman 1 1 1 Facilities Maint Worker 1 2 2 2 TOTAL POSITIONS 1 161 16 10 PERFORMANCE INDICATORS Square footage maintained Events set up City Buildings Maintained Completed work orders I.D. Badges made (City /Strac /YMCA ect) Internal Pest Control Services Annual Hours worked @ Event Centers 167 of 332 250,202 2016 -17 2017 -18 2018 -19 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) Internal Pest Control Services Annual Hours worked @ Event Centers 167 of 332 250,202 250,202 267,578 1,488 1,506 N/A 22 22 24 468 492 602 224 230 240 92 92 102 9,304 9,823 N/A FACILITY SERVICES Electrical Repairs 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Electrical Repairs 92 104 125 Plumbing Repairs 48 65 85 HVAC Repairs 113 141 170 Carpentry 13 12 15 Misc. / other 441 226 602 Personnel 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel $777,294 Supplies 103,737 Utility Services 149,296 Operations Support 0 Staff Support 10,381 Professional Services 0 Maintenance Services 333,949 Rental Equipment 2,211 Operating Equipment 2,463 Capital Outlay 25,826 Total $1,405,157 PROGRAM JUSTIFICATION AND ANALYSIS $773,550 $691,769 110,100 146,800 161,300 170,500 50,000 0 9,400 15,800 40,000 85,550 204,729 375,000 5,000 1,000 21,520 21,000 59,316 35,000 $1,434,915 $1,542,419 The FY 2018 -19 Budget will increase 7.5% from the FY 2017 -18 year end estimate. This increase added an additional $200,000 in supplies and improvements for additional maintenance of city facilities. Also included is a new HVAC Technician to perform regular maintenance on the City's air conditioning system which will extend its life and reduce future costs. This increase is offset by a transfer of personnel to Event Facilities, including 3 full time positions and a part time position to be dedicated to the civic and community centers. 168 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND INTERNAL SERVICE EXPENDITURES FACILITY SERVICES Personnel Services 878 - 511110 Regular 878 - 511120 Overtime 878 - 511180 LTD 878 - 511210 Longevity 878 - 511230 Certification Allowance 878 - 511310 FICA - Employer 878 - 511350 TMRS - Employer 878 - 511410 Health - Employer 878 - 511500 Workers Compensation Total Personnel Services Supplies 535,715 878 - 521000 Operating Supplies 878 - 521100 Office Supplies 878 - 521200 Medical /Chemical Supplies 878 - 521300 Motor Veh. Supplies 878 - 521600 Equip Maint Supplies Total Supplies City Support Services 878 - 532400 Computer Fees & Licenses Total City Support Services Utility Services 878- 533100 Gas Utility Service 878 - 533200 Electric Utility Service 878 - 533410 Water Utility Service 878 - 533500 Vehicle Fuel Total Utility Services Operations Support 878 - 534800 Temporary Empl. Services Total Operations Support 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 514,838 535,715 496,076 450,870 35,094 19,012 24,000 19,012 1,267 1,422 1,538 1,387 12,623 12,012 11,692 11,852 1,800 1,911 1,800 1,329 35,375 43,771 40,818 37,224 77,549 91,633 85,451 78,608 90,152 94,849 105,866 85,606 8,598 10,643 6,309 5,881 777,296 810,968 773,550 691,769 99,947 93,785 93,000 128,000 712 1,300 1,300 2,300 - 12,350 13,000 13,000 903 1,200 800 1,000 2,175 2,000 2,000 2,500 103,737 110,635 110,100 146,800 - 10,219 - - - 10,219 - - 2,288 6,615 6,000 4,500 102,601 105,800 105,800 118,000 36,549 38,600 41,000 40,000 7,858 8,500 8,500 8,000 149,296 159,515 161,300 170,500 - - 50,000 - - - 50,000 - 169 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 101 GENERAL FUND ACTUAL BUDGET ESTIMATE BUDGET 878 - 535100 Uniforms 7,302 6,500 6,500 7,500 878 - 535200 Annual Awards 102 - - 500 878 - 535300 Memberships 234 1,200 400 800 878 - 535500 Training /Travel 1,993 1,400 1,500 5,500 878 - 535510 Meeting Expenses 751 1,000 1,000 1,500 Total Staff Support 10,382 10,100 9,400 15,800 Professional Services 878 - 541310 Contractual Services Total Professional Services Maintenance Services 44,771 • / 111 85,550 44,771 • / 111 878- 551100 Building Maintenance 296,295 196,962 167,335 335,000 878 - 551400 Minor & Other Equip MaintenancE 4,432 6,318 5,394 5,000 878 - 551800 Other Maint Agreement 33,223 31,075 32,000 35,000 Total Maintenance Services 333,950 234,355 204,729 375,000 Rental -ROW 878 - 561100 Rental Equipment 2,211 5,850 5,000 1,000 Total Rental -ROW 2,211 5,850 5,000 1,000 Operatina Eauiament 878- 571200 Vehicles & Accessories < $5,000 47 878 - 571600 Police /Fire /Medical Equipment - 878- 571700 Improvements Under $5,000 - 878- 571800 Equipment Under $5,000 2,416 Total Operating Equipment 2,463 Capital Outlay 878 - 581200 Vehicles & Accessories > $5,000 25,826 878 - 581800 Equipment > $5,000 - Total Capital Outlay 25,826 170 of 332 14,520 14,520 16,500 1,765 2,900 4,500 5,100 4,100 - 21,385 21,520 21,000 67,411 59,316 26,000 - - 9,000 67,411 59,316 35,000 DEPARTMENT: 901 CITY ASSISTANCE FUND: 101 GENERAL FUND DEPARTMENTAL DESCRIPTION The Senior Center is supported by contracting with the YMCA for programing and a vendor to support the meal program. The Senior Center provides a social environment for the local area seniors and a hot meal for them to enjoy. 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. Starting in 2016 -17 the City has entered into a support agreement with the Schertz Housing Authority to provide assistance in their mission of helping those in need find suitable living spaces. City Assistance $298,164 $313,872 $327,666 Total $298,164 $313,872 $327,666 PROGRAM JUSTIFICATION & ANALYSIS The FY 2018 -19 Budget will increase 4.4% from the FY 2017 -18 year end estimate due to an increase in the transportation assistance program to match growth. 171 of 332 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget City Assistance $298,164 $313,872 $327,666 Total $298,164 $313,872 $327,666 PROGRAM JUSTIFICATION & ANALYSIS The FY 2018 -19 Budget will increase 4.4% from the FY 2017 -18 year end estimate due to an increase in the transportation assistance program to match growth. 171 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 101 GENERAL FUND MISCELLANEOUS EXPENDITURES CITY ASSISTANCE City Assistance 901 - 537300 Patient Assistance 901 - 537400 Transportation Assistance 901 - 537500 Children's Advocacy Assistance 901 - 537600 Schertz Housing Authority 901 - 537700 Senior Citizen Program Total City Assistance Operating Equipment 901 - 571600 Donation- Expense Sr. Center Total Operating Equipment 2016 -17 2017 -18 2017 -18 ACTUAL BUDGET ESTIMATE 172 of 332 .1 • • 5,000 42,666 5,000 5,000 260,000 317,666 12,000 - 10,000 12,000 - 10,000 5,000 5,000 .. .. .. 5,000 5,000 5,000 5,000 5,000 5,000 259,292 270,000 270,000 298,164 313,872 313,872 172 of 332 .1 • • 5,000 42,666 5,000 5,000 260,000 317,666 12,000 - 10,000 12,000 - 10,000 DEPARTMENT: 101 GENERAL 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. Currently the security fee will be used to offset a Deputy Marshal position which provides security for the Court. Operating Equipment 357 17,820 45,000 Total PROGRAM JUSTIFICAITON & ANALYSIS The FY 2018 -19 Budget will increase $27,180 from the FY 2017 -18 to replace old ticket writers from the Court Technology Fund Balance. 173 of 332 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Operating Equipment 357 17,820 45,000 Total PROGRAM JUSTIFICAITON & ANALYSIS The FY 2018 -19 Budget will increase $27,180 from the FY 2017 -18 to replace old ticket writers from the Court Technology Fund Balance. 173 of 332 101 GENERAL FUND MISCELLANEOUS EXPENDITURES COURT RESTRICTED FUNDS Operating Equipment 910 - 571600 Court Technology Total Operating Equipment CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 174 of 332 357 21,983 17,820 45,000 357 21,983 17,820 45,000 FUND: 106 SPECIAL EVENTS DESCRIPTION The Special Events Fund is designated to monitor and manage funds appropriated to host community events, sponsored or co- sponsored, by the City of Schertz. Events include: Jubilee, SchertzQ, Wilenchik Walk for Life, Trunk -or- Treat, Festival of Angels, Movin on Main and the Sweetheart Court Scholarship program. Revenues Fund Transfers $43,058 $73,800 $56,500 Miscellaneous 104,491 90,267 100,260 Total $148,019 $164,067 $156,760 Expenses Non Departmental 2016 -17 2017 -18 1 2018 -19 Budget Actual Estimate I Budget Revenues Fund Transfers $43,058 $73,800 $56,500 Miscellaneous 104,491 90,267 100,260 Total $148,019 $164,067 $156,760 Expenses Non Departmental $2,909 $0 $0 Festival of Angels 10,913 10,566 14,000 Employee Appreciation 11,621 13,000 0 Jubilee 23,533 25,130 26,000 National Night Out 270 400 500 Walk for Life 12,620 10,594 15,000 SchertzQ /Fest 23,779 30,000 30,000 Sweetheart Court Program 23,207 25,250 24,000 Hal Baldwin Scholarship 14,055 13,545 15,510 Other Events 10,377 18,500 31,500 Total $133,284 $146,985 $156,510 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: The revenue for FY 2018 -19 is expected to decrease 4.5% from FY 2017 -18 year end estimates for with the removal of transfers for employee appreciation events. Expenses: The Special Events Fund FY 2018 -19 Budget increased 6.5% from the FY 2017 -18 year end estimates. This increase is for new events such as a Daddy Daughter Dance, a Kickball League, and a Dodgeball League which are offset by registration and ticket fees. Employee appreciation events will now be in Human Resources' budget. 175 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 106 - SPECIAL EVENTS ACTUAL BUDGET ESTIMATE BUDGET FINANCIAL SUMMARY Revenue Summary Fund Transfers Miscellaneous Expenditure Summa GENERALGOVERNMENT TRANSFER OUT HIST. COMMITTEE TOTAL GENERAL GOVERNMENT CULTURAL FESTIVAL OF ANGELS EMPLOYEE APPRECIATION 4th OF JULY JUBILEE NATIONAL NIGHT OUT WILENCHIK WALK FOR LIFE 50th ANNIVERSARY SWEETHEART EVENT HAL BALDWIN SCHOLARSHIP OTHER EVENTS TOTAL CULTURAL 43,059 73,800 73,800 56,500 104,960 96,400 90,267 1/1 .i 2,909 - - - 2,909 - - - 10,913 12,924 10,566 14,000 11,621 13,000 13,000 - 23,533 26,076 25,130 26,000 270 400 400 500 12,620 20,000 10,594 15,000 23,779 30,000 30,000 30,000 23,207 31,250 25,250 24,000 14,055 15,050 13,545 15,510 10,377 21,500 18,500 31,500 130,375 170,200 146,985 156,510 OVER /UNDER 14,735 - 17,082 250 FUNDING FROM RESERVES - - - - BEGINNING FUND BALANCE 69,791 84,526 84,526 101,608 ENDING FUND BALANCE 84,526 84,526 101,608 101,858 176 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 106 - SPECIAL EVENTS ACTUAL BUDGET ESTIMATE BUDGET REVENUES Fund Transfers 000 - 486100 Transfer In 5,612 9,000 9,000 - 000- 486101 Transfer In- General Fund 37,447 64,800 64,800 56,500 Total Fund Transfers 43,059 73,800 73,800 56,500 Miscellaneous 000 - 491200 Investment Income 175 150 250 250 000 - 492200 Wilenchik Walk For Life 12,620 20,000 10,594 15,000 000 - 493000 July 4th Activities 27,386 26,000 22,440 26,000 000 - 493150 SchertzQ 26,994 30,000 30,000 30,000 000 - 493256 Donations - Police Events - 3,000 - 3,000 000 - 493455 Proceeds - Festival of Angels 5,615 700 1,305 1,500 000 - 493460 Schertz Sweetheart 1,705 1,500 (21) - 000- 493470 Moving on Main - - 5,594 3,000 000 - 493621 Hal Baldwin Scholarship 28,465 15,050 20,105 15,510 000 - 497000 Misc Income - Special Events 2,000 - - 6,000 Total Miscellaneous 104,960 96,400 90,267 100,260 177 of 332 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. 2016 -17 j 2017 -18 j 2018 -19 Budget Actual Estimate Budget Revenue Taxes $6,149,844 Fund Transfers 0 Miscellaneous 508,777 Total $6,658,621 Expenses Professional Service $2,950 Debt Service 6,517,166 Total $6,520,116 PROGRAM JUSTIFICATION AND ANALYSIS $6,116,960 0 497,869 $6,614,829 $3,750 6,816,303 $6,820,053 $6,384,000 113,723 156,000 $6,653,723 $5,000 6,648,723 $6,653,723 Revenues: Revenues for FY 2018 -19 increase 5.9% from the FY 2017 -18 estimate with a $113,723 transferred from reserves for the year. This withdraw is a planned transfer of excess reserves to reduce the tax rate. Expenses: The FY 2018 -19 Budget will decrease 2.4% from the FY 2017 -18 year end estimate with the completion of the 2013 Tax Notes. 178 of 332 CITY OF SCNERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 505 TAX INTEREST & SINKING ACTUAL BUDGET ESTIMATE BUDGET FINANCIAL SUMMARY Revenue Summary Taxes Fund Transfers Miscellaneous Expenditure Summary General Government Non Departmental 10IN400]Ll17:4 7 FUNDING FROM RESERVES BEGINNING FUND BALANCE 6,149,844 6,030,353 6,116,960 6,384,000 - 487,110 - 113,723 508,777 477,069 497,869 156,000 6,520,116 6,994,532 6,820,053 6,653,723 138,505 - (205,224) (0) - - - (113,723) 1,311,577 1,450,082 1,450,082 1,244,858 ENDING FUND BALANCE 1,450,082 1,450,082 1,244,858 1,131,135 179 of 332 CITY OF SCNERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 505 TAX INTEREST & SINKING ACTUAL BUDGET ESTIMATE BUDGET 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 - 492000 Investment Income 000 - 495015 Contribution from SED 000 - 495020 Contribution from YMCA Total Miscellaneous �• :�� • 1 / • • ••1 • :� 111 � • :� � • 1 1 • • ••1 • :� 111 - 487,110 - 113,723 - 487,110 - 113,723 1: 300 3,600 6111 6111 33,500 50,000 361,019 360,769 360,769 - 100,000 100,000 100,000 100,000 508,777 477,069 497,869 156,000 180 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 181 of 332 2016 -17 2017 -18 2017 -18 2018 -19 505 TAX INTEREST & SINKING ACTUAL BUDGET ESTIMATE BUDGET GENERAL GOVERNMENT EXPENDITURES Professional Services 101 - 541500 Paying Agent 2,950 2,550 3,750 5,000 Total Professional Services 2,950 2,550 3,750 5,000 Debt Service 101 - 555612 Bond -GO Refunding 2010 - Principal 285,000 285,000 285,000 300,000 101 - 555612.1 Bond -GO Refunding 2010 - Interest 47,025 38,475 38,475 29,700 101- 555629 Bond -GO 2007- Principal 280,000 290,000 290,000 300,000 101 - 555629.1 Bond -GO 2007 - Interest 147,691 136,345 136,345 124,339 101- 555630 Bond -GO SR2008- Principal 460,000 475,000 475,000 - 101- 555630.1 Bond -GO SR2008- Interest 278,362 259,055 9,809 - 101- 555631 Bond -GO SR2009- Principal 550,000 550,000 550,000 210,000 101 - 555631.1 Bond -GO SR2009- Interest 266,325 249,138 249,138 236,525 101- 555633 Bond -GO SR201 1 -Principal 235,000 240,000 240,000 250,000 101 - 555633.1 Bond -GO SR2011-interest 334,763 327,038 327,038 318,463 101- 555634 Bond -GO 2011A Refund- Principal 620,000 635,000 635,000 485,000 101 - 555634.1 Bond -GO 2011A Refund - Interest 101,962 87,783 87,783 74,735 101 - 555635 Bond -GO 2012 - Principal 320,000 335,000 335,000 345,000 101 - 555635.1 Bond -GO 2012 - Interest 181,755 168,095 168,095 157,945 101 - 555636 Tax Note - SR2013 - Principal 170,000 170,000 170,000 - 101- 555636.1 Tax Note - SR2013 - Interest 3,995 1,445 1,445 - 101- 555637 Tax Note - SR2013A - Principal 160,000 165,000 165,000 - 101- 555637.1 Tax Note - SR2013A - Interest 3,185 1,073 1,073 - 101- 555638 Bond -GO 2014 Refund - Principal 100,000 100,000 100,000 100,000 101 - 555638.1 Bond -GO 2014 Refund - Interest 292,275 289,775 289,775 286,775 101 - 555639 Tax Note - SR2015 - Principal 35,000 35,000 35,000 35,000 101 - 555639.1 Tax Note - SR2015 - Interest 3,139 2,538 2,538 1,925 101 - 555640 Bond -Ref 2015 Bond - Principal 450,000 490,000 490,000 660,000 101 - 555640.1 Bond -GO Ref 2015- Principal 102,125 92,725 92,725 81,225 101 - 555641 Tax Note - SR2015A- Principal 145,000 145,000 145,000 150,000 101- 555641.1 Tax Note - SR2015A - Interest 13,751 11,550 11,550 9,317 101 - 555642 Bond -GO SR2016- Principal 405,000 205,000 205,000 215,000 101 - 555642.1 Bond -GO SR2016- Interest 175,756 167,607 167,607 159,206 101 - 555643 Bond - Taxable CO SR2016- Principal 55,000 55,000 55,000 175,000 101- 555643.1 Bond - Taxable CO SR2016- Interest 48,888 47,238 47,238 62,669 101 - 555644 Bond- NonTax CO SR2016- Principal 170,000 165,000 165,000 55,000 101 - 555644.1 Bond- NonTax CO SR2016- Interest 76,169 69,469 69,469 45,588 181 of 332 505 TAX INTEREST & SINKING 101 - 555645 101- 555645.1 101 - 555646 101- 555646.1 101 - 555647 101- 555647.1 101 - 555900 Total Debt.' OVER/UNDER CITY OF SCHERTZ OPERATING BUDGET 2018 -19 BOND -CO SR2017- Principal BOND -CO SR2017- Interest Bond -GO SR2017- Principal Bond -GO SR2017- Interest Bond -GO SR2018 Refund - Principal Bond -GO SR2018 Refund - Interest Debt Service Service FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET - 245,000 245,000 280,000 - 178,689 178,689 139,025 - 135,000 135,000 150,000 - 143,944 143,944 114,225 - - - 550,000 - - 73,567 122,112 - - - 424,951 6,517,166 6,991,982 6,816,303 6,648,723 138,505 - (205,224) (0) - - - (113,723) 1,311,577 1,450,082 1,450,082 1,244,858 1,450,082 1,450,082 1,244,858 1,131,135 182 of 332 Water & Sewer - Revenues Sale of Water $ 10,790,831 Garbage Collection 5,217,962 Sewer Charges 7,578,031 Other Fees & Charges 852,233 Miscellaneous Income 751,628 TOTAL $ 25,190,685 183 of 332 Water & Sewer Expenditures Personnel $ 199329623 Supplies 1919300 Professional & City Services 6299950 Utility & Maintenance Services 1298199068 Operation Support & Services 696339402 Capital Expense 3249600 Debt Service 199049245 TOTAL $ 2494359188 184 of 332 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 Franchises Permits Fees Fund Transfers Miscellaneous Total Expenses Business Office W &S Administration Projects Total $232,754 49,564 21,617,933 136,920 6,606,455 $28,643,624 $248,160 0 23,027,219 141,510 294,615 $23,711,504 $263,517 0 24,439,057 141,000 $347,111 $25,190,686 $690,817 $812,311 $936,110 19,763,436 21,142,458 23,499,078 0 874,804 0 $20,454,252 $22,829,572 $24,435,188 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenues for FY 2018 -19 are expected to increase 6.2% from the FY 2017 -18 year end estimate. Expenses: The FY 2018 -19 Budget increases 7.0% from the FY 2017 -18 year end estimates to include additional bond payments for infrastructure improvements, a higher contribution to SSLGC for the new water line construction, and higher sewer treatment costs. 185 of 332 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenues Franchises Permits Fees Fund Transfers Miscellaneous Total Expenses Business Office W &S Administration Projects Total $232,754 49,564 21,617,933 136,920 6,606,455 $28,643,624 $248,160 0 23,027,219 141,510 294,615 $23,711,504 $263,517 0 24,439,057 141,000 $347,111 $25,190,686 $690,817 $812,311 $936,110 19,763,436 21,142,458 23,499,078 0 874,804 0 $20,454,252 $22,829,572 $24,435,188 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenues for FY 2018 -19 are expected to increase 6.2% from the FY 2017 -18 year end estimate. Expenses: The FY 2018 -19 Budget increases 7.0% from the FY 2017 -18 year end estimates to include additional bond payments for infrastructure improvements, a higher contribution to SSLGC for the new water line construction, and higher sewer treatment costs. 185 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 202 -WATER & SEWER ACTUAL BUDGET ESTIMATE BUDGET 0-707 am 'i11i1iifl Franchises Permits Fees Fund Transfers Miscellaneous 'tp - 11kfil 7-- 1&'iR= GENERAL GOVERNMENT NON DEPARTMENTAL BUSINESS OFFICE TOTAL GENERAL GOVERNMENT PUBLIC WORKS W & S ADMINISTRATION TOTAL PUBLIC WORKS 232,754 238,260 248,160 263,517 49,564 - - - 21,617,932 22,013,250 23,027,218 24,439,057 136,920 496,974 141,510 141,000 494,981 256,614 294,614 347,111 690,816 832,328 812,311 936,110 690,816 832,328 812,311 936,110 19,763,436 21,111,924 20,744,580 23,499,078 19,763,436 21,111,924 20,744,580 23,499,078 MISC & PROJECTS PROJECTS - 874,805 874,804 - SEWER PROJECTS - 360,000 - - TOTAL MISC & PROJECTS - 1,234,805 874,804 - TOTAL EPINIDITURES 20,454,252 23,1719,057 22;431,695 24,435,188 OVER /UNDER 2,077,899 (173,959) 1,279,807 755,497 FUNDING FROM RESERVES - (355,464) - - BEGINNING FUND EQUITY 4,711,666 6,789,565 6,789,565 8,069,372 ENDING FUND EQUITY 6,789,565 6,260,142 8,069,372 8,824,869 186 of 332 F1130AriTIA 94 �UINATA4 7 Franchises 000 - 421490 Tower Leasing Permits 000 - 432400 Development Permit Fees 000 - 455200 000 - 455600 000 - 455700 000 - 455800 000 - 457100 000 - 457110 000 - 457120 000 - 457200 000 - 457400 000 - 457500 000 - 459200 Garbage Collection Fee Fire Line Fees Recycle Fee Revenue W &S Line Construction Sale of Water Edwards Water Lease Transfer Charge -Selma Sale of Meters Sewer Charges Water Penalties NSF Check Fee Fund Transfers 000 - 481000 Transfer In - Reserves 000 - 486204 Interfund Chrg- Drainage CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 232,754 238,260 248,160 263,517 49,564 - - - 4,617,936 4,850,000 5,115,649 5,217,962 29,540 31,000 29,015 31,000 295,773 309,750 306,350 315,500 35,302 20,000 40,000 20,000 9,741,286 9,825,000 10,271,113 10,790,831 125,531 125,000 54,872 40,000 24,641 50,000 35,000 6,233 111,839 80,000 135,000 160,000 6,385,094 6,500,000 6,766,099 7,578,031 248,540 220,000 271,620 277,000 2.450 2.500 2.500 2.500 - 355,464 - - 136.920 141.510 141.510 141.000 187 of 332 F1i3FATiT /_111 94 WINATA4 7 Miscellaneous 000 - 490000 Misc Charges 000 - 491000 Interest Earned 000 - 491200 Investment Income 000 - 495013 Capital Contribution 000 - 497000 Miscellaneous Income 000 - 498110 SSLGC Reimbursement 000 - 498200 W &S Project Reimburs. CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 282,282 500 10,000 1,000 3,666 1,500 28,000 25,000 58,376 60,000 120,000 180,000 28,284 15,000 7,000 15,000 122,373 129,614 129,614 126,111 - 50,000 - - 188 of 332 DEPARTMENT: FINANCE DIVISION: 176 WATER AND SEWER UTILITY BILLING FUND: 202 WATER AND SEWER 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. GOALS AND OBJECTIVES • Continue to provide friendly and efficient services to our 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 and expedited utility billing statements 189 of 332 UTILITY BILLING ZyA TZTJ UTILITY BILLING 2016 -17 2017 -18 2018 -19 Billing Manager 1 1 1 -Utility Billing Asst. Manager 1 1 1 -Utility Billing Clerk II 2 2 2 -Utility Billing Clerk 1 2 2 2 -Utility Clerk* 0 0 1 -Floating Meter Tech 1 2 2 2 Meter Tech II 1 1 1 TOTAL POSITIONS 10 10 11 *Split with Inspections 190 of 332 UTILITY BILLING Personnel Services 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel Services $415,998 $437,109 $499,900 Supplies 1,680 3,800 3,800 Human Services 203 0 0 City Support Services 28 0 6,000 Utility Services 752 1,010 10,020 Operations Support 125,802 160,000 158,500 Staff Support 3,040 6,195 6,250 Professional Services 137,194 192,500 243,000 Maintenance Services 6,120 8,040 8,040 Operating Equipment 0 3,657 600 Total $690,817 $812,311 $936,110 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget increases 15.2% from the FY 2017 -18 year end estimate with the addition of a Floating Clerk, split with Inspections, and higher expected credit card fees. 191 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 202 -WATER & SEWER ACTUAL BUDGET ESTIMATE BUDGET • Personnel Services 176- 511110 Regular 176- 511120 Overtime 176- 511180 LTD 176- 511210 Longevity 176- 511230 Certification Allowance 176- 511310 FICA - Employer 176- 511350 TMRS- Employer 176- 511410 Health- Employer 176- 511500 Workers Compensation Total Personnel Services Supplies 176- 521000 Operating Supplies 176- 521100 Office Supplies Total Supplies Human Services 176- 531100 Pre - employment Check Total Human Services City Support Services 176- 532355 Software Maintenance 176- 532900 Contingencies Total City Support Services Utility Services 176- 533310 Telephone /Cell Phone 176- 533500 Vehicle Fuel Total Utility Services Operations Support 176- 534000 Postage 176- 534200 Printing & Binding 176- 534300 Copy Services 176- 534800 Temporary Empl. Services Total Operations Support 269,610 320,416 286,984 330,487 9,665 3,200 10,000 3,200 807 1,013 861 1,017 9,665 5,801 4,726 6,754 115 - - 300 21,736 25,682 21,954 25,891 46,412 53,765 43,048 54,675 56,042 67,696 68,075 75,916 1,945 2,465 1,461 1,660 415,997 480,038 437,109 499,900 717 1,700 1,700 1,700 963 2,100 2,100 2,100 1,680 3,800 3,800 3,800 203 400 - - 203 400 - - 28 - 2,146 28 2,146 6,000 6,000 752 1,027 1,010 1,020 - - - 9,000 752 1,027 1,010 10,020 73,088 93,000 80,000 93,000 43,686 48,000 56,000 56,000 9,028 9,000 9,000 9,500 - 6,300 15,000 - 125, 802 156,300 160, 000 158,500 192 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 1 • 2017-18 2017-18 2018-19 176- 535100 Uniforms 2,058 2,920 2,920 2,200 176- 535200 Awards - 200 100 200 176- 535300 Memberships - 100 50 100 176- 535500 Training /Travel 982 3,500 3,000 3,500 176- 535510 Meeting Expense - 250 125 250 Total Staff Support 3,040 6,970 6,195 6,250 Professional Services 176- 541800 Credit Card Fees 137,194 170,000 190,000 240,000 176- 541810 Credit Card Fees- AMEX - - 2,500 3,000 Total Professional Services 137,194 170,000 192,500 243,000 Maintenance Services 176- 551800 Other Maintenance Services 6,120 8,040 8,040 8,040 Total Maintenance Services 6,120 8,040 8,040 8,040 Operating Equipment 176- 571000 Furniture & Fixtures - 3,607 3,657 600 Total Operating Equipment - 3,607 3,657 600 193 of 332 DEPARTMENT: PUBLIC WORKS DIVISION: 575 WATER & SEWER ADMINISTRATION FUND: 202 WATER AND SEWER Provide water and wastewater services to all citizens. Conduct maintenance, repair, and expansion of water and wastewater services. Provide excellent 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. 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. 194 of 332 WATER AND SEWER ADMINISTRATION [01 i IF WATER & SEWER ADMINISTRATION 2016 -17 2017 -18 2018 -19 Director 1 1 1 Assistant Director Water/Wastewater Manager) 1 1 1 Senior Administrative Assistant 1 1 1 Clerk/Dispatcher 1 1 1 Schertz -Se uin Local Government Corp Gen Mgr 1 1 1 Water & Sewer Supervisor (Superintendent) 1 1 1 Water & Sewer Foreman 1 1 1 Serviceman 111 1 1 1 Serviceman II 4 5 5 Serviceman 1 8 101 10 TOTAL POSITIONS 1 20 23 23 195 of 332 WATER AND SEWER ADMINISTRATION Water Accounts 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Water Accounts 15,647 16,650 17,000 Miles of Water Main 221 225 228 Miles of Sewer Main 110 112 113 Gallons Pumped (Edwards), acre feet Gallons Received (SSLGC), acre feet Gallons Distributed, acre feet 44.7 20 469 5,800 5,900 . 4,950 5,050 2016 -17 2017 -18 2018 -19 Efficient Actual Estimate Budget Gallons Pumped (Edwards), acre feet Gallons Received (SSLGC), acre feet Gallons Distributed, acre feet 44.7 20 469 5,800 5,900 . 4,950 5,050 New Meter Installed 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate I Bud et New Meter Installed 393 350 350 New Service Taps 5 8 10 Water Service Calls 784 785 785 Water Main Break, Service Repair Calls 783 783 783 Sewer Backup and Repair Calls 498 500 502 196 of 332 WATER AND SEWER ADMINISTRATION Personnel Services 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Personnel Services $1,107,431 $1,149,998 $1,432,723 Supplies 196,683 217,100 187,500 Human Services 539 0 700 City Support Services 64,704 61,255 230,500 Utility Services 3,237,942 3,521,829 3,526,800 Operations Support 8,228 6,850 11,300 Staff Support 22,364 28,250 35,000 City Assistance 1,638 750 1,500 Professional Services 358,883 367,600 343,500 Fund Charges /Transfers 6,421,344 5,092,110 6,187,102 Maintenance Services 7,922,689 8,502,990 9,149,708 Other Costs 36,605 36,615 40,000 Debt Service 357,795 1,626,779 1,904,425 Rental /Leasing 23,502 123,500 124,50 Operating Equipment 3,090 8,954 9,000 Capital Outlay 0 397,878 315,000 Total $19,763,436 $21,142,458 $23,499,078 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2018 -19 Budget will increase 11.1% from the FY 2017 -18 year end estimate. Maintenance Services are expected to increase $600,000 due to higher sewer treatment costs. The new 2018 bond issuance will fund the replacement and installation of a new water meter system, loop lines for continuous service, and the relocation of utilities on FM1103 to make room for the road expansion which results in higher debt payments. Expected contributions to Schertz Seguin Local Government Corporation will increase to begin construction on a new water supply line into Schertz and ensure the water supply for the City. 197 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 202 -WATER & SEWER ACTUAL BUDGET ESTIMATE BUDGET PUBLIC WORKS ADMINISTRATION Personnel Services 42,626 47,000 47,000 48,000 575 - 511110 Regular 735,381 918,399 739,980 953,832 575 - 511120 Overtime 36,102 17,945 32,000 17,945 575 - 511180 LTD 2,004 2,881 2,220 2,957 575 - 511210 Longevity 19,192 19,865 20,339 21,337 575 - 511230 Certification Allowance 12,590 13,201 13,201 13,201 575 - 511240 Vehicle Allowance - - - - 575- 511310 FICA - Employer 54,091 74,916 56,608 76,904 575 - 511350 TMRS - Employer 120,806 156,834 137,500 162,403 575 - 511410 Health - Employer 117,531 164,162 139,938 174,605 575 - 511500 Workers Compensation 9,734 13,853 8,212 9,539 Total Personnel Services 1,107,431 1,382,056 1,149,998 1,432,723 Supplies 575 - 521000 Operating Supplies 8,781 9,000 9,000 9,000 575 - 521100 Office Supplies 853 1,500 1,500 1,500 575 - 521200 Medical Supplies 1,461 1,500 1,500 1,500 575 - 521400 Plumbing Supplies 58,433 58,000 50,000 50,000 575 - 521405 Water Meters -New 127,155 155,000 155,000 125,000 575- 521600 Equip Maint Supplies - 500 100 500 Total Supplies 196,683 225,500 217,100 187,500 Human Services 575 - 531100 Pre - employment Check 539 60 - 700 Total Human Services 539 60 - 700 Citv SuDDort Services 575 - 532500 City Insurance - Commercial 42,626 47,000 47,000 48,000 575 - 532800 Employee Appreciation Events 1,343 2,000 1,820 2,500 575 - 532900 Contingencies 20,735 21,500 12,435 180,000 Total City Support Services 64,704 70,500 61,255 230,500 198 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 202 -WATER & SEWER Utility Services 575 - 533100 Gas Utility 575 - 533200 Electricity 575 - 533310 Telephone /Cell Phones 575 - 533320 Telephone /Air Cards 575 - 533400 Water Purchase 575- 533410 Water Utility Service 575 - 533500 Vehicle Fuel Total Utility Services Operations Support 575 - 534000 Postage 575 - 534100 Advertising 575 - 534200 Printing & Binding 575 - 534300 Copy Services Total Operations Support Staff Support 2,000 575 - 535100 Uniforms 575 - 535200 Annual Awards 575 - 535300 Memberships 575 - 535500 Training/Travel 575 - 535510 Meeting Expenses 575 - 535600 Prof. Certifications Total Staff Support City Assistance 575 - 537100 Medical Services Total City Assistance Professional Services 575 - 541200 Legal Services 575 - 541300 Other Consul /Prof Service 575 - 541305 Cell Tower Management Fees 575 - 541310 Contractual Services 575 - 541400 Auditor /Accounting Service 575 - 541500 Paying Agent Total Professional Services 2016 -17 ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 921 2,000 1,500 1,500 269,159 280,000 280,000 280,000 2,137 3,500 3,500 3,500 286 700 700 800 2,918,214 3,192,129 3,192,129 3,200,000 9,699 9,000 9,000 10,000 37,526 45,000 35,000 31,000 3,237,942 3,532,329 3,521,829 3,526,800 145 600 250 300 2,881 5,000 1,000 5,000 - 500 100 500 5,202 5,500 5,500 5,500 8,228 11,600 6,850 11,300 8,228 10,500 10,500 12,000 - 500 - - 5,375 6,000 6,000 6,000 6,696 10,000 10,000 15,000 1,817 2,000 1,500 2,000 249 250 250 - 22,365 29,250 28,250 35,000 1,638 1,500 750 1,500 1,638 1,500 750 1,500 220,694 150,000 150,000 200,000 37,652 121,000 121,000 40,000 73,426 72,000 72,000 78,500 2,880 - - - 23,430 24,000 24,000 24,000 800 1,000 600 1,000 358,882 368,000 367,600 343,500 199 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 202 -WATER & SEWER Fund Charges 575 - 551100 575 - 548040 Contribution to CVLGC 575 - 548050 Contribution to SSLGC 575 - 548060 Contribution to CCMA 575 - 548101 Transfer Out - General Fund 575 - 548106 Transfer Out - Special Events 575 - 548600 Inter Fund Charges -Admin 575 - 548610 Inter Fund Charge - Fleet 575 - 548800 Depreciation Expense 575 - 548900 Amortization Expense Total Fund Charges Maintenance Services 575 - 551100 Building Maintenance 575 - 551300 Computer Maintenance 575 - 551400 Minor & Other Equip Maint 575 - 551500 Water Maintenance 575 - 551510 Waste Contractor Expense 575- 551520 Sewer Treatment -CCMA /MUD 575 - 551530 Sewer Maintenance 575 - 551540 1 &1 Maintenance 575 - 551600 Street Maintenance Materials 575 - 551720 Low Flow Rebate Program 575 - 551800 Other Maintenance Total Maintenance Services Other Costs 575 - 554100 State Water Fees -TCEQ Total Other Costs Debt Service 575 - 555900 Debt Service 575 - 555900. Interest Expense Total Debt Service 2016 -17 ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 300,000 300,000 300,000 500,000 2,242,314 2,903,955 2,903,955 3,786,424 413,650 410,125 410,125 412,250 - - - 4,000 2,494 4,000 4,000 - 1,186,812 1,344,140 1,344,140 1,344,140 148,276 129,890 129,890 140,288 2,116,417 - - - 11,381 - - - 6,421,344 5,092,110 5,092,110 6,187,102 137 5,000 - 5,000 17,754 10,000 10,000 17,500 1,286 2,500 1,250 2,500 77,774 142,000 155,000 155,000 4,342,077 4,432,250 4,432,250 4,565,218 3,349,837 3,750,000 3,750,000 4,150,000 117,701 84,000 84,000 84,000 3,850 150,000 50,000 150,000 12,052 25,000 20,000 20,000 - 250 250 250 220 240 240 240 7,922,688 8,601,240 8,502,990 9,149,708 36,605 37,500 36,615 40,000 36,605 37,500 36,615 40,000 - 1,304,500 1,304,500 1,605,000 357,795 322,279 322,279 299,245 357,795 1,626,779 1,626,779 1,904,245 200 of 332 202 -WATER & SEWER M : • ,i CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 575 - 561000 Rental - Building & Land 2,702 3,500 3,500 3,500 575 - 561100 Rental -Equipment - 1,000 - 1,000 575 - 561200 Lease /Purchase Payments 20,800 120,000 120,000 120,000 Total Rental -ROW 23,502 124,500 123,500 124,500 Operating Equipment 575 - 571000 Furniture & Fixtures 575 - 571300 Computer & Peripherals 575 - 571500 Minor Equipment Total Operating Equipment Capital Outlay 575 - 581200 Vehicles & Access. Over $5,00( 575 - 581800 Equipment Over $5,000 Total Capital Outlay - 6,000 6,000 6,000 515 - - - 2,575 3,000 2,954 3,000 3,090 9,000 8,954 9,000 201 of 332 120,000 195,000 315,000 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 202 -WATER & SEWER ACTUAL BUDGET ESTIMATE BUDGET MISCELLANEOUS & PROJECTS PROJECTS Citv Suaaort Services 940 - 532900 Contingencies - 40,000 - - Total City Support Services - 40,000 - - Operations Support 940 - 534100 Advertising - 1,442 965 - Total Operations Support - 1,442 965 - Professional Services 900 - 541100 Engineering - 53,326 53,802 - Total Professional Services - 53,326 53,802 - Maintenance Services 900 - 551900 Construction - 740,037 740,037 - 900- 551910 Construction - Contingency - 40,000 80,000 - Total Maintenance Services - 780,037 820,037 - 202 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 202 -WATER & SEWER ACTUAL BUDGET ESTIMATE BUDGET MISCELLANEOUS & PROJECTS SEWER PROJECTS Professional Services 902 - 541305 CCMA- Connection Fees - 360,000 - - Total Professional Services - 360,000 - - OVER /UNDER 1111Z►171Z,"J Z101 ►Ti10X11:iyt�9 BEGINNING FUND EQUITY ENDING FUND EQUITY 2,695,426 19,402 345,404 - (1,544,161) - (53,036) 1,429,773 4,125,199 4,125,199 4,470,603 4,125,199 2,600,440 4,470,603 4,417,567 203 of 332 FUND: 411 CAPITAL RECOVERY FUND 1t A ' (Water & 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. The Sewer Capital Recovery portion was moved to its own fund in FY 2013 -14. 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. • Design a 3 million gallon ground storage and booster station • State law mandates that the WaterMastewater Capital Recovery plan be updated at least every five years. The last study was 2011. 204 of 332 CAPITAL RECOVERY FUND - WATER •:� 11111 ►1 _ O Revenue Fees $1,433,309 Miscellaneous 38,537 Total $1,471,847 Expenses Non Departmental 1,000 Total $1,000 PROGRAM JUSTIFICATION AND ANALYSIS of 111 Ili •: III' 111 $1,100,000 82,000 $1,182,000 256,000 $256,000 Projects for FY 2018 -19 include conducting the Water/Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the 1 million gallon elevated tank at Corbett. 205 of 332 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenue Fees $1,433,309 Miscellaneous 38,537 Total $1,471,847 Expenses Non Departmental 1,000 Total $1,000 PROGRAM JUSTIFICATION AND ANALYSIS of 111 Ili •: III' 111 $1,100,000 82,000 $1,182,000 256,000 $256,000 Projects for FY 2018 -19 include conducting the Water/Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the 1 million gallon elevated tank at Corbett. 205 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 411 - CAPITAL RECOVERY - WATER 2016 -17 ACTUAL 2017 -18 BUDGET 2017 -18 ESTIMATE 2018 -19 BUDGET SUMMARY RECAP Revenue Summary Fees 1,433,309 1,100,000 1,600,000 1,100,000 Miscellaneous 38,538 40,200 81,000 82,000 ExDenditure Summa General Government Non Departmental 1,000 256,000 1,000 256,000 Total General Government 1,000 256,000 1,000 256,000 Misc & Projects Projects - - - - Total Misc & Projects - - - - OVER /UNDER 1,470,847 884,200 1,680,000 926,000 FUNDING FROM RESERVES - - - - BEGINNING FUND EQUITY 3,490,555 4,961,402 4,961,402 6,641,402 ENDING FUND EQUITY 4,961,402 5,845,602 6,641,402 7,567,402 206 of 332 411 - CAPITAL RECOVERY - WATER Fees 000 - 455900 Capital Recovery -Water Total Fees Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Income Total Miscellaneous CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 1,433,309 1,100,000 1,600,000 1,100,000 1,433,309 1,100,000 1,600,000 1,100,000 863 200 5,500 7,000 37,675 40,000 75,500 75,000 38,538 40,200 81,000 82,000 207 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 411 - CAPITAL RECOVERY - WATER ACTUAL BUDGET ESTIMATE BUDGET General Government NON - DEPARTMENTAL Professional Services 101 - 541200 Legal Services - Water 101- 541300 Professional Services - Water 101 - 541400 Auditor Services Total Professional Services - 5,000 - 5,000 - 250,000 - 250,000 1,000 1,000 1,000 1,000 1,000 256,000 1,000 256,000 208 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 411 - CAPITAL RECOVERY - WATER ACTUAL BUDGET ESTIMATE BUDGET General Government WATER PROJECTS Fund Charges /Transfers 900 - 548406 Transfer Out - Public Improvement - - - - Total Fund Charges /Transfers - - - - OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND EQUITY ENDING FUND EQUITY 1,470,847 884,200 1,680,000 926,000 3,490,555 4,961,402 4,961,402 6,641,402 4,961,402 5,845,602 6,641,402 7,567,402 209 of 332 FUND: 421 CAPITAL RECOVERY FUND SEWER (Water & 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 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. State law mandates that the Water/Wastewater Capital Recovery Plan be updated at least every five years. Last study was in 2011. Currently the Sedona WWTP serves the Crossvine Subdivision area but will be eliminated when the new CCMA WWTP comes on line. A sewer line and lift- station will be needed to accomplish this project. • Initiate and institute a study to implement reuse water throughout the City. • Provide citizens with quality projects completed on -time and on- budget. 210 of 332 CAPITAL RECOVERY FUND - SEWER COT Budget 2016 -17 2017 -18 2018 -19 Actual Estimate Budget Revenue Fees $744,574 $902,000 $600,000 Miscellaneous 36,518 64,750 44,000 Total $781,092 $966,750 $644,000 Expenses Non Departmental 5,356 493,348 260,500 Total PROGRAM JUSTIFICATION AND ANALYSIS Projects for FY 2018 -19 include conducting the Water/Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the construction of the main trunk line in southern Schertz that will connect to the new sewer treatment facility being added to the area. 211 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 421 - CAPITAL RECOVERY - SEWER 2016 -17 ACTUAL 2017 -18 BUDGET 2017 -18 ESTIMATE 2018 -19 BUDGET SUMMARY RECAP Revenue Summary Fees 744,574 550,000 902,000 600,000 Miscellaneous 36,518 40,150 64,750 44,000 Expenditure Summar General Government Non Departmental 5,356 823,348 493,348 260,500 Total General Government 5,356 823,348 493,348 260,500 Misc & Projects Sewer Projects - - - - Total Misc & Projects - - - - OVER/UNDER 775,736 126,502 473,402 383,500 FUNDING FROM RESERVES - (359,700) - - BEGINNING FUND EQUITY 4,828,325 5,604,061 5,604,061 6,077,463 ENDING FUND EQUITY 5,604,061 5,370,863 6,077,463 6,460,963 212 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 421 - CAPITAL RECOVERY - SEWER ACTUAL BUDGET ESTIMATE BUDGET REVENUES Fees 000 - 455910 Capital Recovery-Waste Water 717,574 550,000 875,000 600,000 000 - 455913 Capital Recovery-N. Sewer 27,000 - 27,000 - Total Fees 744,574 550,000 902,000 600,000 Fund Transfers 000 - 481000 Transfer from Reserves - 359,700 - - Total Fund Transfers - 359,700 - - Miscellaneous 000 - 491000 Interest Earned 730 150 4,250 4,000 000 - 491200 Investment Income 63,424 40,000 86,000 40,000 000 - 491800 Gain /Loss (13,176) - (13,500) - 000- 491900 Unrealized Gain /Loss (14,460) - (12,000) - Total Miscellaneous 36,518 40,150 64,750 44,000 213 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 421 - CAPITAL RECOVERY - SEWER General Government NON - DEPARTMENTAL Professional Services 101 - 541200.1 Legal Services - Sewer 101 - 541300 Professional Services - Water 101 - 541400 Auditor Services 101 - 541650 Investment Management Fee Total Professional Services Fund Charges/Transfers 101 - 548000 Transfer Out Total Fund Charges /Transfers 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET - 80,000 - 5,000 - 250,000 - 250,000 1,000 1,000 1,000 1,000 4,356 4,500 4,500 4,500 5,356 335,500 5,500 260,500 214 of 332 487,848 487,848 487,848 487,848 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 421 - CAPITAL RECOVERY - SEWER ACTUAL BUDGET ESTIMATE BUDGET General Government SEWER PROJECTS Professional Services 902 - 541300 Other Professional Services - - - - Total Professional Services - - - - OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND EQUITY ENDING FUND EQUITY 775,736 126,502 473,402 383,500 - (359,700) - - 4,828,325 5,604,061 5,604,061 6,077,463 5,604,061 5,370,863 6,077,463 6,460,963 215 of 332 Drainage - Revenue Drainage Fees $ 1,2081500 Permits 3,000 Inter -Fund Transfers - Miscellaneous Income 26,800 TOTAL $ 19238,300 216 of 332 Drainage - Expenditures Personnel $ 400,584 Supplies 5,700 Professional & City Services 529000 Utility & Maintenance Services 43,200 Operation Support & Services 539,862 Capital Expense - Debt Service 1211213 TOTAL $ 1,162,559 217 of 332 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. 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. 218 of 332 PUBLIC WORKS DRAINAGE [Q Ztey 1-1 z I I F, f-A Vt I I*] z v -Al we] I 10-A -f H DRAINAGE 2016-17 2017-18 2018-19 Stormwater Manager 1 0 0 Drainage Foreman 1 1 1 Drainage Worker 11 2 2 2 Drainage Worker 1 3 5 5 TOTAL POSITIONS 1 61 81 PERFORMANCE INDICATORS Acres of Alleys Mowed Acres of Rights-of-Way (ROW) Mowed Acres of Drainage Ditches Mowed 5.15 2016-17 2017-18 2018-19 I i Workload/Output Actual Estimate Budget Acres of Alleys Mowed Acres of Rights-of-Way (ROW) Mowed Acres of Drainage Ditches Mowed 5.15 5.15 5.15 118.07 118.07 118.07 157.75 157.75 157.75 ------ -- --- -- -- ---- 2016 -17 � 201718 Efficiency Estimate -- — ------------------------------------------------------------------------------------------ — - — - - - ------- - ------- Budget] Monthly Operating Expenditures 93,564 102,920 113,212 ROW Maintenance & Mowing, Hours Drainage Mowing, Hours Drainage Structure Maintenance, Hours 219 of 332 2,900 3,200 3,300 600 700 800 1,350 1,450 1,550 2016-17 � 2017-18 2018-19 � Effectiveness Actual Estimate Budget ROW Maintenance & Mowing, Hours Drainage Mowing, Hours Drainage Structure Maintenance, Hours 219 of 332 2,900 3,200 3,300 600 700 800 1,350 1,450 1,550 PUBLIC WORKS DRAINAGE Revenue Permits $2,960 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenue Permits $2,960 $3,800 $3,000 Fees 1,146,946 1,131,305 1,208,500 Miscellaneous 16,663 193,780 26,800 Total $1,166,568 $1,328,885 $1,238,300 Expenses Personnel $293,187 $328,485 $400,584 Supplies 3,723 5,200 5,700 City Support Services 4,576 7,100 1,000 Utility Services 16,299 13,200 13,200 Operations Support 0 0 1,000 Staff Support 6,004 6,300 10,000 City Assistance 287 200 500 Professional Services 46,733 29,000 41,500 Fund Charges /Transfers 556,071 487,295 532,162 Maintenance Services 13,721 1,090 30,000 Other Costs 100 200 200 Debt Services 119,795 123,206 121,213 Rental /Leasing 0 0 5,500 Operating Equipment 5,739 7,000 0 Projects 0 1,713,153 0 Total $1,066,235 $2,721,429 $1,162,559 Revenue: The FY 2018 -19 revenue from drainage fees is expected to increase 6.8% with new commercial and residential development occurring in the City. Overall revenue will decrease 6.8% from the prior year which saw a one time contribution from Cibolo for the bridge reconstruction. Expenses: The FY 2018 -19 Budget will increase 15.3% from the FY 2017 -18 year end estimate due to an expected reduction in turnover and additional administrative costs supporting the Engineering Department through the Interfund Charge. Overall expenditures will decrease by $1.6 million since FY 2017 -18 saw a many drainage improvement projects funded during that year, using up all available construction funds. 220 of 332 204 - DRAINAGE FUND SUMMARY RECAP Revenue Summary CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016-17 1 1 1 • ACTUAL BUDGET ESTIMATE BUDGET Permits 2,960 3,000 3,800 3,000 Fees 1,146,946 1,179,250 1,131,305 1,208,500 Fund Transfers - 1,327,327 - - Miscellaneous 16,662 254,350 193,780 26,800 TOTAL. REVENUES 1,16 0,568 8763,927 1 8328,885 1,8238,3 00 Expenditure Summary Personnel Services 293,187 391,652 328,486 400,584 Supplies 3,723 5,200 5,200 5,700 Human Services - - - - City Support Services 4,576 8,180 7,100 1,000 Utility Services 16,299 13,200 13,200 13,200 Operations Support - 1,000 - 1,000 Staff Support 6,005 7,100 6,300 10,000 City Assistance 287 400 200 500 Professional Services 46,733 117,320 29,000 41,500 Fund Charges /Transfers 556,072 497,295 487,295 532,162 Maintenance Services 13,721 - 1,090 30,000 Other Costs 100 200 200 200 Debt Service 119,795 123,225 123,206 121,213 Rental -ROW - 100 - 5,500 Operating Equipment 5,739 7,000 7,000 - Capital Outlay - - - - Projects - 1,721,425 1,713,153 TOTAL EXPENDITURES 1;066,237 2,893,29 2,1721,430 1,162,659 OVER /UNDER 100,331 (129,370) (1,392,545) 75,741 FUNDING FROM RESERVES - - - - BEGINNING FUND EQUITY 1,561,376 1,661,707 1,661,707 269,162 ENDING FUND EQUITY 1,661,707 1,532,337 269,162 344,903 221 of 332 204 - DRAINAGE FUND REVENUES Permits 000 - 432400 Floodplain Permit Fees 000 - 457500 Drainage Penalties 000 - 457600 Drainage Fees Fund Transfers 000 - 481000 Transfer In - Reserves Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Income 000 - 497000 Misc Income- Drainage CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016-17 1 1 1 • ACTUAL BUDGET ESTIMATE BUDGET 961 3,000 3,800 3,000 10,016 10,000 1.136.930 1.169.250 - 1,327,327 295 150 15,500 12,000 867 242.200 222 of 332 11,142 10,000 1.120.163 1.198.500 :/1 28,000 25,01 204 - DRAINAGE FUND General Government Expenditures 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 579 - 521100 579 - 521200 579 - 521300 Total Supl Operating Supplies Office Supplies Medical /Chem Supplies Motor Veh. Supplies )lies CITY OF SCHERTZ OPERATING BUDGET 2018 -19 City Support Services 579 - 532400 Computer Fees & Licenses 579 - 532500 City Insurance Commercial 579 - 532900 Contingencies Total City Support Services Utility Services 579 - 533310 Telephone /Cell Phones 579 - 533500 Vehicle Fuel Total Utility Services 2016-17 1 1 1 • ACTUAL BUDGET ESTIMATE BUDGET 172,346 248,504 201,721 250,415 500 1,400 6,200 5,500 733 770 605 776 7,191 8,427 7,950 8,338 2,550 4,800 3,000 4,800 17,875 20,130 15,432 20,269 39,105 42,140 30,258 42,803 49,432 60,174 60,174 64,120 3,455 5,307 3,146 3,563 293,187 391,652 328,486 400,584 1,964 3,000 3,000 3,300 185 200 200 200 1,574 2,000 2,000 2,000 - - - 200 3,723 5,200 5,200 5,700 - 1,000 - 1,000 4,166 3,000 6,000 - 410 4,180 1,100 - 4,576 8,180 7,100 1,000 1,072 1,200 1,200 1,200 15,227 12,000 12,000 12,000 16,299 13,200 13,200 13,200 223 of 332 204 - DRAINAGE FUND Operations Support 579- 534200 Printing & Binding Total Operations Support Staff Support Legal Service 579 - 535100 Uniforms 579 - 535300 Memberships 579 - 535500 Training /Travel 579 - 535510 Meeting Expenses 579 - 535600 Professional Certification Total Staff Support Auditor /Accounting Service City Assistance 579- 537100 Medical Services Total City Assistance Professional Services CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016-17 1 1 1 • ACTUAL BUDGET ESTIMATE BUDGET 1,000 - 1,000 1,000 - 1,000 3,385 4,000 4,000 4,800 - 400 - - 1,791 2,000 2,000 4,000 260 300 300 600 clan Ann /nnn %12 .. .. .... nn-7 Ann nnn =nn 579- 541200 Legal Service 273 5,000 2,500 5,000 579 - 541310 Contractual Services 44,960 110,820 25,000 35,000 579 - 541400 Auditor /Accounting Service 1,500 1,500 1,500 1,500 Total Professional Services 46,733 117,320 29,000 41,500 Fund Charges/Transfers 579 - 548101 Transfer Out - General Fund - - - 1,000 579 - 548106 Transfer Out - Special Events 624 1,000 1,000 - 579- 548500 Inter -Fund Charge -Gen Fund 184,425 271,430 271,430 295,157 579 - 548600 Inter -Fund Charge - Water 136,920 141,510 141,510 141,000 579 - 548610 Inter -Fund Charge - Fleet 105,789 83,355 73,355 95,005 579 - 548800 Depreciation Expense 128,314 - - - Total Fund Charges /Transfers 556,072 497,295 487,295 532,162 Maintenance Services 579 - 551610 Drainage Channel Maintenance 13,721 Total Maintenance Services 13,721 224 of 332 1,090 30,000 /•/ 30,000 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 on "• & 579 - 555900 Debt Service 2016 -17 2017 -18 2017 -18 2018 -19 204 - DRAINAGE FUND ACTUAL BUDGET ESTIMATE BUDGET Total Debt Service 119,795 123,225 123,206 121,213 Other Costs 579 - 554100 State Storm Water Fee 100 200 200 200 Total Other Costs 100 200 200 200 on "• & 579 - 555900 Debt Service 110,000 115,000 115,000 115,000 579 - 555900.1 Interest Expense 9,795 8,225 8,206 6,213 Total Debt Service 119,795 123,225 123,206 121,213 Rental -ROW 579 - 561100 Rental Equipment - 100 - 500 579 - 561200 Lease /Purchase Payments - - - 5,000 Total Rental -ROW - 100 - 5,500 Operating Equipment 579 - 571500 Equipment Under $5,000 5,739 7,000 7,000 - Total Operating Equipment 5,739 7,000 7,000 - 225 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 204 - DRAINAGE FUND ACTUAL BUDGET ESTIMATE BUDGET Projects Expenditures City Support Services 900 - 532900 Contingencies - 7,355 - - Total City Support Services - 7,355 - - Operations Support 900 - 534100 Advertising - 1,950 1,033 - Total Operations Support - 1,950 1,033 - Professional Services 900 - 541100 Engineering - 180,059 180,059 - Total Professional Services - 180,059 180,059 - Maintenance Services 900 - 551900 Construction - 1,532,061 1,532,061 - Total Maintenance Services - 1,532,061 1,532,061 - OVER /UNDER 100,331 (129,370) (1,392,545) 75,741 FUNDING FROM RESERVES - - - - BEGINNING FUND EQUITY 1,561,376 1,661,707 1,661,707 269,162 ENDING FUND EQUITY 1,661,707 1,532,337 269,162 344,903 226 of 332 Schertz E M S - Revenues Ambulance /Mileage Fees $ 6,194,080 Miscellaneous Income 125,750 Inter - Jurisdictional Contracts 3,0251486 TOTAL $ 9,3451316 227 of 332 Schertz E M S - Expenditures Personnel 41461,556 Supplies 431,050 Professional & City Services 810,257 Utility & Maintenance Services 2809000 Operation Support & Services 2,8741329 Capital Expense 899550 Debt Service 288,895 TOTAL $ 9,2351637 228 of 332 FUND: 203 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 educate our employees by providing over fifty hours of Continuing Education annually and over thirty hours for our first responders. We provide ambulance demonstrations and stand- by event coverage to further the knowledge of Emergency Medical Services and injury /illness prevention and preparedness. GOALS AND OBJECTIVES • 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 229 of 332 EMERGENCY MEDICAL SERVICES (EMS) • 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. ORGANIZATIONAL CHART EMS 2016 -17 2017 -18 2018 -19 Director 1 1 1 Operations Manager 1 1 1 Clinical Manager 1 1 1 Community Health Manager 1 1 1 Training Coordinator 1 1 1 Office Manager 1 1 1 Senior Administrative Asst. 1 1 1 Billing Specialist 1 2 3 Billing Clerk 2 1 0 EMS Supervisor 3 3 3 Field Training Officer 3 3 3 MIH Paramedic 1 1 1 Paramedic 24 24 26 EMT 0 3 2 PIT Paramedics 15 15 15 P/T EMT 5 5 5 TOTAL POSITIONS 61 641 65 230 of 332 EMERGENCY MEDICAL SERVICES (EMS) �. �. Requests for EMS Service 2016 -17 2017 -18 2018 -19 Workload/Output Actual Estimate Budget Requests for EMS Service 9,956 10,679 10,506 Transports to Hospitals 6,201 6,477 6,494 Hospital to Hospital Transports 958 1,000 1,000 Collections per Transport 420.00 450.00 450.00 Students Enrolled in EMT 90 90 90 Certification Classes Trips billed for Alamo Heights 667 700 700 Members of EMS Passport 366 550 550 Response Time 90% Reliability 2016 -17 2017 -18 2018 -19 Efficiency Actual Estimate Bud et Response Time 90% Reliability 14:00 14:00 14:00 Total Time on Task (Minutes) 57:15 58:00 58:00 Transport Percentage 62% 64% 64% Days Sales Outstanding 48 50 45 Mutual Aid Requested 27 50 40 Students Graduated from EMT Certification Classes 48 55 55 Critical Failures / 100,000 miles 2016 -17 2017 -18 2018 -19 Effectiveness Actual Estimate Budget Critical Failures / 100,000 miles 3.6 4 4 Fleet Accidents/ 100,000 miles 3.7 4 4 Cardiac Arrest Save % 7.3% 10% 10% Correct recognition of STEMI 68% 70% 75% EMT Class Certification Pass Rate 93% 90% 90% 231 of 332 EMERGENCY MEDICAL SERVICES (EMS) Revenue Fees 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenue Fees $5,955,626 $5,983,108 $6,194,080 Inter - Jurisdictional 2,412,953 2,864,507 3,025,485 Fund Transfers 550,000 0 0 Miscellaneous 223,834 140,195 125,750 Total $9,142,413 $8,987,810 $9,345,315 Expenses Personnel $3,837,205 $4,216,502 $4,461,556 Supplies 378,684 422,600 431,050 Human Services 1,299 0 0 City Support Services 57,156 64,000 106,000 Utility Services 114,478 130,500 127,000 Operations Support 61,531 67,000 73,700 Staff Support 52,859 70,700 79,250 City Assistance 527,022 568,867 568,867 Professional Services 126,267 161,000 162,140 Fund Charges /Transfers 2,735,918 2,604,087 2,694,628 Maintenance Services 20,610 12,000 12,000 Other Costs 1,130 0 0 Debt Service 10,870 288,120 288,895 Rental /Leasing 70,120 141,000 141,000 Operating Equipment 38,819 65,000 89,550 Capital Outlay 34,510 30,000 0 Total $8,068,478 $8,841,376 9,235,636 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenues for FY 2018 -19 are expected to increase 4.0% from FY 2017 -18 year end estimates. In addition to additional transports increasing revenue, the Inter - Jurisdictional revenues will increase with a 3% rate increase to provide coverage for each community serviced by the City's EMS. Expenses: The FY 2018 -19 Budget will increase 4.5% from the FY 2017 -18 year end estimate with additional personnel and supply costs. 232 of 332 203 -EMS SUMMARY RECAP Revenue Summary Fees Inter - Jurisdictional Fund Transfers Miscellaneous Expenditure Summary Personnel Services Supplies Human Services City Support Services Utility Services Operations Support Staff Support City Assistance Professional Services Fund Charges Maintenance Service Other Costs Debt Service Rental Lease Operating Equipment Capitalized Equipment OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND EQUITY CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 5,955,627 6,122,000 5,983,108 6,194,080 2,412,953 2,780,863 2,864,507 3,025,486 550,000 - - - 223,834 117,850 140,195 125,750 3,837,206 4,244,739 4,216,502 4,461,556 378,684 410,850 422,600 431,050 1,299 - - - 57,156 103,680 64,000 106,000 114,478 118,000 130,500 127,000 61,532 75,040 67,000 73,700 52,858 70,750 70,700 79,250 527,022 568,867 568,867 568,867 126,267 168,200 161,000 162,140 2,735,918 2,656,827 2,604,087 2,694,629 20,610 12,000 12,000 12,000 1,130 - - - 10,870 288,120 288,120 288,895 70,120 141,000 141,000 141,000 38,819 119,100 65,000 89,550 34,510 30,000 30,000 - 8,068,47 9,107,,17 8,841;376 9,235!637 1,073,935 13,540 146,434 109,679 2,456,334 3,530,269 3,530,269 3,676,703 ENDING FUND EQUITY 3,530,269 3,543,809 3,676,703 3,786,382 233 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 203 - E M S ACTUAL BUDGET ESTIMATE BUDGET REVENUES Fees 000 - 456100 Ambulance /Mileage Transport 5,666,326 5,866,200 5,700,000 5,894,480 000 - 456110 Passport Membership Fees 25,115 30,000 26,000 28,000 000 - 456120 EMS Class - Fees 94,873 96,000 92,000 96,000 000 - 456122 CE Class - Fees 16,975 22,800 21,000 21,500 000 - 456130 Immunization Fees 9,138 7,000 3,008 7,000 000 - 456140 Billing Fees - Alamo Heights 18,153 25,000 23,000 25,000 000 - 456150 Standby Fees 24,484 25,000 32,000 27,000 000 - 456155 Community Services Support 100,488 50,000 75,000 75,000 000 - 456160 MIH Services - - 10,000 20,000 000 - 458110 Sale of Merchandise- GovDeals - - 1,000 - 000- 459200 NSF Check Fee 75 - 100 100 Total Fees 5,955,627 6,122,000 5,983,108 6,194,080 Inter - Jurisdictional 000 - 473500 Seguin /Guad Co Support 843,578 843,577 843,577 843,577 000 - 474300 Cibolo Support 319,098 346,468 346,468 410,583 000 - 475100 Comal Co ESD #6 106,012 112,537 119,328 121,723 000 - 475200 Live Oak Support 206,957 213,152 213,152 232,140 000 - 475300 Universal City Support 262,361 281,284 281,284 300,092 000 - 475400 Selma Support 106,656 111,886 111,886 148,697 000 - 475500 Schertz Support 504,084 556,325 556,325 581,537 000 - 475600 Santa Clara Support 10,354 10,447 10,447 10,790 000 - 475800 Marion Support 14,956 15,187 15,187 16,347 000 - 475910 TASPP Program 38,897 290,000 366,853 360,000 Total Inter-Jurisdictional 2,412,953 2,780,863 2,864,507 3,025,486 Fund Transfers 000 - 486100 Transfer In 550,000 - - - Total Fund Transfers 550,000 - - - Miscellaneous 000 - 491000 Interest Earned 899 100 3,600 3,000 000 - 491200 Investment Income 2,750 750 7,500 750 000 - 493203 Donations- EMS 351 2,000 500 2,000 000 - 493205 Donations -Golf Tournament 10,060 10,000 18,595 10,000 000 - 495100 l M I H Contracts 99,579 40,000 - - 000- 497000 Misc Income 48,903 25,000 55,000 50,000 000 - 497100 Recovery of Bad Debt 61,292 40,000 55,000 60,000 Total Miscellaneous 223,834 117,850 140,195 125,750 234 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 203 - E M S ACTUAL BUDGET ESTIMATE BUDGET PUBLIC SAFETY EXPENDITURES Personnel Services 280 - 511110 Regular 2,058,622 2,377,144 2,400,000 2,506,808 280 - 511120 Overtime 735,899 672,597 675,000 730,979 280 - 511180 LTD 5,484 6,352 6,500 6,670 280 - 511210 Longevity 41,594 42,059 45,000 47,147 280 - 511220 Clothing Allowance 10,452 12,171 11,000 11,857 280- 511230 Certification Allowance 18,845 17,290 17,000 15,100 280 - 511310 FICA - Employer 209,138 245,096 225,000 252,748 280 - 511350 TMRS - Employer 427,421 478,653 475,000 495,946 280 - 511410 Health - Employer 285,275 330,957 325,000 351,825 280 - 511500 Workers Compensation 44,476 62,420 37,002 42,476 Total Personnel Services 3,837,206 4,244,739 4,216,502 4,461,556 Supplies 280 - 521000 Operating Supplies 1,539 4,000 2,000 2,000 280 - 521010 Operating Supplies -EMT Class 24,099 32,000 27,500 30,000 280 - 521020 Operating Supplies -Cert Class 13,757 15,750 15,000 16,450 280 - 521025 Community Support Supplies 74,824 30,000 75,000 70,000 280 - 521030 Operating Supplies -UH Grant 385 1,000 100 1,000 280 - 521100 Office Supplies 1,604 4,500 3,000 3,000 280 - 521200 Medical Supplies 247,439 300,000 280,000 285,000 280 - 521250 Immunization Supplies 11,526 14,600 12,000 14,600 280 - 521300 Motor Veh. Supplies 277 4,000 3,000 4,000 280 - 521600 Equip Maint Supplies 3,234 5,000 5,000 5,000 Total Supplies 378,684 410,850 422,600 431,050 Human Services 280 - 531100 Pre - employment Check 1,299 - - - Total Human Services 1,299 - - - Citv Suaaort Services 280 - 532350 Software Maintenance 34,948 43,680 42,000 46,000 280 - 532500 City - Insurance - Commercial 22,108 25,000 22,000 25,000 280 - 532840 Golf Tournament - Dilworth 100 - - - 280- 532900 Contingencies - 35,000 - 35,000 Total City Support Services 57,156 103,680 64,000 106,000 235 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 203 -EMS Utility Services 280 - 533100 Gas Utility Service 280 - 533200 Electricity 280 - 533300 Telephone /Land Lines 280 - 533310 Telephone /Cell Phones 280 - 533320 Telephone /Air Cards 280 - 533330 Telephone /Internet 280 - 533350 Pager Service 280 - 533410 Water Utility Service 280 - 533500 Vehicle Fuel Total Utility Services Operations Support 280 - 534000 Postage 280 - 534100 Advertising 280 - 534200 Printing & Binding 280 - 534300 Equipment Maintenance Copiers 280 - 534400 EMT Class Instructors 280 - 534410 CE Class Instructors 280 - 534420 Community Support- Insurance 280 - 534500 Memberships - Organizations Total Operations Support Staff Suppc 280 - 535100 280 - 535210 280 - 535300 280 - 535400 280 - 535500 280 - 535510 280 - 535600 rt Uniforms Employee Recognition /Morale Memberships Publications Training /Travel Meeting Expense Prof. Certs Total Staff Support City Assistance 280 - 537100 Medical Services 280 - 537110 EMS Outsourcing 280 - 537800 Crime /Fire Prevention Total City Assistance 2016 -17 ACTUAL 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 4,099 4,500 4,500 4,500 22,113 20,000 25,000 25,000 2,843 4,000 3,500 3,500 7,632 9,000 8,000 8,500 11,800 13,000 13,000 13,000 3,200 4,500 4,000 4,500 833 - - - 2,333 3,000 2,500 3,000 59,625 60,000 70,000 65,000 114,478 118,000 130,500 127,000 10,515 12,500 11,000 12,500 566 2,000 1,000 1,000 7,473 8,000 8,000 8,000 13,408 15,000 15,000 15,000 18,960 21,120 20,000 20,000 2,560 8,000 5,000 8,000 5,530 5,000 3,500 5,600 2,520 3,420 3,500 3,600 61,532 75,040 67,000 73,700 16,458 25,000 25,000 25,000 3,787 8,000 8,000 8,000 22 250 200 250 - 1,000 1,000 1,000 26,730 30,000 30,000 38,000 2,789 3,000 3,000 3,500 3,072 3,500 3,500 3,500 52,858 70,750 70,700 79,250 4,694 9,000 9,000 9,000 515,761 548,867 548,867 548,867 6,567 11,000 11,000 11,000 527,022 568,867 568,867 568,867 236 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 203 - E M S - 2016 -17 ACTUAL 2017 -18 BUDGET 2017 -18 ESTIMATE 2018 -19 BUDGET Professional Services 4,000 4,000 - 280- 548600 Inter -Fund Charge - Admin 280 - 541200 Legal Services 1,131 10,000 3,000 10,000 280 - 541300 Other Consult/Prof Service 109,313 140,200 140,000 134,140 280 - 541400 Auditor /Accounting Srvc 4,000 3,000 3,000 3,000 280 - 541800 Credit Card Fees 11,823 15,000 15,000 15,000 Total Professional Services 126,267 168,200 161,000 162,140 280 - 548101 Transfer Out - General Fund - - - 4,000 280 - 548106 Transfer Out - Special Events 2,494 4,000 4,000 - 280- 548600 Inter -Fund Charge - Admin 150,087 170,087 170,087 175,587 280 - 548610 Inter -Fund Charge - Fleet 142,902 130,000 130,000 134,492 280 - 548700 Bad Debt Expense 2,101,264 2,352,740 2,300,000 2,380,550 280 - 548800 Depreciation Expense 339,171 - - - Total Fund Charges 2,735,918 2,656,827 2,604,087 2,694,629 Maintenance Services 280 - 551800 Other Maintenance Agreement 10,850 - - - 280- 551810 Maintenance Agr. Radios 9,760 12,000 12,000 12,000 Total Maintenance Services 20,610 12,000 12,000 12,000 Other Costs 280 - 554100 Deployment Reimb. STRAC 1,130 - - - Total Other Costs 1,130 - - - Debt Service 280 - 555639 Tax Notes SR2015 - Principal - 155,000 155,000 165,000 280 - 555639.1 Tax Notes SR2015 - Interest 10,870 15,000 15,000 5,775 280 - 555900 Debt Service - 118,120 118,120 118,120 Total Debt Service 10,870 288,120 288,120 288,895 Rental -ROW 280 - 561200 Lease /Purchase Payments 70,120 141,000 141,000 141,000 Total Rental -ROW 70,120 141,000 141,000 141,000 237 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 203 - E M S ACTUAL BUDGET ESTIMATE BUDGET Operating E 280 - 571000 280 - 571200 280 - 571300 280 - 571400 280 - 571800 Total Oper wipment Furniture & Fixtures Vehicle & Accessories < $5,000 Computer & Peripherals Communications Equipment Operating Equipment ating Equipment Capitalized Equipment 280 - 581200 Vehicles Total Capitalized Equipment W] Ll 1011 Ll WIIJ I*]►Ti1 1*44AT/=II c3xr ll�l�Il�Lrl�11�1�1= [t�l/l�'1 1,961 5,000 5,000 5,000 8,365 5,000 5,000 5,000 14,073 28,600 20,000 28,500 1,455 24,800 15,000 20,050 12,965 55,700 20,000 31,000 38,819 119,100 65,000 89,550 34,510 30,000 30,000 - 34,510 30,000 30,000 - 1,073,935 13,540 146,434 109,679 2,456,334 3,530,269 3,530,269 3,676,703 ENDING FUND EQUITY 3,530,269 3,543,809 3,676,703 3,786,382 238 of 332 Economic Development - Revenue 4B Sales Tax $ 4,242,580 Fund Transfers $ 1,249,164 Miscellaneous Income 258,000 TOTAL $ 5,749,744 239 of 332 Economic Development - Expenditures Supplies 750 Professional & City Services 59140,200 Utility & Maintenance Services 41720 Operation Support & Services 601,374 Capital Expense 29700 Debt Service - , . .�, 240 of 332 FUND: 620 CITY OF SCHERTZ ECONOMIC DEVELOPMENT MISSION STATEMENT The mission of the City of Schertz Economic Development Corporation (SEDC) is to grow the Schertz economy through Projects. Specifically, we pursue Projects that focus on the creation /retention of Primary Jobs and infrastructure improvements. ORGANIZATIONAL CHART 241 of 332 ECONOMIC DEVELOPMENT ECONOMIC DEVELOPMENT 2016 -17 2017 -18 2018 -19 Executive Director 1 1 1 Business Retention Manager 0 1 1 Economic Development Analyst 1 1 1 Economic Development Specialist 1 0 0 Executive Assistant 1 1 1 TOTAL POSITIONS 1 41 41 4 W4 N T, F_1 Z, [d:a1 Z 17[OLIN ti] j 2016 -17 2017 -18 2018 -19 Workload /Output Actual Estimate Budget Number of inquiries Number of Schertz BRE visits Number of recruitment events Number of new prospects Number of active performance agreements 107 115 125 42 40 48 15 15 15 38 50 55 7 13 13 Revenue Taxes $3,620,930 $4,010,000 $4,242,580 Fund Transfers 0 0 1,249,164 Miscellaneous 125,682 219,697 258,000 Total $3,746,612 $4,229,697 $5,749,744 Expenses Supplies 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenue Taxes $3,620,930 $4,010,000 $4,242,580 Fund Transfers 0 0 1,249,164 Miscellaneous 125,682 219,697 258,000 Total $3,746,612 $4,229,697 $5,749,744 Expenses Supplies 415 759 750 Human Services 390 0 0 City Support Services 5,654 7,700 21,300 Utility Services 2,387 3,870 3,720 Operations Support 63,855 117,500 122,500 Staff Support 14,846 19,400 21,400 City Assistance 1,051 1,042,500 252,500 Professional Services 20,354 81,300 66,300 242 of 332 ECONOMIC DEVELOPMENT Fund Charges /Transfers Maintenance Services Operating Equipment Total Economic Development Annual and Infrastructure Grants Total Schertz Economic Development 792,078 0 3,341 $904,371 0 $904,371 PROGRAM JUSTIFICATION AND ANALYSIS Revenues 1,067,945 1,000 4,200 $2,346,174 0 $2,346,174 457,574 1,000 2,700 $949,744 4,800,000 $5,749,744 The SEDC receives one -half of one percent of all sales and use tax generated within the City of Schertz. The revenue for FY 2018 -19 is projected to increase by 35.9% from the FY 2017 -18 year -end estimate. The increase reflects a 5.8% increase in sales tax revenue, $258,000 in investment income, and transfer from reserves of $1,249,164 for Performance Agreements. Expenses The SEDC funds are restricted to those expenses that are authorized in the Texas Local Government Code sections 501 and 505. The SEDC expenses for FY 2018- 19 are projected to increase by 145.1 % or $3,403,570 from the FY 2017 -18 year- end estimate. The Projects fund includes $4,800,000 that will be used to pay for Annual and Infrastructure Grants that are associated with four SEDC Performance Agreements. The City Support Services fund increased by $3,600 to reflect additions to our Business Retention and Expansion program. The money will be used to add new job fairs and industry roundtables. The Operations Support fund increased by $5,000. The new money will be used to pay for real estate tracking software, printing and binding, and promotional material that will be used to promote the City of Schertz. The Staff Support fund increased by $2,000. The new money will be used to pay for staff training and certifications. The City Assistance fund has primarily been used to pay for grants associated with SEDC performance agreement. These funds, with the exception of the Small Business Grant fund, have been moved to the Projects fund and will be added to the budget as new performance agreement are authorized. For the FY 2018 -19 243 of 332 ECONOMIC DEVELOPMENT budget, $250,000 has been allocated to the Small Business Grant which are awarded on a case-by-case basis to qualifying Schertz small businesses. The prospect services fund has decreased by $2,500 to reflect average annual expenditures. The Professional Services fund decreased by $15,000. The decrease is a result of a one-time expenditure for a manufacturing impact study that occurred during the FY 2017-18. The Fund Charges/Transfer fund decreased by $610,534. The decrease is a result of a one-time expenditure for development software that occurred during the FY 2017-18 and the elimination of debt payments for previous SEDC Projects. $456,630 has been allocated for the Professional Services Agreement where the SEDC pays the City of Schertz for administrative and support services. The other funds had minimal or no changes. 244 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 620 -SED CORPORATION ACTUAL BUDGET ESTIMATE BUDGET SUMMARY RECAP Revenue Summary Taxes 3,620,930 3,962,572 4,010,000 4,242,580 Miscellaneous 125,682 120,301 219,697 258,000 Expenditure Summary General Government Projects - - - 4,800,000 Economic Development 904,372 2,434,365 2,346,174 949,744 OVER /UNDER 2,842,240 1,873,508 1,883,523 - FUNDING FROM RESERVES - (225,000) - (1,249,164) BEGINNING FUND BALANCE 12,227,180 15,069,420 15,069,420 16,952,943 ENDING FUND BALANCE 15,069,420 16,717,928 16,952,943 15,703,779 245 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 620 -SED CORPORATION ACTUAL BUDGET ESTIMATE BUDGET Taxes 000 - 411500 Sales Tax Revenues (413) Total Taxes Fund Transfers 000 - 486010 Transfer In - Reserves Total Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Earnings 000 - 497000 Misc Income Total Miscellaneous 3,620,930 3,962,572 4,010,000 4,242,580 3,620,930 3,962,572 4,010,000 4,242,580 225,000 - 1,249,164 225,000 - 1,249,164 960 300 5,000 8,000 124,722 120,000 215,000 250,000 - 1 (303) - 125,682 120,301 219,697 258,000 246 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 Citv Support Services 966- 532500 Eco Dev - Insurance 2016 -17 2017 -18 2017 -18 2018 -19 620 -SED CORPORATION ACTUAL BUDGET ESTIMATE BUDGET 5,654 37,700 7,700 21,300 966- 533410 Water Utility Services 124 GENERAL GOVERNMENT - - 966- 533500 Vehicle Fuel EXPENDITURES 1,000 1,000 1,000 966- 533550 Supplies 148 650 650 500 966- 521100 Office Supplies 415 750 750 750 966- 521300 Motor Vehicle Supplies - - 9 - Total Supplies 415 750 759 750 Human Services 966- 531100 Pre - employment Check 390 - - - 966- 531150 Interview Expenses - 500 - - Total Human Services 390 - - - Citv Support Services 966- 532500 Eco Dev - Insurance 1,653 1,700 1,700 1,700 966- 532800 Promotional Events 4,001 26,000 6,000 9,600 966- 532900 Contingencies - 10,000 - 10,000 Total City Support Services 5,654 37,700 7,700 21,300 Utilitv Services 966- 533300 Telephone /Land Lines 425 720 720 720 966- 533310 Telephone /Cell Phones 1,237 1,500 1,500 1,500 966- 533410 Water Utility Services 124 - - - 966- 533500 Vehicle Fuel 453 1,000 1,000 1,000 966- 533550 Vehicle Maintenance 148 650 650 500 Total Utility Services 2,387 3,870 3,870 3,720 247 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 620 -SED CORPORATION ACTUAL BUDGET ESTIMATE BUDGET 966- 534000 Postage 43 500 500 500 966- 534100 Advertising 18,411 62,000 52,000 50,000 966- 534105 Goodwill 690 1,500 1,500 1,500 966- 534190 Trade Shows 27,977 35,000 35,000 35,000 966- 534200 Printing & Binding 72 500 500 1,500 966- 534300 Copy Services 5,202 5,000 5,000 5,000 966- 534400 Computer Software 4,576 10,000 15,000 21,000 966- 534500 Memberships- Organizations 6,885 8,250 8,000 8,000 966- 534510 Memberships- Commuter Rail - 49,500 - - Total Operations Support 63,856 172,250 117,500 122,500 Staff SuDDort 966- 535100 Uniforms 576 800 800 800 966- 535210 Employee Recognition - Morale 99 300 300 300 966- 535300 Memberships 650 1,750 2,000 1,500 966- 535400 Publications 547 800 800 800 966- 535500 Training /Travel 10,779 15,000 12,500 15,000 966- 535510 Meeting Expense 2,195 3,000 3,000 3,000 Total Staff Support 14,846 21,650 19,400 21,400 Citv Assistance 966- 537600 Development Incentive Program - 537,500 537,500 - 966- 537615 Small Business Grant Fund - 500,000 500,000 250,000 966- 537650 Prospect Services 1,051 5,000 5,000 2,500 Total City Assistance 1,051 1,042,500 1,042,500 252,500 Professional Services 966- 541200 Legal Services 6,642 25,000 25,000 25,000 966- 541300 Professional Services 10,712 - - - 966- 541400 Auditor /Acct. Services 3,000 7,500 6,300 6,300 966- 541450 Consulting Services - 50,000 50,000 35,000 Total Professional Services 20,354 82,500 81,300 66,300 248 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 620 -SED CORPORATION ACTUAL BUDGET ESTIMATE BUDGET Fund Charges /Transfers 966- 548101 Contributions to General Fund 966- 548505 Contribution to I &S 966- 548600 Interfund Charges -Admin 966- 548610 Interfund Charges -Fleet Total Charges /Transfers Maintenance Services 966- 551700 Grounds Maintenance Total Maintenance Services Operating Equipment 966- 571100 Furniture and Fixtures 966- 571300 Computer & Peripherals Total Operating Equipment M.'xIAII now.. aIIIII 361,019 360,769 360,769 ,t,30,445 441,395 441,395 • • 614 781 781 •.. 792,078 1,067,945 1,067,945 457,51 1,000 1,000 1,000 1,000 1,000 1,000 391 1,200 1,200 1,200 2,950 3,000 3,000 1,500 3,341 4,200 4,200 2,700 249 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 250 of 332 2016 -17 2017 -18 2017 -18 2018 -19 620 -SED CORPORATION ACTUAL BUDGET ESTIMATE BUDGET GENERAL GOVERNMENT PROJECTS City Assistance 101 - 537600 Development Incentive Fund - - - 4,800,000 Total City Assistance - - - 4,800,000 TD'iAL PRC3JEC1`S 4,8r390t1 TOTAL EXPENDITURES 904,372 2,434,365 2,346,174 5,749,744 OVER /UNDER 2,842,240 1,873,508 1,883,523 - FUNDING FROM RESERVES - (225,000) - (1,249,164) BEGINNING FUND BALANCE 12,227,180 15,069,420 15,069,420 16,952,943 ENDING FUND BALANCE 15,069,420 16,717,928 16,952,943 15,703,779 250 of 332 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 $88,045 $83,000 $195,000 Expenses Projects 27,129 0 195,000 Total $27,129 $0 $195,000 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenues for FY 2018 -19 are expected to increase 134.9% from the FY 2017 -18 year end estimates with a $116,009 transfer from reserves to continue the communication master plan. Expenses: The PEG Fund FY 2018 -19 Budget increased $195,000 from the FY 2017 -18 year end estimates with the continued implementation of the communication master plan. 251 of 332 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Bud et Revenues $88,045 $83,000 $195,000 Expenses Projects 27,129 0 195,000 Total $27,129 $0 $195,000 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenues for FY 2018 -19 are expected to increase 134.9% from the FY 2017 -18 year end estimates with a $116,009 transfer from reserves to continue the communication master plan. Expenses: The PEG Fund FY 2018 -19 Budget increased $195,000 from the FY 2017 -18 year end estimates with the continued implementation of the communication master plan. 251 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018-19 2016-17 2017-18 2017-18 2018-19 11 O-PEG FUND ACTUAL BUDGET ESTIMATE BUDGET SUMMARY RECAP Revenue Summary Franchises Fund Transfers ?,8,045 93,300 106,700 83,000 78,991 - 116,009 Expenditure Summary General Government - 200,000 - Projects 27,129 - 195,000 TOTAL EXPENDITURES 27,1219- 200,00,01, 195,00 1, 01, OVER/UNDER 60,916 83,000 - FUNDING FROM RESERVES - (106,700) - (116,009) BEGINNING FUND BALANCE 577,590 638,506 638,506 721,506 ENDING FUND BALANCE 638,506 531,806 721,506 605,497 252 of 332 110 -PEG FUND 17AT14,11[11 *9 Franchises 000 - 421350 Time Warner 000 - 421465 AT &T Total Franchises Fund Transfers 000 - 481000 Transfer In -Reserves Total Fund Transfers CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016-17 1 i 1 • ACTUAL BUDGET ESTIMATE BUDGET 54,612 55,000 33,433 38,300 88,045 93,300 253 of 332 106,700 106,700 56,000 60,168 27,000 83,000 78,991 116,009 116,009 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 110 -PEG FUND Capital Outlay 101 - 581400 Communication Equipment Total Capital Outlay 2016 -17 2017 -18 2017 -18 ACTUAL BUDGET ESTIMATE 254 of 332 200,000 200,000 on= CITY OFSCHERTZ OPERATING BUDGET 2018 -19 110 -PEG FUND PROJECTS Professional Services 900-541110 Communication Plan Total Professional Services Operating Equipment 101 - 571400 Communication Equipment Total Rental /Leasing Capital Outlay 101 - 581400 Communication Equipment Total Capital Outlay OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 195,000 - - - 195,000 8,529 - - - 8,529 - - - 18,600 - - - 18,600 - - - 60,916 - 83,000 - - (106,700) - (116,009) 577,590 638,506 638,506 721,506 638,506 531,806 721,506 605,497 255 of 332 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. 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenue Taxes $499,466 $470,000 $500,000 Miscellaneous 12,295 22,800 28,000 Total $511,761 $492,800 $528,000 Expenses City Support Services $84,605 $110,000 $110,650 Operations Support 36,428 40,700 65,500 Professional Services 3,000 3,000 3,000 Fund Charges /Transfers 66,405 67,605 67,582 Building Maintenance 3,512 10,000 10,000 Capital Outlay 0 63,806 0 Total $193,950 $295,111 $256,732 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenue for FY 2018 -19 is expected to increase 7.1% from the FY 2017 -18 year end estimates with the addition of a new hotel in the city. Expenses: The Hotel Motel Tax Fund FY 2018 -19 Budget decreased 13.0% from FY 2017 -18 year end estimates. FY 2017 -18 included some improvements to the Civic Center which increased the budget higher than it is normally. FY 2018 -19 will decrease back to normal operating amounts. 256 of 332 CITY 0FSCHERTZ OPERATING BUDGET 314-HOTEL TAX 2010-17 ACTUAL 2017-18 BUDGET 2017-18 ESTIMATE 2018-19 BUDGET SUMMARY RECAP - 1,503,873 - 1,701,562 1,503,873 Revenue Summa 1701562 1,972,830 Taxes 499,486 550,000 470'000 500.000 yWi8C8U8neOU8 12,295 13,650 22,800 28000 Expenditure Summa City Support Services 84.805 110.000 110.000 110.850 Operations Support 36.428 88.425 40.700 05,500 Professional Services 3.000 3.000 3.000 3.000 Fund Charges 88'405 87'605 87'805 87'582 Maintenance Services 3.512 10.000 10.000 10.000 Operating Equipment - - - - Capital Outlay - 63,806 63,806 - OVER/UNDER FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE 317'811 240,814 197,689 271.268 - 1,186,062 - 1,503,873 - 1,503,873 - 1,701,562 1,503,873 1,744,687 1701562 1,972,830 257 of 332 314 -HOTEL TAX General Government REVENUES Taxes 000 - 411800 Hotel Occupancy Tax Total Taxes Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Income Total Miscellaneous CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 499,466 550,000 470,000 500,000 499,466 550,000 470,000 500,000 547 150 2,800 3,000 11,748 13,500 20,000 25,000 12,295 13,650 22,800 28,000 258 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 314 -HOTEL TAX General Government EXPENDITURES City Support Services 101- 532800 Special Events 101 - 532820 Community Programs Total City Support Services Operations Support 101- 534100 Advertising 101 - 534120 Advertising - Billboards Total Operations Support Professional Services 101 - 541400 Auditor /Accounting Services Total Professional Services Fund Charges/Transfers 101- 548000 Transfer Out Total Fund Charges /Transfers Maintenance Services 101 - 551100 Building Maintenance Total Maintenance Services 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 54,505 60,000 60,000 60,650 30,100 50,000 50,000 50,000 84,605 110,000 110,000 110,650 21,726 50,425 25,000 49,500 14,702 18,000 15,700 16,000 36,428 68,425 40,700 65,500 3,000 3,000 3,000 3,000 3,000 3,000 3,000 3,000 66,405 67,605 67,605 67,582 66,405 67,605 67,605 67,582 3,512 10,000 10,000 10,000 3,512 10,000 10,000 10,000 259 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 314 -HOTEL TAX ACTUAL BUDGET ESTIMATE BUDGET Capital Outlay 101 - 581750 Civic Center Improvements - 63,806 63,806 - Total Capital Outlay - 63,806 63,806 - OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE 317,811 240,814 197,689 271,268 1,186,062 1,503,873 1,503,873 1,701,562 1,503,873 1,744,687 1,701,562 1,972,830 260 of 332 FUND: 317 PARK FUND Is] .• • . The Park 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 Miscellaneous Total Expenses Professional Services Operating Equipment Capital Outlay Total PROGRAM JUSTIFICATION AND ANALYSIS 2016 -17 2017 -18 2018 -19 Actual Estimate Budaet $98,000 $150,000 $70,000 3,716 5,700 30,000 $101,716 $155,700 $100,000 0 15,000 10,000 19,487 10,000 5,000 59,139 1 • 1 85,000 $78,626 $227,930 ; 11 111 Revenue: The revenue for FY 2018 -19 is expected to decrease 53.3% from 2017- 18 year end estimates with an expected reduction in new development to historic averages. As a project based fund, revenues are built up and collected in reserves then spent once they have reached a level to fund new projects. Expenses: The FY 2018 -19 Budget decreases 56.1 % from FY 2017 -18 year end estimates with the completion of the public restrooms at the library playscape. 261 of 332 317 -PARK General Government SUMMARY RECAP Revenue Summary Fees Miscellaneous Expenditure Summary Public Environment Parkland Dedication Total Expenditures OVER /UNDER CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 9:111 70,000 150,000 70,000 169,830 /1 30,000 78,626 239,830 227,930 100,000 78,626 239,830 227,930 100,000 1.1 (72,230) FUNDING FROM RESERVES - (166,730) - (22,250) BEGINNING FUND BALANCE 344,721 367,811 367,811 295,581 ENDING FUND BALANCE 367,811 201,081 295,581 273,331 262 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 317 -PARK ACTUAL General Government REVENUES Fees 000 - 458800 Parkland Dedication 98,000 Total Fees 98,000 Miscellaneous 000 - 491000 Interest Earned 323 000 - 491200 Investment Interest 3,393 000 - 497000 Misc Income - 000- 499100 Transfer from Reserves - Total Miscellaneous 3,716 263 of 332 2017 -18 2017 -18 2018 -19 BUDGET ESTIMATE BUDGET 70,000 150,000 70,000 70,000 150,000 70,000 100 700 750 3,000 5,000 7,000 166,730 - 22,250 169,830 5,700 30,000 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 317 -PARK ACTUAL BUDGET ESTIMATE BUDGET General Government EXPENDITURES PARKLAND DEDICATION Professional Services 301 - 541300 Other Consl /Prof Services - 26,900 15,000 10,000 Total Professional Services - 26,900 15,000 10,000 Operating Equipment 301 - 571000 Signs /Fixtures 19,487 10,000 10,000 5,000 Total Operating Equipment 19,487 10,000 10,000 5,000 Capital Outlay 301 - 581700 Improvements Over $5,000 59,139 202,930 202,930 85,000 Total Capital Outlay 59,139 202,930 202,930 85,000 OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE 23,090 - (72,230) - - (166,730) - (22,250) 344,721 367,811 367,811 295,581 367,811 201,081 295,581 273,331 264 of 332 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. 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenue Fees Miscellaneous Total Expenses Maintenance Services Total PROGRAM JUSTIFICATION AND ANALYSIS $74,116 $110,000 3,311 5,600 $77,427 $115,600 $85,901 $75,000 $85,901 $75,000 $72,500 7,750 $80,250 $75,000 $75,000 Revenue: The revenue for FY 2018 -19 is expected to decrease 30.6% from 2017- 18 year end estimate with an expected reduction in new development to historic averages. As a project based fund, revenues are built up and collected in reserves then spent once they have reached a level to fund new projects. Expenses: The FY 2018 -19 Budget will not change from the FY 2017 -18 year end estimate. The FY 2018 -19 Budget includes shade parks throughout the city. 265 of 332 CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 319 -TREE MITIGATION ACTUAL BUDGET ESTIMATE BUDGET General Government SUMMARY RECAP Revenue Summary Fees Fund Transfers Miscellaneous Expenditure Summary Public Environment Maintenance Services Total Public Environment OVER /UNDER 74,116 72,500 110,000 72,500 - 81,400 - - 3,311 3,100 5,600 7,750 85,902 157,000 75,000 75,000 85,902 157,000 75,000 75,000 (8,475) 40,600 5,250 FUNDING FROM RESERVES - (81,400) - - BEGINNING FUND BALANCE 340,387 331,912 331,912 372,512 ENDING FUND BALANCE 331,912 250,512 372,512 377,762 266 of 332 319 -TREE MITIGATION General Government REVENUES Fees 000 - 458900 Tree Mitigation Total Fees Fund Transfers 000 - 481000 Transfer In - Reserves Total Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Interest Total Miscellaneous CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 74,116 72,500 110,000 72,500 74,116 72,500 110,000 72,500 - 81,400 - - 81,400 - - 58 100 850 750 3,253 3,000 4,750 7,000 3,311 3,100 5,600 7,750 TOTAL REVENUES 77,427 157,000 115,600 80,25,0 267 of 332 319 -TREE MITIGATION General Government EXPENDITURES TREE MITIGATION Maintenance Services 302 - 551110 Trees 302 - 551710 Landscaping Total Maintenance Services OVER /UNDER CITY OF SCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 ACTUAL BUDGET ESTIMATE BUDGET 51,843 ` 111' 34,059 30,00# 85,902 157,00f 75,000 75,000 75,000 75,000 (8,475) - 40,600 5,250 FUNDING FROM RESERVES - (81,400) - - BEGINNING FUND BALANCE 340,387 331,912 331,912 372,512 ENDING FUND BALANCE 331,912 250,512 372,512 377,762 268 of 332 a • • i � 1 W Is] •• • • 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 and book consignment sales with all proceeds providing supplementary funding for library materials, programs, projects and building enhancements. j 2016 -17 2017 -18 2018 -19 Budget Actual Estimate Budget Revenue Fees Fund Transfers Miscellaneous Total Expenses Supplies City Support Services Operating Equipment Total PROGRAM JUSTIFICATION AND ANALYSIS $23,381 $21,000 $22,000 0 0 9,500 624 1,000 900 $24,005 $22,000 $32,400 157 500 400 8,728 10,400 12,000 10,994 10,000 20,000 $19,878 $20,900 $32,400 Revenues: Revenue for FY 2018 -19 is expected to increase 47.3% from the FY 2017 -18 year end estimate with a transfer from reserves. Expenses: The Library Fund's FY 2018 -19 Budget increased 55.0% from the FY 2017 -18 year end estimates to purchase an additional $10,000 in library materials. 269 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018-19 2016-17 2017-18 2017-18 2018-19 609-LIBRARY BOARD ACTUAL BUDGET ESTIMATE BUDGET SUMMARY RECAP Revenue Summary Fees 23,381 22,000 21,000 22,000 Fund Transfers - - - 9,500 Miscellaneous 624 700 1,000 900 "TOTAIL R1EVtNIUES . ........................................................................... 22,7001 32,4QQ, Expenditure Summary Library Board F471 4 -:4 " 111 -11 FUNDING FROM RESERVES BEGINNING FUND BALANCE 19,879 22,500 20,900 32,400 4,126 200 1,100 - - - (9,500) 63,742 67,868 67,868 68,968 67,868 68,068 68,968 59,468 270 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 609 - LIBRARY BOARD ACTUAL BUDGET ESTIMATE BUDGET REVENUES Fees 000 - 458100 Sale of Merchandise Total Fees Fund Transfers 000 - 481000 Transfer From Reserves Total Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Income 000 - 493000 Donations 000 - 497000 Misc Income Total Miscellaneous 23,381 22,000 21,000 22,000 23,381 22,000 21,000 22,000 271 of 332 9,500 9,500 48 - 300 100 468 200 700 300 100 500 - 500 8 - - - 624 700 1,000 900 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 609- LIBRARY BOARD ACTUAL BUDGET ESTIMATE BUDGET 111 3:7_\;x'/ 07_10Ir, Supplies 101- 521000 Operating Supplies Total Supplies City Support Services 101- 532800 Special Events Total City Support Services Fund Charges /Transfers 101- 548101 Transfer Out -General Fund Total Fund Charges /Transfers Operating Equipment 101- 571000 Furniture & Fixtures 101- 571400 Library Materials 101 - 571500 Improvements Under $5,000 Total Operating Equipment OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE 157 500 500 400 8,728 10,400 10,400 12,000 8,728 10,400 10,400 12,000 - 1,600 - - 1,600 - - 8,594 10,000 10,000 20,000 2,400 - - - 10,994 10,000 10,000 20,000 4,126 200 1,100 - - - - (9,500) 63,742 67,868 67,868 68,968 67,868 68,068 68,968 59,468 272 of 332 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. 01 :412 ffou This function 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. j 2016 -17 2017 -18 2018 -19 Budget ; Actual Estimate Budget Revenue Fees $499 $450 $1,000 Fund Transfers 2,909 5,000 10,750 Total $3,408 $5,450 $11,750 Expenses Supplies 771 704 1,500 Operations Support 0 0 500 Staff Support 140 0 5,150 Professional Services 1,500 1,650 1,600 Operating Equipment 498 2,646 3,000 Total $2,909 $5,000 $11,750 PROGRAM JUSTIFICATION AND ANALYSIS Revenues: Revenue for FY 2017 -18 will remain at the same funding allocation as FY 2017 -18. Expenses: The Historical Committee's FY 2018 -19 Budget will remain the as the FY 2017 -18 Budget. 273 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 615 - HISTORICAL COMMITTEE ACTUAL BUDGET ESTIMATE BUDGET Expenditure Summary Historical Committee OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE •1• i q1to 11 1 I off gi 11,679 12,178 12,178 12,628 12,178 12,178 12,628 12,628 274 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 615 - HISTORICAL COMMITTEE ACTUAL BUDGET ESTIMATE BUDGET REVENUES Fees 000 - 458100 Sale of Merchandise 499 1,000 450 1,000 Total Fees 499 1,000 450 1,000 Fund Transfers 000 - 486101 Transfer In -General Fund - - 5,000 10,750 000 - 486106 Transfer In - Special Events 2,909 10,750 - - Total Fund Transfers 2,909 10,750 5,000 10,750 275 of 332 CITY OFSCHERTZ OPERATING BUDGET 2018 -19 2016 -17 2017 -18 2017 -18 2018 -19 615- HISTORICAL COMMITTEE ACTUAL BUDGET ESTIMATE BUDGET :1Mt01:1197_[E0161►7iI&I III 1k 1 =12 Supplies 609 - 521000 Operating Supplies Total Supplies Operations Support 609 - 534200 Printing and Binding Total Operations Support Staff Support 609 - 535200 Awards 609 - 535300 Memberships 609 - 535500 Travel /Training Total Staff Support Professional Services 609 - 541300 Other Professional Services Total Professional Services Operating Equipment 609 - 571810 Event Banners Total Operating Equipment OVER /UNDER FUNDING FROM RESERVES BEGINNING FUND BALANCE ENDING FUND BALANCE 771 1,500 704 1,500 771 1,500 704 1,500 500 - 500 500 - 500 140 1,000 - 150 - 4,000 140 5,150 - 1,000 - 150 - 4,000 - 5,150 1,500 1,600 1,650 1,600 1,500 1,600 1,650 1,600 J•: 3,000 2,646 3,000 M 3,000 2,646 3,000 499 - 450 - 11,679 12,178 12,178 12,628 12,178 12,178 12,628 12,628 276 of 332 FY 2018 -2019 POSITION AUTHORIZATION CITY MANAGER 151); SERVICE POSITION TITLE GRADE I FY2016 -17 FY2017 -18 FY2018 -19 CITY MANAGER 151); Senior Planner City Manager Council Discretion 1 1 1 Executive Director 52 2 2 2 Assistant to the City Manager 42 1 1 1 Executive Assistant 28 1 1 1 Total 1 1 5 5 5 CUSTOMER RELATIONS 31)(153 Senior Planner Customer Relationsl311 Representative 17 2 2 2 Customer Relations/31 I Representative (20 Hours) 17 1 1 1 Customer Relations1311 Representative (Unfunded) 17 2 2 2 Total 4 5 5 5 PLANNING AND ZONING (154) Senior Planner 32 1 1 1 Planner I 27 2 2 2 Planning Tcchnician (UNFUNDED) 22 1 1 1 Total 21 4 4 4 CITY SECRETARY (164) Director City Secretary 40 1 1 1 Deputy City Secretary 28 1 1 1 Total 1 2 2 2 PUBLIC AFFAIRS (170) Director 40 1 1 1 Civic Center Manager 30 1 1 1 Events Manager (moved to Parks) 31 1 1 0 Events Specialist (moved to Parks) 21 1 1 0 Administrative Assistant 20 1 1 1 Communications Manager 31 1 1 1 Marketing & Communication Specialist 26 1 1 1 Total 7 7 5 ENGINEERING (173) City Engineer 44 1 1 1 Engineer 40 1 1 1 Graduate Engineer 32 1 1 1 Project Manager 30 1 1 1 Senior Graduate Engineer 34 1 1 1 1 1 1 PW Inspector 26 2 2 2 Total 7 7 7 277 of 332 FY 2018 -2019 POSITION AUTHORIZATION POSITION TITLE SERVICE GRADE FY2016 -17 FY2017 -18 FY2018 -19 GIS (174) Utility Billing Manager 32 1 1 1 GIS Coordinator 33 1 1 1 GIS Specialist 29 1 1 1 Total 17 2 2 2 UTILITY BILLING (176) Utility Billing Manager 32 1 1 1 Utility Billing Assistant Manager 25 1 1 1 Utility Billing Clerk 11 19 2 2 2 Utility Billing Clerk 17 2 2 2 Utility Billing Clerk (UNFUNDED) 17 1 1 1 Meter Tech II 20 1 1 1 Meter Tech I 18 2 2 2 Total 20 10 10 10 POLICE (256) Police Chief 49 1 1 1 Assistant Police Chief 45 1 1 1 Lieutenant 41 3 4 4 Sergeant 37 7 7 1 7 Corporal 34 12 14 14 Officer 30 31 34 35 Senior Administrative Assistant 24 1 1 1 Administrative Assistant 20 0 1 1 Public Safety Systems Administrator 29 1 1 1 Office Manager 28 1 1 1 Records Clerk 14 2 2 2 Civilian Evidence Technician 24 1 1 1 Crime Victim Liaison 30 1 1 1 Sanitarian 28 1 1 1 Environmental Law Enforcement Officer 30 1 1 1 Code Enforcement Officer 22 1 2 2 Communications Manager 33 1 1 1 Communications Shift Supervisor 27 4 4 4 Communications Officer 22 12 12 12 Crossing Guards Seasonal (P /T) (267 hours Annual) N/A 16 16 16 Total 98 106 107 FIRE RESCUE (257) Fire Chief 49 1 1 1 Assistant Chief 45 1 1 1 Battalion Chief 40 3 3 3 Fire Marshal 40 1 1 1 Training /Safety Officer 40 1 1 1 1 Lieutenant 37 6 9 9 Fire Inspector 33 1 1 1 Fire Apparatus Operator 33 6 9 9 Firefighter 28 18 18 18 Senior Administrative Assistant 24 1 1 1 Total 39 45 45 278 of 332 FY 2018 -2019 POSITION AUTHORIZATION POSITION TITLE SERVICE GRADE FY2016 -17 FY2017 -18 FY2018 -19 INSPECTIONS (258) Director of Parks, Recreation & Community Services Public Works Manager 39 1 EMS Director Director of Planning & Community Development 46 1 1 1 Chief Building Official 33 1 1 1 Executive Assistant 28 1 1 1 Building Inspector 25 2 3 5 Plans Examiner 30 0 1 1 Permit Technician 17 2 2 2 Floating Clerk TBD 0 0 1 Total 1 7 9 12 EMS (280) (Please see the note at the end of the Pay Tables) Director of Parks, Recreation & Community Services Public Works Manager 39 1 EMS Director 49 1 1 1 Operations Manager 42 1 1 1 Clinical Manager 42 1 1 1 Community Health Manager 42 1 1 1 Training Coordinator 36 1 1 1 Senior Administrative Assistant 24 1 1 1 Office Manager 38 1 1 1 Billing Specialist 23 1 2 2 Billing Clerk 14 2 1 1 MIH Paramedic 30 1 1 1 EMS Supervisor 40 3 3 3 Field Training Officer 36 3 3 3 Paramedic 28 24 24 25 P/T Paramedics 28 15 15 15 EMT 20 0 3 3 P/T EMT 20 5 5 5 Total 61 64 65 STREETS (359) Director of Parks, Recreation & Community Services Public Works Manager 39 1 1 1 Street Supervisor 31 1 1 1 Foreman 25 1 1 1 Street Worker II 18 3 5 5 Street Worker I 1 15 6 1 6 6 Total 1 12 1 14 14 PARKS, RECREA'T'ION, & COMMUNITY SERVICES (460) Director of Parks, Recreation & Community Services 43 1 1 1 Senior Administrative Assistant 24 1 1 1 Assistant Director of Parks, Recreation & Community Services 34 1 1 1 Parks Maintenance Crew Leader 25 1 1 1 Park Worker 1 14 4 4 4 P/T Park Worker I 14 1 1 1 Seasonal Park Workers (980 hours Annual, 40 hours per week) 14 1 1 1 Events Manager 31 0 0 1 Events Specialist 21 0 0 1 Total 10 10 12 EVENT FACILITIES (464) Civic & Community Centers Coordinator 27 1 1 1 Event Attendant 15 3 3 3 P/T Event Attendant (28 Hours) 15 1 1 1 Total 5 5 5 279 of 332 FY 2018 -2019 POSITION AUTHORIZATION POSITION TITLE SERVICE GRADE I FY2016 -17 FY2017 -18 FY2018 -19 PUBLIC WORDS (575) Drainage Foreman Schertz Seguin Local Government Corp Gen Mgr 46 1 1 Public Works Director 46 1 1 1 Water /Wastewater Manager 41 1 1 1 Senior Administrative Assistant 24 1 1 1 PW Receptionist/Dispatcher 17 1 1 1 Total Serviceman I 4 4 4 WATER. & SEWER (575) Drainage Foreman Schertz Seguin Local Government Corp Gen Mgr 46 1 1 1 Water /Wasterwater Superintendent 33 1 1 1 Water & Sewer Foreman 27 1 1 1 Serviceman III 24 1 1 1 Serviceman II 20 1 4 1 5 1 5 Serviceman I 17 8 10 10 Total 13 16 19 19 DRAINAGE (579) Drainage Foreman 25 1 1 1 Drainage Worker II 18 2 2 2 Drainage Worker I 15 3 5 5 Total Virtual Services Librarian 6 8 8 LIBRARY (665 Animal Services Manager Library Director 41 1 1 1 Adult Services Librarian 29 1 1 1 Youth Services Librarian 29 1 1 1 Virtual Services Librarian 29 1 1 1 Library Clerk 11 17 3 1 3 3 Library Assistant 18 2 2 2 P/T Circulation Clerk (20 hrs) 13 6 6 6 P/T Circulation Clerk (10 hrs) 13 2 2 2 PIT Processing Clerk (20 hrs) 13 1 1 1 P/T Children's Programming Clerk (20 hrs) 13 1 1 1 Part Time Library Page (10 hours) 6 2 2 2 P/T Shelving Clerk 20 hrs 13 0 0 0 Tem p P/T Library Clerk (UNFUNDED) 13 1 1 1 Total 22 22 22 ANIMAL SERVICES 762) Animal Services Manager 32 1 1 1 Animal Services Officer 18 4 4 4 Animal Shelter Technician 13 1 1 1 P/T Animal Kennel Technician 8 2 2 2 Total 1 1 8 1 8 1 8 INFORMATION TECHNOLOGY (853) IT Director 45 1 1 1 Senior Systems Administrator 31 1 1 1 Senior Computer Support Systems Engineer 31 1 1 1 Administrative Assistant/Help Desk Coordinator 20 1 1 1 Client Services Technician II 27 1 1 1 1 1 Help Desk Technician 27 1 1 1 Client Services Technician I 21 1 1 1 Total 7 7 7 280 of 332 FY 2018 -2019 POSITION AUTHORIZATION POSITION TITLE SERVICE GRADE I FY2016 -17 FY2017 -18 FY2018 -19 HUMAN RESOURCES (866) 1 1 Purchasing & Asset Manager Finance Director 45 1 1 Human Resources Director 46 1 1 1 HR Manager 35 1 1 1 Senior HR Generalist 30 1 1 1 HR Generalist 25 1 1 1 Administrative Assistant 20 1 1 1 Total Senior Payroll Specialist 5 5 5 FINANCE (868) Facilities Manager 35 1 1 1 Purchasing & Asset Manager Finance Director 45 1 1 1 Assistant Director of Finance 40 1 1 1 Senior Accountant 30 1 1 1 Financial Analyst 28 1 1 1 Accountant I 25 1 1 1 1 Accounts Payable Coordinator 24 1 1 1 Senior Payroll Specialist 24 1 1 1 Administrative Assistant 20 1 1 1 Total 8 8 8 PURCHASING 872) Facilities Manager 35 1 1 1 Purchasing & Asset Manager 36 1 1 1 Risk & Safety Specialist 25 1 1 1 Senior Purchasing Specialist 23 1 1 1 Total Total 3 3 3 FLEET SERVICES 877) Facilities Manager 35 1 1 1 Facilities Services Supervisor Director of Fleet & Facility Services 40 1 1 1 Fleet Foreman 29 1 1 1 Fleet Mechanic I 20 4 4 4 Total 1 1 6 6 6 FACILITY SERVICES (878) Facilities Manager 35 1 1 1 Facilities Services Supervisor 31 1 1 1 Administrative Assistant 20 1 1 1 Facilities Services Technician 15 6 6 6 Facilities Maint Foreman 25 1 1 1 1 1 1 Facilities Maint Technician 17 2 2 2 HVAC Technician TBD 0 0 1 Total 12 12 13 ECONOMIC DEVELOPMENT (966) Executive Director of Economic Development 50 1 1 1 Business Retention Manager 34 1 1 1 Economic Development Analyst 31 1 1 1 Executive Assistant 1 28 1 1 1 Total 4 4 4 Total Approved Positions 1 381 1 407 1 412 281 of 332 Step 1 SG 5 Hour $ 8.47 Biweekly 677.60 Month 1,468.13 Annual 17,617.60 SG 6 Hour $ 8.81 Biweekly 704.80 Month 1,527.07 Annual 18,324.80 SG 7 Hour $ 9.17 Biweekly 733.60 Month 1,589.47 Annual 19,073.60 SG 8 Hour $ 9.54 Biweekly 763.20 Month 1,653.60 Annual 19,843.20 SG 9 Hour $ 9.92 Biweekly 793.60 Month 1,719.47 Annual 20,633.60 SG 10 Hour $ 10.32 Biweekly 825.60 Month 1,788.80 Annual 21,465.60 SG 11 Hour $ 10.74 Biweekly 859.20 Month 1,861.60 Annual 22,339.20 SG 12 Hour $ 11.18 Biweekly 894.40 Month 1,937.87 Annual 23,254.40 SG 13 Hour $ 11.63 Biweekly 930.40 Month 2,015.87 Annual 24,190.40 SG 14 Hour $ 12.10 Biweekly 968.00 Month 2,097.33 Annual 25,168.00 SG 15 Hour $ 12.59 Biweekly 1,007.20 Month 2,182.27 Annual 26,187.20 Step 2 $ 8.64 691.20 1,497.60 17,971.20 $ 8.99 719.20 1,558.27 18,699.20 $ 9.35 748.00 1,620.67 19,448.00 $ 9.73 778.40 1,686.53 20,238.40 $ 10.12 809.60 1,754.13 21,049.60 $ 10.53 842.40 1,825.20 21,902.40 $ 10.96 876.80 1,899.73 22,796.80 $ 11.40 912.00 1,976.00 23,712.00 $ 11.86 948.80 2,055.73 24,668.80 $ 12.34 987.20 2,138.93 25,667.20 $ 12.84 1,027.20 2,225.60 26,707.20 Step 3 $ 8.81 704.80 1,527.07 18,324.80 $ 9.17 733.60 1,589.47 19,073.60 $ 9.54 763.20 1,653.60 19,843.20 $ 9.92 793.60 1,719.47 20,633.60 $ 10.32 825.60 1,788.80 21,465.60 $ 10.74 859.20 1,861.60 22,339.20 $ 11.18 894.40 1,937.87 23,254.40 $ 11.63 930.40 2,015.87 24,190.40 $ 12.10 968.00 2,097.33 25,168.00 $ 12.59 1,007.20 2,182.27 26,187.20 $ 13.09 1,047.20 2,268.93 27,227.20 Step 4 Step 5 $ 8.99 $ 9.17 719.20 733.6C 1,558.27 1,589.47 18,699.20 19,073.6C $ 9.35 $ 9.54 748.00 763.2C 1,620.67 1,653.6C 19,448.00 19,843.2C $ 9.73 $ 9.92 778.40 793.6C 1,686.53 1,719.47 20,238.40 20,633.6C $ 10.12 $ 10.32 809.60 825.6C 1,754.13 1,788.8C 21,049.60 21,465.6C $ 10.53 $ 10.74 842.40 859.2C 1,825.20 1,861.6C 21,902.40 22,339.2C $ 10.96 $ 11.18 876.80 894.4C 1,899.73 1,937.87 22,796.80 23,254.4C $ 11.40 $ 11.63 912.00 930AC 1,976.00 2,015.87 23,712.00 24,190.4C $ 11.86 $ 12.1C 948.80 968.00 2,055.73 2,097.33 24,668.80 25,168.0( $ 12.34 $ 12.59 987.20 1,007.2( 2,138.93 2,182.27 25,667.20 26,187.2C $ 12.84 $ 13.09 1,027.20 1,047.2C 2,225.60 2,268.93 26,707.20 27,227.2( $ 13.35 $ 13.62 1,068.00 1,089.6C 2,314.00 2,360.8C 27,768.00 28,329.6C Step 6 $ 9.35 748.00 1,620.67 19,448.00 $ 9.73 778.40 1,686.53 20,238.40 $ 10.12 809.60 1,754.13 21,049.60 $ 10.53 842.40 1,825.20 21,902.40 $ 10.96 876.80 1,899.73 22,796.80 $ 11.40 912.00 1,976.00 23,712.00 $ 11.86 948.80 2,055.73 24,668.80 $ 12.34 987.20 2,138.93 25,667.20 $ 12.84 1,027.20 2,225.60 26,707.20 $ 13.35 1,068.00 2,314.00 27,768.00 $ 13.90 1,112.00 2,409.33 28,912.00 Step 7 $ 9.54 763.20 1,653.60 19,843.20 $ 9.92 793.60 1,719.47 20,633.60 $ 10.32 825.60 1,788.80 21,465.60 $ 10.74 859.20 1,861.60 22,339.20 $ 11.18 894.40 1,937.87 23,254.40 $ 11.63 930.40 2,015.87 24,190.40 $ 12.10 968.00 2,097.33 25,168.00 $ 12.59 1,007.20 2,182.27 26,187.20 $ 13.09 1,047.20 2,268.93 27,227.20 $ 13.62 1,089.60 2,360.80 28,329.60 $ 14.17 1,133.60 2,456.13 29,473.60 FY 2018 -19 Pay Tables Effective 1 October 2018 Step 8 Step 9 Step 10 Step 11 $ 9.73 $ 9.92 $ 10.12 $ 10.32 778.40 793.60 809.60 825.60 1,686.53 1,719.47 1,754.13 1,788.80 20,238.40 20,633.60 21,049.60 21,465.60 $ 10.12 $ 10.32 $ 10.53 $ 10.74 809.60 825.60 842.40 859.20 1,754,13 1,788,80 1,825.20 1,861.60 21,049.60 21,465.60 21,902.40 22,339.20 $ 10.53 $ 10.74 $ 10.96 $ 11.18 842.40 859.20 876.80 894.40 1,825.20 1,861.60 1,899.73 1,937.87 21,902.40 22,339.20 22,796.80 23,254.40 $ 10.96 $ 11.18 $ 11.40 $ 11.63 876.80 894.40 912.00 930.40 1,899.73 1,937.87 1,976.00 2,015.87 22,796.80 23,254.40 23,712.00 24,190.40 $ 11.40 $ 11.63 $ 11.86 $ 12.10 912.00 930.40 948.80 968.00 1,976.00 2,015.87 2,055.73 2,097.33 23,712.00 24,190.40 24,668.80 25,168.00 $ 11.86 $ 12.10 $ 12.34 $ 12.59 948.80 968.00 987.20 1,007.20 2,055.73 2,097.33 2,138.93 2,182.27 24,668.80 25,168.00 25,667.20 26,187.20 $ 12.34 $ 12.59 $ 12.84 $ 13.09 987.20 1,007.20 1,027.20 1,047.20 2,138.93 2,182.27 2,225.60 2,268.93 25,667.20 26,187.20 26,707.20 27,227.20 $ 12.84 $ 13.09 $ 13.35 $ 13.62 1,027.20 1,047.20 1,068.00 1,089.60 2,225.60 2,268.93 2,314.00 2,360.80 26,707.20 27,227.20 27,768.00 28,329.60 $ 13.35 $ 13.62 $ 13.90 $ 14.17 1,068.00 1,089.60 1,112.00 1,133.60 2,314.00 2,360.80 2,409.33 2,456.13 27,768.00 28,329.60 28,912.00 29,473.60 $ 13.90 $ 14.17 $ 14.46 $ 14.75 1,112.00 1,133.60 1,156.80 1,180.00 2,409.33 2,456.13 2,506.40 2,556.67 28,912.00 29,473.60 30,076.80 30,680.00 $ 14.46 $ 14.75 $ 15.04 $ 15.34 1,156.80 1,180.00 1,203.20 1,227.20 2,506.40 2,556.67 2,606.93 2,658.93 30,076.80 30,680.00 31,283.20 31,907.20 282 of 332 Step 12 $ 10.53 842.40 1,825.20 21,902.40 $ 10.96 876.80 1,899.73 22,796.80 $ 11.40 912.00 1,976.00 23,712.00 $ 11.86 948.80 2,055.73 24,668.80 $ 12.34 987.20 2,138.93 25,667.20 $ 12.84 1,027.20 2,225.60 26,707.20 $ 13.35 1,068.00 2,314.00 27,768.00 $ 13.90 1,112.00 2,409.33 28,912.00 $ 14.46 1,156.80 2,506.40 30,076.80 $ 15.04 1,203.20 2,606.93 31,283.20 $ 15.65 1,252.00 2,712.67 32,552.00 Step 13 $ 10.74 859.20 1,861.60 22,339.20 $ 11.18 894.40 1,937.87 23,254.40 $ 11.63 930.40 2,015.87 24,190.40 $ 12.10 968.00 2,097.33 25,168.00 $ 12.59 1,007.20 2,182.27 26,187.20 $ 13.09 1,047.20 2,268.93 27,227.20 $ 13.62 1,089.60 2,360.80 28,329.60 $ 14.17 1,133.60 2,456.13 29,473.60 $ 14.75 1,180.00 2,556.67 30,680.00 $ 15.34 1,227.20 2,658.93 31,907.20 $ 15.96 1,276.80 2,766.40 33,196.80 Step 14 Step 15 $ 10.96 $ 11.18 876.80 894.40 1,899.73 1,937.87 22,796.80 23,254.40 $ 11.40 $ 11.63 912.00 930.40 1,976.00 2,015.87 23,712.00 24,190.40 $ 11.86 $ 12.10 948.80 968.00 2,055.73 2,097.33 24,668.80 25,168.00 $ 12.34 $ 12.59 987.20 1,007.20 2,138.93 2,182.27 25,667.20 26,187.20 $ 12.84 $ 13.09 1,027.20 1,047.20 2,225.60 2,268.93 26,707.20 27,227.20 $ 13.35 $ 13.62 1,068.00 1,089.60 2,314.00 2,360.80 27,768.00 28,329.60 $ 13.90 $ 14.17 1,112.00 1,133.60 2,409.33 2,456.13 28,912.00 29,473.60 $ 14.46 $ 14.75 1,156.80 1,180.00 2,506.40 2,556.67 30,076.80 30,680.00 $ 15.04 $ 15.34 1,203.20 1,227.20 2,606.93 2,658.93 31,283.20 31,907.20 $ 15.65 $ 15.96 1,252.00 1,276.80 2,712.67 2,766.40 32,552.00 33,196.80 $ 16.28 $ 16.60 1,302.40 1,328.00 2,821.87 2,877.33 33,862.40 34,528.00 Step 16 $ 11.40 912.00 1,976.00 23,712.00 $ 11.86 948.80 2,055.73 24,668.80 $ 12.34 987.20 2,138.93 25,667.20 $ 12.84 1,027.20 2,225.60 26,707.20 $ 13.35 1,068.00 2,314.00 27,768.00 $ 13.90 1,112.00 2,409.33 28,912.00 $ 14.46 1,156.80 2,506.40 30,076.80 $ 15.04 1,203.20 2,606.93 31,283.20 $ 15.65 1,252.00 2,712.67 32,552.00 $ 16.28 1,302.40 2,821.87 33,862.40 $ 16.94 1,355.20 2,936.27 35,235.20 Step 17 $ 11.63 930.40 2,015.87 24,190.40 $ 12.10 968.00 2,097.33 25,168.00 $ 12.59 1,007.20 2,182.27 26,187.20 $ 13.09 1,047.20 2,268.93 27,227.20 $ 13.62 1,089.60 2,360.80 28,329.60 $ 14.17 1,133.60 2,456.13 29,473.60 $ 14.75 1,180.00 2,556.67 30,680.00 $ 15.34 1,227.20 2,658.93 31,907.20 $ 15.96 1,276.80 2,766.40 33,196.80 $ 16.60 1,328.00 2,877.33 34,528.00 $ 17.28 1,382.40 2,995.20 35,942.40 Step 18 Step 19 Step 20 $ 11.86 $ 12.10 $ 12.34 948.80 968.00 987.2( 2,055.73 2,097.33 2,138.9: 24,668.80 25,168.00 25,667.2( $ 12.34 $ 12.59 $ 12.84 987.20 1,007.20 1,027.2( 2,138.93 2,182.27 2,225.6( 25,667.20 26,187.20 26,707.2( $ 12.84 $ 13.09 $ 13.3E 1,027.20 1,047.20 1,068.0( 2,225.60 2,268.93 2,314.0( 26,707.20 27,227.20 27,768.0( $ 13.35 $ 13.62 $ 13.9( 1,068.00 1,089.60 1,112.0( 2,314.00 2,360.80 2,409.3E 27,768.00 28,329.60 28,912.0( $ 13.90 $ 14.17 $ 14.4E 1,112.00 1,133.60 1,156.8( 2,409.33 2,456.13 2,506.4( 28,912.00 29,473.60 30,076.8( $ 14.46 $ 14.75 $ 15.04 1,156.80 1,180.00 1,203.2( 2,506.40 2,556.67 2,606.9E 30,076.80 30,680.00 31,283.2( $ 15.04 $ 15.34 $ 15.6E 1,203.20 1,227.20 1,252.0( 2,606.93 2,658.93 2,712.61 31,283.20 31,907.20 32,552.0( $ 15.65 $ 15.96 $ 16.2E 1,252.00 1,276.80 1,302.4( 2,712.67 2,766.40 2,821.81 32,552.00 33,196.80 33,862.4( $ 16.28 $ 16.60 $ 16.94 1,302.40 1,328.00 1,355.2( 2,821.87 2,877.33 2,936.21 33,862.40 34,528.00 35,235.2( $ 16.94 $ 17.28 $ 17.62 1,355.20 1,382.40 1,409.6( 2,936.27 2,995.20 3,054.1: 35,235.20 35,942.40 36,649.6( $ 17.62 $ 17.97 $ 18.3: 1,409.60 1,437.60 1,466.4( 3,054.13 3,114.80 3,177.2( 36,649.60 37,377.60 38,126.4( FY 2018 -19 Pay Tables Effective 1 October 2018 Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8 Step 9 Step 10 Step 11 Step 12 Step 13 Step 14 Step 15 Step 16 Step 17 Step 18 Step 19 Step 20 SG 16 Hour $ 13.09 $ 13.35 $ 13.62 $ 13.90 $ 14.17 Biweekly 1,047.20 1,068.00 1,089.60 1,112.00 1,133.60 Month 2,268.93 2,314.00 2,360.80 2,409.33 2,456.13 Annual 27,227.20 27,768.00 28,329.60 28,912.00 29,473.60 SG 17 Hour $ 13.62 $ 13.90 $ 14.17 $ 14.46 $ 14.75 Biweekly 1,089.60 1,112.00 1,133.60 1,156.80 1,180.00 Month 2,360.80 2,409.33 2,456.13 2,506.40 2,556.67 Annual 28,329.60 28,912.00 29,473.60 30,076.80 30,680.00 SG 18 Hour $ 14.17 $ 14.46 $ 14.75 $ 15.04 $ 15.34 Biweekly 1,133.60 1,156.80 1,180.00 1,203.20 1,227.20 Month 2,456.13 2,506.40 2,556.67 2,606.93 2,658.93 Annual 29,473.60 30,076.80 30,680.00 31,283.20 31,907.20 SG 19 Hour $ 14.75 $ 15.04 $ 15.34 $ 15.65 $ 15.96 Biweekly 1,180.00 1,203.20 1,227.20 1,252.00 1,276.80 Month 2,556.67 2,606.93 2,658.93 2,712.67 2,766.40 Annual 30,680.00 31,283.20 31,907.20 32,552.00 33,196.80 SG 20 Hour $ 15.34 $ 15.65 $ 15.96 $ 16.28 $ 16.60 Short Week' 12.78 13.04 13.30 13.57 13.83 Long Week` 8.52 8.69 8.87 9.04 9.22 Biweekly 1,227.20 1,252.00 1,276.80 1,302.40 1,328.00 Month 2,658.93 2,712.67 2,766.40 2,821.87 2,877.33 Annual 31,907.20 32,552.00 33,196.80 33,862.40 34,528.00 SG 21 Hour $ 15.96 $ 16.28 $ 16.60 $ 16.94 $ 17.28 Biweekly 1,276.80 1,302.40 1,328.00 1,355.20 1,382.40 Month 2,766.40 2,821.87 2,877.33 2,936.27 2,995.20 Annual 33,196.80 33,862.40 34,528.00 35,235.20 35,942.40 SG 22 Hour $ 16.60 $ 16.94 $ 17.28 $ 17.62 $ 17.97 Biweekly 1,328.00 1,355.20 1,382.40 1,409.60 1,437.60 Month 2,877.33 2,936.27 2,995.20 3,054.13 3,114.80 Annual 34,528.00 35,235.20 35,942.40 36,649.60 37,377.60 SG 23 Hour $ 17.28 $ 17.62 $ 17.97 $ 18.33 $ 18.70 Biweekly 1,382.40 1,409.60 1,437.60 1,466.40 1,496.00 Month 2,995.20 3,054.13 3,114.80 3,177.20 3,241.33 Annual 35,942.40 36,649.60 37,377.60 38,126.40 38,896.00 SG 24 Hour $ 17.97 $ 18.33 $ 18.70 $ 19.07 $ 19.46 Biweekly 1,437.60 1,466.40 1,496.00 1,525.60 1,556.80 Month 3,114.80 3,177.20 3,241.33 3,305.47 3,373.07 Annual 37,377.60 38,126.40 38,896.00 39,665.60 40,476.80 SG 25 Hour $ 18.70 $ 19.07 $ 19.46 $ 19.84 $ 20.24 Biweekly 1,496.00 1,525.60 1,556.80 1,587.20 1,619.20 Month 3,241.33 3,305.47 3,373.07 3,438.93 3,508.27 Annual 38,896.00 39,665.60 40,476.80 41,267.20 42,099.20 $ 14.46 1,156.80 2,506.40 30,076.80 $ 15.04 1,203.20 2,606.93 31,283.20 $ 15.65 1,252.00 2,712.67 32,552.00 $ 16.28 1,302.40 2,821.87 33,862.40 $ 16.94 14.12 9.41 1,355.20 2,936.27 35,235.20 $ 17.62 1,409.60 3,054.13 36,649.60 $ 18.33 1,466.40 3,177.20 38,126.40 $ 19.07 1,525.60 3,305.47 39,665.60 $ 19.84 1,587.20 3,438.93 41,267.20 $ 20.65 1,652.00 3,579.33 42,952.00 $ 14.75 1,180.00 2,556.67 30,680.00 $ 15.34 1,227.20 2,658.93 31,907.20 $ 15.96 1,276.80 2,766.40 33,196.80 $ 16.60 1,328.00 2,877.33 34,528.00 $ 17.28 14.40 9.60 1,382.40 2,995.20 35,942.40 $ 17.97 1,437.60 3,114.80 37,377.60 $ 18.70 1,496.00 3,241.33 38,896.00 $ 19.46 1,556.80 3,373.07 40,476.80 $ 20.24 1,619.20 3,508.27 42,099.20 $ 21.06 1,684.80 3,650.40 43,804.80 $ 15.04 $ 15.34 $ 15.65 $ 15.96 1,203.20 1,227.20 1,252.00 1,276.80 2,606.93 2,658.93 2,712.67 2,766.40 31,283.20 31,907.20 32,552.00 33,196.80 $ 15.65 $ 15.96 $ 16.28 $ 16.60 1,252,00 1,276,80 1,302.40 1,328,00 2,712.67 2,766.40 2,821.87 2,877.33 32,552.00 33,196.80 33,862.40 34,528.00 $ 16.28 $ 16.60 $ 16.94 $ 17.28 1,302.40 1,328.00 1,355.20 1,382.40 2,821.87 2,877.33 2,936.27 2,995.20 33,862.40 34,528.00 35,235.20 35,942.40 $ 16.94 $ 17.28 $ 17.62 $ 17.97 1,355.20 1,382.40 1,409.60 1,437,60 2,936.27 2,995.20 3,054.13 3,114.80 35,235.20 35,942.40 36,649.60 37,377.60 $ 17.62 $ 17.97 $ 18.33 $ 18.70 14.68 14.98 15.28 15.58 9.79 9.98 10.18 10.39 1,409.60 1,437.60 1,466.40 1,496.00 3,054.13 3,114.80 3,177.20 3,241.33 36,649.60 37,377.60 38,126.40 38,896.00 $ 18.33 $ 18.70 $ 19.07 $ 19.46 1,466.40 1,496.00 1,525.60 1,556.80 3,177.20 3,241.33 3,305.47 3,373.07 38,126.40 38,896.00 39,665.60 40,476.80 $ 19.07 $ 19.46 $ 19.84 $ 20.24 1,525.60 1,556,80 1,587,20 1,619,20 3,305.47 3,373.07 3,438.93 3,508.27 39,665.60 40,476.80 41,267.20 42,099.20 $ 19.84 $ 20.24 $ 20.65 $ 21.06 1,587.20 1,619.20 1,652.00 1,684.80 3,438.93 3,508.27 3,579.33 3,650.40 41,267.20 42,099.20 42,952.00 43,804.80 $ 20.65 $ 21.06 $ 21.48 $ 21.91 1,652,00 1,684,80 1,718,40 1,752,80 3,579.33 3,650.40 3,723.20 3,797.73 42,952.00 43,804.80 44,678.40 45,572.80 $ 21.48 $ 21.91 $ 22.35 $ 22.80 1,718.40 1,752.80 1,788.00 1,824.00 3,723.20 3,797.73 3,874.00 3,952.00 44,678.40 45,572.80 46,488.00 47,424.00 283 of 332 $ 16.28 1,302.40 2,821.87 33,862.40 $ 16.94 1,355.20 2,936.27 35,235.20 $ 17.62 1,409.60 3,054.13 36,649.60 $ 18.33 1,466.40 3,177.20 38,126.40 $ 19.07 15.89 10.59 1,525.60 3,305.47 39,665.60 $ 19.84 1,587.20 3,438.93 41,267.20 $ 20.65 1,652.00 3,579.33 42,952.00 $ 21.48 1,718.40 3,723.20 44,678.40 $ 22.35 1,788.00 3,874.00 46,488.00 $ 23.25 1,860.00 4,030.00 48,360.00 $ 16.60 1,328.00 2,877.33 34,528.00 $ 17.28 1,382.40 2,995.20 35,942.40 $ 17.97 1,437.60 3,114.80 37,377.60 $ 18.70 1,496.00 3,241.33 38,896.00 $ 19.46 16.22 10.81 1,556.80 3,373.07 40,476.80 $ 20.24 1,619.20 3,508.27 42,099.20 $ 21.06 1,684.80 3,650.40 43,804.80 $ 21.91 1,752.80 3,797.73 45,572.80 $ 22.80 1,824.00 3,952.00 47,424.00 $ 23.72 1,897.60 4,111.47 49,337.60 $ 16.94 $ 17.28 1,355.20 1,382.40 2,936.27 2,995.20 35,235.20 35,942.40 $ 17.62 $ 17.97 1,409.60 1,437.60 3,054.13 3,114.80 36,649.60 37,377.60 $ 18.33 $ 18.70 1,466.40 1,496.00 3,177.20 3,241.33 38,126.40 38,896.00 $ 19.07 $ 19.46 1,525.60 1,556.80 3,305.47 3,373.07 39,665.60 40,476.80 $ 19.84 $ 20.24 16.53 16.87 11.02 11.24 1,587.20 1,619.20 3,438.93 3,508.27 41,267.20 42,099.20 $ 20.65 $ 21.06 1,652.00 1,684.80 3,579.33 3,650.40 42,952.00 43,804.80 $ 21.48 $ 21.91 1,718.40 1,752.80 3,723.20 3,797.73 44,678.40 45,572.80 $ 22.35 $ 22.80 1,788.00 1,824.00 3,874.00 3,952.00 46,488.00 47,424.00 $ 23.25 $ 23.72 1,860.00 1,897.60 4,030.00 4,111.47 48,360.00 49,337.60 $ 24.19 $ 24.67 1,935.20 1,973.60 4,192.93 4,276.13 50,315.20 51,313.60 $ 17.62 1,409.60 3,054.13 36,649.60 $ 18.33 1,466.40 3,177.20 38,126.40 $ 19.07 1,525.60 3,305.47 39,665.60 $ 19.84 1,587.20 3,438.93 41,267.20 $ 20.65 17.21 11.47 1,652.00 3,579.33 42,952.00 $ 21.48 1,718.40 3,723.20 44,678.40 $ 22.35 1,788.00 3,874.00 46,488.00 $ 23.25 1,860.00 4,030.00 48,360.00 $ 24.19 1,935.20 4,192.93 50,315.20 $ 25.17 2,013.60 4,362.80 52,353.60 $ 17.97 1,437.60 3,114.80 37,377.60 $ 18.70 1,496.00 3,241.33 38,896.00 $ 19.46 1,556.80 3,373.07 40,476.80 $ 20.24 1,619.20 3,508.27 42,099.20 $ 21.06 17.55 11.70 1,684.80 3,650.40 43,804.80 $ 21.91 1,752.80 3,797.73 45,572.80 $ 22.80 1,824.00 3,952.00 47,424.00 $ 23.72 1,897.60 4,111.47 49,337.60 $ 24.67 1,973.60 4,276.13 51,313.60 $ 25.67 2,053.60 4,449.47 53,393.60 $ 18.33 $ 18.70 $ 19.07 1,466.40 1,496.00 1,525.6( 3,177.20 3,241.33 3,305.47 38,126.40 38,896.00 39,665.6( $ 19.07 $ 19.46 $ 19.84 1,525.60 1,556.80 1,587.2( 3,305.47 3,373.07 3,438.92 39,665.60 40,476.80 41,267.2( $ 19.84 $ 20.24 $ 20.6E 1,587.20 1,619.20 1,652.0( 3,438.93 3,508.27 3,579.3: 41,267.20 42,099.20 42,952.0( $ 20.65 $ 21.06 $ 21.4E 1,652.00 1,684,80 1,718,4( 3,579.33 3,650.40 3,723.2( 42,952.00 43,804.80 44,678.4( $ 21.48 $ 21.91 $ 22.3E 17.90 18.26 18.62 11.93 12.17 12.42 1,718,40 1,752,80 1,788,0( 3,723.20 3,797.73 3,874.0( 44,678.40 45,572.80 46,488.0( $ 22.35 $ 22.80 $ 23.2E 1,788.00 1,824.00 1,860.0( 3,874.00 3,952.00 4,030.0( 46,488.00 47,424.00 48,360.0( $ 23.25 $ 23.72 $ 24.1£ 1,860,00 1,897,60 1,935,2( 4,030.00 4,111.47 4,192.92 48,360.00 49,337.60 50,315.2( $ 24.19 $ 24.67 $ 25.17 1,935.20 1,973.60 2,013.6( 4,192.93 4,276.13 4,362.8( 50,315.20 51,313.60 52,353.6( $ 25.17 $ 25.67 $ 26.1 E 2,013.60 2,053.60 2,094.4( 4,362.80 4,449.47 4,537.87 52,353.60 53,393.60 54,454.4( $ 26.18 $ 26.71 $ 27.24 2,094.40 2,136.80 2,179.2( 4,537.87 4,629.73 4,721.6( 54,454.40 55,556.80 56,659.2( FY 2018 -19 Pay Tables Effective 1 October 2018 Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8 Step 9 Step 10 Step 11 Step 12 Step 13 Step 14 Step 15 Step 16 Step 17 Step 18 Step 19 Step 20 SG 26 Hour $ 19.46 $ 19.84 $ 20.24 $ 20.65 $ 21.06 Biweekly 1,556.80 1,587.20 1,619.20 1,652.00 1,684.80 Month 3,373.07 3,438.93 3,508.27 3,579.33 3,650.40 Annual 40,476.80 41,267.20 42,099.20 42,952.00 43,804.80 SG 27 Hour $ 20.24 $ 20.65 $ 21.06 $ 21.48 $ 21.91 Biweekly 1,619.20 1,652.00 1,684.80 1,718.40 1,752.80 Month 3,508.27 3,579.33 3,650.40 3,723.20 3,797.73 Annual 42,099.20 42,952.00 43,804.80 44,678.40 45,572.80 SG 28 Hour $ 21.06 $ 21.48 $ 21.91 $ 22.35 $ 22.80 Short Week' 17.55 17.90 18.26 18.63 19.00 Long Week` 11.70 11.93 12.17 12.42 12.67 Biweekly 1,684.80 1,718.40 1,752.80 1,788.00 1,824.00 Month 3,650.40 3,723.20 3,797.73 3,874.00 3,952.00 Annual 43,804.80 44,678.40 45,572.80 46,488.00 47,424.00 SG 29 Hour $ 21.91 $ 22.35 $ 22.80 $ 23.25 $ 23.72 Biweekly 1,752.80 1,788.00 1,824.00 1,860.00 1,897.60 Month 3,797.73 3,874.00 3,952.00 4,030.00 4,111.47 Annual 45,572.80 46,488.00 47,424.00 48,360.00 49,337.60 SG 30 Hour $ 22.80 $ 23.25 $ 23.72 $ 24.19 $ 24.67 Biweekly 1,824.00 1,860.00 1,897.60 1,935.20 1,973.60 Month 3,952.00 4,030.00 4,111.47 4,192.93 4,276.13 Annual 47,424.00 48,360.00 49,337.60 50,315.20 51,313.60 SG 31 Hour $ 23.72 $ 24.19 $ 24.67 $ 25.17 $ 25.67 Biweekly 1,897.60 1,935.20 1,973.60 2,013.60 2,053.60 Month 4,111.47 4,192.93 4,276.13 4,362.80 4,449.47 Annual 49,337.60 50,315.20 51,313.60 52,353.60 53,393.60 SG 32 Hour $ 24.67 $ 25.17 $ 25.67 $ 26.18 $ 26.71 Biweekly 1,973.60 2,013.60 2,053.60 2,094.40 2,136.80 Month 4,276.13 4,362.80 4,449.47 4,537.87 4,629.73 Annual 51,313.60 52,353.60 53,393.60 54,454.40 55,556.80 SG 33 Hour $ 25.67 $ 26.18 $ 26.71 $ 27.24 $ 27.79 Biweekly 2,053.60 2,094.40 2,136.80 2,179.20 2,223.20 Month 4,449.47 4,537.87 4,629.73 4,721.60 4,816.93 Annual 53,393.60 54,454.40 55,556.80 56,659.20 57,803.20 SG 34 Hour $ 26.71 $ 27.24 $ 27.79 $ 28.34 $ 28.91 Biweekly 2,136.80 2,179.20 2,223.20 2,267.20 2,312.80 Month 4,629.73 4,721.60 4,816.93 4,912.27 5,011.07 Annual 55,556.80 56,659.20 57,803.20 58,947.20 60,132.80 SG 35 Hour $ 27.79 $ 28.34 $ 28.91 $ 29.49 $ 30.08 Biweekly 2,223.20 2,267.20 2,312.80 2,359.20 2,406.40 Month 4,816.93 4,912.27 5,011.07 5,111.60 5,213.87 Annual 57,803.20 58,947.20 60,132.80 61,339.20 62,566.40 $ 21.48 1,718.40 3,723.20 44,678.40 $ 22.35 1,788.00 3,874.00 46,488.00 $ 23.25 19.38 12.92 1,860.00 4,030.00 48,360.00 $ 24.19 1,935.20 4,192.93 50,315.20 $ 25.17 2,013.60 4,362.80 52,353.60 $ 26.18 2,094.40 4,537.87 54,454.40 $ 27.24 2,179.20 4,721.60 56,659.20 $ 28.34 2,267.20 4,912.27 58,947.20 $ 29.49 2,359.20 5,111.60 61,339.20 $ 30.68 2,454.40 5,317.87 63,814.40 $ 21.91 1,752.80 3,797.73 45,572.80 $ 22.80 1,824.00 3,952.00 47,424.00 $ 23.72 19.77 13.18 1,897.60 4,111.47 49,337.60 $ 24.67 1,973.60 4,276.13 51,313.60 $ 25.67 2,053.60 4,449.47 53,393.60 $ 26.71 2,136.80 4,629.73 55,556.80 $ 27.79 2,223.20 4,816.93 57,803.20 $ 28.91 2,312.80 5,011.07 60,132.80 $ 30.08 2,406.40 5,213.87 62,566.40 $ 31.29 2,503.20 5,423.60 65,083.20 $ 22.35 $ 22.80 $ 23.25 $ 23.72 1,788.00 1,824.00 1,860.00 1,897.60 3,874.00 3,952.00 4,030.00 4,111.47 46,488.00 47,424.00 48,360.00 49,337.60 $ 23.25 $ 23.72 $ 24.19 $ 24.67 1,860,00 1,897,60 1,935,20 1,973,60 4,030.00 4,111.47 4,192.93 4,276.13 48,360.00 49,337.60 50,315.20 51,313.60 $ 24.19 $ 24.67 $ 25.17 $ 25.67 20.16 20.56 20.98 21.39 13.44 13.71 13.98 14.26 1,935.20 1,973.60 2,013.60 2,053.60 4,192.93 4,276.13 4,362.80 4,449.47 50,315.20 51,313.60 52,353.60 53,393.60 $ 25.17 $ 25.67 $ 26.18 $ 26.71 2,013.60 2,053.60 2,094.40 2,136.80 4,362.80 4,449.47 4,537.87 4,629.73 52,353.60 53,393.60 54,454.40 55,556.80 $ 26.18 $ 26.71 $ 27.24 $ 27.79 2,094.40 2,136.80 2,179.20 2,223.20 4,537.87 4,629.73 4,721.60 4,816.93 54,454.40 55,556.80 56,659.20 57,803.20 $ 27.24 $ 27.79 $ 28.34 $ 28.91 2,179.20 2,223.20 2,267.20 2,312.80 4,721.60 4,816.93 4,912.27 5,011.07 56,659.20 57,803.20 58,947.20 60,132.80 $ 28.34 $ 28.91 $ 29.49 $ 30.08 2,267.20 2,312.80 2,359.20 2,406.40 4,912.27 5,011.07 5,111.60 5,213.87 58,947.20 60,132.80 61,339.20 62,566.40 $ 29.49 $ 30.08 $ 30.68 $ 31.29 2,359.20 2,406.40 2,454.40 2,503.20 5,111.60 5,213.87 5,317.87 5,423.60 61,339.20 62,566.40 63,814.40 65,083.20 $ 30.68 $ 31.29 $ 31.92 $ 32.56 2,454.40 2,503.20 2,553.60 2,604.80 5,317.87 5,423.60 5,532.80 5,643.73 63,814.40 65,083.20 66,393.60 67,724.80 $ 31.92 $ 32.56 $ 33.21 $ 33.87 2,553.60 2,604.80 2,656.80 2,709.60 5,532.80 5,643.73 5,756.40 5,870.80 66,393.60 67,724.80 69,076.80 70,449.60 284 of 332 $ 24.19 1,935.20 4,192.93 50,315.20 $ 25.17 2,013.60 4,362.80 52,353.60 $ 26.18 21.82 14.54 2,094.40 4,537.87 54,454.40 $ 27.24 2,179.20 4,721.60 56,659.20 $ 28.34 2,267.20 4,912.27 58,947.20 $ 29.49 2,359.20 5,111.60 61,339.20 $ 30.68 2,454.40 5,317.87 63,814.40 $ 31.92 2,553.60 5,532.80 66,393.60 $ 33.21 2,656.80 5,756.40 69,076.80 $ 34.55 2,764.00 5,988.67 71,864.00 $ 24.67 1,973.60 4,276.13 51,313.60 $ 25.67 2,053.60 4,449.47 53,393.60 $ 26.71 22.26 14.84 2,136.80 4,629.73 55,556.80 $ 27.79 2,223.20 4,816.93 57,803.20 $ 28.91 2,312.80 5,011.07 60,132.80 $ 30.08 2,406.40 5,213.87 62,566.40 $ 31.29 2,503.20 5,423.60 65,083.20 $ 32.56 2,604.80 5,643.73 67,724.80 $ 33.87 2,709.60 5,870.80 70,449.60 $ 35.24 2,819.20 6,108.27 73,299.20 $ 25.17 $ 25.67 2,013.60 2,053.60 4,362.80 4,449.47 52,353.60 53,393.60 $ 26.18 $ 26.71 2,094.40 2,136.80 4,537.87 4,629.73 54,454.40 55,556.80 $ 27.24 $ 27.79 22.70 23.16 15.13 15.44 2,179.20 2,223.20 4,721.60 4,816.93 56,659.20 57,803.20 $ 28.34 $ 28.91 2,267.20 2,312.80 4,912.27 5,011.07 58,947.20 60,132.80 $ 29.49 $ 30.08 2,359.20 2,406.40 5,111.60 5,213.87 61,339.20 62,566.40 $ 30.68 $ 31.29 2,454.40 2,503.20 5,317.87 5,423.60 63,814.40 65,083.20 $ 31.92 $ 32.56 2,553.60 2,604.80 5,532.80 5,643.73 66,393.60 67,724.80 $ 33.21 $ 33.87 2,656.80 2,709.60 5,756.40 5,870.80 69,076.80 70,449.60 $ 34.55 $ 35.24 2,764.00 2,819.20 5,988.67 6,108.27 71,864.00 73,299.20 $ 35.95 $ 36.67 2,876.00 2,933.60 6,231.33 6,356.13 74,776.00 76,273.60 $ 26.18 2,094.40 4,537.87 54,454.40 $ 27.24 2,179.20 4,721.60 56,659.20 $ 28.34 23.62 15.74 2,267.20 4,912.27 58,947.20 $ 29.49 2,359.20 5,111.60 61,339.20 $ 30.68 2,454.40 5,317.87 63,814.40 $ 31.92 2,553.60 5,532.80 66,393.60 $ 33.21 2,656.80 5,756.40 69,076.80 $ 34.55 2,764.00 5,988.67 71,864.00 $ 35.95 2,876.00 6,231.33 74,776.00 $ 37.40 2,992.00 6,482.67 77,792.00 $ 26.71 2,136.80 4,629.73 55,556.80 $ 27.79 2,223.20 4,816.93 57,803.20 $ 28.91 24.09 16.06 2,312.80 5,011.07 60,132.80 $ 30.08 2,406.40 5,213.87 62,566.40 $ 31.29 2,503.20 5,423.60 65,083.20 $ 32.56 2,604.80 5,643.73 67,724.80 $ 33.87 2,709.60 5,870.80 70,449.60 $ 35.24 2,819.20 6,108.27 73,299.20 $ 36.67 2,933.60 6,356.13 76,273.60 $ 38.15 3,052.00 6,612.67 79,352.00 $ 27.24 $ 27.79 $ 28.34 2,179.20 2,223.20 2,267.2( 4,721.60 4,816.93 4,912.27 56,659.20 57,803.20 58,947.2( $ 28.34 $ 28.91 $ 29.4£ 2,267.20 2,312.80 2,359.2( 4,912.27 5,011.07 5,111.6( 58,947.20 60,132.80 61,339.2( $ 29.49 $ 30.08 $ 30.6E 24.58 25.07 25.51 16.38 16.71 17.04 2,359.20 2,406.40 2,454.4( 5,111.60 5,213.87 5,317.87 61,339.20 62,566.40 63,814.4( $ 30.68 $ 31.29 $ 31.9, 2,454.40 2,503.20 2,553.6( 5,317.87 5,423.60 5,532.8( 63,814.40 65,083.20 66,393.6( $ 31.92 $ 32.56 $ 33.21 2,553.60 2,604.80 2,656.8( 5,532.80 5,643.73 5,756.4( 66,393.60 67,724.80 69,076.8( $ 33.21 $ 33.87 $ 34.5E 2,656.80 2,709.60 2,764.0( 5,756.40 5,870.80 5,988.67 69,076.80 70,449.60 71,864.0( $ 34.55 $ 35.24 $ 35.9E 2,764.00 2,819.20 2,876.0( 5,988.67 6,108.27 6,231.32 71,864.00 73,299.20 74,776.0( $ 35.95 $ 36.67 $ 37.4( 2,876.00 2,933.60 2,992.0( 6,231.33 6,356.13 6,482.67 74,776.00 76,273.60 77,792.0( $ 37.40 $ 38.15 $ 38.91 2,992.00 3,052.00 3,112.8( 6,482.67 6,612.67 6,744.4( 77,792.00 79,352.00 80,932.8( $ 38.91 $ 39.69 $ 40.4E 3,112.80 3,175.20 3,238.4( 6,744.40 6,879.60 7,016.52 80,932.80 82,555.20 84,198.4( FY 2018 -19 Pay Tables Effective 1 October 2018 Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8 Step 9 Step 10 Step 11 Step 12 Step 13 Step 14 Step 15 Step 16 Step 17 Step 18 Step 19 Step 20 SG 36 Hour $ 28.91 $ 29.49 $ 30.08 $ 30.68 $ 31.29 Short Week* 24.09 24.58 25.07 25.57 26.08 Long Week* 16.06 16.38 16.71 17.04 17.38 Biweekly 2,312.80 2,359.20 2,406.40 2,454.40 2,503.20 Month 5,011.07 5,111.60 5,213.87 5,317.87 5,423.60 Annual 60,132.80 61,339.20 62,566.40 63,814.40 65,083.20 SG 37 Hour $ 30.08 $ 30.68 $ 31.29 $ 31.92 $ 32.56 Biweekly 2,406.40 2,454.40 2,503.20 2,553.60 2,604.80 Month 5,213.87 5,317.87 5,423.60 5,532.80 5,643.73 Annual 62,566.40 63,814.40 65,083.20 66,393.60 67,724.80 SG 38 Hour $ 31.29 $ 31.92 $ 32.56 $ 33.21 $ 33.87 Biweekly 2,503.20 2,553.60 2,604.80 2,656.80 2,709.60 Month 5,423.60 5,532.80 5,643.73 5,756.40 5,870.80 Annual 65,083.20 66,393.60 67,724.80 69,076.80 70,449.60 SG 39 Hour $ 32.56 $ 33.21 $ 33.87 $ 34.55 $ 35.24 Biweekly 2,604.80 2,656.80 2,709.60 2,764.00 2,819.20 Month 5,643.73 5,756.40 5,870.80 5,988.67 6,108.27 Annual 67,724.80 69,076.80 70,449.60 71,864.00 73,299.20 SG 40 Hour $ 33.87 $ 34.55 $ 35.24 $ 35.95 $ 36.67 Short Week* 28.23 28.79 29.37 29.96 30.56 Long Week* 18.82 19.19 19.58 19.97 20.37 Biweekly 2,709.60 2,764.00 2,819.20 2,876.00 2,933.60 Month 5,870.80 5,988.67 6,108.27 6,231.33 6,356.13 Annual 70,449.60 71,864.00 73,299.20 74,776.00 76,273.60 SG 41 Hour $ 35.24 $ 35.95 $ 36.67 $ 37.40 $ 38.15 Biweekly 2,819.20 2,876.00 2,933.60 2,992.00 3,052.00 Month 6,108.27 6,231.33 6,356.13 6,482.67 6,612.67 Annual 73,299.20 74,776.00 76,273.60 77,792.00 79,352.00 SG 42 Hour $ 36.67 $ 37.40 $ 38.15 $ 38.91 $ 39.69 Biweekly 2,933.60 2,992.00 3,052.00 3,112.80 3,175.20 Month 6,356.13 6,482.67 6,612.67 6,744.40 6,879.60 Annual 76,273.60 77,792.00 79,352.00 80,932.80 82,555.20 SG 43 Hour $ 38.15 $ 38.91 $ 39.69 $ 40.48 $ 41.29 Biweekly 3,052.00 3,112.80 3,175.20 3,238.40 3,303.20 Month 6,612.67 6,744.40 6,879.60 7,016.53 7,156.93 Annual 79,352.00 80,932.80 82,555.20 84,198.40 85,883.20 SG 44 Hour $ 39.69 $ 40.48 $ 41.29 $ 42.12 $ 42.96 Biweekly 3,175.20 3,238.40 3,303.20 3,369.60 3,436.80 Month 6,879.60 7,016.53 7,156.93 7,300.80 7,446.40 Annual 82,555.20 84,198.40 85,883.20 87,609.60 89,356.80 SG 45 Hour $ 41.29 $ 42.12 $ 42.96 $ 43.82 $ 44.70 Biweekly 3,303.20 3,369.60 3,436.80 3,505.60 3,576.00 Month 7,156.93 7,300.80 7,446.40 7,595.47 7,748.00 Annual 85,883.20 87,609.60 89,356.80 91,145.60 92,976.00 $ 31.92 26.60 17.73 2,553.60 5,532.80 66,393.60 $ 33.21 2,656.80 5,756.40 69,076.80 $ 34.55 2,764.00 5,988.67 71,864.00 $ 35.95 2,876.00 6,231.33 74,776.00 $ 37.40 31.17 20.78 2,992.00 6,482.67 77,792.00 $ 38.91 3,112.80 6,744.40 80,932.80 $ 40.48 3,238.40 7,016.53 84,198.40 $ 42.12 3,369.60 7,300.80 87,609.60 $ 43.82 3,505.60 7,595.47 91,145.60 $ 45.59 3,647.20 7,902.27 94,827.20 $ 32.56 27.13 18.09 2,604.80 5,643.73 67,724.80 $ 33.87 2,709.60 5,870.80 70,449.60 $ 35.24 2,819.20 6,108.27 73,299.20 $ 36.67 2,933.60 6,356.13 76,273.60 $ 38.15 31.79 21.19 3,052.00 6,612.67 79,352.00 $ 39.69 3,175.20 6,879.60 82,555.20 $ 41.29 3,303.20 7,156.93 85,883.20 $ 42.96 3,436.80 7,446.40 89,356.80 $ 44.70 3,576.00 7,748.00 92,976.00 $ 46.50 3,720.00 8,060.00 96,720.00 $ 33.21 $ 33.87 $ 34.55 $ 35.24 27.68 28.23 28.79 29.37 18.45 18.82 19.19 19.58 2,656.80 2,709.60 2,764.00 2,819.20 5,756.40 5,870.80 5,988.67 6,108.27 69,076.80 70,449.60 71,864.00 73,299.20 $ 34.55 $ 35.24 $ 35.95 $ 36.67 2,764.00 2,819.20 2,876.00 2,933.60 5,988.67 6,108.27 6,231.33 6,356.13 71,864.00 73,299.20 74,776.00 76,273.60 $ 35.95 $ 36.67 $ 37.40 $ 38.15 2,876.00 2,933.60 2,992.00 3,052.00 6,231.33 6,356.13 6,482.67 6,612.67 74,776.00 76,273.60 77,792.00 79,352.00 $ 37.40 $ 38.15 $ 38.91 $ 39.69 2,992.00 3,052.00 3,112.80 3,175.20 6,482.67 6,612.67 6,744.40 6,879.60 77,792.00 79,352.00 80,932.80 82,555.20 $ 38.91 $ 39.69 $ 40.48 $ 41.29 32.43 33.08 33.73 34.41 21.62 22.05 22.49 22.94 3,112.80 3,175.20 3,238.40 3,303.20 6,744.40 6,879.60 7,016.53 7,156.93 80,932.80 82,555.20 84,198.40 85,883.20 $ 40.48 $ 41.29 $ 42.12 $ 42.96 3,238.40 3,303.20 3,369.60 3,436.80 7,016.53 7,156.93 7,300.80 7,446.40 84,198.40 85,883.20 87,609.60 89,356.80 $ 42.12 $ 42.96 $ 43.82 $ 44.70 3,369.60 3,436.80 3,505.60 3,576.00 7,300.80 7,446.40 7,595.47 7,748.00 87,609.60 89,356.80 91,145.60 92,976.00 $ 43.82 $ 44.70 $ 45.59 $ 46.50 3,505.60 3,576.00 3,647.20 3,720.00 7,595.47 7,748.00 7,902.27 8,060.00 91,145.60 92,976.00 94,827.20 96,720.00 $ 45.59 $ 46.50 $ 47.43 $ 48.38 3,647.20 3,720.00 3,794.40 3,870.40 7,902.27 8,060.00 8,221.20 8,385.87 94,827.20 96,720.00 98,654.40 100,630.40 $ 47.43 $ 48.38 $ 49.35 $ 50.33 3,794.40 3,870.40 3,948.00 4,026.40 8,221.20 8,385.87 8,554.00 8,723.87 98,654.40 100, 6 30.40 102, 648.00 104, 686.40 285 of 332 $ 35.95 29.96 19.97 2,876.00 6,231.33 74,776.00 $ 37.40 2,992.00 6,482.67 77,792.00 $ 38.91 3,112.80 6,744.40 80,932.80 $ 40.48 3,238.40 7,016.53 84,198.40 $ 42.12 35.10 23.40 3,369.60 7,300.80 87,609.60 $ 43.82 3,505.60 7,595.47 91,145.60 $ 45.59 3,647.20 7,902.27 94,827.20 $ 47.43 3,794.40 8,221.20 98,654.40 $ 49.35 3,948.00 8,554.00 102,648.00 $ 51.34 4,107.20 8,898.93 106,787.20 $ 36.67 30.56 20.37 2,933.60 6,356.13 76,273.60 $ 38.15 3,052.00 6,612.67 79,352.00 $ 39.69 3,175.20 6,879.60 82,555.20 $ 41.29 3,303.20 7,156.93 85,883.20 $ 42.96 35.80 23.87 3,436.80 7,446.40 89,356.80 $ 44.70 3,576.00 7,748.00 92,976.00 $ 46.50 3,720.00 8,060.00 96,720.00 $ 48.38 3,870.40 8,385.87 100,630.40 $ 50.33 4,026.40 8,723.87 104,686.40 $ 52.37 4,189.60 9,077.47 108,929.60 $ 37.40 $ 38.15 31.17 31.79 20.78 21.19 2,992.00 3,052.00 6,482.67 6,612.67 77,792.00 79,352.00 $ 38.91 $ 39.69 3,112.80 3,175.20 6,744.40 6,879.60 80,932.80 82,555.20 $ 40.48 $ 41.29 3,238.40 3,303.20 7,016.53 7,156.93 84,198.40 85,883.20 $ 42.12 $ 42.96 3,369.60 3,436.80 7,300.80 7,446.40 87,609.60 89,356.80 $ 43.82 $ 44.70 36.52 37.25 24.34 24.83 3,505.60 3,576.00 7,595.47 7,748.00 91,145.60 92,976.00 $ 45.59 $ 46.50 3,647.20 3,720.00 7,902.27 8,060.00 94,827.20 96,720.00 $ 47.43 $ 48.38 3,794.40 3,870.40 8,221.20 8,385.87 98,654.40 100,630.40 $ 49.35 $ 50.33 3,948.00 4,026.40 8,554.00 8,723.87 102, 648.00 104, 686.40 $ 51.34 $ 52.37 4,107.20 4,189.60 8,898.93 9,077.47 106, 787.20 108, 929.60 $ 53.41 $ 54.48 4,272.80 4,358.40 9,257.73 9,443.20 111, 092.80 113, 318.40 $ 38.91 32.43 21.62 3,112.80 6,744.40 80,932.80 $ 40.48 3,238.40 7,016.53 84,198.40 $ 42.12 3,369.60 7,300.80 87,609.60 $ 43.82 3,505.60 7,595.47 91,145.60 $ 45.59 37.99 25.33 3,647.20 7,902.27 94,827.20 $ 47.43 3,794.40 8,221.20 98,654.40 $ 49.35 3,948.00 8,554.00 102,648.00 $ 51.34 4,107.20 8,898.93 106,787.20 $ 53.41 4,272.80 9,257.73 111,092.80 $ 55.57 4,445.60 9,632.13 115,585.60 $ 39.69 33.08 22.05 3,175.20 6,879.60 82,555.20 $ 41.29 3,303.20 7,156.93 85,883.20 $ 42.96 3,436.80 7,446.40 89,356.80 $ 44.70 3,576.00 7,748.00 92,976.00 $ 46.50 38.75 25.83 3,720.00 8,060.00 96,720.00 $ 48.38 3,870.40 8,385.87 100,630.40 $ 50.33 4,026.40 8,723.87 104,686.40 $ 52.37 4,189.60 9,077.47 108,929.60 $ 54.48 4,358.40 9,443.20 113,318.40 $ 56.68 4,534.40 9,824.53 117,894.40 $ 40.48 $ 41.29 $ 42.1 , 33.73 34.41 35.1( 22.49 22.94 23.4( 3,238.40 3,303.20 3,369.6( 7,016.53 7,156.93 7,300.8( 84,198.40 85,883.20 87,609.6( $ 42.12 $ 42.96 $ 43.8, 3,369.60 3,436.80 3,505.6( 7,300.80 7,446.40 7,595.47 87,609.60 89,356.80 91,145.6( $ 43.82 $ 44.70 $ 45.5£ 3,505.60 3,576.00 3,647.2( 7,595.47 7,748.00 7,902.27 91,145.60 92,976.00 94,827.2( $ 45.59 $ 46.50 $ 47.42 3,647.20 3,720.00 3,794.4( 7,902.27 8,060.00 8,221.2( 94,827.20 96,720.00 98,654.4( $ 47.43 $ 48.38 $ 49.3E 39.53 40.32 41.1: 26.35 26.88 27.42 3,794.40 3,870.40 3,948.0( 8,221.20 8,385.87 8,554.0( 98, 654.40 100, 630.40 102, 648.0 ( $ 49.35 $ 50.33 $ 51.34 3,948.00 4,026.40 4,107.2( 8,554.00 8,723.87 8,898.9: 102,648.00 104,686.40 106,787.2( $ 51.34 $ 52.37 $ 53.41 4,107.20 4,189.60 4,272.8( 8,898.93 9,077.47 9,257.72 106, 787.20 108, 929.60 111, 092.8 ( $ 53.41 $ 54.48 $ 55.57 4,272.80 4,358.40 4,445.6( 9,257.73 9,443.20 9,632.12 111, 092.80 113, 318.40 115, 585.6 ( $ 55.57 $ 56.68 $ 57.8, 4,445.60 4,534.40 4,625.6( 9,632.13 9,824.53 10,022.12 115, 585.60 117, 894.40 120, 265.6 ( $ 57.82 $ 58.97 $ 60.1 E 4,625.60 4,717.60 4,812.0( 10,022.13 10,221.47 10,426.0( 120,265.60 122,657.60 125,112.0( FY 2018 -19 Pay Tables Effective 1 October 2018 Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8 Step 9 Step 10 Step 11 Step 12 Step 13 Step 14 Step 15 Step 16 Step 17 Step 18 Step 19 Step 20 SG 46 Hour $ 42.96 $ 43.82 $ 44.70 $ 45.59 $ 46.50 Biweekly 3,436.80 3,505.60 3,576.00 3,647.20 3,720.00 Month 7,446.40 7,595.47 7,748.00 7,902.27 8,060.00 Annual 89,356.80 91,145.60 92,976.00 94,827.20 96,720.00 SG 47 Hour $ 44.70 $ 45.59 $ 46.50 $ 47.43 $ 48.38 Biweekly 3,576.00 3,647.20 3,720.00 3,794.40 3,870.40 Month 7,748.00 7,902.27 8,060.00 8,221.20 8,385.87 Annual 92,976.00 94,827.20 96,720.00 98,654.40 100,630.40 SG 48 Hour $ 46.50 $ 47.43 $ 48.38 $ 49.35 $ 50.33 Biweekly 3,720.00 3,794.40 3,870.40 3,948.00 4,026.40 Month 8,060.00 8,221.20 8,385.87 8,554.00 8,723.87 Annual 96,720.00 98,654.40 100,630.40 102,648.00 104,686.40 SG 49 Hour $ 48.38 $ 49.35 $ 50.33 $ 51.34 $ 52.37 Biweekly 3,870.40 3,948.00 4,026.40 4,107.20 4,189.60 Month 8,385.87 8,554.00 8,723.87 8,898.93 9,077.47 Annual 100, 6 30.40 102, 648.00 104, 686.40 106, 787.20 108, 929.60 SG 50 Hour $ 50.33 $ 51.34 $ 52.37 $ 53.41 $ 54.48 Biweekly 4,026.40 4,107.20 4,189.60 4,272.80 4,358.40 Month 8,723.87 8,898.93 9,077.47 9,257.73 9,443.20 Annual 104,686.40 106,787.20 108,929.60 111,092.80 113,318.40 SG 51 Hour $ 52.37 $ 53.41 $ 54.48 $ 55.57 $ 56.68 Biweekly 4,189.60 4,272.80 4,358.40 4,445.60 4,534.40 Month 9,077.47 9,257.73 9,443.20 9,632.13 9,824.53 Annual 108,929.60 111,092.80 113,318.40 115,585.60 117,894.40 SG 52 Hour $ 54.48 $ 55.57 $ 56.68 $ 57.82 $ 58.97 Biweekly 4,358.40 4,445.60 4,534.40 4,625.60 4,717.60 Month 9,443.20 9,632.13 9,824.53 10,022.13 10,221.47 Annual 113, 318.40 115, 585.60 117, 894.40 120, 265.60 122, 6 57.60 SG 53 Hour $ 56.68 $ 57.82 $ 58.97 $ 60.15 $ 61.36 Biweekly 4,534.40 4,625.60 4,717.60 4,812.00 4,908.80 Month 9,824.53 10,022.13 10,221.47 10,426.00 10,635.73 Annual 117,894.40 120,265.60 122,657.60 125,112.00 127,628.80 SG 54 Hour $ 58.97 $ 60.15 $ 61.36 $ 62.58 $ 63.83 Biweekly 4,717.60 4,812.00 4,908.80 5,006.40 5,106.40 Month 10,221.47 10,426.00 10,635.73 10,847.20 11,063.87 Annual 122,657.60 125,112.00 127,628.80 130,166.40 132,766.40 SG 55 Hour $ 61.36 $ 62.58 $ 63.83 $ 65.11 $ 66.41 Biweekly 4,908.80 5,006.40 5,106.40 5,208.80 5,312.80 Month 10,635.73 10,847.20 11,063.87 11,285.73 11,511.07 Annual 127,628.80 130,166.40 132,766.40 135,428.80 138,132.80 $ 47.43 3,794.40 8,221.20 98,654.40 $ 49.35 3,948.00 8,554.00 102,648.00 $ 51.34 4,107.20 8,898.93 106,787.20 $ 53.41 4,272.80 9,257.73 111,092.80 $ 55.57 4,445.60 9,632.13 115,585.60 $ 57.82 4,625.60 10,022.13 120,265.60 $ 60.15 4,812.00 10,426.00 125,112.00 $ 62.58 5,006.40 10,847.20 130,166.40 $ 65.11 5,208.80 11,285.73 135,428.80 $ 67.74 5,419.20 11,741.60 140,899.20 $ 48.38 3,870.40 8,385.87 100,630.40 $ 50.33 4,026.40 8,723.87 104,686.40 $ 52.37 4,189.60 9,077.47 108,929.60 $ 54.48 4,358.40 9,443.20 113,318.40 $ 56.68 4,534.40 9,824.53 117,894.40 $ 58.97 4,717.60 10,221.47 122,657.60 $ 61.36 4,908.80 10,635.73 127,628.80 $ 63.83 5,106.40 11,063.87 132,766.40 $ 66.41 5,312.80 11,511.07 138,132.80 $ 69.10 5,528.00 11,977.33 143,728.00 $ 49.35 $ 50.33 $ 51.34 $ 52.37 3,948.00 4,026.40 4,107.20 4,189.60 8,554.00 8,723.87 8,898.93 9,077.47 102, 648.00 104, 686.40 106, 787.20 108, 929.60 $ 51.34 $ 52.37 $ 53.41 $ 54.48 4,107.20 4,189.60 4,272.80 4,358.40 8,898.93 9,077.47 9,257.73 9,443.20 106, 787.20 108, 929.60 111, 092.80 113, 318.40 $ 53.41 $ 54.48 $ 55.57 $ 56.68 4,272.80 4,358.40 4,445.60 4,534.40 9,257.73 9,443.20 9,632.13 9,824.53 111, 092.80 113, 318.40 115, 585.60 117, 894.40 $ 55.57 $ 56.68 $ 57.82 $ 58.97 4,445.60 4,534.40 4,625.60 4,717.60 9,632.13 9,824.53 10,022.13 10,221.47 115, 585.60 117, 894.40 120, 265.60 122,657.60 $ 57.82 $ 58.97 $ 60.15 $ 61.36 4,625.60 4,717.60 4,812.00 4,908.80 10, 022.13 10, 221.47 10, 426.00 10,635.73 120, 265.60 122, 657.60 125,112.00 127,628.80 $ 60.15 $ 61.36 $ 62.58 $ 63.83 4,812.00 4,908.80 5,006.40 5,106.40 10,426.00 10,635.73 10,847.20 11,063.87 125,112.00 127,628.80 130,166.40 132,766.40 $ 62.58 $ 63.83 $ 65.11 $ 66.41 5,006.40 5,106.40 5,208.80 5,312.80 10, 847.20 11, 063.87 11,285.73 11, 511.07 130,166.40 132, 766.40 135, 428.80 138,132.80 $ 65.11 $ 66.41 $ 67.74 $ 69.10 5,208.80 5,312.80 5,419.20 5,528.00 11,285.73 11,511.07 11,741.60 11,977.33 135, 428.80 138,132.80 140, 899.20 143, 728.00 $ 67.74 $ 69.10 $ 70.48 $ 71.89 5,419.20 5,528.00 5,638.40 5,751.20 11,741.60 11,977.33 12,216.53 12,460.93 140, 899.20 143, 728.00 146, 598.40 149, 531.20 $ 70.48 $ 71.89 $ 73.33 $ 74.79 5,638.40 5,751.20 5,866.40 5,983.20 12,216.53 12,460.93 12,710.53 12,963.60 146, 598.40 149, 531.20 152,526.40 155, 563.20 286 of 332 $ 53.41 4,272.80 9,257.73 111,092.80 $ 55.57 4,445.60 9,632.13 115,585.60 $ 57.82 4,625.60 10,022.13 120,265.60 $ 60.15 4,812.00 10,426.00 125,112.00 $ 62.58 5,006.40 10,847.20 130,166.40 $ 65.11 5,208.80 11,285.73 135,428.80 $ 67.74 5,419.20 11,741.60 140,899.20 $ 70.48 5,638.40 12,216.53 146,598.40 $ 73.33 5,866.40 12,710.53 152,526.40 $ 76.29 6,103.20 13,223.60 158,683.20 $ 54.48 4,358.40 9,443.20 113,318.40 $ 56.68 4,534.40 9,824.53 117,894.40 $ 58.97 4,717.60 10,221.47 122,657.60 $ 61.36 4,908.80 10,635.73 127,628.80 $ 63.83 5,106.40 11,063.87 132,766.40 $ 66.41 5,312.80 11,511.07 138,132.80 $ 69.10 5,528.00 11,977.33 143,728.00 $ 71.89 5,751.20 12,460.93 149,531.20 $ 74.79 5,983.20 12,963.60 155,563.20 $ 77.81 6,224.80 13,487.07 161,844.80 $ 55.57 $ 56.68 4,445.60 4,534.40 9,632.13 9,824.53 115, 585.60 117, 894.40 $ 57.82 $ 58.97 4,625.60 4,717.60 10,022.13 10,221.47 120, 265.60 122,657.60 $ 60.15 $ 61.36 4,812.00 4,908.80 10,426.00 10,635.73 125,112.00 127,628.80 $ 62.58 $ 63.83 5,006.40 5,106.40 10,847.20 11,063.87 130,166.40 132,766.40 $ 65.11 $ 66.41 5,208.80 5,312.80 11,285.73 11,511.07 135,428.80 138,132.80 $ 67.74 $ 69.10 5,419.20 5,528.00 11,741.60 11,977.33 140, 899.20 143, 728.00 $ 70.48 $ 71.89 5,638.40 5,751.20 12,216.53 12,460.93 146, 598.40 149, 531.20 $ 73.33 $ 74.79 5,866.40 5,983.20 12,710.53 12,963.60 152,526.40 155, 563.20 $ 76.29 $ 77.81 6,103.20 6,224.80 13,223.60 13,487.07 158,683.20 161,844.80 $ 79.37 $ 80.96 6,349.60 6,476.80 13,757.47 14,033.07 165,089.60 168,396.80 $ 57.82 4,625.60 10,022.13 120,265.60 $ 60.15 4,812.00 10,426.00 125,112.00 $ 62.58 5,006.40 10,847.20 130,166.40 $ 65.11 5,208.80 11,285.73 135,428.80 $ 67.74 5,419.20 11,741.60 140,899.20 $ 70.48 5,638.40 12,216.53 146,598.40 $ 73.33 5,866.40 12,710.53 152,526.40 $ 76.29 6,103.20 13,223.60 158,683.20 $ 79.37 6,349.60 13,757.47 165,089.60 $ 82.58 6,606.40 14,313.87 171,766.40 $ 58.97 4,717.60 10,221.47 122,657.60 $ 61.36 4,908.80 10,635.73 127,628.80 $ 63.83 5,106.40 11,063.87 132,766.40 $ 66.41 5,312.80 11,511.07 138,132.80 $ 69.10 5,528.00 11,977.33 143,728.00 $ 71.89 5,751.20 12,460.93 149,531.20 $ 74.79 5,983.20 12,963.60 155,563.20 $ 77.81 6,224.80 13,487.07 161,844.80 $ 80.96 6,476.80 14,033.07 168,396.80 $ 84.23 6,738.40 14,599.87 175,198.40 $ 60.15 $ 61.36 $ 62.5E 4,812.00 4,908.80 5,006.4( 10,426.00 10, 635.73 10, 847.2( 125,112.00 127,628.80 130,166.4( $ 62.58 $ 63.83 $ 65.11 5,006.40 5,106.40 5,208.8( 10,847.20 11,063.87 11,285.72 130,166.40 132,766.40 135,428.8( $ 65.11 $ 66.41 $ 6774 5,208.80 5,312.80 5,419.2( 11,285.73 11, 511.07 11,741.6( 135,428.80 138,132.80 140,899.2( $ 67.74 $ 69.10 $ 70.4E 5,419.20 5,528.00 5,638.4( 11, 741.60 11,977.33 12, 216.52 140, 899.20 143, 728.00 146, 598.4 ( $ 70.48 $ 71.89 $ 73.32 5,638.40 5,751.20 5,866.4( 12, 216.53 12, 460.93 12, 710.52 146, 598.40 149, 531.20 152 , 526.4 ( $ 73.33 $ 74.79 $ 76.2£ 5,866.40 5,983.20 6,103.2( 12, 710.53 12, 963.60 13,223.6( 152,526.40 155, 563.20 158, 683.2 ( $ 76.29 $ 77.81 $ 79.37 6,103.20 6,224.80 6,349.6( 13, 223.60 13, 487.07 13,757.4-/ 158,683.20 161,844.80 165,089.6( $ 79.37 $ 80.96 $ 82.5E 6,349.60 6,476.80 6,606.4( 13,757.47 14, 033.07 14,313.8-/ 165, 089.60 168, 396.80 171, 766.4 ( $ 82.58 $ 84.23 $ 85.91 6,606.40 6,738.40 6,872.8( 14, 313.87 14, 599.87 14,891.0-/ 171,766.40 175,198.40 178,692.8( $ 85.91 $ 87.63 $ 89.3E 6,872.80 7,010.40 7,150.4( 14,891.07 15,189.20 15,492.52 178,692.80 182,270.40 185,910.4( FY 2018 -19 Pay Tables Effective 1 October 2018 Step 1 Step 2 Step 3 Step 4 Step 5 Step 6 Step 7 Step 8 Step 9 Step 10 Step 11 Step 12 Step 13 Step 14 Step 15 Step 16 Step 17 Step 18 Step 19 Step 20 SG 56 Hour $ 63.83 $ 65.11 $ 66.41 $ 67.74 $ 69.10 Biweekly 5,106.40 5,208.80 5,312.80 5,419.20 5,528.00 Month 11,063.87 11,285.73 11,511.07 11,741.60 11,977.33 Annual 132,766.40 135,428.80 138,132.80 140,899.20 143,728.00 SG 57 Hour $ 66.41 $ 67.74 $ 69.10 $ 70.48 $ 71.89 Biweekly 5,312.80 5,419.20 5,528.00 5,638.40 5,751.20 Month 11,511.07 11,741.60 11,977.33 12,216.53 12,460.93 Annual 138,132.80 140,899.20 143,728.00 146,598.40 149,531.20 SG 58 Hour $ 69.10 $ 70.48 $ 71.89 $ 73.33 $ 74.79 Biweekly 5,528.00 5,638.40 5,751.20 5,866.40 5,983.20 Month 11,977.33 12,216.53 12,460.93 12,710.53 12,963.60 Annual 143, 728.00 146, 598.40 149, 531.20 152, 526.40 155, 563.20 SG 59 Hour $ 71.89 $ 73.33 $ 74.79 $ 76.29 $ 77.81 Biweekly 5,751.20 5,866.40 5,983.20 6,103.20 6,224.80 Month 12,460.93 12,710.53 12,963.60 13,223.60 13,487.07 Annual 149,531.20 152,526.40 155,563.20 158,683.20 161,844.80 SG 60 Hour $ 74.79 $ 76.29 $ 77.81 $ 79.37 $ 80.96 Biweekly 5,983.20 6,103.20 6,224.80 6,349.60 6,476.80 Month 12,963.60 13,223.60 13,487.07 13,757.47 14,033.07 Annual 155,563.20 158,683.20 161,844.80 165,089.60 168,396.80 $ 70.48 5,638.40 12,216.53 146,598.40 $ 73.33 5,866.40 12,710.53 152,526.40 $ 76.29 6,103.20 13,223.60 158,683.20 $ 79.37 6,349.60 13,757.47 165,089.60 $ 82.58 6,606.40 14,313.87 171,766.40 $ 71.89 5,751.20 12,460.93 149,531.20 $ 74.79 5,983.20 12,963.60 155,563.20 $ 77.81 6,224.80 13,487.07 161,844.80 $ 80.96 6,476.80 14,033.07 168,396.80 $ 84.23 6,738.40 14,599.87 175,198.40 $ 73.33 $ 74.79 $ 76.29 $ 77.81 5,866.40 5,983.20 6,103.20 6,224.80 12, 710.53 12, 963.60 13, 223.60 13, 487.07 152,526.40 155,563.20 158,683.20 161,844.80 $ 76.29 $ 77.81 $ 79.37 $ 80.96 6,103.20 6,224.80 6,349.60 6,476.80 13,223.60 13,487.07 13,757.47 14,033.07 158, 683.20 161, 844.80 165, 089.60 168, 396.80 $ 79.37 $ 80.96 $ 82.58 $ 84.23 6,349.60 6,476.80 6,606.40 6,738.40 13, 757.47 14,033.07 14, 313.87 14, 599.87 165,089.60 168,396.80 171,766.40 175,198.40 $ 82.58 $ 84.23 $ 85.91 $ 87.63 6,606.40 6,738.40 6,872.80 7,010.40 14, 313.87 14, 599.87 14, 891.07 15,189.20 171, 766.40 175,198.40 178, 692.80 182,270.40 $ 85.91 $ 87.63 $ 89.38 $ 91.17 6,872.80 7,010.40 7,150.40 7,293.60 14,891.07 15,189.20 15,492.53 15,802.80 178, 692.80 182, 270.40 185, 910.40 189, 633.60 "Note: These rates apply to EMS Personnel Working 24148 Shifts. Computation of Hourly rates and Overtime Compensation is governed by 29 CFR 778.114 - Fixed salary for fluctuating hours.';::'.. 287 of 332 $ 79.37 6,349.60 13,757.47 165,089.60 $ 82.58 6,606.40 14,313.87 171,766.40 $ 85.91 6,872.80 14,891.07 178,692.80 $ 89.38 7,150.40 15,492.53 185,910.40 $ 92.99 7,439.20 16,118.27 193,419.20 $ 80.96 6,476.80 14,033.07 168,396.80 $ 84.23 6,738.40 14,599.87 175,198.40 $ 87.63 7,010.40 15,189.20 182,270.40 $ 91.17 7,293.60 15,802.80 189,633.60 $ 94.85 7,588.00 16,440.67 197,288.00 $ 82.58 $ 84.23 6,606.40 6,738.40 14,313.87 14,599.87 171,766.40 175,198.40 $ 85.91 $ 87.63 6,872.80 7,010.40 14,891.07 15,189.20 178, 692.80 182, 2 70.40 $ 89.38 $ 91.17 7,150.40 7,293.60 15,492.53 15,802.80 185, 910.40 189, 633.60 $ 92.99 $ 94.85 7,439.20 7,588.00 16,118.27 16,440.67 193, 419.20 197, 288.00 $ 96.75 $ 98.69 7,740.00 7,895.20 16,770.00 17,106.27 201,240.00 205,275.20 $ 85.91 6,872.80 14,891.07 178,692.80 $ 89.38 7,150.40 15,492.53 185,910.40 $ 92.99 7,439.20 16,118.27 193,419.20 $ 96.75 7,740.00 16,770.00 201,240.00 $ 100.66 8,052.80 17,447.73 209,372.80 $ 87.63 7,010.40 15,189.20 182,270.40 $ 91.17 7,293.60 15,802.80 189,633.60 $ 94.85 7,588.00 16,440.67 197,288.00 $ 98.69 7,895.20 17,106.27 205,275.20 $ 102.67 8,213.60 17,796.13 213,553.60 $ 89.38 $ 91.17 $ 92.9( 7,150.40 7,293.60 7,439.2( 15,492.53 15,802.80 16,118.27 185, 910.40 189, 633.60 193, 419.2 ( $ 92.99 $ 94.85 $ 96.7E 7,439.20 7,588.00 7,740.0( 16,118.27 16,440.67 16,770.0( 193,419.20 197,288.00 201,240.0( $ 96.75 $ 98.69 $ 100.6E 7,740.00 7,895.20 8,052.8( 16,770.00 17,106.27 17,447.72 201,240.00 205,275.20 209,372.8( $ 100.66 $ 102.67 $ 104.72 8,052.80 8,213.60 8,378.4( 17,447.73 17, 796.13 18,153.2( 209,372.80 213,553.60 217,838.4( $ 104.73 $ 106.82 $ 108.9E 8,378.40 8,545.60 8,716.8( 18,153.20 18,515.47 18,886.4( 217,838.40 222,185.60 226,636.8( BUDGETED SUMMARY OF WORKING CAPITAL PROJECTS COSTS YTD COSTS STATUS 2009 BOND - $6,600,000 P12 RECREATION CENTER 1,000,000 $ 1,586,955 COMPLETE 960 STREETS PROJECTS 5,600,000 5,600,000 COMPLETE 2012 BOND - $7.625.000 GA2 NATATORIUM PROJECT 3,625,000 3,625,000 COMPLETE GA3 SOCCER FIELDS IMPROVEMENTS 2,778,224 2,778,224 COMPLETE GA4 ATHLETIC FIELDS IMPROVEMENTS 221,776 221,776 COMPLETE GA7 FM 78 AND MAIN STREET 1,000,000 7,513 ON GOING 2013 BOND - $4,965,000 QA2 SOUTH REGIONAL WATER RECLAMATION PLANT 3,000,000 504,684 ON GOING W12 COMMERIAL PLACE PROJECT 1,820,000 1,787,800 COMPLETE W13 FACILITY MASTER PLAN 145,000 122,896 ON GOING 2016 BOND - $5,880,000 G21 FIRE STATION 3 4,000,000 434,704 ON GOING S21 FM 1103 PROJECT WITH TXDOT 2,000,000 2,000,000 COMPLETE 2016A BOND - $2.375.000 TOTAL PROJECTS COST YTP 2 436,000 1 3 6 3! 2016B BOND - $1,475,000 GA2 AQUATIC CENTER - YMCA 1,465,000 1,465,000 COMPLETE 2017 GO BOND - $3,935,000 G21 FIRE STATION 3 PROJECT 288 of 332 4,000,000 - SUMMARY OF WORKING CAPITAL PROJECTS BUDGETED COSTS YTD COSTS STATUS 2017 CO BOND - $5,475,000 S20 WATER AND WASTEWATER LINE RELOCATION 2,200,000 - ON GOING GC1 SENIOR CENTER REPAIRS 250,000 250,000 ON GOING V07 BUILDINGS REPAIRS 210,000 - ON GOING V02 FIRE STATION 2 REPAIRS 440,000 210,449 ON GOING C11 PARK TRAILS MAINTENANCE AND IMPROVEMENTS 300,000 - ON GOING GB3 FIRE TRUCK AND FIRE EQUIPMENT 950,000 822,006 ON GOING EMS EMS AMBULANCES 550,000 550,000 COMPLETE SE3 SCHERTZ PARKWAY ROAD IMPROVEMENTS 700,000 1,124,901 COMPLETE T T LCIBT 'T17.: 1: PROJECTS , , 6S, O0l,000 } . i95 2018 CO BOND - $10,440,000 STREET AND DRAINAGE IMPROVEMENTS 1,600,000 - ON GOING BUILDING REPAIRS 2,180,000 - ON GOING GC2 RECREATION CENTER REPAIRS 475,000 - ON GOING V05 PICKRELL PARK POOL REPAIRS 60,000 - ON GOING C11 PARKS AND TRAIL IMPROVEMENTS 100,000 - ON GOING RESERVE FIRE ENGINE #2 650,000 - ON GOING WATER LOOP LINES PROJECT 825,000 - ON GOING FM 1103 UTILITY RELOCATION PROJECT 1,000,000 - ON GOING WATER METERS INSTALLATION AND PURCHASE 4,000,000 - ON GOING 289 of 332 DEBT SERVICE REVIEW General Fund 2007ii 424,339 426,823 423,799 425,267 426,123 426,370 to 2027 2009 446,525 478,163 409,628 372,540 380,581 412,294 - to 2028 2010 329,700 329,000 326,400 - - - to 2021 2011 568,463 568,888 566,938 567,350 566,263 566,713 to 2036 2011 -A 559,735 538,551 537,367 708,911 698,242 667,689 to 2024 2012 502,945 504,170 503,370 503,676 505,126 500,920 to 2032 2014 386,775 383,775 380,775 1,018,025 1,020,150 1,019,525 to 2030 2015 36,925 36,313 40,700 - - - to 2021 2015A 159,317 157,007 154,697 157,387 - - to 2022 2015 741,225 741,188 737,400 37,050 37,050 37,050 to 2031 2016 374,206 375,406 376,206 376,606 376,606 376,206 to 2036 2016 -A 237,669 235,569 238,169 235,469 237,469 97,319 to 2036 2016 -B 100,588 103,863 102,063 100,263 103,388 101,438 to 2036 2017 535,650 538,875 531,800 534,425 418,400 418,800 to 2037 2017 264,225 264,650 264,925 265,050 265,025 264,850 to 2037 2018 672,112 670,346 668,368 671,125 668,617 670,844 to 2028 2018 424,951 407,263 410,888 408,888 411,263 408,013 to 2038 Total $ 6,765,348 $ 6,759,847 $ 6,673,491 $ 6,382,031 $ 6,114,302 $ 5,968,031 Water and Waste Water Debt Service 2011 249,413 248,663 247,200 - - - - to 2021 2013 507,319 507,813 506,525 237,975 238,250 237,963 - to 2033 20131 224,185 219,283 224,252 224,028 218,739 223,321 to 2025 2015 26,400 25,963 30,525 - - - - to 2021 2018 417,544 399,550 400,050 400,050 399,550 398,550 - to 2038 Total $ 1,424,860 $ 1,401,271 $ 1,408,552 $ 862,053 $ 856,539 $ 2,503,881 Schertz- Seguin Local Government Corporation Debt - Schertz Portion Year FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 2001 260,000 260,000 260,000 260,000 260,000 260,000 - to 2035 2010 694,181 694,906 694,581 695,631 696,181 693,781 to 2041 2014 331,588 332,225 331,288 332,588 332,825 331,975 to 2025 2015 1,218,488 1,222,088 1,213,425 1,217,325 1,217,975 1,218,125 to 2044 Total $ 2,504,256 $ 2,509,219 $ 2,4999294 $ 2,505,544 $ 2,5069981 $ 2,503,881 Drainage Fund 2015 121,213 124,200 122,100 - to 2021 Total $ 121,213 $ 124,200 $ 122,100 $ - $ - $ - Emergency Medical Services 2015 170,775 167,888 - - to 2020 Total $ 170,775 $ 167,888 $ - $ $ - $ Capital Recovery 20071 486,929 487,694 487,857 487,418 491,378 489,536 - to 2026 Total $ 486,929 $ 487,694 $ 487,857 $ 487,418 $ 491,378 $ 489,536 290 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2006 Original Issue Amount $15,000,000 General Fund Supported Date Principal Coupon Interest Period Total Fiscal Total 02/01/19 655,000.00 4.300% 71,968.75 726,968.75 08/01/19 57,886.25 57,886.25 784,855.00 02/01/20 685,000.00 4.375% 57,886.25 742,886.25 08/01/20 42,901.88 42,901.88 785,788.13 02/01/21 715,000.00 4.400% 42,901.88 757,901.88 08/01/21 27,171.88 27,171.88 785,073.76 02/01/22 - 5.250% 27,171.88 27,171.88 08/01/22 27,171.88 27,171.88 54,343.76 02/01/23 - 5.250% 27,171.88 27,171.88 08/01/23 27,171.88 27,171.88 54,343.76 02/01/24 - 5.250% 27,171.88 27,171.88 08/01/24 27,171.88 27,171.88 54,343.76 02/01/25 - 5.250% 27,171.88 27,171.88 08/01/25 27,171.88 27,171.88 54,343.76 02/01/26 - 5.250% 27,171.88 27,171.88 08/01/26 27,171.88 27,171.88 54,343.76 02/01/27 - 5.250% 27,171.88 27,171.88 08/01/27 27,171.88 27,171.88 54,343.76 02/01/28 - 4.625% 27,171.88 27,171.88 08/01/28 27,171.88 27,171.88 54,343.76 02/01/29 - 4.625% 27,171.88 27,171.88 08/01/29 27,171.88 27,171.88 54,343.76 02/01/30 - 4.625% 27,171.88 27,171.88 08/01/30 27,171.88 27,171.88 54,343.76 02/01/31 1,175,000.00 4.625% 27,171.88 1,202,171.88 09/30/31 1,202,171.88 $ 3,230,000.00 $ 816,982.61 $ 4,046,982.61 $ 4,046,982.61 291 of 332 CITY OF SCHERTZ Certificates of Obligation Bonds, Series 2007 Original Issue Amount $9,915,000 General Fund, Capital Recovery, EMS, Public Works, & EDC Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 65,964.50 65,964.50 08/01/19 355,000 4.010% 65,964.50 420,964.50 09/30/19 486,929.00 02/01/20 58,846.75 58,846.75 08/01/20 370,000 4.010% 58,846.75 428,846.75 09/30/20 487,693.50 02/01/21 51,428.25 51,428.25 08/01/21 385,000 4.010% 51,428.25 436,428.25 09/30/21 487,856.50 02/01 /22 43,709.00 43,709.00 08/01 /22 400,000 4.010% 43,709.00 443,709.00 09/30/22 487,418.00 02/01/23 35,689.00 35,689.00 08/01/23 420,000 4.010% 35,689.00 455,689.00 09/30/23 491,378.00 02/01/24 27,268.00 27,268.00 08/01/24 435,000 4.010% 27,268.00 462,268.00 09/30/24 489,536.00 02/01/25 18,546.25 18,546.25 08/01/25 455,000 4.010% 18,546.25 473,546.25 09/30/25 492,092.50 02/01/26 9,423.50 9,423.50 08/01/26 470,000 4.010% 9,423.50 479,423.50 09/30/26 488,847.00 $ 3,290,000 $ 621,751 $ 3,911,751 $ 3,911,751 292 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2007 II Original Issue Amount $6,000,000 General Fund Supported Date Principal Coupon Interest Period Total Fiscal Total 02/01/19 300,000 4.070% 65,221.75 365,221.75 08/01/19 59,116.75 59,116.75 09/30/19 424,338.50 02/01/20 315,000 4.070% 59,116.75 374,116.75 08/01 /20 52,706.50 52,706.50 09/30/20 426,823.25 02/01 /21 325,000 4.070% 52,706.50 377,706.50 08/01/21 46,09275 46,092.75 09/30/21 423,799.25 02/01/22 340,000 4.070% 46,092.75 386,092.75 08/01/22 39,173.75 39,173.75 09/30/22 425,266.50 02/01/23 355,000 4.070% 39,173.75 394,173.75 08/01/23 31,949.50 31,949.50 09/30/23 426,123.25 02/01/24 370,000 4.070% 31,949.00 401,949.50 08/01/24 24,420.00 24,420.00 09/30/24 426,369.50 02/01/25 385,000 4.070% 24,420.00 409,420.00 08/01/25 16,585.25 16,585.25 09/30/25 426,005.25 02/01/26 400,000 4.070% 16,585.25 416,585.25 08/01/26 8,445.25 8,445.25 09/30/26 425,030.50 02/01/27 415,000 4.070% 8,445.25 423,445.25 09/30/27 423,445.25 $ 3,205,000.00 $ 622,200.75 $ 3,827,201.25 $ 3,827,201.25 293 of 332 CITY OF SCHERTZ General Obligation and Refunding Bonds, Series 2009 Original Issue Amount $6,600,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 210,000 3.500% 120,100.00 330,100.00 08/01/19 116,425.00 116,425.00 09/30/19 446,525.00 02/01/20 250,000 3.750% 116,425.00 366,425.00 08/01/20 111,737.50 111,737.50 09/30/20 478,162.50 02/01 /21 190,000 4.050% 111,737.50 301,737.50 08/01/21 107,890.00 107,890.00 09/30/21 409,627.50 02/01/22 160,000 4.050% 107,890.00 267,890.00 08/01/22 104,650.00 104,650.00 09/30/22 372,540.00 02/01/23 175,000 4.250% 104,650.00 279,650.00 08/01/23 100,931.25 100,931.25 09/30/23 380,581.25 02/01/24 215,000 4.250% 100,931.25 315,931.25 08/01/24 96,362.50 96,362.50 09/30/24 412,293.75 02/01/25 200,000 4.500% 96,362.50 296,362.50 08/01/25 91,862.50 91,862.50 09/30/25 388,225.00 02/01/26 210,000 4.500% 91,862.50 301,862.50 08/01/26 87,137.50 87,137.50 09/30/26 389,000.00 02/01/27 220,000 4.500% 87,137.50 307,137.50 08/01/27 82,187.50 82,187.50 09/30/27 389,325.00 02/01/28 530,000 4.500% 82,187.50 612,187.50 08/01/28 70,262.50 70,262.50 09/30/28 682,450.00 294 of 332 CITY OF SCHERTZ General Obligation and Refunding Bonds, Series 2009 Original Issue Amount $6,600,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/29 455,000 5.500% 70,262.50 525,262.50 08/01 /29 57,750.00 57,750.00 09/30/29 583,012.50 02/01/230 480,000 5.500% 57,750.00 537,750.00 08/01/30 44,550.00 44,550.00 09/30/30 582,300.00 02/01/31 510,000 5.500% 44,550.00 554,550.00 08/01/31 30,525.00 30,525.00 09/30/31 585,075.00 02/01/32 540,000 5.500% 30,525.00 570,525.00 08/01/32 15,675.00 15,675.00 09/30/32 586,200.00 02/01/33 570,000 5.500% 15,675.00 585,675.00 09/30/33 585,675.00 $ 4,915,000.00 $ 2,355,992.50 $ 7,270,992.50 $ 7,270,992.50 295 of 332 CITY OF SCHERTZ General Obligation Refunding Bonds, Series 2010 Original Issue Amount $9,900,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 300,000 3.000% 17,100 317,100 08/01/19 12,600 12,600 09/30/19 329,700.00 02/01/20 310,000 4.000% 12,600 322,600 08/01/20 6,400 6,400 09/30/20 329,000.00 02/01/21 320,000 4.000% 6,400 326,400 09/30/21 326,400.00 $ 930,000 $ 55,100 $ 985,100 $ 985,100 296 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2011 Original Issue Amount $8,250,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 250,000 3.500% 161,418.75 411,418.75 08/01/19 157,043.75 157,043.75 09/30/19 568,462.50 02/01/20 260,000 4.000% 157,043.75 417,043.75 08/01/20 151,843.75 151,843.75 09/30/20 568,887.50 02/01/21 270,000 5.000% 151,843.75 421,843.75 08/01/21 145,093.75 145,093.75 09/30/21 566,937.50 02/01/22 285,000 5.500% 145,093.75 430,093.75 08/01/22 137,256.25 137,256.25 09/30/22 567,350.00 02/01/23 300,000 5.500% 137,256.25 437,256.25 08/01/23 129,006.25 129,006.25 09/30/23 566,262.50 02/01/24 315,000 4.000% 129,006.25 444,006.25 08/01/24 122,706.25 122,706.25 09/30/24 566,712.50 02/01 /25 330,000 4.125% 122,706.25 452,706.25 08/01/25 115,900.00 115,900.00 09/30/25 568,606.25 02/01/26 345,000 4.250% 115,900.00 460,900.00 08/01/26 108,568.75 108,568.75 09/30/26 569,468.75 02/01/27 360,000 4.375% 108,568.75 468,568.75 08/01/27 100,693.75 100,693.75 09/30/27 569,262.50 02/01/28 375,000 4.500% 100,693.75 475,693.75 08/01/28 92,256.25 92,256.25 09/30/28 567,950.00 02/01/29 390,000 4.625% 92,256.25 482,256.25 08/01/29 83,237.50 83,237.50 09/30/29 565,493.75 02/01/30 410,000 4.750% 83,237.50 493,237.50 08/01/30 73,500.00 73,500.00 09/30/30 566,737.50 02/01/31 430,000 5.000% 73,500.00 503,500.00 297 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2011 Original Issue Amount $8,250,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 08/01 /31 62,750.00 62,750.00 09/30/31 566,250.00 02/01 /32 455,000 5.000% 62,750.00 517,750.00 08/01/32 51,375.00 51,375.00 09/30/32 569,125.00 02/01/33 475,000 5.000% 51,375.00 526,375.00 08/01/33 39,500.00 39,500.00 09/30/33 565,875.00 02/01/34 500,000 5.000% 39,500.00 539,500.00 08/01/34 27,000.00 27,000.00 09/30/34 566,500.00 02/01/35 525,000 5.000% 27,000.00 552,000.00 08/01/35 13,875.00 13,875.00 09/30/35 565,875.00 02/01/36 555,000 5.000% 13,875.00 568,875.00 09/30/36 568,875.00 $ 6,830,000.00 $ 3,384,631.25 $ 10,214,631.25 $ 10,214,631.25 298 of 332 CITY OF SCHERTZ General Obligation Refunding Bonds, Series 2011 Original Issue Amount $2,675,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 03/01/19 230,000.00 2.500% 9,706.25 239,706.25 09/01/19 9,706.25 9,706.25 09/30/19 249,412.50 03/01/20 235,000.00 2.750% 6,831.25 241,831.25 09/01/20 6,831.25 6,831.25 09/30/20 248,662.50 03/01/21 240,000.00 3.000% 3,600.00 243,600.00 09/01/21 3,600.00 3,600.00 09/30/20 247,200.00 $ 705,000.00 $ 40,275.00 $ 745,275.00 $ 745,275.00 299 of 332 CITY OF SCHERTZ Private Placement Refunding Bonds, Series 2011 -A Original Issue Amount $6,745,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 485,000 2.330% 40,192.50 525,192.50 08/01/19 34,542.25 34,542.25 09/30/19 559,734.75 02/01/20 475,000 2.330% 34,542.25 509,542.25 08/01/20 29,008.50 29,008.50 09/30/20 538,550.75 02/01/21 485,000 2.330% 29,008.50 514,008.50 08/01/21 23,35825 23,358.25 09/30/21 537,366.75 02/01/22 670,000 2.330% 23,358.25 693,358.25 08/01/22 15,552.75 15,552.75 09/30/22 708,911.00 02/01/23 675,000 2.330% 15,552.75 690,552.75 08/01/23 7,689.00 7,689.00 09/30/23 698,241.75 02/01/24 660,000 2.330% 7,689.00 667,689.00 09/30/24 667,689.00 $ 3,450,000.00 $ 260,494.00 $ 3,710,494.00 $ 3,710,494.00 300 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2012 Original Issue Amount $7,625,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 345,000 2.000% 80,697.50 425,697.50 08/01/19 77,247.50 77,247.50 09/30/19 502,945.00 02/01/20 355,000 3.000% 77,247.50 432,247.50 08/01/20 71,922.50 71,922.50 09/30/20 504,170.00 02/01/21 365,000 3.000% 71,922.50 436,922.50 08/01/21 66,447.50 66,447.50 09/30/21 503,370.00 02/01/22 375,000 2.250% 66,447.50 441,447.50 08/01/22 62,228.75 62,228.75 09/30/22 503,676.25 02/01/23 385,000 2.250% 62,228.75 447,228.75 08/01/23 57,897.50 57,897.50 09/30/23 505,126.25 02/01/24 390,000 2.500% 57,897.50 447,897.50 08/01/24 53,022.50 53,022.50 09/30/24 500,920.00 02/01/25 400,000 2.700% 53,022.50 453,022.50 08/01/25 47,622.50 47,622.50 09/30/25 500,645.00 02/01/26 415,000 2.800% 47,622.50 462,622.50 08/01/26 41,812.50 41,812.50 09/30/26 504,435.00 02/01/27 425,000 3.000% 41,812.50 466,812.50 08/01/27 35,437.50 35,437.50 09/30/27 502,250.00 02/01/28 440,000 3.000% 35,437.50 475,437.50 08/01/28 28,837.50 28,837.50 09/30/28 504,275.00 02/01/29 450,000 3.000% 28,837.50 478,837.50 08/01/29 22,087.50 22,087.50 09/30/29 500,925.00 02/01/30 465,000 3.000% 22,087.50 487,087.50 08/01/30 15,112.50 15,112.50 09/30/30 502,200.00 02/01/31 480,000 3.100% 15,112.50 495,112.50 301 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2012 Original Issue Amount $7,625,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 08/01/31 7,672.50 7,672.50 09/30/31 502,785.00 02/01/32 495,000 3.100% 7,672.50 502,672.50 09/30/32 502,672.50 $ 5,785,000 $ 1,255,395 $ 7,040,395 $ 7,040,395 302 of 332 CITY OF SCHERTZ Certificate of Obligation Bonds, Series 2013 Original Issue Amount $7,625,000 General Fund and Utility Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 395,000 2.250% 58,381.25 453,381.25 08/01/19 53,937.50 53,937.50 09/30/19 507,318.75 02/01/20 405,000 2.500% 53,937.50 458,937.50 08/01/20 48,875.00 48,875.00 09/30/20 507,812.50 02/01/21 415,000 3.000% 48,875.00 463,875.00 08/01/21 42,650.00 42,650.00 09/30/21 - 506,525.00 02/01/22 155,000 3.000% 42,650.00 197,650.00 08/01/22 40,325.00 40,325.00 09/30/22 237,975.00 02/01/23 160,000 3.000% 40,325.00 200,325.00 08/01/23 37,925.00 37,925.00 09/30/23 238,250.00 02/01/24 165,000 3.500% 37,925.00 202,925.00 08/01/24 35,037.50 35,037.50 09/30/24 237,962.50 02/01/25 170,000 3.500% 35,037.50 205,037.50 08/01/25 32,062.50 32,062.50 09/30/25 237,100.00 02/01/26 175,000 3.500% 32,062.50 207,062.50 08/01/26 29,000.00 29,000.00 09/30/26 236,062.50 02/01/27 185,000 4.000% 29,000.00 214,000.00 08/01/27 25,300.00 25,300.00 09/30/27 239,300.00 02/01/28 190,000 4.000% 25,300.00 215,300.00 08/01/28 21, 500.00 21, 500.00 09/30/28 236,800.00 02/01/29 200,000 4.000% 21,500.00 221,500.00 08/01/29 17,500.00 17,500.00 09/30/29 239,000.00 02/01/30 205,000 4.000% 17,500.00 222,500.00 08/01/30 13,400.00 13,400.00 09/30/30 235,900.00 02/01/31 215,000 4.000% 13,400.00 228,400.00 303 of 332 CITY OF SCHERTZ Certificate of Obligation Bonds, Series 2013 Original Issue Amount $7,625,000 General Fund and Utility Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 08/01/31 9,100.00 9,100.00 09/30/31 237,500.00 02/01/32 225,000 4.000% 9,100.00 234,100.00 08/01/32 4,600.00 4,600.00 09/30/32 238,700.00 02/01/33 230,000 4.000% 4,600.00 234,600.00 09/30/33 234,600.00 $ 3,490,000 $ 880,806 $ 4,370,806 $ 4,370,806 304 of 332 CITY OF SCHERTZ General Obligation Refunding Bonds, Series 2013 Original Issue Amount $2,160,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 190,000 2.580% 18,318.00 208,318.00 08/01/19 15,867.00 15,867.00 09/30/19 224,185.00 02/01/20 190,000 2.580% 15,867.00 205,867.00 08/01/20 13,416.00 13,416.00 09/30/20 219,283.00 02/01/21 200,000 2.580% 13,416.00 213,416.00 08/01/21 10,836.00 10,836.00 09/30/21 - 224,252.00 02/01/22 205,000 2.580% 10,836.00 215,836.00 08/01/22 8,191.50 8,191.50 09/30/22 224,027.50 02/01/23 205,000 2.580% 8,191.50 213,191.50 08/01/23 5,547.00 5,547.00 09/30/23 218,738.50 02/01/24 215,000 2.580% 5,547.00 220,547.00 08/01 /24 2,773.50 2,773.50 09/30/24 223, 320.50 02/01/25 215,000 2.580% 2,773.50 217,773.50 09/30/25 217,773.50 $ 1,420,000 $ 131,580 $ 1,551,580 $ 1,551,580 305 of 332 CITY OF SCHERTZ General Obligation Refunding Bonds, Series 2014 Original Issue Amount $2,160,000 General Fund Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 100,000 3.000% 144,137.50 244,137.50 08/01/19 142,637.50 142,637.50 09/30/19 386,775.00 02/01/20 100,000 3.000% 142,637.50 242,637.50 08/01/20 141,137.50 141,137.50 09/30/20 383,775.00 02/01/21 100,000 3.000% 141,137.50 241,137.50 08/01/21 139,637.50 139,637.50 09/30/21 380,775.00 02/01/22 750,000 3.000% 139,637.50 889,637.50 08/01/22 128,387.50 128,387.50 09/30/22 - 1,018,025.00 02/01/23 775,000 3.000% 128,387.50 903,387.50 08/01/23 116,762.50 116,762.50 09/30/23 1,020,150.00 02/01 /24 800,000 3.500% 116,762.50 916,762.50 08/01/24 102,762.50 102,762.50 09/30/24 1,019,525.00 02/01 /25 830,000 3.500% 102,762.50 932,762.50 08/01/25 88,237.50 88,237.50 09/30/25 1,021,000.00 02/01/26 860,000 3.500% 88,237.50 948,237.50 08/01/26 73,187.50 73,187.50 09/30/26 1,021,425.00 02/01/27 890,000 4.000% 73,187.50 963,187.50 08/01/27 55,387.50 55,387.50 09/30/27 1,018,575.00 02/01/28 930,000 4.000% 55,387.50 985,387.50 08/01 /28 36,787.50 36,787.50 09/30/28 1,022,175.00 02/01 /29 960,000 4.000% 36,787.50 996,787.50 08/01/29 17,587.50 17,587.50 09/30/29 1,014,375.00 02/01/30 1,005,000 3.500% 17,587.50 1,022,587.50 09/30/30 1,022,587.50 $ 8,100,000 $ 2,229,163 $ 10,329,163 $ 10,329,163 306 of 332 CITY OF SCHERTZ Tax Notes, Series 2015 Original Issue Amount $2,125,000 General Fund, EMS, & Utility Supported Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 7,656.25 7,656.25 08/01/19 340,000 1.750% 7,656.25 347,656.25 09/30/19 355,312.50 02/01/20 4,681.25 4,681.25 08/01/20 345,000 1.750% 4,681.25 349,681.25 09/30/20 354,362.50 02/01/21 1,662.50 1,662.50 08/01/21 190,000 1.750% 1,662.50 191,662.50 09/30/21 193,325.00 $ 875,000 $ 28,000 $ 903,000 $ 903,000 307 of 332 CITY OF SCHERTZ Tax Notes, Series 2015A Original Issue Amount $1,020,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 4,658.50 4,658.50 08/01/19 150,000 1.540% 4,658.50 154,658.50 09/30/19 159,317.00 02/01/20 3,503.50 3,503.50 08/01/20 150,000 1.540% 3,503.50 153,503.50 09/30/20 157,007.00 02/01/21 2,348.50 2,348.50 08/01/21 150,000 1.540% 2,348.50 152,348.50 09/30/21 154,697.00 02/01/22 1,193.50 1,193.50 08/01/22 155,000 1.540% 1,193.50 156,193.50 09/30/22 157,387.00 $ 605,000 $ 23,408 $ 628,408 $ 628,408 308 of 332 CITY OF SCHERTZ General Obligation Refunding Bonds, Series 2015 Original Issue Amount $4,185,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 660,000 2.000% 43,912.50 703,912.50 08/01/19 37,312.50 37,312.50 09/30/19 741,225.00 02/01/20 675,000 2.500% 37,312.50 712,312.50 08/01/20 28,875.00 28,875.00 09/30/20 741,187.50 02/01/21 690,000 3.000% 28,875.00 718,875.00 08/01/21 18,525.00 18,525.00 09/30/21 737,400.00 02/01/22 18,525.00 18,525.00 08/01/22 18,525.00 18,525.00 09/30/22 37,050.00 02/01/23 18,525.00 18,525.00 08/01/23 18,525.00 18,525.00 09/30/23 37,050.00 02/01/24 18,525.00 18,525.00 08/01/24 18,525.00 18,525.00 09/30/24 37,050.00 02/01/25 18,525.00 18,525.00 08/01/25 18,525.00 18,525.00 09/30/25 37,050.00 02/01/26 18,525.00 18,525.00 08/01/26 18,525.00 18,525.00 09/30/26 37,050.00 02/01/27 18,525.00 18,525.00 08/01/27 18,525.00 18,525.00 09/30/27 37,050.00 02/01/28 18,525.00 18,525.00 08/01/28 18,525.00 18,525.00 09/30/28 37,050.00 02/01/29 18,525.00 18,525.00 08/01/29 18,525.00 18,525.00 09/30/29 37,050.00 02/01/30 18,525.00 18,525.00 08/01/30 18,525.00 18,525.00 09/30/30 37,050.00 02/01/31 1,140,000 3.250% 18,525.00 1,158,525.00 09/30/31 1,158,525.00 309 of 332 CITY OF SCHERTZ General Obligation Refunding Bonds, Series 2015 Original Issue Amount $4,185,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total $ 3,165,000 $ 546,788 $ 3,711,788 $ 3,711,788 310 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2016 Original Issue Amount $5,880,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01 /19 215,000 4.000% 81,753.13 296,753.13 08/01/19 77,453.13 77,453.13 09/30/19 374,206.26 02/01/20 225,000 4.000% 77,453.13 302,453.13 08/01/20 72,953.13 72,953.13 09/30/20 375,406.26 02/01/21 235,000 4.000% 72,953.13 307,953.13 08/01/21 68,253.13 68,253.13 09/30/21 376,206.26 02/01/22 245,000 4.000% 68,253.13 313,25113 08/01/22 63,353.13 63,353.13 09/30/22 376,606.26 02/01/23 255,000 4.000% 63,353.13 318,353.13 08/01/23 58,253.13 58,253.13 09/30/23 376,606.26 02/01/24 265,000 4.000% 58,253.13 323,253.13 08/01/24 52,953.13 52,953.13 09/30/24 376,206.26 02/01/25 275,000 4.000% 52,953.13 327,953.13 08/01/25 47,453.13 47,453.13 09/30/25 375,406.26 02/01/26 285,000 4.000% 47,453.13 332,453.13 08/01/26 41,753.13 41,753.13 09/30/26 374,206.26 02/01 /27 295,000 2.000% 41,753.13 336,753.13 08/01/27 38,803.13 38,803.13 09/30/27 375, 556.26 02/01/28 300,000 2.000% 38,803.13 338,803.13 08/01/28 35,803.13 35,803.13 09/30/28 374,606.26 02/01/29 305,000 2.125% 35,803.13 340,803.13 08/01/29 32,562.50 32,562.50 09/30/29 373,365.63 02/01/30 310,000 2.250% 32,562.50 342,562.50 08/01/30 29,075.00 29,075.00 09/30/30 371,637.50 02/01/31 320,000 2.375% 29,075.00 349,075.00 311 of 332 CITY OF SCHERTZ General Obligation Bonds, Series 2016 Original Issue Amount $5,880,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 08/01/31 25,275.00 25,275.00 09/30/31 374,350.00 02/01/32 330,000 2.500% 25,275.00 355,275.00 08/01/32 21,150.00 21,150.00 09/30/32 376,425.00 02/01/33 335,000 3.000% 21,150.00 356,150.00 08/01/33 16,125.00 16,125.00 09/30/33 372,275.00 02/01/34 345,000 3.000% 16,125.00 361,125.00 08/01/34 10,950.00 10,950.00 09/30/34 372,075.00 02/01/35 360,000 3.000% 10,950.00 370,950.00 08/01/35 5,550.00 5,550.00 09/30/35 376,500.00 02/01/36 370,000 3.000% 5,550.00 375,550.00 09/30/36 375, 550.00 $ 5,270,000 $ 1,477,191 $ 6,747,191 $ 6,747,191 312 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2016A Original Issue Amount $2,375,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 175,000 4.000% 33,084.38 208,084.38 08/01/19 29,584.38 29,584.38 09/30/19 237,668.76 02/01/20 180,000 4.000% 29,584.38 209,584.38 08/01/20 25,984.38 25,984.38 09/30/20 235,568.76 02/01/21 190,000 4.000% 25,984.38 215,984.38 08/01/21 22,184.38 22,184.38 09/30/21 238,168.76 02/01/22 195,000 4.000% 22,184.38 217,184.38 08/01/22 18,284.38 18,284.38 09/30/22 235,468.76 02/01/23 205,000 4.000% 18,284.38 223,284.38 08/01/23 14,184.38 14,184.38 09/30/23 237,468.76 02/01/24 70,000 3.000% 14,184.38 84,184.38 08/01/24 13,134.38 13,134.38 09/30/24 97, 318.76 02/01/25 75,000 3.000% 13,134.38 88,134.38 08/01/25 12,009.38 12,009.38 09/30/25 100,143.76 02/01/26 75,000 3.000% 12,009.38 87,009.38 08/01/26 10,884.38 10,884.38 09/30/26 97,893.76 02/01/27 80,000 2.000% 10,884.38 90,884.38 08/01/27 10,084.38 10,084.38 09/30/27 100,968.76 02/01/28 80,000 2.000% 10,084.38 90,084.38 08/01/28 9,284.38 9,284.38 09/30/28 99,368.76 02/01/29 80,000 2.125% 9,284.38 89,284.38 08/01/29 8,434.38 8,434.38 09/30/29 97,718.76 02/01/30 85,000 2.250% 8,434.38 93,434.38 08/01/30 7,478.13 7,478.13 09/30/30 100,912.51 02/01/31 85,000 2.375% 7,478.13 92,478.13 313 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2016A Original Issue Amount $2,375,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 08/01/31 6,468.75 6,468.75 09/30/31 98,946.88 02/01/32 90,000 2.375% 6,468.75 96,468.75 08/01/32 5,400.00 5,400.00 09/30/32 101,868.75 02/01/33 90,000 2.500% 5,400.00 95,400.00 08/01/33 4,275.00 4,275.00 09/30/33 99,675.00 02/01/34 90,000 3.000% 4,275.00 94,275.00 08/01/34 2,925.00 2,925.00 09/30/34 97,200.00 02/01/35 95,000 3.000% 2,925.00 97,925.00 08/01/35 1,500.00 1,500.00 09/30/35 99,425.00 02/01/36 100,000 3.000% 1,500.00 101,500.00 09/30/36 101, 500.00 $ 2,040,000 $ 437,285 $ 2,477,285 $ 2,477,285 314 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2016B Original Issue Amount $1,475,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 55,000 3.000% 23,206.25 78,206.25 08/01/19 22,381.25 22,381.25 09/30/19 100,587.50 02/01/20 60,000 3.000% 22,381.25 82,381.25 08/01/20 21,481.25 21,481.25 09/30/20 103,862.50 02/01/21 60,000 3.000% 21,481.25 81,481.25 08/01/21 20,581.25 20,581.25 09/30/21 102,062.50 02/01/22 60,000 3.000% 20,581.25 80,581.25 08/01/22 19,681.25 19,681.25 09/30/22 100,262.50 02/01/23 65,000 3.000% 19,681.25 84,681.25 08/01/23 18,706.25 18,706.25 09/30/23 103,387.50 02/01/24 65,000 3.000% 18,706.25 83,706.25 08/01/24 17,731.25 17,731.25 09/30/24 101,437.50 02/01/25 70,000 3.000% 17,731.25 87,731.25 08/01/25 16,681.25 16,681.25 09/30/25 104,412.50 02/01/26 70,000 3.000% 16,681.25 86,681.25 08/01/26 15,631.25 15,631.25 09/30/26 102,312.50 02/01/27 75,000 3.500% 15,631.25 90,631.25 08/01 /27 14,318.75 14,318.75 09/30/27 104,950.00 02/01/28 75,000 3.500% 14,31875 89,318.75 08/01/28 13,006.25 13,006.25 09/30/28 102,325.00 02/01/29 80,000 3.500% 13,006.25 93,006.25 08/01/29 11,606.25 11,606.25 09/30/29 104,612.50 02/01/30 80,000 3.500% 11,606.25 91,606.25 08/01/30 10,206.25 10,206.25 09/30/30 101,812.50 02/01/31 85,000 3.500% 10,206.25 95,206.25 315 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2016B Original Issue Amount $1,475,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 08/01 /31 8,718.75 8,718.75 09/30/31 103,925.00 02/01 /32 85,000 3.750% 8,718.75 93,718.75 08/01/32 7,125.00 7,125.00 09/30/32 100,843.75 02/01/33 90,000 3.750% 7,125.00 97,125.00 08/01/33 5,437.50 5,437.50 09/30/33 102,562.50 02/01/34 95,000 375.000% 5,437.50 100,437.50 08/01/34 3,656.25 3,656.25 09/30/34 104,093.75 02/01/35 95,000 3.750% 3,656.25 98,656.25 08/01/35 1,875.00 1,875.00 09/30/35 100, 531.25 02/01/36 100,000 3.750% 1,875.00 101,875.00 09/30/36 101,875.00 $ 1,365,000 $ 480,856 $ 1,845,856 $ 1,845,856 316 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2017 Original Issue Amount $5,475,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 385,000 3.000% 78,212.50 463,212.50 08/01/19 72,437.50 72,437.50 09/30/19 535,650.00 02/01/20 400,000 3.000% 72,437.50 472,437.50 08/01/20 66,437.50 66,437.50 09/30/20 538,875.00 02/01/21 405,000 3.000% 66,437.50 471,437.50 08/01/21 60,362.50 60,362.50 09/30/21 531,800.00 02/01/22 420,000 3.000% 60,362.50 480,362.50 08/01/22 54,062.50 54,062.50 09/30/22 534,425.00 02/01/23 315,000 3.000% 54,062.50 369,062.50 08/01/23 49,337.50 49,337.50 09/30/23 418,400.00 02/01/24 325,000 3.000% 49,337.50 374,337.50 08/01/24 44,462.50 44,462.50 09/30/24 418,800.00 02/01/25 185,000 3.000% 44,462.50 229,462.50 08/01/25 41,687.50 41,687.50 09/30/25 271,150.00 02/01/26 190,000 3.000% 41,687.50 231,687.50 08/01/26 38,837.50 38,837.50 09/30/26 270, 525.00 02/01/27 195,000 3.000% 38,837.50 233,837.50 08/01/27 35,912.50 35,912.50 09/30/27 269,750.00 02/01/28 200,000 3.000% 35,912.50 235,912.50 08/01/28 32,912.50 32,912.50 09/30/28 268,825.00 02/01/29 205,000 3.000% 32,912.50 237,912.50 08/01/29 29,837.50 29,837.50 09/30/29 267,750.00 02/01/30 215,000 3.000% 29,837.50 244,837.50 08/01/30 26,612.50 26,612.50 09/30/30 271,450.00 02/01/31 220,000 3.000% 26,612.50 246,612.50 317 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2017 Original Issue Amount $5,475,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 08/01/31 23,312.50 23,312.50 09/30/31 269,925.00 02/01/32 225,000 3.000% 23,312.50 248,312.50 08/01/32 19,937.50 19,937.50 09/30/32 268,250.00 02/01/33 235,000 3.000% 19,937.50 254,937.50 08/01/33 16,412.50 16,412.50 09/30/33 271,350.00 02/01/34 240,000 3.250% 16,412.50 256,412.50 08/01/34 12,512.50 12,512.50 09/30/34 268,925.00 02/01/35 250,000 3.250% 12,512.50 262,512.50 08/01/35 8,450.00 8,450.00 09/30/35 270,962.50 02/01/36 255,000 3.250% 8,450.00 263,450.00 08/01/36 4,306.25 4,306.25 09/30/36 267,756.25 02/01/37 265,000 3.250% 4,306.25 269,306.25 09/30/37 269,306.25 $ 5,130,000 $ 1,353,875 $ 6,483,875 $ 6,483,875 318 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2017 Original Issue Amount $4,015,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 155,000 3.000% 59,537.50 214,537.50 08/01/19 57,212.50 57,212.50 09/30/19 271,750.00 02/01/20 160,000 3.000% 57,212.50 217,212.50 08/01/20 54,812.50 54,812.50 09/30/20 272,025.00 02/01/21 165,000 3.000% 54,812.50 219,812.50 08/01/21 52,337.50 52,337.50 09/30/21 272,150.00 02/01/22 170,000 3.000% 52,337.50 222,337.50 08/01 /22 49,787.50 49,787.50 09/30/22 272,125.00 02/01/23 175,000 3.000% 49,787.50 224,787.50 08/01/23 47,162.50 47,162.50 09/30/23 271,950.00 02/01/24 180,000 3.000% 47,162.50 227,162.50 08/01/24 44,462.50 44,462.50 09/30/24 271,625.00 02/01/25 185,000 3.000% 44,462.50 229,462.50 08/01/25 41,687.50 41,687.50 09/30/25 271,150.00 02/01/26 190,000 3.000% 41,687.50 231,687.50 08/01/26 38,837.50 38,837.50 09/30/26 270, 525.00 02/01/27 195,000 3.000% 38,837.50 233,837.50 08/01/27 35,912.50 35,912.50 09/30/27 269,750.00 02/01/28 200,000 3.000% 35,912.50 235,912.50 08/01/28 32,912.50 32,912.50 09/30/28 268,825.00 02/01/29 205,000 3.000% 32,912.50 237,912.50 08/01/29 29,837.50 29,837.50 09/30/29 267,750.00 02/01/30 215,000 3.000% 29,837.50 244,837.50 08/01/30 26,612.50 26,612.50 09/30/30 271,450.00 02/01/31 220,000 3.000% 26,612.50 246,612.50 319 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2017 Original Issue Amount $4.015.U00 General Fund []@ie Principal Coupon Interest Debt Service Fiscal Total 08/01/31 23.312.50 23.312.50 00/30/31 280.925.00 02/01/32 225.000 3.00096 23.312.50 248.312.50 08/01/32 10.037.50 19.037.50 09/30/32 208.250.00 02/81/33 235.000 3.000% 10.937.50 254.037.58 08/01/33 16.412.50 10.412.50 09/30/33 271.350.00 02/01/34 240.000 3.25096 10.412.50 256.412.50 08/01/34 12.512.50 12.512.50 09/30/34 208.925.00 02/01/35 250.000 3.250% 12.612.50 262.512.50 08/01/35 8'450.00 8.450.00 00/30/35 270.082.50 02/01/38 255,000 3.25096 8.450.00 203'450.00 08/01/36 4.306.25 4.306.25 09/30/30 207,750.25 02/01/37 265.000 3.250% 4.306.25 280.306.25 08V30/37 209'300.25 320 of 332 CITY OF SCHERTZ General Obligation Refunding, Series 2018 Original Issue Amount $6,035,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 550,000 2.120% 63,971.00 613,971.00 08/01/19 58,141.00 58,141.00 09/30/19 672,112.00 02/01/20 560,000 2.120% 58,141.00 618,141.00 08/01/20 52,205.00 52,205.00 09/30/20 670,346.00 02/01/21 570,000 2.120% 52,205.00 622,205.00 08/01/21 46,163.00 46,163.00 09/30/21 668,368.00 02/01/22 585,000 2.120% 46,163.00 631,163.00 08/01/22 39,962.00 39,962.00 09/30/22 671,125.00 02/01/23 595,000 2.120% 39,962.00 634,962.00 08/01/23 33,655.00 33,655.00 09/30/23 668,617.00 02/01/24 610,000 2.120% 33,655.00 643,655.00 08/01/24 27,189.00 27,189.00 09/30/24 670,844.00 02/01/25 625,000 2.120% 27,189.00 652,189.00 08/01/25 20,564.00 20,564.00 09/30/25 672,753.00 02/01/26 635,000 2.120% 20,564.00 655,564.00 08/01/26 13,833.00 13,833.00 09/30/26 669, 397.00 02/01/27 645,000 2.120% 13,833.00 658,833.00 08/01/27 6,996.00 6,996.00 09/30/27 665,829.00 02/01/28 660,000 2.120% 6,996.00 666,996.00 08/01/28 - - 09/30/28 666,996.00 $ 6,035,000 $ 661,387.00 $ 6,696,387.00 $ 6,696,387.00 321 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2018 Original Issue Amount $4,845,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 210,000 5.000% 118,569.79 328,569.79 08/01/19 96,381.25 96,381.25 09/30/19 424,951.04 02/01/20 220,000 5.000% 96,381.25 316,381.25 08/01/20 90,881.25 90,881.25 09/30/20 407,262.50 02/01/21 235,000 5.000% 90,881.25 325,881.25 08/01/21 85,006.25 85,006.25 09/30/21 410,887.50 02/01/22 245,000 5.000% 85,006.25 330,006.25 08/01/22 78,881.25 78,881.25 09/30/22 408,887.50 02/01/23 260,000 5.000% 78,881.25 338,881.25 08/01/23 72,381.25 72,381.25 09/30/23 411,262.50 02/01/24 270,000 5.000% 72,381.25 342,381.25 08/01/24 65,631.25 65,631.25 09/30/24 408,012.50 02/01/25 285,000 5.000% 65,631.25 350,631.25 08/01/25 58,506.25 58,506.25 09/30/25 409,137.50 02/01/26 185,000 5.000% 58,506.25 243,506.25 08/01/26 53,881.25 53,881.25 09/30/26 297, 387.50 02/01/27 195,000 5.000% 53,881.25 248,881.25 08/01/27 49,006.25 49,006.25 09/30/27 297,887.50 02/01/28 205,000 5.000% 49,00625 254,006.25 08/01/28 43,881.25 43,881.25 09/30/28 297,887.50 02/01/29 215,000 5.000% 43,881.25 258,881.25 08/01/29 38,506.25 38,506.25 09/30/29 297,387.50 02/01/30 225,000 4.000% 38,506.25 263,506.25 08/01/30 34,006.25 34,006.25 09/30/30 297,512.50 02/01/31 235,000 3.000% 34,006.25 269,006.25 322 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2018 Original Issue Amount $4,845,000 General Fund Date Principal Coupon Interest Debt Service Fiscal Total 08/01/31 30,481.25 30,481.25 09/30/31 299,487.50 02/01/32 240,000 3.000% 30,481.25 270,481.25 08/01/32 26,881.25 26,881.25 09/30/32 297,362.50 02/01/33 250,000 3.125% 26,881.25 276,881.25 08/01/33 22,975.00 22,975.00 09/30/33 299,856.25 02/01/34 255,000 3.250% 22,975.00 277,975.00 08/01/34 18,83125 18,831.25 09/30/34 296,806.25 02/01/35 265,000 3.250% 18,831.25 283,831.25 08/01/35 14,525.00 14,525.00 09/30/35 298,356.25 02/01/36 275,000 3.375% 14,525.00 289,525.00 08/01/36 9,884.38 9,884.38 09/30/36 299,409.38 02/01/37 285,000 3.375% 9,884.38 294,884.38 08/01/37 5,075.00 5,075.00 09/30/37 299,959.38 02/01/38 290,000 3.500% 5,075.00 295,075.00 09/30/38 295,075.00 $ 4,845,000 $ 1,909,776.05 $ 6,754,776.05 $ 6,754,776.05 323 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2018 Original Issue Amount $5,595,000 Water & Sewer Date Principal Coupon Interest Debt Service Fiscal Total 02/01/19 175,000 5.000% 132,956.25 307,956.25 08/01/19 109,587.50 109,587.50 09/30/19 417,543.75 02/01/20 185,000 5.000% 109,587.50 294,587.50 08/01/20 104,962.50 104,962.50 09/30/20 399,550.00 02/01/21 195,000 5.000% 104,962.50 299,962.50 08/01/21 100,087.50 100,087.50 09/30/21 400,050.00 02/01/22 205,000 5.000% 100,087.50 305,087.50 08/01/22 94,962.50 94,962.50 09/30/22 400,050.00 02/01/23 215,000 5.000% 94,962.50 309,962.50 08/01/23 89,587.50 89,587.50 09/30/23 399,550.00 02/01/24 225,000 5.000% 89,587.50 314,587.50 08/01/24 83,962.50 83,962.50 09/30/24 398,550.00 02/01/25 235,000 5.000% 83,962.50 318,962.50 08/01/25 78,087.50 78,087.50 09/30/25 397,050.00 02/01/26 250,000 5.000% 78,087.50 328,087.50 08/01/26 71,837.50 71,837.50 09/30/26 399,925.00 02/01/27 260,000 5.000% 71,837.50 331,837.50 08/01/27 65,337.50 65,337.50 09/30/27 397,175.00 02/01/28 275,000 5.000% 65,337.50 340,337.50 08/01/28 58,462.50 58,462.50 09/30/28 398,800.00 02/01/29 290,000 5.000% 58,462.50 348,462.50 08/01/29 51,212.50 51,212.50 09/30/29 399,675.00 02/01/30 300,000 4.000% 51,212.50 351,212.50 08/01/30 45,212.50 45,212.50 09/30/30 396,425.00 02/01/31 310,000 3.000% 45,212.50 355,212.50 324 of 332 CITY OF SCHERTZ Certificates of Obligation, Series 2018 Original Issue Amount $5,595,000 Water & Sewer Date Principal Coupon Interest Debt Service Fiscal Total 08/01/31 40,562.50 40,562.50 09/30/31 395,775.00 02/01/32 320,000 3.000% 40,562.50 360,562.50 08/01 /32 35,762.50 35,762.50 09/30/32 396,325.00 02/01 /33 330,000 3.125% 35,762.50 365,762.50 08/01/33 30,606.25 30,606.25 09/30/33 396,368.75 02/01/34 340,000 3.250% 30,606.25 370,606.25 08/01/34 25,081.25 25,081.25 09/30/34 395,687.50 02/01/35 355,000 3.250% 25,081.25 380,081.25 08/01/35 19,312.50 19,312.50 09/30/35 399,393.75 02/01/36 365,000 3.375% 19,312.50 384,312.50 08/01/36 13,153.13 13,153.13 09/30/36 397,465.63 02/01/37 375,000 3.375% 13,153.13 388,153.13 08/01/37 6,825.00 6,825.00 09/30/37 394,978.13 02/01/38 390,000 3.500% 6,825.00 396,825.00 09/30/38 396,825.00 $ 5,595,000 $ 2,382,162.51 $ 7,977,162.51 $ 7,977,162.51 325 of 332 The Schertz /Seguin Local Government Corporation Contract Revenue Bonds Paid 1/2 Schertz, 1/2 Seguin Fiscal Year Schertz Debt Endina 9/30 Series 2001 Series 2010 Series 2014 2015 Total Pavment 2019 520,000 1,388,363 663,175 2,436,975 5,008,513 2,504,256 2020 520,000 1,389,813 664,450 2,444,175 5,018,438 2,509,219 2021 520,000 1,389,163 662,575 2,426,850 4,998,588 2,499,294 2022 520,000 1,391,263 665,175 2,434,650 5,011,088 2,505,544 2023 520,000 1,392,363 665,650 2,435,950 5,013,963 2,506,981 2024 520,000 1,387,563 663,950 2,436,250 5,007,763 2,503,881 2025 520,000 1,391,763 666,463 2,435,125 5,013,351 2,506,675 2026 520,000 1,389,434 3,226,375 5,135,809 2,567,905 2027 520,000 1,390,113 3,214,125 5,124,238 2,562,119 2028 520,000 1,389,088 3,222,250 5,131,338 2,565,669 2029 520,000 1,391,681 3,220,250 5,131,931 2,565,966 2030 520,000 1,391,769 3,213,250 5,125,019 2,562,509 2031 2,268,330 1,389,306 1,475,500 5,133,136 2,566,568 2032 2,272,390 1,390,156 1,478,750 5,141,296 2,570,648 2033 2,271,250 1,388,625 1,480,500 5,140,375 2,570,188 2034 2,269,780 1,389,572 1,483,800 5,143,152 2,571,576 2035 2,272,590 1,388,438 1,479,000 5,140,028 2,570,014 2036 1,389,438 3,737,200 5,126,638 2,563,319 2037 1,392,306 3,741,300 5,133,606 2,566,803 2038 1,387,681 3,750,200 5,137,881 2,568,941 2039 1,390,444 3,743,900 5,134,344 2,567,172 2040 1,390,356 3,742,400 5,132,756 2,566,378 2041 1,392,300 3,740,400 5,132,700 2,566,350 2042 425,300 425,300 212,650 2043 424,600 424,600 212,300 2044 423,300 423,300 211,650 $17,594,340 $31,970,994 $4,651,438 $64,272,375 $118,489,147 $59,244,573 326 of 332 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. 327 of 332 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 ho general obligation bonds and can be issued after meeting strict publication requirements and council approval. Charter Adocument that establishes the city's governmental structure and provides distribution of powers and duties. |n order tobe 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 ao the legislative and policy-making bodof the City. CRM Client Resource Management -a type of software for tracking dutos, events, and clients. Debt Service Payments on debt made up of principle and interest following o set schedule. Delinquent Taxes Property taxes remaining unpaid after the due date. Delinquent taxes incur penalties and interest at rates specified bylaw. Department Afunotiuna| group of the City with related activities aimed at accomplishing a major City service or program. Depreciation |n accounting, this isononoesh expense that reduces the value ufa capital asset over its expected useful life. Effective Tax Rate The rate that would produce the same amount ofproperty taxes from the properties nn the previous year's tax rolls. Enterprise Fund See Proprietary Fund. Expenditure Any payment made by the City. 328 of 332 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 1st 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. 329 of 332 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. 330 of 332 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. 331 of 332 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. 332 of 332