03-12-2020 Agenda with backupMEETING AGENDA
THE MAIN STREET COMMITTEE
REGULAR SESSION
MARCH 12, 2020
HAL BALDWIN MUNICIPAL COMPLEX
ROOM
1400 SCHERTZ PARKWAY BUILDING #4
SCHERTZ, TEXAS 78154
Call to order (Councilmember Davis )
Discussion and/or Action Items
1. Minutes - Consideration and /or action regarding the approval of the Minutes of the Regular
Meeting of December 1.7, 2019. .
2 Projected Timelines - List of tasks /projects with projected timelines.
3 Art Installations - Update and discussion regarding Art installation and selection.
4 Parking - Review of parking options.
5 Grant Programs - Review of changes to the Main Street grant programs and grants awards.
Adjournment
rAX1:71111WCAINITOILI
I, BRENDA DENNIS, CITY SECRETARY OF THE CITY OF SCHERTZ, TEXAS, DO HEREBY
CERTIFY THAT THE ABOVE AGENDA WAS PREPARED AND POSTED ON THE OFFICIAL
BULLETIN BOARDS ON THIS THE 3rd DAY OF MARCH 2020 AT 8:45 A.M., WHICH IS A
PLACE READILY ACCESSIBLE TO THE PUBLIC AT ALL TIMES AND THAT SAID NOTICE
WAS POSTED IN ACCORDANCE WITH CHAPTER 551, TEXAS GOVERNMENT CODE.
March 12, 2020 MAIN STREET AGENDA Page 1
Brenda Dennis
I CERTIFY THAT THE ATTACHED NOTICE AND AGENDA OF ITEMS TO BE
CONSIDERED BY THE CITY COUNCIL WAS REMOVED BY ME FROM THE OFFICIAL
1 1`11111111 11111, 11 !, :II'1 1 M I aalnm
This facility is accessible in accordance with the Americans with Disabilities Act. Handicapped parking
spaces are available. If you require special assistance or have a request for sign interpretative services
or other services, please call 210 -619 -1030.
March 12, 2020 MAIN STREET AGENDA Page 2
DRAFT
MINUTES
THE MAIN STREET COMMITTEE
REGULAR SESSION
DECEMBER 17, 2019
HAL BALDWIN MUNICIPAL
COMPLEX COUNCIL CHAMBERS
CONFERENCE ROOM
1400 SCHERTZ PARKWAY
BUILDING #4
SCHERTZ, TEXAS 78154
Present: Ralph Gutierrez
Mark Davis
Scott Larson
Tim Brown
City Staff: Brian James, Assistant City Manager
Brenda Dennis, City Secretary
Attendees: Maggie Titterington
Dean Weirtz
Nick Marquez
1. Call to order (Councilmember Davis)
Chair Davis called the meeting to order at 6:00 p.m. Mr. Davis recognized the new
members and provided a quick overview of what the committee responsibilities are and
also an overview of what has been done and discussed.
December 17, 2019 Main Street Minutes Page 1
Discussion and /or Action Items
1. Minutes - Consideration and/or action regarding the approval of the Minutes of the
Regular Meeting of June 18, 2019. (B. Dennis)
To approve the minutes of the Regular meeting of June 18, 2019.
Moved by Councilmember Scott Larson, seconded by Councilmember Mark Davis
AYE: Mayor Ralph Gutierrez, Councilmember Mark Davis, Councilmember Scott
Larson, Councilmember Tim Brown
Passed
2. Projected Timelines - List of tasks /projects with projected timelines.
The following topics and timelines were discussed:
• Parking Lot Improvements — Mid January
• Sidewalk — Complete mid February
• TxDOT completing work on FM 1518
• City contracting with C -3 Environmental for approximately 900' of 4' wide
sidewalk, driveway adjustment, ramps and some curb work.Work to begin in early
January. Need to notify impacted property owners. Coordinate where private
development is occurring.
• Enforce no use of right -of -way for parking (where cars overlap sidewalk area)
• Art Wall on Parking lot — Complete mid April
• Entry Monuments — Complete July
• Art Sculptures — Compete early September
• Decorative Lighting, Street Work, Benches, Trash Cans — pending design/cost —
make decision in April
Future Meetings for 2020:
Wednesday, February 19, 2020
Tuesday, April 21, 2020
Tuesday, June 16, 2020
Tuesday, September 15, 2020
Tuesday, November 17, 2020
3. HOT Funds - Overview of HOT funds, current balance, projected expenditures, annual
new income projections.
The followng items were discussed:
• Used for Main Street Historic Preservation Grant
• Civic Center eligible items ($230,000 audio visual renovation)
• Some Events (BVYA, etc.)
• Proposed for Art Installations
• End of FY 2018/19 balance = $2,381,951.14
• Annual expenses = $200,000 to $250,000
• Annual Revenues = $475,000 to $525,000 and likely to increase with new
hotels /all hotels open
December 17, 2019 Main Street Minutes Page 2
• Initial amount to request in budget adjustment for art?
4. Art Installations - Discussion on Art installations.
The following topics were discussed:
• Use HOT Funds
• Diorama scene at Cut -Off Park — settlers with animals, buffalo in distance
• Approximately 6 individual life size sculptures on alternating blocks, midblock
(to avoid sight distance issues)
• Approximately 6 more sculptures on Schertz Parkway to Hal Baldwin
Municipal Complex. Some proposed to be commissioned (unique)
• Proposing to submit paperwork for T -33 in Odessa
5. Parking - Review of parking issues.
The following topics were discussed:
-Pavement on Main Street is approximately 40' wide
• Allows for parallel parking on both sides and two way traffic
• Angled parking requires at least 54' of paving (30 degree) but maximize parking
with 60 degree parking which requires 62' of pavement
• Frequent driveways and street intersections limit on street parking
6. Grant Programs - Review of Main Street Grant Programs.
The following topics were discussed:
• Historic Main Street Preservation Grant
• Up to $20,000 match (50150)
• Both residential and commercial
• All areas of renovation
• Funded through HOT funds
• Local Flavor Grant
• Up to $20,000 match (50150)
• Just commercial
• Specific categories of renovations /improvements (each capped)
• Funded through general fund
• Consider changes to grant programs.
Adjournment
Chair Davis recognized Councilmember Brown who moved seconded by Mayor Gutierrez to
adjourn, Chair Davis adjourned the meeting at 7:34 p.m.
Mark Davis, Chair
ATTEST:
Brenda Dennis, City Secretary
December 17, 2019 Main Street Minutes Page 3
December 17, 2019 Main Street Minutes Page 4
Main Street Sculpture/Art Program
Survey Results
B. James
October 24, 2019
8MM
SCHI]EIRTZ I 0-MEWIM
Main Street Area ScWpture/Art Program
Ma�n Street— Mostly lra&bona , rntx thernes and sutslects
Sc hertz, Pariknway -- not rnuch -- jusk tie E n - pert'�aps 0emens
1,41al BaWwin Cornptex -- F""eopie and Mong traB farrn eq�flpns.erit
Cut Off Park sce, ne, water ah
0
Survey Feedback
,)ditiortW
* Modern�
* Mix
Ms,')0y tra4fionM but some mix OK in right spot
My thought is traditional on Main Street, some modem on ScherLz
Parkway
Survey Feedback in Street
Peop�e 3
Ani,,,,,nals 4
Western/SettlersdNadve Americans 4
-Ra&oad 5
-Aviation/MiRary 2
-Other
-Mix I
WX �)Y far most popumr
Recommendation is do a mix railroad by Lee and Main
CMAWN"
sorm
SCHEIRTZ I WORM"
URMAHR
V,
Survey Feedback Schertz Parkway
Peop e
Animals
a'kaka"`. stt rn Se ttl r,3 '/ l tk4`e Americans
-Railroad 4,
"other
-Mix t
St.11nt sort of tbt,,t'vveen t Ox but fsmpi- si ing people, ra k3+ acl and
Anima Is
Recommendation is do a mix — emphasizo people by unUp l
Complex, Clemens tie in, and People/Railroad south of Elbel
ire tr t. Area ScWpture/Art Program
CUStOrTI �3'CWP'IIUk's
l [1l �t'L � "'
K
Main Street Area ScWpture/Art Program
�, Static Dis[Aay
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51
People
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Go'gle Map
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Map data 02019, Map data 02019 20 ft s
Measure distance
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11-04 '�019 09:07 AM
314-HOTEL TAX
REVENUES I
laufla
000-411800 Hotel Occupancy Tax
C I T Y 0 F S C H E R T Z
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF: SEPTEMBER 30TH, 2019
PAGE: 2
% OF YEAR COMPLETED: 100.00
CURRENT CURRENT PRIOR YEAR Y-T-D Y-T-D BUDGET % OF
BUDGET PERIOD Y-T-D ACTUAL ENCUMBRANCE BALANCE BUDGET
-- -------------- .... ..... . —111-11, --- I — -------- - --
TOTAL Taxes 500,000.00 7,846.40 520,423.78 487,508.83 0.00 12,491.17 97.50
000-491000 Interest Earned
3,000.00
89.81 2,667.83
2,174.99
0.00 825.01 72.50
000-491200 Investment Income
--42-211-62
0.00 ( ---LL-QAL-EZ) _10_1 7
TOTAL Miscellaneous
----------- -
28,000,00
89.81 28,837.57
44,216.61
0.00 16,216.61) 157.92
TOTAL REVENUES
528,000.00
7,936.21 549,261.35
531,725.44
0.00 3,725.44) 100.71
11-002019 09:07 AM
C I T Y
O F S C H E R
T Z
PAGE: 3
REVENUE AND EXPENSE REPORT (UNAUDITED)
AS OF:
SEPTEMBER 30TH,
2019
314 -HOTEL TAX
GENERAL GOVERNMENT
% OF
YEAR COMPLETED:
100.00
NON DEPARTMENTAL
CURRENT
CURRENT
PRIOR YEAR
Y -T -D
Y -T -D
BUDGET
% OF
BUDGET
PERIOD
Y -T -D
ACTUAL
ENCUMBRANCE
BALANCE
BUDGET
Pe conned S vi es
s
C'i ty 4 Dt�rt yi
101- 532800 Special Events
60,650-00
14,728.83
54,429.68
59 ®369.05
0.00
1,280.95
97,89
101 - 532820 Community Programs
50,Q00.00
0.64
____31_U7 .7
7 76
0.00
22.2
TOTAL City Support Services
110,650.00
14,728.83
85,797.47
87,133.37
0.00
.68
23,516.63
78.75
®L5e 4°a t�On� SLa'r,Or
101 - 534100 Advertising
49,500.00
0.00
18,845.17
0.00
0.00
49,500.00
0.00
101 - 534120 Advertising - Billboards
16.000.00
3,073.50
7 0 0 00
19:941.06
0.00
1,059.00
TOTAL Operations Support
65,500.00
3,073,50
32,375.17
14,941.00
0.00
50,559.00
22.81
9° to � s ante
Prof S�ona1 S rv; es
101w- 541300 Other Professional Services
0.00
60.00
1,276,13
28,189.26
0.00 (
28,189.26)
0.00
101- 541400 Auditor /Accounting Service
3 000.00
0.00
000.66
0.00
0.60
006. Q0
TOTAL Professional Services
3,000.00
60.00
4,276.13
28,189.26
0.00 (
25,189.26)
939.64
F d ihar�o„c! cfpr.,G
101- 548000 Transfer Out
67,582.00
0,00
0.00
0.00
0.00
67,582.00
0.00
101- 548100 Interfund Transfer Out
O.OQ
5 31.83
67,605.00
67:582.00
0.00 (
67.5 2.00)
TOTAL Fund Charges /Transfers
67,582,00
5,631.83
67,605.00
67,582.00
0.00
0.00
100.00
Maintenance a2zyi ces
101 - 551100 Building Maintenance
Qa000_00
0.00
7 879:35
0.00
0.00
lQ.QOa.a6
TOTAL Maintenance Services
10,000,00
0.00
7,879.35
0.00
0.00
10,000.00
0,00
Opera Ana E u. m nt
7aital Oc't1 av
101 - 581750 Civic Center Improvements
000
0:00
8 255.00
0.00
6.00
0.00
TOTAL Capital Outlay
0.00
0,00
8,255.00
0.00
0.00
0.00
0.00
** TOTAL ON DEPARTMENTAL
256,732.00
23,494.16
206,188.12
197,845.63
0.00
58,886.37
77.06
** TOTAL GENERAL GOVERNMENT
256,732.00
23,494.16
206,188.12
197,845.63
0.00
58;886.37
77.06
* ** TOTAL EXPENDITURES * **
256,732.00
23,494.16
206,188.12
197,845.63
0.00
58,886.37
77.06
* ** END OF REPORT * **
11-14i2019 04:28
PM
C I T Y 0 F
S C H E R T Z
PAGE:
TRIAL
BALANCE
AS OF: SEPTEMBER 30TH, 2019
314-HOTEL TAX
MONTH
TO DATE
YEAR
TO DATE
ACCT#
ACCOUNT NAME
DEBITS
CREDITS
DEBITS
CREDITS
000-110000
Claim on Op Cash Hotel
32,278.75
37,118.24
000-116200.309 Invstmt MBIA-Hotel/Motel
20,000.00
2,113,439.20
000-119000
Accounts Receivable-Customer
0.00
33,548.07
j+,�',�jjiT.TTIES AND
FUND BALAh1
AP Pending (Due to Pooled)
3,279.20
3,279.20
000-211000
000-336000
Fnd Dal Restr-Hotel/Motel Tax
0.00
1,846,946.50
MENIM
000-411800
Hotel Occupancy Tax
7,846.40
487,508.83
000-491000
Interest Earned
89.81
2,174.99
000-491200
Investment Income
0.00
42,041.62
EXPENDITURES_
101-532800
Special Events
14,728.83
59,369.05
101-532820
Community Programs
0.00
27,764.32
101-534120
Advertising-Billboards
3,073.50
14,941.00
101-541300
Other Professional Services
60.00
28,189.26
101-548100
Interfund Transfer Out
5,631.83
67,582.00
TOTALS
43,494.16
43,494.16
2,381,951.14
2,381,95114
END
OF REPORT
M-
51M. MMM
ki i i 0 #1 0 It I I it
Section 1.2 Administration
tj 74a am t a -.M L, 1' a a
Section 1.3 Mobility Criteria
a) Property must have been constructed more than 50 years prior to the date of
application and be designated as a Landmark Property.
b) Property must be located within the Main Street Incentive Area. See attachei
map.
c) All taxes and government fees must be current on the property.
Section 1.4 Types of Grant Assistance
I
Section 1.5 Grant Application Procedures
At the start of the fiscal year, the city will promote the amount of fimding avaiJable.
I Ort; liw 1! crli ical view; su ecRc,
Vki j I L I
P)
Section UPurpose
is offering grants that will serve to help new and existing businesses and properties within this
area.
Section L2 Administration
The program will be administered by the City Manager and or his/her designee.
Section 1.3 Eligibility Criteria
'E��
MRIMIMISIP -P i.
S
At the start of the fiscal year, the city will promote the amount of funding available.
Applications will be received throughout the fiscal year, subject to the availability of funds.