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08-11-2020 Agenda with BackupMEETING AGENDA City Council REGULAR SESSION CITY COUNCIL August 11, 2020 SCHERTZ, TEXAS 78154 CITY OF SCHERTZ CORE VALUES Do the right thing Do the best you can Treat others the way you want to be treats Work cooperatively s a team City it will hold its regularly schedul tin at ., Tuesday, t 11, at the its Council Chambers. In lies of attending the meeting in person, residents will have the unit y to watch the ti via live stream on the i' YOUTube Channel. Call to Order Opening Prayer and Pledges of Allegiance to the Flags of the United States and State of Texas. ( Councilmember Scagliola) A. Mayor Pro -Tem Oath of Office - Oath of Office administered to Councilmember Rosemary Scott. (B. Dennis) City Events and Announcements • Announcements of upcoming City Events (B. James /C. Kelm/S. Gonzalez) • Announcements and recognitions by the City Manager (M. Browne) • Announcements and recognitions by the Mayor (R. Gutierrez) Hearing of Residents Residents who choose to watch the meeting via lave stream, but who would lade to participate in Residents to be Heard, should email their comments to City Secretary, Brenda Dennis, at bdennis( schertz.com by 5.00 p.m. on Monday, august 10, 2020, SO THAT THE CITY SECRETARY MAY READ THE PUBLIC COMMENTS INTO THE RECORD UNDER THE HEARING OF RESIDENTS. In the body of the August 11, 2020 City Council Agenda Page 1 email please include your name, your address, phone number, agenda item if applicable or subject of discussion, and your comments. This time is set aside for any person who wishes to address the City Council. Each person should fill out the speaker's register prior to the meeting. Presentations should be limited to no more than 3 minutes. All remarks shall be addressed to the Council as a body, and not to any individual member thereof. Any person making personal, impertinent, or slanderous remarks while addressing the Council may be requested to leave the meeting. Discussion by the Council of any item not on the agenda shall be limited to statements of specific factual information given in response to any inquiry, a recitation of existingpolicy in response to an inquiry, and /or a proposal to place the item on a future agenda. The presiding officer, during the Hearing of Residents portion of the agenda, will call on those persons who have signed up to speak in the order they have registered. Workshop 1 Proposed FY 2020 -21 Budget - Workshop and Discussion on the Proposed FY 2020 -21 Budget. (M. Browne /B. James /J. Walters) 2. Workshop Discussion and Update (Ordinance 20 -11-18) - Discussion and update regarding the COVID -19 virus and our current Ordinance No. 20 -H -1.8 Declaration of Local Disaster. (M. Browne /K. Long) Consent Agenda Items The Consent Agenda is considered self - explanatory and will be enacted by the Council with one motion. There will be no separate discussion of these items unless they are removed from the Consent Agenda upon the request of the Mayor or a Councilmember. 3. Minutes — Consideration and /or action regarding the approval of the minutes of the meeting of August 4, 2020. (B. Dennis) 4 Resolution No. 20 -R -89 — Consideration and/or action approving a Resolution by the City Council of the City of Schertz, Texas, authorizing a contract with M &C Fonseca Construction Co., Inc. relating to the construction of the F.M. 1103 TxDOT Utility Adjustments Phase II Project and authorizing the budget expenditures for the project. (C. Kelm /S. Williams /S. McClelland) Resolution No. 20 -R -82 - Consideration and/or action approving a Resolution by the City Council of the City of Schertz, Texas, authorizing a contract with San Antonio Constructors, Ltd., relating to the Cherry Tree Drive Rehabilitation Project and authorizing the budget expenditures for the project. (B. James /K. Woodlee /J. Nowak) 6. Resolution No. 20 -R -88 - Consideration and /or action approving a Resolution by the City Council of the City of Schertz, Texas authorizing the City Manager to enter into a Service Contract with Fort Sam Houston Independent School District for EMS services. (C. Kelm /J. Mabbitt) August 11, 2020 City Council Agenda Page 2 Discussion and Action Items 7 Resolution No. 20 -R -78 - Consideration and/or action approving a Resolution by the City Council of the City of Schertz, Texas, for the authorizing of an agreement with DAC, Inc. of New Braunfels, Texas, for the city -wide access control systems upgrade project. (B. James /M. Clauser) $. Ordinance No. 20 -H -25 - Consideration and/or action approving an Ordinance by the City Council of the City of Schertz, Texas, amending the Code of Ordinances, Chapter 34 "Health ". First Reading (C. Kelm /M. Bane) 9, Resolution No. 20 -R -84 - Consideration and /or action approving a Resolution by the City Council of the City of Schertz, Texas, authorizing a preliminary maximum tax rate for fiscal year 2020 -21 and setting the Public Hearing dates, and other matters in connection therewith. (M. Browne /B. James /J. Walters) 10. Ordinance No. 20 -T -27 - Consideration and/or action approving an Ordinance by the City Council of the City of Schertz, Texas, authorizing an adjustment to the fiscal year 2019 -2020 budget, repealing all Ordinances or parts of Ordinances in conflict with this Ordinance; and providing an effective date. First Reading (M. Browne/B. James /J. Walters) Roll Call Requests and Announcements • Announcements by the City Manager. • Requests by Mayor and Councilmembers for updates or information from staff. • Requests by Mayor and Councilmembers that items or presentations be placed on a future City Council agenda. • Announcements by Mayor and Councilmembers • City and community events attended and to be attended • City Council Committee and Liaison Assignments (see assignments below) • Continuing education events attended and to be attended • Recognition of actions by City employees • Recognition of actions by community volunteers Adjournment .-1 N 7111 1 �I [�kr li [�7►1 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 7th DAY OF AUGUST 2020 AT 3:45 P.M., WHICH IS A PLACE READILY ACCESSIBLE TO THE PUBLIC AT ALL TIMES AND THAT SAID NOTICE August 11, 2020 City Council Agenda Page 3 WAS POSTED IN ACCORDANCE WITH CHAPTER 551, TEXAS GOVERNMENT CODE. I CERTIFY THAT THE ATTACHED NOTICE AND AGENDA OF ITEMS TO BE CONSIDERED BY THE CITY COUNCIL WAS REMOVED BY ME FROM THE OFFICIAL BULLETIN BOARD ON DAY OF , 2020. TITLE: This facility is accessible in accordance with the Americans with Disabilities Act. Handicapped parking spaces are available. If you require special assistance or have a request for sign interpretative services or other services, please call 210 -619 -1030. The City Council for the City of Schertz reserves the right to adjourn into closed session at any time during the course of this meeting to discuss any of the matters listed above, as authorized by the Texas Open Meetings Act. Closed Sessions Authorized: This agenda has been reviewed and approved by the City's legal counsel and the presence of any subject in any Closed Session portion of the agenda constitutes a written interpretation of Texas Government Code Chapter 551 by legal counsel for the governmental body and constitutes an opinion by the attorney that the items discussed therein may be legally discussed in the closed portion of the meeting considering available opinions of a court of record and opinions of the Texas Attorney General known to the attorney. This provision has been added to this agenda with the intent to meet all elements necessary to satisfy Texas Government Code Chapter 551.144(c) and the meeting is conducted by all participants in reliance on this opinion. COUNCIL COMMITTEE AND LIAISON ASSIGNMENTS Mayor Gutierrez Councilmember Scagliola — Place 5 Audit Committee Cibolo Valley Local Government Corporation - Investment Advisory Committee Alternate Main Street Committee Hal Baldwin Scholarship Committee Interview Committee for Boards and Commissions - Alternate Schertz- Seguin Local Government Corporation Councilmember Davis— Place 1 Councilmember Scott — Place 2 Audit Committee Interview Committee for Boards and Commissions Interview Committee for Boards and Commissions Main Street Committee - Chair Schertz Housing Authority Board TIRZ II Board Councilmember Larson — Place 3 Councilmember Dahle — Place 4 Main Street Committee — Vice Chair Cibolo Valley Local Government Corporation Interview Committee for Boards and Commissions TIRZ II Board August 11, 2020 City Council Agenda Page 4 Councilmember Heyward — Place 6 Audit Committee Investment Advisory Committee Schertz Animal Services Advisory Commission Councilmember Brown — Place 7 Main Street Committee Schertz - Seguin Local Government Corporation - August 11, 2020 City Council Agenda Page 5 Agenda No. 1. ei Olum City Council August 11, 2020 Meeting: Department: Finance Subject: Proposed FY 2020 -21 Budget - Workshop and Discussion on the Proposed FY 2020 -21 Budget. (M. Browne /B. James/J. Walters) Workshop on the Proposed FY 2020 -21 Budget and highlights from the General Fund, W &S Fund, EMS Fund, Drainage Fund, SEDC, and Restricted Revenue Funds. General Fund revenue will increase 5.7% over FY 2019 -20 year end estimates not including the transfer in from reserves. The largest contributor to this increase will be from property and sales taxes. The property taxes for FY 2019 -20 are estimated to increase 4.3% and sales taxes are estimated to increase 5%. The sales tax growth trend follows the area development growth and the potential for new businesses. Miscellaneous Income is expected to decrease 10.1% in FY 2020 -21 from the year end estimates due to an anticipated lower yield on investments. The investment income closely follows the Federal Funds Rate which is near zero which will decrease the investment income in the proposed budget year. The overall FY 2020 -21 General Fund Operating Budget increased 5.7% from FY 2019 -20 year end estimates. This increase includes $386,000 for new positions and personnel programs for Police, Fire, and Planning & Zoning. The new personnel assignments will be based on an independent firm's staffing recommendations after review of the practices and service levels of the City. Another notable item for the FY 2019 -20 Budget is the implementation of the Classification & Compensation Study's first year recommendation. This study by a 3rd parry reviews market wages and makes recommendations for compensation adjustments for City staff. The first year recommended adjustment was effective on July 4th, 2020. The study also recommended annual Employment Cost Index (ECI) adjustments. The budget includes $211,000 for a 1% ECI for all employees effective October 1 st. This budget also proposes $400,000 for a Comprehensive Land Use Plan and Unified Development Code update. These documents help the City plan for its continued growth. The Facilities Maintenance Budget will also increase by $55,000 for annual maintenance to help address the regular building maintenance required for the City facilities. The City will also pull $500,000 from its fund balance for additional capital projects. $200,000 for streets, $150,000 for parks and trails, $100,000 for drainage, and $50,000 for sidewalk improvements. The annual budget is required to have a public hearing before adoption. Staff recommends holding that hearing on August 25, and September 1, and adopt the budget on second reading on September 8, 2020. This follows the regulations set by the state in the Local Government Code on budget adoption chapter 102. GOAL To review the budget and proposed changes. COMMUNITY BENEFIT The Proposed Budget is submitted to the City Council and is available on the website for the public to review. SUMMARY OF RECOMMENDED ACTION No action taken tonight. There will be a public hearing on the budget on August 25th and on September 1 st prior to adoption. FISCAL IMPACT The budget is an operational increase of $972,075 or a 2.7% increase over the FY 2019 -20 Adopted Budget. Non Personnel Budgets decreased 4.5% due to fewer capital purchases and lower tax abatement payments. Personnel Budgets increase 6.9% with the first Class & Comp Study recommendation implementation, the merit program, anticipated medical insurance changes, a Employment Cost Index adjustment, and the addition of 4 new positions. RECOMMENDATION No action tonight, staff will return with a public hearing on August 25 and September 1 and adoption ordinance on September 1 and September 8. Attachments FY 2020 -21 Proposed Budget City of Fiscal Year 2020-21 Budget Cover , • This budget will raise more total property taxes than last year's budget by $914,787 or 5% increase, and of that amount, $621,251 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: N/A AGAINST: N/A PRESENT and not voting: N/A ABSENT: N/A Property Tax Rate Comparison 2019 -20 2019 -20 Property Tax Rate: $0.5146/100 $0.5146/100 No- new - revenue /Effective Rate: $0.5079/100 $0.5057/100 No- new - revenue /Effective Maintenance & Operations Tax $0.3475/100 $0.3437/100 Rate: Voter - approval Rate: $0.5247/$100 N/A Rollback Tax Rate: N/A $0.5362/100 Debt Rate: $0.1650/100 $0.1650/100 Total debt obligation for the City of Schertz secured by property taxes: $ 75,077,338 CITY OF SCHERTZ, TEXAS :- CITY COUNCIL RALPH GUTIERREZ Mayor MARK DAVIS Council Member, Place 1 ROSEMARY SCOTT Council Member, Place 2 SCOTT LARSON Council Member, Place 3 MICHAEL DAHLE Council Member, Place 4 DAVID SCAGLIOLA Council Member, Place 5 ALLISON HEYWARD Council Member, Place 6 TIM BROWN Council Member, Place 7 • - a a . MARK BROWNE, CITY MANAGER BRIAN C. JAMES, ASSISTANT CITY MANAGER CHARLSE KELM, ASSISTANT CITY MANAGER SARAH GONZALEZ, ASSISTANT TO THE CITY MANAGER JAMES P. WALTERS, FINANCE DIRECTOR BABETT MARTIN, ASSISTANT FINANCE DIRECTOR MAYA LEDOLIX, FINANCIAL ANALYST 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 2020 -21 BUDGET Table of Contents Executive Summary General Fund Summary 8 Revenues 10 City Council 15 City Manager 19 Municipal Court 23 311 /Customer Relations 28 Planning & Zoning 31 Legal Services 38 City Secretary 41 Non - Departmental 46 Public Affairs 49 Engineering 56 Geographic Information Systems 62 Police 66 Fire Rescue 79 Inspections 85 Streets 91 Parks, Recreation, & Community Services 96 Pools 102 Event Facilities 106 Library 111 Animal Services 115 Information Technology 119 Human Resources 124 Finance 129 Purchasing & Asset Management 134 Fleet Services 139 Facility Services 145 Projects 151 City Assistance 152 Court Restricted Funds 154 Interest & Sinking Fund 157 Water & Sewer Summary 162 Business Office 166 Water & Sewer Administration 171 Capital Recovery - Water 181 Capital Recovery — Sewer 186 Drainage Summary 191 Revenues 195 Expenditures 196 Emergency Medical Services (EMS) Summary 200 Revenues 205 Expenditures 206 Schertz Economic Development Corporation Summary 209 Revenues 213 Expenditures 214 Special Revenue Funds Special Events 217 Public, Educational, and Government (PEG) Access Fund 220 Hotel /Motel Tax 224 Park Fund 228 Tree Mitigation 232 Library Fund 236 Historical Committee 240 Glossary 244 XXXXX Executive Summary General Fund Revenue: General Fund revenue will increase 5.7% over FY 2019 -20 year end estimates not including the transfer in from reserves. The largest contributor to this increase will be from property and sales taxes. The property taxes for FY 2019 -20 are estimated to increase 4.3% and sales taxes are estimated to increase 5 %. The sales tax growth trend follows the area development growth and the potential for new businesses. Miscellaneous Income is expected to decrease 10.1% in FY 2020 -21 from the year end estimates due to an anticipated lower yield on investments. The investment income closely follows the Federal Funds Rate which is near zero which will decrease the investment income in the proposed budget year. Expenses: The overall FY 2020 -21 General Fund Operating Budget increased 5.7% from FY 2019 -20 year end estimates. This increase includes $386,000 for new positions and personnel programs for Police, Fire, and Planning & Zoning. The new personnel assignments will be based review of the practices and service levels of the City. Another notable item for the FY 2019 -20 Budget is the implementation of the Classification & Compensation Study s first year recommendation. This study by a 31 party reviews market wages and makes recommendations for compensation adjustments for City staff. The first year recommended adjustment was effective on July 4t", 2020. The study also recommended annual Employment Cost Index (ECI) adjustments. The budget includes $211,000 for a 1% ECI for all employees effective October 1St This budget also proposes $400,000 for a Comprehensive Land Use Plan and Unified Development Code update. These documents help the City plan for its continued growth. The Facilities Maintenance Budget will also increase by $55,000 for annual maintenance to help address the regular building maintenance required for the City facilities. The City will also pull $500,000 from its fund balance for additional capital projects. $200,000 for streets, $150,000 for parks and trails, $100,000 for drainage, and $50,000 for sidewalk improvements. City Council The Proposed FY 2019 -20 Budget increases 7.8% from the FY 2018 -19 year end estimates. The costs of the November 2020 election have been received from the counties and show an increase in cost under City Support Services. New tablets, phones, and monitors will be purchased in FY 2019 -20 for councilmembers. 1 of 249 XXXXX EXECUTIVE SUMMARY City Manager The FY 2020 -21 Budget increases 8.3% from the year end estimates due to a higher salary for the Economic Development Director, which is offset by the contract with the Economic Development Corporation. Municipal Court The FY 2020 -21 Budget increased 10.9% from year end estimates due to personnel increases based on the classification and compensation study results. Judge and Prosecutor services also contribute to the increase with the expectation the court will be fully operational after COVID -19 in FY 2020 -21. 311 Customer Service The FY 2020 -21 Budget increases 5.1% from the year end estimates due to personnel increases with the classification and compensation study recommendation. Planning & Zoning The FY 2020- the addition of a Comprehensive Land Use Plan, Parks Master Plan, and Unified Development Code update for $400,000. To manage the long term planning for the City, an additional Senior Planner is to be hired. Legal Services The FY 2020 -21 Budget increases 3.4% from the FY 2019 -20 year end estimate with the anticipated billable hours for legal services in FY 2020 -21. City Secretary The FY 2020 -21 Budget increases1.0% from the FY 2019 -20 year end estimate for furniture purchases. Non - Departmental The FY 2020 -21 Budget decreases 15.1 % from the FY 2019 -20 year end estimate with the expiration of the Amazon.com and Capital Group tax abatements. Public Affairs The FY 2020 -21 Budget increases 7.2% from the FY 2019 -20 year end estimate due to a citizen satisfaction survey that is done every other year. Personnel also increases with the classification and compensation study recommendation. Engineering The FY 2020 -21 Budget increases 28.7% from the year end estimate due to personnel changes. FY 2020 -21 will have a full year funding of the new engineer position approved in FY 2019 -20, funding of the promotion of the Project Manager to an Engineer, and include pay adjustments from the classification and compensation study recommendation. GIS The FY 2020 -21 Budget increases 2.8% from the FY 2019 -20 year end estimate for unused training expenses, compensation adjustments and increased equipment leasing costs. 2 of 249 XXXXX EXECUTIVE SUMMARY Police The FY 2020 -21 Budget increases 8.0% from the FY 2019 -20 year end estimate for additional personnel expenditures. These personnel increases include a new Student Resource Officer and a new Captain position for the Police Department. Other personnel increases include a pay increase as recommended by the classification and compensation study. The FY 2020 -21 Budget will also include additional vehicle fuel and training in anticipation of more officer positions being filled. Fire Rescue The FY 2020 -21 Budget will increase 6.4% from the FY 2019 -20 year end estimate from higher personnel costs to hire a new Emergency Management Coordinator to oversee the Emergency Operations Center during events, coordinate the update of emergency plans, and apply for applicable grants. Capital Outlay will increase to begin replacing handheld radios over 3 years. Inspections The FY 2020- - implementation of the classification and compensation recommendation. Streets The FY 2020 -21 Budget will decrease 11.9% from the FY 2019 -20 year end estimate. Increases in personnel expenditures related to the classification and compensation study implementation is offset with fewer capital purchases planned in FY 2020 -21. Parks The FY 2020 -21 Budget will increase 1.9% from the FY 2019 -20 year end estimate with the classification and compensation study recommendation which is partially offset with less maintenance with the completion of the Senior Center Parking lot renovation. Pools The FY 2020 -21 Budget will decrease 0.3% from the FY 2019 -20 year end estimate. Event Facilities The FY 2020 -21 Budget will increase 10.5% from the FY 2019 -20 year end estimate due to full staffing and the purchase of replacement equipment. Library The FY 2020 -21 Budget increases 1.1 % from the FY 2019 -20 year end estimate with no changes in operations. Animal Services This budget was combined into the Police Department Budget. Information Technology The Information Technology FY 2020 -21 Budget increases 14.4% from the FY 2019 -20 year end estimates. Primary costs changes include increases in annual software support costs, plus the addition of annual costs for new services such as ADP, the new text archiving service, services added to allow work - from -home options for staff, etc. Due to COVID -19, equipment purchases and regular desktop replacements in Operating Equipment did not happen and will be increased in FY 2020 -21. In addition, all cell phone expenses are now consolidated into the IT budget and removed from various 3 of 249 XXXXX EXECUTIVE SUMMARY departments except for charges related to enterprise funds in order to improve transparency. Cost reductions implemented for FY 2020 -21 include decreases in training, hardware purchases, consulting and maintenance expenses. Human Resources The FY 2020 -21 Budget will increase 13.6% from the FY 2019 -20 year end estimate. FY 2019 -20 had additional savings related to COVID -19 as training and staff events did not happen. The increase represents returning to normal operations. Finance The FY 2020 -21 Budget will increase 5.0% from the FY 2019 -20 year end estimate due to additional compensation awarded from the classification and compensation study. Purchasing & Asset Management The FY 2020 -21 Budget will increase 5.0% from the FY 2019 -20 year end estimate due to personnel increase related to the classification and compensation study recommendation. Fleet Services The FY 2020 -21 Budget will increase 8.0% from the FY 2019 -20 year end estimate due to personnel expenditures. The increase comes from the anticipation of being fully staffed including hiring of an Assistant Public Works Director and from increases related to the classification and compensation study recommendation. Facility Services The FY 2020 -21 Budget increases 2.6% from the FY 2019 -20 year end estimates due personnel expenditures related to the classification and compensation study recommendation. City Assistance The FY 2020 -21 Budget will decrease 0.8% from the FY 2019 -20 year end estimate with no change in operations. Court Restricted Funds The FY 2020 -21 Budget will increase $3,227 from the FY 2019 -20 to match the increase in court technology fee projections. Interest & Sinking Fund Revenues: Revenues for FY 2020 -21 increase 3.4% from the FY 2019 -20 estimate with higher property values. Expenses: The FY 2020 -21 Budget will increase 1.0% from the FY 2019 -20 year end estimate following the debt service schedule. Water & Sewer Fund Revenue: Revenues for FY 2020 -21 are expected to decrease 6.1 % from the FY 2019- 20 year end estimate with lower water and sewer fees after COVID-19. Expenses: The FY 2020 -21 Budget decreases 15.0% from the FY 2019 -20 year end estimates due to fewer projects being funded which offset increases in the W &S 4 of 249 XXXXX EXECUTIVE SUMMARY Administration. Utility Billing The FY 2020 -21 Budget decreases 9.6% from the FY 2019 -20 year end estimate. Personnel increases from the classification and compensation study recommendation are offset by no capital outlay purchases and no software upgrades for FY 2020 -21. Administration The FY 2020 -21 Budget will increase 2.6% from the FY 2019 -20 year end estimate for increased sewer treatment costs from the new winter average. Additional increases include personnel expenditures related to being fully staffed and for the classification and compensation study recommendation. Capital Recovery Fund Water Projects for FY 2020 -21 include conducting the Water/Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the 1 million gallon elevated tank at Corbett which was funded in FY 2018 -19 Capital Recovery Fund - Sewer Projects for FY 2020 -21 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. Drainage Fund Revenue: The FY 2020 -21 revenue from drainage fees is expected to increase 17.4% with a transfer from reserves to purchase replacement capital equipment. Expenses: The FY 2020 -21 Budget will increase 16.3% from the FY 2019 -20 year end estimate to purchase additional capital equipment and provide additional mowing that will no longer be covered by the state. EMS Fund Revenue: Revenues for FY 2020 -21 are expected to increase4.7% from FY 2019 -20 year end estimates for additional transports and an increase on the inter - jurisdictional contracts. Expenses: The FY 2020 -21 Budget will increase 3.8% from the FY 2019 -20 year end estimate. Additional personnel expenditures for new staff are offset by additional revenue brought in by the calls those staff will be on. Schertz Economic Development Corporation (SEDC) Revenues: The SEDC receives one -half of one percent of all sales and use tax generated within the City of Schertz. The revenue for FY 2020 -21 is projected to increase by 0.3% from the FY 2019 -20 year -end estimate. The increase reflects a 5% increase in sales tax revenue which is offset by lower investment returns. The SEDC will also transfer $3,496,428 from its reserves for performance agreement payments expected in FY 2020 -21. 5 of 249 EXECUTIVE SUMMARY XXXXX Expenses: The SEDC funds are restricted to those expenses authorized by the Texas Local Government Code sections 501 and 505. The expenses for FY 2020 -21 are projected to increase by 19% for additional personnel costs, grant awards and software purchases. Special Events Fund Revenue: The revenue for FY 2020 -21 is expected to decrease 6.0% from FY 2019- 20 year end estimates in anticipation of a lower turnout at events. Expenses: The Special Events Fund FY 2020 -21 Budget decrease 0.2% from the FY 2019 -20 year end estimates with no change in operations. Public, Educational, and Governmental Access (PEG) Fund Revenue: Revenues for FY 2020 -21 are expected to increase from $86,168 to $185,500 from the FY 2019 -20 year end estimates with a transfer from reserves to fund the master communication plan. Expenses: The PEG Fund FY 2020 -21 Budget increased from $3,259 to $185,500 from the FY 2019 -20 year end estimates with the continued implementation of the communication master plan. Hotel Motel Tax Fund Revenue: Revenue for FY 2020 -21 is expected to decrease 1.8% from the FY 2019- 20 year end estimates due to lower investment returns. Expenses: The Hotel Motel Tax Fund FY 2020 -21 Budget decrease 38.2% from FY 2019 -20 year end estimates due to no planned improvements to the Civic Center. Park Fund Revenue: The revenue for FY 2020 -21 is expected to decrease 12.1 % from the FY 2019 -20 year end estimates from new development. Expenses: The FY 2020 -21 Budget decrease 29.4% from the FY 2019 -20 year end estimate with fewer planned parks improvements. Tree Mitigation Revenue: The revenue for FY 2020 -21 is expected to increase by 4.8% from 2019- 20 year end estimate with fewer additional new development projects. Expenses: The FY 2020 -21 Budget will increase by 16.7% from the FY 2019 -20 year end estimate for additional tree trimming and planting shade trees throughout the city. 6 of 249 XXXXX EXECUTIVE SUMMARY Library Fund Revenues: Revenue for FY 2020-21 is expected to decrease 6.0% from the FY 2019- 20 year end estimate with less book sales. Expenses: 020-21 Budget increase 0.2% from the FY 2019- 20 year end estimates with no expected changes in operations. Historical Committee Revenues: Revenue for FY 2020-21 is expected to decrease 6.0% from the FY 2019- 20 year end estimate with less book sales. Expenses: 020-21 Budget increase 0.2% from the FY 2019- 20 year end estimates with no expected changes in operations. 7 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX FINANCIAL SUMMARY 2017 -2018 ACTUAL (-------- 2018 -2019 ACTUAL - - - - -- CURRENT BUDGET 2019 -2020 --------------- Y -T -D ACTUAL PROJECTED YEAR END -------- 2020 -2021 -- - - - - -) CITY ADMIN. ADOPTED RECOMMENDED BUDGET REVENUE SUMMARY 79,763 92,341 129,542 93,339 124,704 134,389 Taxes 20,507,460 22,193,926 23,448,050 21,204,142 23,629,050 25,198,550 Franchises 2,308,335 2,270,107 2,184,000 1,655,565 2,305,000 2,334,000 Permits 2,244,153 1,539,511 1,742,250 1,326,245 1,760,643 1,767,250 Licenses 73,381 65,787 56,860 39,487 58,160 56,860 Fees 2,587,847 2,459,972 2,390,134 1,581,076 2,140,231 2,390,534 Fines & Forfeitures 20,902 14,583 12,000 5,964 10,000 11,000 Inter- Jurisdictional 887,256 926,570 977,436 609,116 975,643 1,066,925 Fund Transfers 2,989,901 2,697,683 8,124,257 2,143,366 2,878,317 3,667,362 Miscellaneous 918,108 1,252,501 907,250 809,367 803,241 722,100 TOTAL REVENUES 32,537,343 33,420,639 39,842,237 29,374,328 34,560,285 37,214,581 EXPENDITURE SUMMARY NON PROGRAM GENERAL GOVERNMENT CITY COUNCIL 79,763 92,341 129,542 93,339 124,704 134,389 CITY MANAGER 1,256,251 1,086,888 1,194,870 871,799 1,176,639 1,273,718 MUNICIPAL COURT 368,540 347,078 340,383 244,862 330,477 366,556 CUSTOMER RELATIONS -311 121,141 117,254 107,747 82,648 108,135 113,604 PLANNING & ZONING 220,761 227,535 253,322 131,736 220,674 695,183 LEGAL SERVICES 129,958 135,598 150,000 50,765 145,000 150,000 CITY SECRETARY 200,851 207,930 201,461 155,137 206,142 208,258 NONDEPARTMENTAL 2,424,967 2,171,669 3,092,480 1,869,087 2,974,298 2,526,233 PUBLIC AFFAIRS 301,935 609,184 596,624 418,677 585,245 627,572 RECORDS MANAGEMENT 62,624 0 0 0 0 0 SCHERTZ TALES MAGAZINE 370,241 ( 350) 0 0 0 0 ENGINEERING 639,481 703,456 767,011 488,535 680,121 875,454 CIS 172.851 177,700 182,674 142,609 185,375 190,585 TOTAL GENERAL GOVERNMENT 6,349,363 5,876,284 7,016,114 4,549,194 6,736,810 7,161,552 PUBLIC SAFETY POLICE 7,238,194 8,077,388 9,079,000 6,290,212 8,683,474 10,130,278 FIRE RESCUE 4,806,193 5,287,798 5,529,519 4,156,594 5,766,664 6,136,787 INSPECTIONS 923,193 962,856 999,402 649,652 971,323 1,020,616 MARSHAL'S OFFICE 372,049 0 0 0 0 0 TOTAL PUBLIC SAFETY 13,339,628 14,328,041 15,607,921 11,096,458 15,421,461 17,287,681 8 of 249 8 -06 -2020 03:47 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 101- GENERAL FUND AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY PUBLIC ENVIRONMENT STREETS TOTAL PUBLIC ENVIRONMENT PARKS & RECREATION PARKS SWIM POOL EVENT FACILITIES TOTAL PARKS & RECREATION CULTURAL LIBRARY TOTAL CULTURAL HEALTH ANIMAL SERVICES ENVIRONMENTAL HEALTH TOTAL HEALTH INTERNAL SERVICE INFORMATION TECHNOLOGY HUMAN RESOURCES FINANCE PURCHASING & ASSET MGT FLEET SERVICE BUILDING MAINTENANCE TOTAL INTERNAL SERVICE MISC & PROJECTS PROJECTS CITY'S ASSISTANCE COURT- RESTRICTED FUNDS TOTAL MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 1,230,206 1 301 880 1,883,260 868,686, 1,775,180, 1 563 977 1,230,206 1,301,880 1,883,260 868,686 1,775,180 1,563,977 1,059,505 1,483,637 1,620,028 843,869 1,555,275 1,584,079 578,573 567,606 569,878 267,830 571,412 569,878 125,438 323,241 395,017 233,087 354,813 392,192 1,763,517 2,374,484 2,584,923 1,344,786 2,481,500 2,546,149 945,948 999,857 1,025,736 753,789 1,047,808 1,059,697 945,948 999,857 1,025,736 753,789 1,047,808 1,059,697 529,980 499,493 699,825 509,853 693,970 0 199 779 0 0 0 0 0 729,759 499,493 699,825 509,853 693,970 0 1,838,909 2,218,800 2,470,537 1,283,673 2,136,705 2,444,657 506,860 658,495 704,174 483,124 650,535 716,135 565,676 595,797 608,893 475,350 618,929 649,851 230,539 227,974 233,183 173,831 235,872 242,951 750,015 801,809 1,046,481 686,848 981,284 1,060,214 1,442,251 1,491,452 1,608,197 1,044,800 1,586,738 1,628,725 5,334,250 5,994,326 6,671,465 4,147,625 6,210,063 6,742,533 0 0 4,000,000 0 0 500,000 312,091 303,127 330,000 226,089 332,666 330,000 6,500 2,607 22,992 0 19,765 22.992 318,591 305,733 4,352,992 226,089 352.431 852,992 30,011,261 31,680,098 39,842,237 23,496,480 34,719,223 37,214,581 2,526,081 1,740,541 0 5,877,848 ( 158,938) 0 9 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX REVENUES (-------- - - - - -- 2019 -2020 --------------- -------- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Taxes 000 - 411100 Advalorem Tax - Current 11,849,652 13,471,714 14,060,000 13,956,866 13,960,000 14,554,500 000 - 411110 Disable Veterans Assist Pymnt 0 201,117 300,000 0 0 500,000 000- 411200 Advalorem Tax - Delinquent 73,378 55,579 50,000 34,363 50,000 50,000 000 - 411300 Advalorem Tax -P &I 85,694 70,356 50,000 56,839 50,000 50,000 000- 411500 Sales Tax Revenue -Gen Fund 8,455,341 8,334,642 8,944,000 7,093,626 9,489,000 9,964,000 000 - 411600 Bingo Tax 11 24 50 28 50 50 000 - 411700 Mixed Beverage Tax 43.384 60,494 44,000 62,419 80,000 80,000 TOTAL Taxes 20,507,460 22,193,926 23,448,050 21,204,142 23,629,050 25,198,550 Franchises 000 - 421200 Center Point /Entex Energy 80,245 92,448 90,000 77,463 90,000 95,000 000- 421220 City Public Service 975,967 943,529 1,020,000 681,843 1,020,000 1,020,000 000 - 421240 Guadalupe Valley Elec Co -op 454,085 445,505 455,000 298,300 445,000 455,000 000 - 421250 New Braunfels Utilities 71,119 66,591 78,000 47,912 78,000 78,000 000 - 421300 Time Warner -State Franchise 305,571 310,384 180,000 206,152 320,000 250,000 000 - 421460 AT &T Franchise Fee 137,206 129,614 75,000 128,347 66,000 150,000 000 - 421480 Other Telecom Franchise - ROW 129,917 125,415 130,000 95,339 130,000 130,000 000 - 421500 Solid Waste Franchise Fee 154,225 156,621 156,000 120,208 156,000 156,000 TOTAL Franchises 2,308,335 2,270,107 2,184,000 1,655,565 2,305,000 2,334,000 Permits 000- 431100 Home Occupation Permit 490 525 500 525 500 500 000 - 431205 Bldg Permit- Residential 688,249 528,025 550,000 462,543 550,000 550,000 000 - 431210 Bldg Permit - Commercial 687,368 154,369 350,000 164,318 300,000 350,000 000 - 431215 Bldg Permit - General 329,072 362,898 350,000 255,825 350,000 350,000 000 - 431300 Mobile Home Permit 350 750 400 300 750 400 000 - 431400 Signs Permit 5,458 9,231 5,600 3,647 5,550 5,600 000 - 431500 Food Establishmnt Permit 60,950 62,460 63,000 63,270 66,000 63,000 000 - 431600 Garage Sale Permit 2,135 0 0 0 0 0 000 - 431700 Plumbing Permit 161,472 125,205 138,950 97,919 138,500 138,950 000 - 431750 Electrical Permit 82,140 70,860 70,900 48,100 66,000 70,900 000 - 431800 Mechanical Permit 76,940 65,740 68,300 51,640 69,500 68,300 000 - 431900 Solicitor /Peddler Permit 2,620 6,500 2,300 866 6,500 2,300 000 - 431950 Animal /Pet Permit 90 15 500 15 50 500 000- 432000 Cert of Occupancy Prmt 6,450 9,250 6,300 6,100 9,000 6,300 000 - 432100 Security Alarm Permit 51,697 48,506 43,000 29,906 39,293 43,000 000 - 432300 Grading /Clearing Permit 14,646 15,118 12,500 6,914 9,000 12,500 000 - 432400 Development Permit 39,252 52,297 50,000 105,469 115,000 75,000 000 - 435000 Fire Permit 33,025 27,763 30,000 28,890 35,000 30,000 000 - 436010 Network Nodes 1,750 0 0 0 0 0 TOTAL Permits 2,244,153 1,539,511 1,742,250 1,326,245 1,760,643 1,767,250 Licenses 000 - 441000 Alcohol Beverage License 7,085 7,543 8,100 5,470 8,000 8,100 000 - 441300 Mobile Home License 80 80 160 120 160 160 000 - 442000 Contractors License 63,660 55,600 45,600 32,940 48,000 45,600 000 - 444000 Pet License 2,556 2.564 3,000 957 2.000 3.000 TOTAL Licenses 73,381 65,787 56,860 39,487 58,160 56,860 10 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND REVENUES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX 11 of 249 (-------- - - - - -- 2019 -2020 --------------- -------- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Fees 000 - 451000 Municipal Court Fines 642,041 689,543 664,160 467,039 629,238 664,160 000 - 451100 Arrest Fee 24,743 26,448 25,680 15,848 21,518 25,680 000 - 451110 Expunction Fee 0 30 160 100 200 160 000- 451200 Warrant Fees 75,203 72,813 73,560 52,318 70,469 73,560 000 - 451210 Court - Claims & Judgements 0 ( 215) 0 0 0 0 000- 451220 Officer Jury Fee 0 0 0 91 200 400 000 - 451310 Restitution Fee -Local 0 0 0 126 0 0 000 - 451320 Civil Justice Fee -Court 0 0 0 0 250 500 000 - 451340 Judicial Fee -City 3,315 3,516 3,432 1,379 2,151 3,432 000 - 451400 Traffic Fine Costs TTL 11,712 12,521 12,168 7,242 9,699 12,168 000 - 451510 Juvenile Case Mgmt Fee 27,696 29,338 28,668 11,494 17,930 28,668 000 - 451520 Truancy Fees 4,889 5,448 5,352 8,571 9,805 5,352 000- 451530 Local Municipal Jury Fund 0 0 0 130 200 400 000 - 451600 Technology Fund Fee 22,098 23,423 22,992 14,526 19,765 22,992 000 - 451700 Security Fee 16,678 17,567 17,244 13,365 17,321 17,244 000 - 451800 Time Payment Fee -City 4,986 4,968 4,968 3,195 4,514 4,968 000 - 451850 State Fines 10o Service Fee 29,598 35,756 38,752 25,866 37,000 38,752 000 - 451900 PIS Payment -Local 5,916 5,501 5,592 3,863 5,296 5,592 000 - 452000 Child Safety Fee 6,798 9,743 10,356 5,235 8,505 10,356 000- 452100 Platting Fees 53,000 52,500 59,000 22,250 40,250 59,000 000 - 452200 Site Plan Fee 36,000 31,500 36,000 6,000 20,000 36,000 000- 452300 Plan Check Fee 817,115 527,531 625,000 418,742 560,000 625,000 000 - 452320 Tree Mitigation Admin Fee 17,369 5,280 15,000 10,707 15,000 15,000 000 - 452400 BOA /Variance Fees 5,778 3,250 5,000 1,000 1,500 5,000 000 - 452600 Specific Use /Zone Chng Fee 23,938 18,800 18,000 21,090 23,000 18,000 000 - 452710 Zoning Ltr & Dev Rights 1,950 4,500 1,950 2,400 5,400 1,950 000 - 453100 Reinspection Fees 169,225 226,667 170,000 149,276 198,000 170,000 000 - 453110 Swim Pool Inspection Fee 2,620 1,430 2,500 2,090 2,900 2,500 000 - 453200 Lot Abatement 1,615 2,508 5,000 6,029 10,000 5,000 000 - 453211 Admin Fee - Inspections 24,600 11,100 18,600 9,200 12,000 18,600 000 - 453310 Miss Inspection Fees 3,613 400 0 300 500 0 000 - 453710 Foster Care 1,100 403 500 350 500 500 000 - 454200 Pool Gate Admission Fee 23,053 24,312 24,000 4,735 12,000 24,000 000 - 454300 Seasonal Pool Pass Fee 4,410 4,234 5,000 1,290 1,400 5,000 000 - 456120 Senior Center Meal Fee 802 401 0 11,127 20,000 20,000 000- 456500 HAS MAT Fees 0 1,041 5,000 0 5,000 5,000 000 - 456600 Fire Re- inspection Fee 1,145 493 1,000 400 750 1,000 000- 458000 Sale of General Fixed Assets 19,252 0 20,000 0 0 20,000 000 - 458100 Sale of Merchandise 0 2,111 0 360 3,000 0 000 - 458110 Sale of Mdse - GovDeals 86,052 113,073 80,000 26,366 50,000 80,000 000 - 458400 Civic Center Rental Fees 210,428 211,568 200,000 6,125 150,000 187,000 000 - 458401 Capital Recovery Fee -Civic C 8,220 17,940 7,500 11,700 15,000 0 000 - 458402 Civic Center Ancillary Fees 0 0 0 200 0 0 000 - 458450 North Center Rental Fees 26,582 27,797 23,000 11,625 15,000 20,000 000- 458460 Senior Center Rental 4,600 8,101 7,000 3,500 7,000 7,000 000 - 458500 Community Center Rental Fees 40,651 45,211 35,000 15,088 20,000 34,000 000 - 458501 Community Center Service Fees 0 250 0 500 0 0 000 - 458510 Grand Ballroom Rental Fees 0 27,219 0 90,911 0 0 11 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND REVENUES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXX9(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 000 - 458520 Cut -Off Hall Rental Fees 0 5,644 0 12,161 0 0 000 - 458530 Conference Hall Rental Fees 0 269 0 1,788 0 0 000 - 458540 Bluebonnet Hall Rental Fees 0 20,250 0 23,611 0 0 000 - 458550 Pavilion Rental Fees 20,380 20,672 20,000 4,300 15,000 20,000 000 - 458560 Chamber of Comm Rent 7,800 7,800 7,500 5,850 7,800 7,500 000- 458570 Non - Resident SYSA League 13,080 19,170 10,000 8,590 10,000 10,000 000 - 458580 HOA Meeting Rental Fees 0 450 0 1,050 1,200 0 000 - 458581 Funeral Reception Rental Fees 0 225 0 600 0 0 000 - 458582 Quality of Life Rental Fees 0 1,860 0 4,380 0 0 000 - 458590 Cancellation Fees -Event Recta 0 250 0 5,795 0 0 000 - 458650 NonResident User Fee -BVYA 9,670 10,710 10,000 6 5,000 10,000 000 - 458660 BVYA Utility Reimbursement 21,919 13,490 15,000 0 0 15,000 000 - 458670 SYSA Utility Reimbursement 5,465 4,883 7,500 4,494 0 7,500 000 - 458675 Lions Futbol Utility Reimbrsm 8,860 17,064 10,000 12,582 15,000 10,000 000- 458685 Recreation Programs 0 0 0 0 1,000 1,000 000- 458685.Rec Prgrm- Kickball Leagues 0 0 0 744 2,600 2,600 000 - 458700 Vehicle Impoundment 10,920 7,820 10,000 8,520 10,000 10,000 000 - 459200 NSF Check Fee 25 100 100 125 200 100 000 - 459300 Notary Fee 96 42 100 30 125 100 000 - 459400 Maps,Copies,UDC & Mice Fees 35 30 0 5 45 0 000 - 459600 Animal Adoption Fee 18,827 12,423 12,000 10,570 15,000 12,000 000- 459700 Pet Impoundment Fee 6,257 6,099 5,000 8,276 10,000 5,000 000 - 459800 Police Reports Fee 5,723 4.702 5,800 3.850 5.000 5.800 TOTAL Fees 2,587,847 2,459,972 2,390,134 1,581,076 2,140,231 2,390,534 Fines & Forfeitures 000 - 463000 Library Fines 20,902 14.583 12,000 5,964 10.000 11.000 TOTAL Fines & Forfeitures 20,902 14,583 12,000 5,964 10,000 11,000 Inter - Jurisdictional 000 - 473100 Bexar Cc - Fire 36,886 5,269 21,077 21,078 21,077 21,077 000 - 473200 City of Seguin -Fire Contract 30,108 30,108 30,107 22,581 30,108 30,107 000 - 473300 Guadalupe Co- Library 217,152 217,152 217,152 180,960 217,152 203,191 000 - 473400 Randolph AFB - Animal Control 200 0 500 0 200 500 000 - 474200 Library Services - Cibolo 35,002 35,000 40,000 40,030 40,000 40,000 000 - 474210 Library Services -Selma 21,750 23,475 24,000 26,505 26,506 26,000 000 - 474400 Dispatch Service - Cibolo 160,000 160,000 166,000 120,000 160,000 166,000 000- 474600 School Crossing Guard -Bexar C 43,763 41,418 36,000 28,550 36,000 36,000 000 - 474610 School Cross Guard - Guadalupe 43,636 39,748 39,000 31,013 41,000 41,000 000- 474700 School Officer Funding 255,000 349,400 353,600 88,400 353,600 453,050 000 - 474750 Crime Victim Liaison Agreemen 43,760 25.000 50,000 50.000 50.000 50.000 TOTAL Inter - Jurisdictional 887,256 926,570 977,436 609,116 975,643 1,066,925 Fund Transfers 000 - 480000 Indirect Costs -EMS 170,087 141,587 179,100 134,325 179,100 182,600 000 - 480100 Indirect Costs - Hotel /Motel 67,605 67,582 74,428 55,821 74,428 72,464 000- 481000 Transfer In - Reserves 0 0 4,995,915 0 0 678,630 000 - 482200 Transfer In- Vehicle Replace 0 0 250,025 0 0 0 000 - 482300 Transfer In -Resry Child Safet 0 0 60,000 0 60,000 0 000 - 485000 Interfund Charges- Drainage -5% 271,430 295,157 243,114 182,334 243,114 285,506 12 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND REVENUES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXO(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 000 - 486000 Interfund Chrges -Admin W &S 1,344,140 1,365,998 1,404,372 1,038,750 1,404,372 1,450,827 000 - 486202 Transfer In- Water &Sewer Fund 0 0 4,000 0 4,000 4,000 000 - 486203 Transfer In -EMS 0 0 4,000 0 4,000 4,000 000 - 486204 Transfer In- Drainage 0 0 1,000 0 1,000 1,000 000 - 487000 Interfund Charges -Fleet 344,026 370,729 361,258 270,500 361,258 398,618 000- 488000 Interfund Charges -4B 441,395 456,630 461,045 461,636 461,045 503,717 000 - 489000 Transfer In 86,219 0 86,000 0 86,000 86,000 000- 489620 Contribution -SEDC 265,000 0 0 0 0 0 TOTAL Fund Transfers 2,989,901 2,697,683 8,124,257 2,143,366 2,878,317 3,667,362 Miscellaneous 000 - 491000 Interest Earned 26,901 68,504 80,000 24,580 25,000 25,000 000 - 491200 Investment Income 242,255 407,593 400,000 228,709 256,000 200,000 000 - 491800 Gain /Loss ( 16,292) ( 9,867) 0 0 0 0 000- 491900 Unrealized Gain /Loss - Capone ( 777) 22,386 0 29,570 0 0 000 - 492500 Proceeds from Capital Lease 42,829 0 0 0 0 0 000 - 493000 Donations - Others 20 50 0 100 0 0 000 - 493120 Donations - Public Library 6,854 9,692 10,000 2,163 10,000 10,000 000 - 493400 Donations- Animal Control 12,979 4,769 5,000 3,778 5,000 5,000 000 - 493401 Donations -A /C Microchip 675 382 0 915 0 0 000 - 493402 Donations- Spay &Neuter 87 0 0 0 0 0 000- 493460 Donations- Parks 11,356 11,718 10,000 500 10,000 10,000 000 - 493465 Donations - Senior Center 11,472 11,494 10,000 5,908 10,000 10,000 000- 493502 Donations -PD 27,000 930 0 200 500 0 000 - 493503 Donation -Fire Rescue 15,350 1,740 0 2,150 3,000 0 000 - 493505 Donations - Police Events 0 0 3,000 0 0 0 000 - 493618 Donation - Veteran's Memorial 0 390 0 375 250 0 000 - 493700 July 4th Activities 0 0 26,000 235 26,000 26,000 000 - 493701 Proceeds - Holidazzle 0 0 1,500 12,320 12,320 12,500 000 - 493704 Moving on Main 0 0 3,000 100 0 4,000 000 - 494481 LawEnforcemtOfficersStnd &Educ 3,823 4,341 0 5,082 5,500 5,000 000 - 494482 Grants - Police, Fire, Gen Fund 1,474 8,000 2,500 0 2,100 2,500 000 - 495100 Mobile Stage Rental Fees 3,650 2,050 2,100 1,550 2,050 2,100 000 - 497000 Misc Income -Gen Fund 27,727 93,439 25,000 210,743 50,000 40,000 000 - 497005 Schertz Magazine Advertising 147,755 143,420 140,000 98,925 120,000 120,000 000 - 497100 Misc Income - Police 11,240 14,743 9,000 7,188 12,712 9,000 000 - 497106 Misc Income - Special Events 0 0 14,150 0 0 0 000 - 497150 Misc Income -Fire Department 970 0 0 0 0 0 000 - 497200 Misc Income - Library 5,331 4,930 4,500 2,233 4,300 4,500 000- 497210 Misc Income - Library Copier 19,558 21,843 18,000 9,474 17,000 18,000 000 - 497300 Misc Income - Animal Control 299 325 0 0 0 0 000 - 497400 Misc Income - Streets Dept 28,275 35,980 30,000 13,768 30,000 30,000 000 - 497460 Misc Income -Parks 0 140 0 84 0 0 000 - 497500 Misc Income -TML Ins. Claims 36,098 19,623 20,000 22,008 30,000 25,000 000 - 497550 Misc Income -TML WC Reimbursmn 2,074 3,407 10,000 4,887 8,000 10,000 000 - 497600 Misc Income - Vending Mach 2,365 2,824 2,500 1,003 2,500 2,500 000- 497610 Misc Income -Muni Court 2,036 154 0 0 0 0 000 - 498000 Reimbursmnt -Gen Fund 8,355 0 20,000 15,443 25,000 20,000 000 - 498105 Reimbursmt Police OT -DEA 17,213 17,830 18,000 19,334 22,500 18,000 000 - 498110 Reimburmnt Fire -Emg Acti -OT 212,799 336,655 30,000 72,533 100,000 100,000 13 of 249 8 -06 -2020 03:47 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 101- GENERAL FUND AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 000 - 498150 Reimbursement - Library 6,355 13.018 13,000 13,509 13,509 13,000 TOTAL Miscellaneous 918.108 1,252.501 907,250 809,367 803.241 722.100 TOTAL REVENUES 32,537,343 33,420,639 39,842,237 29,374,328 34,560,285 37,214,581 14 of 249 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. 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 PERFORMANCE INDICATORS Number of ordinances passed Number of resolutions passed Requests for Information 15 of 249 48 2017 -18 2018 -19 2019 -20 Workload/Output Actual Estimate Budget Number of ordinances passed Number of resolutions passed Requests for Information 15 of 249 48 32 40 172 165 160 28 10 10 XXXXX CITY COUNCIL XXXXX Number of Council Meetings 47 36 40 Requests for Agenda Items 26 15 16 Council on the Go Meetings 3 3 *2 Council HOA Presidents Meeting 1 2 *0 Meeting Attendance rate 96 93 95 2017 -18 2018 -19 2019 -20 Efficient Actual Estimate Budget Meeting Attendance rate 96 93 95 Personnel 2017 -18 2018 -19 2019 -20 Budget Actual Estimate Budget Personnel $36,426 $38,654 $37,534 Supplies 645 650 750 City Support Services 24,677 51,500 59,205 Operations Support 178 300 300 Staff Support 22,615 28,600 28,600 Professional Services 7,800 5,000 6,000 Operating Equipment 0 0 2,000 Total $92,341 $124,704 $134,389 PROGRAM JUSTIFICATION AND ANALYSIS The Proposed FY 2019 -20 Budget increases 7.8% from the FY 2018 -19 year end estimates. The costs of the November 2020 election have been received from the counties and show an increase in cost under City Support Services. New tablets, phones, and monitors will be purchased in FY 2019 -20 for councilmembers. 16 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES CITY COUNCIL Personnel Services 150 - 511110 Regular 150 - 511240 Allowances 150- 511310 FICA - Employer TOTAL Personnel Services Supplies 150 - 521000 Operating Supplies 150 - 521100 Office Supplies TOTAL Supplies City Support Services 150- 532350 Software Maintenance 150 - 532600 City Elections 150- 532800 Special Events TOTAL City Support Services Utility Services 150 - 533330 Telephone /Internet TOTAL Utility Services Operations Support 150 - 534200 Printing & Binding TOTAL Operations Support Staff Support 150- 535100 Uniforms 150 - 535200 Awards 150- 535300 Memberships 150 - 535400 Publications 150- 535500 Training /Travel TOTAL Staff Support Professional Services 150 - 541300 Other Consl /Prof Services TOTAL Professional Services Rental /Leasing C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 26,699 24,457 24,462 20,614 26,300 25,023 6,195 9,293 9,711 7,389 9,600 9,837 2,516 2,676 2,614 2.142 2,754 2,674 35,410 36,426 36,787 30,146 38,654 37,534 63 158 400 312 400 500 80 486 250 60 250 250 143 645 650 373 650 750 0 0 4,500 4,500 4,500 4,500 19,137 17,110 34,205 29,543 35,000 40,205 1,441 7,567 14,500 3,220 12,000 14,500 20,578 24,677 53,205 37,262 51,500 59,205 625 0 0 0 0 0 625 0 0 0 0 0 29 178 300 174 300 300 29 178 300 174 300 300 117 374 400 179 400 400 0 0 2,000 75 2,000 2,000 11,808 11,777 13,000 12,028 13,000 13,000 0 0 200 57 200 200 11,055 10,463 13,000 11,071 13,000 13,000 22,979 22,615 28,600 23,410 28,600 28,600 0 7,800 8,000 1,975 5,000 6,000 0 7,800 8,000 1,975 5,000 6,000 17 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Operatina Equipment 150 - 571300 Computer & Periphe. < $5,000 0 0 2,000 0 0 2,000 TOTAL Operating Equipment 0 0 2,000 0 0 2,000 TOTAL CITY COUNCIL 79,763 92,341 129,542 93,339 124,704 134,389 18 of 249 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 19 of 249 XXXXX CITY MANAGER XXXXX CITY MANAGER 2018-19 2019-20 2020-21 City Manager 1 1 1 Assistant City Manager 2 2 2 Assistant to the City Manager 1 1 1 Executive Assistant 1 1 1 TOTAL POSITIONS 51 51 4 ECONOMIC DEVELOPMENT 2018-19 2019-20 2020-21 Executive Director 1 1 1 Business Retention Manager 1 1 1 Economic Development Analyst 1 1 1 1 Executive Assistant 1 1 1 1 1 TOTAL POSITIONS 41 41 4 Personnel Supplies City Support Services Utility Services Operations Support Staff Support Operating Equipment Total I U ztelej ZT-Al ji 011 R.] 112 WIN I Lei z F-Al z I 17_z_ $1,061,361 $1,147,401 $1,240,893 1,892 2,000 2,000 4,338 2018-19 2019-20 2020-21 Budget Actual � Estimate � Budget Personnel Supplies City Support Services Utility Services Operations Support Staff Support Operating Equipment Total I U ztelej ZT-Al ji 011 R.] 112 WIN I Lei z F-Al z I 17_z_ $1,061,361 $1,147,401 $1,240,893 1,892 2,000 2,000 4,338 6,000 6,000 414 0 0 0 50 50 17,512 21,188 24,775 1,370 0 0 $1,086,888 $1,176,639 $1,273,718 The FY 2020-21 Budget increases 8.3% from the year end estimates due to a higher salary for the Economic Development Director, which is offset by the contract with the Economic Development Corporation. 20 of 249 8 -06 -2020 03:47 PM 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 Allowances 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 151 - 521300 Motor Veh. Supplies TOTAL Supplies City Support Services 151- 532800 Special Events TOTAL City Support Services Utility Services 151 - 533500 Vehicle Fuel TOTAL Utility Services Operations Support 151 - 534200 Printing & Binding TOTAL Operations Support Staff Support 151- 535100 Uniforms 151- 535200 Employee Recognition 151- 535300 Memberships 151 - 535400 Publications 151- 535500 Training /Travel 151 - 535510 Meeting Expenses TOTAL Staff Support C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 909,699 793,330 856,019 647,203 855,074 908,859 0 0 485 734 583 240 2,349 2,301 2,654 555 555 2,817 7,456 8,115 6,896 6,332 5,929 7,267 312 96 0 0 0 0 2,880 886 0 0 0 0 9,692 7,200 6,984 5,539 7,200 6,912 61,081 59,465 66,034 45,623 61,315 70,080 151,653 131,159 139,054 95,164 135,072 150,608 10,000 0 0 0 0 0 75,106 57,761 82,830 58,423 80,722 92,942 900 1,048 11089 951 951 11168 1,231,129 1,061,361 1,162,045 860,524 1,147,401 1,240,893 448 1,892 2,000 1,370 2,000 2,000 9 0 0 0 0 0 457 1,892 2,000 1,370 2,000 2,000 8,154 4,338 6,000 3,809 6,000 6,000 8,154 4,338 6,000 3,809 6,000 6,000 1,635 414 0 0 0 0 1,635 414 0 0 0 0 0 0 50 0 50 50 0 0 50 0 50 50 278 748 775 0 775 775 1,865 917 5,000 1,147 1,800 5,000 1,231 4,131 4,000 1,818 4,113 4,000 781 383 515 285 500 500 6,518 8,795 11,485 2,321 11,500 11,500 2,757 2,538 3,000 524 2,500 3,000 13,429 17,512 24,775 6,096 21,188 24,775 21 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services Rental /Leasing Qperatina Equipment 151- 571000 Furniture & Fixtures 1.447 1,370 0 0 0 0 TOTAL Operating Equipment 1,447 1,370 0 0 0 0 Capital Outlay TOTAL CITY MANAGER 1,256,251 1,086,888 1,194,870 871,799 1,176,639 1,273,718 22 of 249 XXXXX DEPARTMENT: 152 MUNICIPAL COURT FUND: 101 GENERAL FUND DEPARTMENTAL DESCRIPTION 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 primary responsibilities include processing citations, summons, complaints, warrants, past due letters, and show cause hearing letters. 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 municipal court trials, preparing and drafting complaints, arranging for 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. Implement the use of new technology and other innovative practices to maintain efficient and security. 23 of 249 MUNICIPAL COURT 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. ORGANIZATIONAL CHART MUNICIPAL COURT 2018-19 2019-20 2020-21 Court Administrator 1 1 1 Senior Deputy Court Clerk 1 1 1 Deputy Court Clerk 2 2 2 TOTAL POSITIONS 4 r-4 41 *One unfunded 24 of 249 xxxxx MUNICIPAL COURT XXXXX Traffic Citations Filed 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Traffic Citations Filed 5,855 3,588 1,321 State Law Citations Filed 1,504 1,225 946 Municipal Ordinances Filed 142 290 400 Cases Disposed Charges Processed per Clerk 7,285 5,300 2,767 2,428 1,766 922 2018 -19 2019 -20 2020 -21 Efficiency Actual I Estimate Budget Cases Disposed Charges Processed per Clerk 7,285 5,300 2,767 2,428 1,766 922 Cases Disposed per Clerk 33% 33% 33% 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Budget Cases Disposed per Clerk 33% 33% 33% Personnel Services 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel Services $280,788 $265,387 $281,716 Supplies 1,987 1,190 1,500 City Support Services 326 750 500 Operations Support 1,967 1,500 2,000 Staff Support 6,988 4,900 6,910 Court Support 450 500 1,080 Professional Services 52,773 54,300 69,850 Maintenance Services 1,800 1,950 3,000 Total $347,078 $330,477 $366,556 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increased 10.9% from year end estimates due to personnel increases based on the classification and compensation study results. Judge and Prosecutor services also contribute to the increase with the expectation the court will be fully operational after COVID -19 in FY 2020 -21. 25 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES MUNICIPAL COURT C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 170,114 152 - 511110 Regular 199,766 152 - 511120 Overtime 0 152- 511180 LTD 645 152 - 511210 Longevity 6,563 152- 511230 Certification Allowance 1,200 152 - 511310 FICA - Employer 15,281 152 - 511350 TMRS- Employer 33,488 152 - 511410 Health- Employer 39,660 152 - 511500 Workers' Compensation 228 TOTAL Personnel Services 296,831 Supplies 670 152 - 521100 Office Supplies 1,668 TOTAL Supplies 1,668 City Support Services 14,728 152 - 532800 Special Events 158 TOTAL City Support Services 158 Utilitv Services 32,584 Operations Support 170,114 152 - 534200 Printing & Binding 730 TOTAL Operations Support 730 Staff Support 150 152 - 535100 Uniforms 439 152- 535300 Memberships 520 152 - 535400 Publications 473 152- 535500 Training /Travel 1,935 152- 535500.Training /Travel - Juv Case Mg 770 152 - 535510 Meeting Expenses 1.329 TOTAL Staff Support 5,465 Court Support 670 152 - 536500 Court /Jury Cost 96 TOTAL Court Support 96 191,719 170,114 134,469 175,606 182,591 0 0 150 160 192 571 527 139 139 566 7,247 7,957 7,402 7,402 8,545 1,073 1,746 415 670 1,728 14,927 13,738 10,228 13,184 14,728 32,439 28,697 20,617 28,047 31,446 32,584 37,817 29,580 40,092 41,675 226 227 87 87 245 280,788 260,823 203,087 265,387 281,716 1,987 1,500 930 1,190 1,500 1,987 1,500 930 1,190 1,500 326 750 741 750 500 326 750 741 750 500 1.967 2,500 0 1.500 2.000 1,967 2,500 0 1,500 2,000 548 600 299 600 600 750 810 295 500 810 390 500 0 500 500 3,304 3,000 309 2,000 3,500 659 700 359 500 0 1.338 11500 641 800 11500 6,988 7,110 1,902 4,900 6,910 450 700 372 500 1,080 450 700 372 500 1,080 26 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 152 - 541310 Judges Services 39,245 34,073 42,300 24,475 35,000 42,900 152 - 541320 Prosecutor Services 22,200 18,700 21,000 12,156 19,000 26,250 152 - 541330 Interpreter Services 197 0 700 0 300 700 TOTAL Professional Services 61,642 52,773 64,000 36,631 54,300 69,850 Maintenance Services 152- 551800 Other Maintenance Agreements 1 950 11800 3,000 1.200 1.950 3,000 TOTAL Maintenance Services 1,950 1,800 3,000 1,200 1,950 3,000 Rental /Leasing Operating Equipment Capital Outlay TOTAL MUNICIPAL COURT 368,540 347,078 340,383 244,862 330,477 366,556 27 of 249 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 Communications 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 ORGANIZATIONAL CHART 28 of 249 XXXXX CUSTOMER RELATIONS /311 XXXXX CUSTOMER RELATIONS /311 2018 -19 2019 -20 2020 -21 Customer Relations /311 Rep 2 2 2 Customer Relations /311 Re PT 1 1 1 TOTAL POSITIONS 3 3 3 Work Orders (initiated for other depts.) Calls Received Calls Not Answered Average Calls Per Day Received 604 2018 -19 2019 -20 1 2020 -21 Workload/Output Actual Estimate I Budget Work Orders (initiated for other depts.) Calls Received Calls Not Answered Average Calls Per Day Received 604 600 600 53,351 55,000 54,000 2,333 2,466 2,400 221 200 220 Personnel 2019 -20 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $116,692 $107,165 $112,974 Supplies 97 100 100 Staff Support 195 870 530 Operating Equipment 270 0 0 Total $117,254 $108,135 $113,604 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases 5.1 % from the year end estimates due to personnel increases with the classification and compensation study recommendation. 29 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES CUSTOMER RELATIONS-311 Personnel Services 153 - 511110 Regular 153 - 511120 Overtime 153- 511180 LTD 153 - 511210 Longevity 153- 511310 FICA - Employer 153 - 511350 TMRS- Employer 153 - 511410 Health- Employer 153 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 153- 521100 Office Supplies TOTAL Supplies Staff Support 153 - 535100 Uniforms 153 - 535500 Training /Travel TOTAL Staff Support Qperatina Equipment 153- 571000 Furniture & Fixtures TOTAL Operating Equipment TOTAL CUSTOMER RELATIONS -311 C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 86,753 84,268 76,906 60,489 79,132 81,131 22 237 243 102 130 224 222 205 191 47 47 197 3,785 5,061 1,774 1,774 1,774 2,038 6,882 7,010 6,033 4,717 6,117 6,373 14,615 14,526 12,603 8,983 12,346 13,594 8,020 5,274 8,967 5,562 7,520 9,311 97 113 100 99 99 106 120,394 116,692 106,817 81,773 107,165 112,974 89 97 100 75 100 100 89 97 100 75 100 100 103 0 103 555 555 121,141 195 180 196 220 180 0 650 604 650 350 195 830 800 870 530 270 0 0 0 0 270 0 0 0 0 117,254 30 of 249 107,747 82,648 108,135 113,604 XXXXX 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 to promote quality development. The Division provides direction to help citizens, businesses, and developers implement successful projects that will benefit the community. Division responsibilities include the review and processing of development projects, such as commercial site plans, plats, zone changes, specific use permits, and annexations; the research and development of long range plans and goals to guide the future of our City; and the creation of development codes to tailor our regulations around citizen needs and city goals. The Division frequently collaborates with other departments within the City, including Engineering, Fire, and Inspections, as well as other governmental agencies, in order to shape a suburban environment that prioritizes safety. The Division also provides guidance and staff recommendations to the City Council, Planning and Zoning Commission, Board of Adjustment, and the Capital Improvements Advisory Committee to help them best serve the residents of Schertz. ICTOTiyRMI ki t exel01 xo I LTJ Implement new permitting /planning /Code Enforcement software to provide increased customer service, transparency, and efficiency on all development projects. Continue to assist property owners, developers, and engineers through our development process through timely and thorough project review. Review and update the Comprehensive Land Plan for the City, specifically in areas that are currently under delayed annexation development agreements and soon to be annexed, which will shape the future of Schertz to meet the desires and goals of the residents. Continue to reevaluate and modify regulations within the Schertz Unified Development Code to accommodate the evolving needs of our residents and make the development process more efficient and effective. 31 of 249 PLANNING & ZONING XXXXX Implement the Joint Land Use Study Strategies to promote compatibility of land uses and development with the long -range goals of Randolph AFB. Continue to update the website to provide improved customer service by updating forms, flowcharts, providing information on current residential and commercial developments, and providing information on public hearing on Promote staff development including continued education and cross training to provide outstanding customer service. Scan remaining project case files into a digital records retention system to improve access and availability. Ensure that anew article for the Schertz Magazine From the Development Whiteboard column is published quarterly to provide helpful information, transparency, and improved customer service for all residents. Continue to provide regular current residential and commercial projects within the City. Implement a yearly program to raise awareness for National Community Planning Month to include school presentations, community outreach via social media, and an article in the Schertz Magazine. ACCOMPLISHMENTS Received the 2019 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 sixth year in a row. Formulated and implemented an annexation process for the various properties currently under delayed annexation development agreements expiring over the next 18 months, including proper notification of all stakeholders to maximize property owner awareness. Maintained the partnership with Joint Base San Antonio (JBSA). Implemented new certification review process for all plats and plans based on state law changes from the TX 86th legislature, including amendments to the Unified Development Code (UDC) and the creation of new development process flowcharts and application checklists. 32 of 249 PLANNING & ZONING XXXXX Amended the Unified Development Code to comply with new state law changes and to allow more flexibility for property owners and developers, including changes to Exterior Construction and Design Standards (UDC Sec. 21.9.5); Screening and Fencing Materials (UDC Sec. 21.9.8); Accessory Buildings, Uses, and Structures (UDC Sec. 21.8.2); and Carports /Porte - Cocheres (UDC Sec. 21.8.3) Attended various continuing education classes including National APA Conference, Texas APA State Conference, Certified Floodplain Manager training, Smart City Short Term Rentals Conference, and the Hog Wild Municipal Conference. Implemented new ESRI aesthetically pleasing. Maintained partnerships with developers and landowners to create and update Planned Development Districts that contain a mix of residential and commercial land uses. Improved partnerships with local utility providers to include, Guadalupe Valley Electric Coop., Cibolo Creek Municipal Authority, Texas Department of Transportation, by increasing communication. Completed weekly updates to the commercial sites currently under construction to improve public relations and transparency, while providing useful, accessible information to the public. Successfully implemented a new agenda software to be utilized for the various boards and commissions to increase agenda creation and modification efficiency. 33 of 249 PLANNING & ZONING PLANNING AND ZONING 2018 -19 2019 -20 2020 -21 Senior Planner 1 1 2 Planner 1 2 2 2 TOTAL POSITIONS 3 3 4 Wei t4 Ji I 0 . Plats Site Plans and Master Plan Variances/Waivers Zone Changes and Specific Use Permits UDC/ Comp. Plan Revisions Annexation All Plats Site Plan, Master Plan Variance Zone Change, Specific Use Permit Other (Zoning Letters and Additional Admin fees) Total Revenue 34 of 249 36 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Plats Site Plans and Master Plan Variances/Waivers Zone Changes and Specific Use Permits UDC/ Comp. Plan Revisions Annexation All Plats Site Plan, Master Plan Variance Zone Change, Specific Use Permit Other (Zoning Letters and Additional Admin fees) Total Revenue 34 of 249 36 20 20 32 13 13 13 6 6 12 20 20 1 4 4 0 15 30 $52,500 $40,250 $59,000 $31,500 $20,000 $36,000 $3,250 $1,500 $5,000 $18,800 $21,650 $18,000 $4,500 $2,400 $1950 XXXXX PLANNING & ZONING XXXXX Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $202,044 $178,065 $263,151 Supplies 694 1,970 1,873 Operations Support 7 186 186 Staff Support 23,537 39,953 29,548 Professional Services 27 100 400,100 Operating Equipment 1,225 400 325 Total $227,534 $220,674 $695,183 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases $474,509 from the FY 2019 -20 year end estimate with the addition of a Comprehensive Land Use Plan, Parks Master Plan, and Unified Development Code update for $400,000. To manage the long term planning for the City, an additional Senior Planner is to be hired. 35 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES PLANNING & 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 154 - 521000 Operating Supplies 154- 521100 Office Supplies 154 - 521600 Equip Maint Supplies TOTAL Supplies City Support Services Utility Services Operations Support 154 - 534200 Printing & Binding TOTAL Operations Support Staff Support 154 - 535100 Uniforms 154- 535300 Memberships 154 - 535400 Publications 154- 535500 Training /Travel Staff 154- 535500.Training /Travel Commission 154 - 535510 Meeting Expenses TOTAL Staff Support Professional Services 154 - 541400 Consulting 154- 541500 State /County Admin Fees TOTAL Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 139,803 148,186 145,456 93,178 126,857 176,455 3,901 3,582 4,850 794 2,000 4,833 436 354 451 92 92 547 1,140 992 1,364 1,296 1,296 1,330 900 900 873 104 104 1,728 10,801 12,142 11,666 7,248 9,845 14,098 23,523 24,896 24,370 13,853 19,852 30,072 23,438 10,808 21,497 12,546 17,857 33,859 158 183 186 162 162 229 204,100 202,044 210,713 129,274 178,065 263,151 916 244 801 190 801 704 358 450 900 83 800 900 0 0 269 0 369 269 1,274 694 1,970 273 1,970 1,873 162 7 186 81 186 186 162 7 186 81 186 186 710 548 650 0 650 650 1,379 1,134 1,685 1,013 1,685 1,610 146 0 750 254 750 500 7,248 15,891 22,868 ( 297) 22,868 18,898 5,578 5,836 13,000 794 13,000 7,390 0 129 11000 0 11000 500 15,060 23,537 39,953 1,764 39,953 29,548 0 0 0 0 0 400,000 10 27 100 26 100 100 10 27 100 26 100 400,100 36 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Rental /Leasing Operating Equipment 154 - 571000 Furniture & Fixtures 155 1,225 400 318 400 325 TOTAL Operating Equipment 155 1,225 400 318 400 325 Capital Outlay TOTAL PLANNING & ZONING 220,761 227,535 253,322 131,736 220,674 695,183 37 of 249 XXXXX DEPARTMENT: 155 LEGAL SERVICES FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION 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. 38 of 249 LEGAL SERVICES ORGANIZATIONAL CHART XXXXX Operations Support $9,071 $10,000 $10,000 Professional Services $126,526 $135,000 $140,000 Total $135,598 $145,000 $150,000 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases 3.4% from the FY 2019 -20 year end estimate with the anticipated billable hours for legal services in FY 2020 -21. 39 of 249 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Operations Support $9,071 $10,000 $10,000 Professional Services $126,526 $135,000 $140,000 Total $135,598 $145,000 $150,000 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases 3.4% from the FY 2019 -20 year end estimate with the anticipated billable hours for legal services in FY 2020 -21. 39 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET LEGAL SERVICES Operations Support 155 - 534100 Advertising /Legal Notices 9.057 9,071 10,000 977 10,000 10,000 TOTAL Operations Support 9,057 9,071 10,000 977 10,000 10,000 Professional Services 155- 541200 Legal Svcs 120,901 126.526 140,000 49.788 135.000 140.000 TOTAL Professional Services 120,901 126,526 140,000 49,788 135,000 140,000 TOTAL LEGAL SERVICES 129,958 135,598 150,000 50,765 145,000 150,000 40 of 249 XXXXX 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 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 preservation and Council Services. 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 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. 41 of 249 CITY SECRETARY XXXXX Public Education (Student Mayor /Council Program, Volunteer Fair) 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 2018 -19 2019 -20 2020 -21 City Secretary 1 1 1 Deputy City Secretary 1 1 1 TOTAL POSITIONS 2 2 2 PERFORMANCE INDICATORS Ordinances Passed and Processed 2018 -19 2019 -20 2020 -21 Workload Actual Estimated Budget Ordinances Passed and Processed 48 32 40 Resolutions Passed and Processed 172 165 160 Council Meetings Attended 50 41 40 Open Records 325 396 400 Ordinances & Resolutions Executed within 72 hours of Council Meeting 2018 -19 2019 -20 2020 -21 Efficiency Actual Estimated Budget Ordinances & Resolutions Executed within 72 hours of Council Meeting 99% 100% 100% Documents completed, signed, scanned within 48 hours of council approval 96% 100% 100% Council meeting minutes transcribed within 48 hours following Council meeting 98% 99% 100% Agendas available to citizens within legally required timeframe - Posted on website 100% 100% 100% Alcohol permits processed within the month of expiration 70% 96% 100% 42 of 249 CITY SECRETARY XXXXX Volunteer Fair 1 0 1 Student Mayor /Councilmember for the Day Program 4 3 4 2018 -19 2019 -20 2020 -21 Education Initiatives Actual Estimated Budget Volunteer Fair 1 0 1 Student Mayor /Councilmember for the Day Program 4 3 4 Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimated Budget Personnel $198,764 $190,842 $191,573 Supplies 1,154 1,150 1,150 City Support Services 3,846 10,000 10,000 Operations Support 28 50 150 Staff Support 4,137 4,100 4,350 Operating Equipment 0 0 1,035 Total $207,930 $206,142 $208,258 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases1.0% from the FY 2019 -20 year end estimate for furniture purchases. 43 of 249 8 -06 -2020 03:47 PM 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 Utility Services Qperations 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 Professional Services Maintenance Services Operating Equipment 164 - 571000 Furniture & Fixtures TOTAL Operating Equipment C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 135,370 146,025 132,945 105,378 137,525 135,523 427 401 412 95 95 420 2,189 2,776 1,804 1,804 1,804 2,068 10,343 11,444 10,304 7,910 10,280 10,519 22,201 24,122 21,524 15,449 21,323 22,438 15,872 13,823 18,102 14,472 19,667 20,430 148 173 170 148 148 175 186,550 198,764 185,261 145,258 190,842 191,573 974 1,154 1,150 589 1,150 1,150 974 1,154 1,150 589 1,150 1,150 9.743 3,846 91000 5.402 10,000 10,000 9,743 3,846 9,000 5,402 10,000 10,000 60 28 150 0 50 150 60 28 150 0 50 150 30 0 150 0 0 0 958 903 400 370 400 750 228 238 950 662 700 600 2,307 2.996 4,000 2.857 3.000 3,000 3,523 4,137 5,500 3,888 4,100 4,350 0 0 400 0 0 1,035 0 0 400 0 0 1,035 44 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Capital Outlay TOTAL CITY SECRETARY 200,851 207,930 201,461 155,137 206,142 208,258 45 of 249 XXXXX ' ♦ • NON-DEPARTMENTAL 101 GENERAL DEPARTMENT DESCRIPTION This department accounts for expenses and payments that are not specific to an individual function /department. Items in this department include city insurance, appraisal district contracts, contingency, and the emergency medical services contract. City Support Services $438,072 Operations Support 157,974 Staff Support 73 City Assistance 1,463,272 Professional Services 47,922 Fund Charges /Transfers 64,356 Total $2,171,669 PROGRAM JUSTIFICATION AND ANALYSIS $780,040 155,000 150 1,974,773 53,585 10,750 $2,974,298 $781,700 123,000 200 1,557,048 53,535 10,750 $2,526,233 The FY 2020 -21 Budget decreases 15.1% from the FY 2019 -20 year end estimate with the expiration of the Amazon.com and Capital Group tax abatements. 46 of 249 2018 -19 2019 -20 2020 -21 Budget Actual Estimated Bud et City Support Services $438,072 Operations Support 157,974 Staff Support 73 City Assistance 1,463,272 Professional Services 47,922 Fund Charges /Transfers 64,356 Total $2,171,669 PROGRAM JUSTIFICATION AND ANALYSIS $780,040 155,000 150 1,974,773 53,585 10,750 $2,974,298 $781,700 123,000 200 1,557,048 53,535 10,750 $2,526,233 The FY 2020 -21 Budget decreases 15.1% from the FY 2019 -20 year end estimate with the expiration of the Amazon.com and Capital Group tax abatements. 46 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES NONDEPARTMENTAL Supplies City Support Services 167- 532200 County Appraisal District 167 - 532210 Tax Assessor /Collector- Sevice 167- 532500 City Insurance - Commercial 167 - 532900 Contingencies 167 - 532901 Contingencies - Personnel TOTAL City Support Services Utilitv Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XX3CXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 206,572 0 180,505 3,886 C 390,963 Operations Support 185,638 167 - 534000 Postage 9,117 167- 534300 Equipment Maint - Copiers 129,204 167 - 534500 Memberships - Organizations 7,500 167 - 534810 Electronic Filing Services 2,717 167 - 534999 Misc. Expense 227 TOTAL Operations Support 148,764 Staff Support 375,000 0 167- 535500 Training /Travel 160 TOTAL Staff Support 160 City Assistance 73 167 - 537100 Medical Services -EMS Contract 556,325 167- 537200 Main Street Local Program 0 167 - 537450 Tax Reimbursements /Abatements 1,149,619 TOTAL City Assistance 1,705,944 Professional Services 667,048 167 - 541300 Other Consl /Prof Services 2,460 167- 541500 State /County Admin Fees 35 167 - 541600 Misc Bank Charges 699 167 - 541650 Investment Management Fee 3,400 167- 541800 Credit Card Service Fee 54,126 167 - 541810 Credit Cards Fees - AMEX 2,734 TOTAL Professional Services 63,454 226,275 230,000 185,638 239,712 242,000 0 18,000 0 22,672 6,000 210,680 210,000 242,251 242,050 233,700 1,116 70,712 606 606 200,000 0 375,000 0 275.000 100,000 438,072 903,712 428,494 780,040 781,700 4,014 11,000 8,977 10,000 11,000 131,036 140,000 75,866 135,000 110,000 7,500 0 7,500 7,500 0 143 5,000 219 2,500 2,000 15,281 0 0 0 0 157,974 156,000 92,563 155,000 123,000 73 200 0 150 200 73 200 0 150 200 581,537 602,583 451,937 602,583 667,048 20,000 35,000 52,690 35,190 50,000 861,735 1,337,000 804,600 1,337 0000 840,000 1,463,272 1,974,583 1,309,227 1,974,773 1,557,048 0 0 0 0 0 0 35 0 35 35 729 700 497 750 700 0 0 0 0 0 44,353 45,000 37,124 50,000 50,000 2,840 1,500 1,183 2,800 2,800 47,922 47,235 38,803 53,585 53,535 47 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXCX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Fund Charges /Transfers 167 - 548000 Transfer Out 0 1,592 0 0 0 0 167 - 548106 Transfer Out- Special Events 65,683 59,893 0 0 0 0 167 - 548401 Transfer Out - Bond Fund 50,000 0 0 0 0 0 167 - 548615 Transfer Out - Hist. Committe 0 2,871 10,750 0 10,750 10,75Q TOTAL Fund Charges /Transfers 115,683 64,356 10,750 0 10,750 10,750 Maintenance Services Operating Equipment Capital Outlay TOTAL NONDEPARTMENTAL 2,424,967 2,171,669 3,092,480 1,869,087 2,974,298 2,526,233 48 of 249 XXXXX DEPARTMENT DESCRIPTION The Public Affairs Department serves an internal audience of 386 employees, elected and appointed officials, as well as an estimated city population of 41,000. 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 15,500 copies; including 14,000+ 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 Event Facilities 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 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. 49 of 249 PUBLIC AFFAIRS ORGANIZATIONAL CHART PUBLIC AFFAIRS 2018 -19 2019 -20 2020 -21 Public Affairs Director 1 1 1 Communications Manager 1 1 1 Marketing and Communications Specialist 1 1 1 Administrative Assistant 1 1 1 TOTAL POSITIONS 4 4 4 PERFORMANCE INDICATORS Press Releases /News Flash Marketing Materials Produced Completed website work orders Number of customers served (advertisers) Number of Magazines Printed 137 2018 -19 2019 -20 2020 -21 Workload /Output Measures Actual Estimate Budget Press Releases /News Flash Marketing Materials Produced Completed website work orders Number of customers served (advertisers) Number of Magazines Printed 137 135 136 414 400 450 28 40 50 42 50 50 187,399 186,000 192,000 Percentage of Magazine Contracted 50 of 249 50% 50% 50% XXXXX 2018 -19 2019 -20 2020 -21 Efficient Actual Estimate Budget Percentage of Magazine Contracted 50 of 249 50% 50% 50% XXXXX PUBLIC AFFAIRS xxxxx Average cost per Advertising Run outside of the magazine 200 200 200 Schertz Magazine Ad revenue City Sponsored/Non-revenue Percentage open rate for e-newsletter Percentage click rate for e-newsletter 143,720 2018-19 2019-20 2020-21 Effectiveness Actual Estimate Budget Schertz Magazine Ad revenue City Sponsored/Non-revenue Percentage open rate for e-newsletter Percentage click rate for e-newsletter 143,720 120,000 2019-20 28,250 22,000 22,000 20% 28.8% 27% 8.7% 10.8% 10% Personnel Supplies City Support Services Operations Support Staff Support Professional Services Operating Equipment Total PROGRAM JUSTIFICATION AND ANALYSIS $286,833 733 1,975 21,895 7,818 286,850 $291,976 670 990 35,495 5,739 250,375 WNW 1,700 0 46,643 11,100 267,000 3,080 0 0 $609,184 $585,245 $627,572 The FY 2020-21 Budget increases 7.2% from the FY 2019-20 year end estimate due to a citizen satisfaction survey that is done every other year. Personnel also increases with the classification and compensation study recommendation. 51 of 249 2018-19 2019-20 2020-21 Budget Actual Estimate Budget Personnel Supplies City Support Services Operations Support Staff Support Professional Services Operating Equipment Total PROGRAM JUSTIFICATION AND ANALYSIS $286,833 733 1,975 21,895 7,818 286,850 $291,976 670 990 35,495 5,739 250,375 WNW 1,700 0 46,643 11,100 267,000 3,080 0 0 $609,184 $585,245 $627,572 The FY 2020-21 Budget increases 7.2% from the FY 2019-20 year end estimate due to a citizen satisfaction survey that is done every other year. Personnel also increases with the classification and compensation study recommendation. 51 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES PUBLIC AFFAIRS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 170 - 511110 Regular 203,058 207,661 202,351 160,201 209,066 212,564 170 - 511120 Overtime 311 687 970 207 400 981 170- 511180 LTD 637 530 627 149 149 659 170 - 511210 Longevity 4,629 3,828 4,258 3,808 3,808 4,636 170- 511230 Certification Allowance 0 300 0 650 650 0 170 - 511310 FICA - Employer 15,791 16,703 15,870 12,342 15,966 16,677 170 - 511350 TMRS- Employer 33,566 34,432 33,151 23,791 32,656 35,571 170 - 511410 Health- Employer 18,941 22,432 28,693 21,470 29,053 29,764 170 - 511500 Workers' Compensation 234 259 261 228 228 277 TOTAL Personnel Services 277,168 286,833 286,181 222,846 291,976 301,129 Supplies 170 - 521000 Operating Supplies 224 95 120 120 120 1,000 170- 521010 Operating Supplies- Events 925 0 0 0 0 0 170 - 521100 Office Supplies 976 638 580 281 550 700 TOTAL Supplies 2,125 733 700 401 670 1,700 City Support Services 170- 532800 Other Events 0 1.975 11000 990 990 0 TOTAL City Support Services 0 1,975 1,000 990 990 0 Operations Support 170 - 534000 Postage 1,036 1,111 17,850 5,272 15,000 18,050 170 - 534100 Advertising 10,920 7,904 7,750 4,620 5,000 7,050 170 - 534200 Printing & Binding 3,770 12,392 20,832 9,711 15,000 21,000 170- 534500 Memberships - Organizations 187 255 255 170 255 255 170 - 534550 Business Meetings /Networking 328 234 288 144 240 288 TOTAL Operations Support 16,241 21,895 46,975 19,918 35,495 46,643 Staff Support 170 - 535100 Uniforms 32 117 220 76 220 220 170 - 535300 Memberships 20 0 0 0 0 0 170 - 535400 Publications 0 130 200 88 150 200 170 - 535500 Training /Travel 3,202 7,570 10,480 1,779 5,000 10,480 170- 535510 Meeting Expenses 0 0 369 341 369 200 TOTAL Staff Support 3,253 7,818 11,269 2,283 5,739 11,100 Professional Services 170 - 541300 Other /Consl /Prof Services 0 40,799 20,000 11,596 22,000 36,500 170 - 541305 Prof Services - Writers /Photogr 0 6,823 10,000 5,195 8,000 10,000 170 - 541350 Magazine- Printing Services 0 92,292 94,000 68,143 94,000 94,000 170- 541355 Design Services 3,120 87,550 65,000 46,656 65,000 65,000 170 - 541360 Magazine - Postage 0 57,886 60,000 39,899 60,000 60,000 170- 541365 Delivery Services 0 1.500 1,500 750 1.375 11500 TOTAL Professional Services 3,120 286,850 250,500 172,239 250,375 267,000 52 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Operatina Equipment 170 - 571000 Furniture & Fixtures 28 3,080 0 0 0 0 TOTAL Operating Equipment 28 3,080 0 0 0 0 TOTAL PUBLIC AFFAIRS 301,935 609,184 596,624 418,677 585,245 627,572 53 of 249 8 -06 -2020 03:47 PM 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 Utility Services Operations Support Staff Support 171 - 535100 Uniforms 171- 535500 Training /Travel TOTAL Staff Support Professional Services 171- 541310 Contractual Services TOTAL Professional Services Operating Equipment TOTAL RECORDS MANAGEMENT C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 30,363 0 0 0 0 0 33 0 0 0 0 0 100 0 0 0 0 0 1,896 0 0 0 0 0 2,410 0 0 0 0 0 5,214 0 0 0 0 0 7,753 0 0 0 0 0 42 0 0 0 0 0 47,812 0 0 0 0 0 55 0 0 0 0 0 231 0 0 0 0 0 286 0 0 0 0 0 14,527 0 0 0 0 0 14,527 0 0 0 0 0 62, 624 0 54 of 249 0 0 0 0 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES SCHERTZ TALES MAGAZINE C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 0 172 - 511110 Regular 89,232 172 - 511180 LTD 156 172- 511210 Longevity 290 172 - 511310 FICA - Employer 6,850 172- 511350 TMRS - Employer 14,449 172 - 511410 Health - Employer 15,482 172 - 511500 Workers' Compensation 98 TOTAL Personnel Services 126,557 Supplies 0 0 172 - 521100 Office Supplies 91 TOTAL Supplies 0 91 Operations Support 0 172 - 534000 Postage 231 172 - 534200 Printing & Binding 1,223 172 - 534550 Business Meetings /Networking 216 TOTAL Operations Support 1,670 Staff Support 0 0 172- 535100 Uniforms 97 172 - 535300 Memberships 170 172 - 535500 Training /Travel 2,69 TOTAL Staff Support 2,957 Professional Services 0 172 - 541305 Prof Services - Writers /Photogr 5,575 172- 541350 Printing Services 82,560 172 - 541355 Design Services 92,614 172- 541360 Postage Services 56,717 172 - 541365 Delivery Services 1,50 TOTAL Professional Services 238,966 Fund Charaes /Transfers 0 Qoeratina Eauipment 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ( 350) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ( 350) 0 0 0 0 TOTAL SCHERTZ TALES MAGAZINE 370,241 ( 350) 55 of 249 0 0 0 0 XXXXX 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. 56 of 249 ENGINEERING XXXXX ENGINEERING 2018 -19 2019 -20 2020 -21 City Engineer 1 1 1 Engineer 1 3 3 Senior Graduate Engineer 1 1 1 Graduate Engineer 1 1 1 Project Manager 1 0 0 Engineering Inspector 2 2 2 TOTAL POSITIONS 7 8 8 ACCOMPLISHMENTS AND GOALS FY 2019 -2020 Accomplishments Along with other Departments, successfully managed the following Capital Improvement Projects (in various stages of completion): Corbett Elevated Storage Tank and Associated Distribution Mains construction complete Woman Hollering Creek Wastewater Trunk Main completed design and easement acquisition (without the need for condemnation) complete 2018 Street Preservation and Maintenance Projects construction complete 2020 Street Preservation and Maintenance Projects in design Trail and Bike Lane Project (technical support for Parks) design complete Update of Water and Wastewater Master Plans and updated Impact Fee Ordinance underway. Maintained strategic partnership with Texas Department of Transportation 57 of 249 ENGINEERING FY 2020 -2021 Goals xxxxx Continue improvement and update of standard construction details, technical specifications, and design guidelines Continue support of development and implementation of comprehensive Capital Improvement Program including water, wastewater, drainage, and roadway projects Complete Water and Wastewater Master Plans and implement updated Impact Fee ordinance Provide efficient, clear review of construction plans and other development submittals Continue promotion of efficacy of TSAC activities and actions Continue successful partnership with TxDOT PERFORMANCE INDICATORS Capital Improvement Projects (number active) 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) 9 2018 -19 2019 -20 1 2020 -21 Workload/Output Measures Actual Estimate I Budget Capital Improvement Projects (number active) 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) 9 16 11 29 25 25 47 48 45 55 60 50 278 200 250 83 98 100 1 3 3.8 $1.1 Million $3.0 Million $3.8 Million 4 5 3 $2.3 Million $4.6 Million $2.0 Million 58 of 249 ENGINEERING xxxxx Personnel 2018-19 � 2019 -20 2020-21 Budget Actual � Estimate � Budget Personnel $633,491 $627,885 $805,565 Supplies 1,167 2,650 2,350 City Support Services 0 448 500 Utility Services 7,061 3,500 4,350 Operations Support 0 100 100 Staff Support 12,762 12,238 18,704 Professional Services 19,831 30,000 40,000 Operating Equipment 538 3,300 3,885 Capital Outlay 28,607 0 0 Total $703,456 $680,121 $875,454 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020-21 Budget increases 28.7% from the year end estimate due to personnel changes. FY 2020-21 will have a full year funding of the new engineer position approved in FY 2019-20, funding of the promotion of the Project Manager to an Engineer, and include pay adjustments from the classification and compensation study recommendation. 59 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES ENGINEERING C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 330,655 173 - 511110 Regular 441,845 173 - 511120 Overtime 0 173- 511180 LTD 1,396 173 - 511210 Longevity 4,399 173- 511230 Certification Allowance 3,000 173 - 511310 FICA - Employer 32,690 173 - 511350 TMRS- Employer 72,507 173 - 511410 Health- Employer 56,689 173 - 511500 Workers' Compensation 2,029 TOTAL Personnel Services 614,555 Supplies 93,068 50,775 173 - 521000 Operating Supplies 0 173- 521100 Office Supplies 1,192 173 - 521300 Motor Vehicle Supplies 132 TOTAL Supplies 675,951 1,324 City Support Services 490 173- 532400 Computer Fees & Licenses 650 TOTAL City Support Services 650 Utility Services 1,100 1,000 173 - 533330 Telephone /Internet 0 173 - 533500 Vehicle Fuel 2,908 TOTAL Utility Services 2,908 Qoerations Support 448 173- 534000 Postage 48 173 - 534200 Printing & Binding 0 TOTAL Operations Support 48 Staff Support 2,044 0 173 - 535100 Uniforms 1,735 173 - 535300 Memberships 315 173- 535400 Publications 0 173 - 535500 Training /Travel 6,181 173- 535510 Meeting Expenses 76 173 - 535600 Professional Certification 578 TOTAL Staff Support 8,886 459,705 470,890 330,655 442,556 560,037 0 0 72 100 0 1,346 1,522 318 318 1,736 5,287 6,811 6,246 1,327 8,047 3,000 2,619 1,893 3,000 2,592 35,116 38,259 24,341 34,092 43,632 75,835 79,919 48,297 71,428 93,068 50,775 73,380 53,141 72,836 93,691 2,427 2,551 2,228 2,228 2,762 633,491 675,951 467,190 627,885 805,565 490 1,200 30 1,200 1,000 603 1,100 514 1,100 1,000 74 350 8 350 350 1,167 2,650 552 2,650 2,350 0 448 0 448 500 0 448 0 448 500 3,632 839 2,044 0 850 3,429 3,000 2,648 3,500, 3,500 7,061 3,839 4,691 3,500 4,350 0 0 0 0 0 0 100 31 100 100 0 100 31 100 100 2,173 3,198 210 3,198 3,338 434 2,420 892 2,420 2,420 596 500 0 500 500 8,588 12,156 1,538 5,000 11,156 241 620 311 550 620 730 570 151 570 670 12,762 19,464 3,102 12,238 18,704 60 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 173 - 541100 Engineering Services 5,399 173 - 541300 Other Professional Services 0 173 - 541310 Prof Svcs -Plan Review 5.712 TOTAL Professional Services 11,111 Maintenance Services Rental /Leasing Operating Equipment 173 - 571000 Furniture & Fixtures 0 173- 571300 Computer & Periphe. < $5000 0 TOTAL Operating Equipment 0 Capital Outlay 173- 581200 Vehicles & Access. Over $5,00 0 TOTAL Capital Outlay 0 TOTAL ENGINEERING 639,481 8,661 30,000 5,000 15,000 20,000 11,170 30,000 7,791 15,000 20,000 0 0 0 0 0 19,831 60,000 12,791 30,000 40,000 538 900 0 900 900 0 3,659 179 2.400 2.985 538 4,559 179 3,300 3,885 28.607 0 0 0 0 28,607 0 0 0 0 703,456 61 of 249 767,011 488,535 680,121 875,454 XXXXX 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. 62 of 249 GIS DEPARTMENTAL DESCRIPTION XXXXX 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 2018 -19 2019 -20 2020 -21 GIS Coordinator 1 1 1 GIS Specialist 1 1 1 TOTAL POSITIONS 2 2 2 PERFORMANCE INDICATORS GIS Specific Projects 2018 -19 2019 -20 2020 -21 Percentage of Time per Task Actual Estimate Budget GIS Specific Projects 54.8 52.3 55.6 GIS Customer Assistance 9.0 7.8 17.7 General Training /Conferences 3.9 0.2 7.4 Non - Department Related Projects 17.3 19.6 7.2 Administrative Overhead 15.0 20.1 12.1 63 of 249 GIS XXXXX Personnel 2018 -19 2019 -20 2020 -21 Budget I Actual Estimate Budget Personnel 171,659 $173,591 $178,106 Supplies 0 1,100 1,200 City Support 0 2,625 0 Staff Support 3,957 4,800 7,628 Rental /Leasing 2,084 3,259 3,651 Total $177,700 $185,375 $190,585 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases 2.8% from the FY 2019 -20 year end estimate for unused training expenses, compensation adjustments and increased equipment leasing costs. 64 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND GENERAL GOVERNMENT EXPENDITURES Personnel Services 174 - 511110 Regular 174 - 511120 Overtime 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 City Support Services 174 - 532400 Computer Fees & Licenses TOTAL City Support Services Staff Support 174- 535500 Training /Travel TOTAL Staff Support Professional Services Rental /Leasing 174 - 561200 Lease /Purchase Payments TOTAL Rental /Leasing Operating Equipment C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 118,673 123,024 121,024 95,636 124,960 127,329 0 0 0 229 400 0 377 364 375 92 92 395 2,708 3,108 3,396 3,396 3,396 3,684 9,166 9,902 9,510 7,537 9,763 10,011 19,589 20,440 19,866 14,333 19,588 21,354 15,506 14,475 14,347 10,814 15,081 14,955 299 347 356 311 311 378 166,318 171,659 168,874 132,348 173,591 178,106 405 0 1,000 474 1,000 1,000 81 0 200 60 100 200 487 0 1,200 534 1,100 1,200 0 0 2,625 2,625 2,625 0 0 0 2,625 2,625 2,625 0 3,963 3,957 6,975 4,764 4,800 7,628 3,963 3,957 6,975 4,764 4,800 7,628 2,084 2,084 3 000 2,338 3,259 3,651 2,084 2,084 3,000 2,338 3,259 3,651 TOTAL CIS 172,851 177,700 182,674 142,609 185,375 190,585 TOTAL GENERAL GOVERNMENT 6,349,363 5,876,284 7,016,114 4,549,194 6,736,810 7,161,552 65 of 249 XXXXX DEPARTMENT: 256 POLICE FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Schertz Police Department provides service to approximately 32 square miles, with the City in three different counties. The police department receives thousands of calls for services annually through the communications division and dispatches for Police, Fire, Emergency Medical Service, and Animal Services. Additionally, the police department provides dispatch services for the City of Cibolo Police, Fire and Animal Services departments, and Schertz Emergency Medical Service dispatch for Cibolo, Marion, Seguin, and Santa Clara and other county areas. The Patrol Division provides a visible presence in the community, with the goal of crime prevention, crime reduction, traffic safety, and the promotion of overall public safety. The Investigations Division investigates incidents 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 Unit 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 Animal Services Division is responsible for the enforcement of State laws and City ordinances regarding the care and treatment of animals, rabies control, and overall public health through disease and population control. The Community Outreach Officer interacts with Homeowner Associations, provides education and crime prevention programs to the community, and oversees the Citizens Police Academy and the Citizens on Patrol. Our Crime Victim Liaison protects the rights and assists in the needs of the crime victims in Schertz, Live Oak, and Cibolo GOALS AND OBJECTIVES Promoting a safe community through public education, community involvement, criminal investigations, enforcement action and other essential services. promoting a feeling of safety for all citizens and visitors to the city, including neighborhoods, commercial areas, parks and public facilities. 66 of 249 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 67 of 249 XXXXX POLICE XXXXX POLICE 2018 -19 2019 -20 2020 -21 Chief of Police 1 1 1 Assistant Chief of Police 1 1 1 Captain 0 0 1 Lieutenants 4 4 4 Sergeants 6 6 6 Corporals 11 11 11 School Resource Sergeant 1 1 1 School Resource Corporal 1 1 1 School Resource Officer 2 2 3 Officers 31 32 32 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 2 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 Animal Services Manager 1 1 1 Animal Services Officer 4 4 4 Animal Services Kennel Tech 1 2 2 PT Animal Services Kennel Tech 2 2 2 Communications Manager 1 1 1 Communications Shift Supervisor 4 4 4 Communications Officer 12 12 12 Crossing Guards (Part Time) 16 16 16 TOTAL POSITIONS 114 117 119 LAW ENFORCEMENT COMMISSIONS 2018 -19 2019 -20 2020 -21 Fire Dept. Law Enforcement Commission 1 1 1 TOTAL COMMISSIONS 1 1 1 68 of 249 POLICE XXXXX 2018 -19 2019 -20 2020 -21 Workload /Output Actual Estimate Budget Dispatch -911 Calls Patrol- Citations /Warnings Issued Inv - Criminal Cases Filed w/ Prosecutor Inv -Cases Investigated per Investigator Inv -Total Cases Cleared Records -Total Active Alarm Permits Records -Open Records Requests Federal Seizures Crime Victim Liaison - Assigned Cases 26,713 27,400 28,100 9,115 6,732 7,500 914 955 980 279 275 295 254 282 300 3,084 3,100 3,300 2,543 1,800 2,500 $195,344 $30,000 $55,000 236 520 560 2018 -19 2019 -20 2020 -21 Workload /Output Marshals Division Actual Estimate Budget Marshals Warrants Issued 1,468 1,243 1,350 Warrants Cleared 1,789 1,458 1,575 Animal Services Animals Taken In 1,157 1,175 1,200 Adoptions 369 465 450 Return to Owner 233 375 400 Transferred Out 227 230 230 Wildlife Release 132 95 100 Euthanized 82 50 55 69 of 249 POLICE XXXXX f Budget � 2018 -19 i 2019 -20 i 2020 -21 Actual Estimate Budget Personnel $7,319,850 $7,702,610 $8,556,439 Supplies 98,547 106,436 120,176 City Support Services 27,192 25,401 26,000 Utility Services 155,544 158,779 211,800 Operations Support 8,066 16,875 18,685 Staff Support 145,132 132,341 188,898 City Assistance 50,555 74,141 81,100 Professional Services 108,697 78,109 84,583 Maintenance Services 64,190 72,368 90,705 Rental /Leasing 0 44,544 0 Operating Equipment 399,511 273,386 211,173 Capital Outlay 199,597 692,455 540,720 Total $8,576,881 $9,377,445 $10,130,278 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases 8.0% from the FY 2019 -20 year end estimate for additional personnel expenditures. These personnel increases include a new Student Resource Officer and a new Captain position for the Police Department. Other personnel increases include a pay increase as recommended by the classification and compensation study. The FY 2020 -21 Budget will also include additional vehicle fuel and training in anticipation of more officer positions being filled. 70 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC SAFETY EXPENDITURES POLICE C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 256 - 511110 Regular 4,191,212 4,765,561 5,111,319 3,743,782 4,851,535 5,722,899 256 - 511120 Overtime 197,721 247,200 179,450 201,823 255,000 203,597 256- 511180 LTD 13,224 13,859 15,474 3,497 3,497 17,507 256 - 511210 Longevity 95,568 102,756 108,221 103,525 108,458 100,958 256- 511220 Clothing Allowance 59,606 66,384 72,059 49,670 66,008 73,253 256 - 511230 Certification Allowance 39,577 39,556 43,262 34,865 43,802 44,861 256 - 511310 FICA - Employer 340,504 400,619 429,825 303,864 407,730 458,452 256 - 511350 TMRS- Employer 725,510 819,967 885,321 577,319 851,702 988,446 256 - 511410 Health - Employer 522,959 499,951 715,177 516,827 699,490 895,995 256- 511500 Workers' Compensation 35,514 42,826 44,273 38,662 38,662 50,471 TOTAL Personnel Services 6,221,395 6,998,680 7,604,381 5,573,834 7,325,884 8,556,439 Supplies 256- 521000 Operating Supplies 21,116 33,558 39,325 19,490 39,303 60,641 256 - 521100 Office Supplies 4,270 6,004 6,400 4,540 6,186 8,500 256 - 521150 Child Safety Supplies 10,152 0 3,450 2,835 3,400 4,325 256 - 521200 Medical /Chem Supplies 0 0 0 0 0 28,300 256 - 521300 Motor Veh. Supplies 13,566 17,024 17,510 17,290 17,290 18,410 TOTAL Supplies 49,104 56,586 66,685 44,155 66,179 120,176 City Support Services 256 - 532500 City Insurance - Commercial 24,230 26,264 26,000 26,401 25,401 26,000 TOTAL City Support Services 24,230 26,264 26,000 26,401 25,401 26,000 Utility Services 256- 533200 Electric Utility Service 0 0 0 0 0 29,400 256 - 533310 Telephone /Cell Phone 0 81 0 5,936 7,500 0 256- 533330 Telephone /Internet 0 189 39,000 0 0 0 256 - 533410 Water Utility Service 0 0 0 0 0 21,600 256- 533500 Vehicle Fuel 89,017 97,644 132,729 56,709 94,995 160,800 TOTAL Utility Services 89,017 97,914 171,729 62,646 102,495 211,800 Operations Support 256 - 534100 Advertising 0 0 7,400 1,654 6,293 7,400 256- 534200 Printing & Binding 2,991 7,836 10,686 2,932 10,389 11,285 TOTAL Operations Support 2,991 7,836 18,086 4,586 16,682 18,685 Staff Support 256 - 535100 Uniforms 40,788 43,954 43,027 21,294 42,891 54,033 256 - 535200 Awards 1,800 1,316 3,000 3,046 3,055 3,250 256 - 535210 Employee Recognition- Morale 2,122 4,268 4,300 4,173 4,300 5,500 256- 535300 Memberships 2,078 1,526 3,690 1,842 3,690 3,620 256 - 535400 Publications 306 ( 402) 490 74 490 490 256- 535500 Training /Travel 68,656 81,678 63,880 26,463 65,879 118,255 256 - 535510 Meeting Expenses 760 3,220 3,250 912 3,014 3,750 TOTAL Staff Support 116,509 135,559 121,637 57,803 123,320 188,898 71 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET City Assistance 256 - 537100 Medical Services 15,108 256 - 537800 Community Outreach 4.607 TOTAL City Assistance 19,715 Professional Services 256 - 541300 Prof Services /Consulting 53,396 256- 541310 Contract Service - Crematory 0 256 - 541700 Microchip Service 0 TOTAL Professional Services 53,396 Fund Charaes /Transfers Maintenance Services 256- 551100 Building Maintenance 256 - 551400 Minor & Other Equip Maint 256- 551700 Abatement /Lot Cleaning 256 - 551800 Other Maintenance Agreements 256 - 551810 Maintenance Agr. - Radios TOTAL Maintenance Services Debt Service 1,000 1,753 0 745 50,08C 53,578 9,783 12,000 0 0 70,800 6.960 91100 6.195 8.647 10.300 16,742 21,100 6,195 8,647 81,100 80,629 73,993 39,128 70,659 73,503 0 0 0 0 800 0 0 0 0 10,280 80,629 73,993 39,128 70,659 84,583 0 0 0 0 0 1,505 3,818 2,542 2,542 4,300 8,050 10,000 4,280 8,630 20,000 795 745 775 775 825 51.680 57,840 32.875 57.840 65.580 62,030 72,403 40,473 69,788 90,705 Rental /Leasing 256 - 561200 Lease /Purchase Payments 0 0 44,544 44,544 44,544 0 TOTAL Rental /Leasing 0 0 44,544 44,544 44,544 0 Operating Equipment 256- 571000 Furniture & Fixtures 4,094 5,248 6,155 6,014 6,155 9,620 256 - 571200 Vehicles & Access. LESS $5,00 28,885 307,437 202,041 131,421 163,256 150,500 256- 571300 Computer & Periphe. < $5000 0 0 63,257 2,094 63,257 29,970 256 - 571600 Donation - Expense 545 27,655 0 125 125 0 256- 571800 Equipment under $5,000 45.308 55.210 39,975 28,966 37.792 21.083 TOTAL Operating Equipment 78,831 395,551 311,428 168,619 270,585 211,173 Capital Outlay 256 - 581200 Vehicles & Access. Over $5,00 504,003 199,597 351,635 26,876 351,038 333,485 256- 581300 Computer & Periphe. > $5,000 0 0 0 0 0 13,080 256 - 581800 Equipment Over $5,000 25,425 0 195,380 194,952 208,252 194,155 TOTAL Capital Outlay 529,428 199,597 547,015 221,829 559,291 540,720 TOTAL POLICE 7,238,194 8,077,388 9,079,000 6,290,212 8,683,474 10,130,278 72 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC SAFETY 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 Worker' Compensation TOTAL Personnel Services Supplies 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 Staff Support 259 - 535100 Uniforms 259 - 535300 Memberships 259 - 535500 Training /Travel 259 - 535510 Meeting Expenses TOTAL Staff Support City Assistance Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 237,246 0 0 0 0 0 4,079 0 0 0 0 0 774 0 0 0 0 0 6,526 0 0 0 0 0 3,120 0 0 0 0 0 2,210 0 0 0 0 0 18,769 0 0 0 0 0 40,857 0 0 0 0 0 31,871 0 0 0 0 0 2,847 0 0 0 0 0 348,298 0 0 0 0 0 191 0 0 0 0 0 715 0 0 0 0 0 1, 862 0 0 0 0 0 76 0 0 0 0 0 2,844 0 0 0 0 0 6.242 0 0 0 0 0 6,242 0 0 0 0 0 106 0 0 0 0 0 106 0 0 0 0 0 1,091 0 0 0 0 0 250 0 0 0 0 0 4,159 0 0 0 0 0 45 0 0 0 0 0 5,546 0 0 0 0 0 73 of 249 8 -06 -2020 03:47 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 259 - 551800 Other Maintenance Agreements 101- GENERAL FUND AS OF: JUNE 30TH, 2020 0 PUBLIC SAFETY 0 259 - 551810 Maintenance Agr. - Radios 2.600 EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 0 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED 0 ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Maintenance Services 259 - 551800 Other Maintenance Agreements 1,656 0 0 0 0 0 259 - 551810 Maintenance Agr. - Radios 2.600 0 0 0 0 0 TOTAL Maintenance Services 4,256 0 0 0 0 0 Operating Equipment 259 - 571800 Equipment Less $5,000 4,756 0 0 0 0 0 TOTAL Operating Equipment 4,756 0 0 0 0 0 Capital Outlay TOTAL MARSHAL'S OFFICE 372,049 0 0 0 0 0 TOTAL PUBLIC SAFETY 13,339,628 14,328,041 15,607,921 11,096,458 15,421,461 17,287,681 74 of 249 8 -06 -2020 03:47 PM 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 Operating Supplies 762 - 521100 Office Supplies 762 - 521200 Medical /Chem Supplies 762 - 521300 Motor Veh. Supplies TOTAL Supplies 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 Staff Support 762- 535100 Uniforms 762 - 535200 Awards 762- 535210 Employee Recognition- Morale 762 - 535500 Training /Travel 762 - 535510 Meeting Expenses TOTAL Staff Support C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 187,676 196,431 242,632 170,998 236,200 0 7,560 29,697 38,800 9,802 17,500 0 493 551 730 148 148 0 2,514 1,435 1,264 870 870 0 1,703 0 0 0 0 0 1,500 1,525 3,089 1,000 1,300 0 14,733 17,646 21,800 13,420 19,574 0 32,164 37,347 45,538 26,321 40,888 0 35,695 34,033 50,816 39,432 57,723 0 2,392 2.505 2.889 2.523 2.523 0 286,430 321,170 407,558 264,515 376,726 0 15,440 19,252 17,910 13,312 18,278 0 426 79 2,000 567 1,740 0 21,076 22,528 25,386 19,421 20,031 0 0 102 1,385 8 208 0 36,941 41,961 46,681 33,308 40,257 0 792 928 0 0 0 0 792 928 0 0 0 0 21,091 22,548 21,996 17,105 28,683 0 21,690 28,422 25,008 10,507 22,375 0 10,417 6,660 5,213 2,866 5,226 0 53,198 57,630 52,217 30,478 56,284 0 442 230 1,000 93 193 0 442 230 1,000 93 193 0 3,361 5,652 7,611 1,472 6,318 0 0 0 250 0 0 0 0 0 1,200 277 278 0 2,757 3,891 3,000 425 2,425 0 226 29 500 0 0 0 6,344 9,573 12,561 2,175 9,021 0 75 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND HEALTH EXPENDITURES City Assistance 762 - 537100 Medical Services 762 - 537105 TER Program TOTAL City Assistance Professional Services 762 - 541300 Other Consl /Prof Services 762- 541310 Contrct Svc- B1ueBonnet- Cremat 762 - 541700 Microchip Service 762 - 541702 Spay & Neuter TOTAL Professional Services Fund Charges /Transfers Maintenance Services 762 - 551100 Building Maintenance 762- 551400 Minor & Other Equip Maint 762 - 551700 Abatement 762 - 551810 Maintenance Agr. - Radios TOTAL Maintenance Services Rental /Leasing Operating Equipment 762 - 571000 Furniture & Fixtures 762 - 571200 Vehicles & Access. Less $5,00 762 - 571500 Equipment 762 - 571600 Donation - Expense 762 - 571700 Improvements under $5,000 762 - 571800 Equipment Under $5,000 TOTAL Operating Equipment Capital Outlay 762 - 581200 Vehicles & Access. Over $5,00 762 - 581600 Donation Expense - Capital 762 - 581800 Equipment Over $5,000 TOTAL Capital Outlay TOTAL ANIMAL SERVICES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 18,863 33,813 53,713 36,155 65,494 0 255 0 0 0 0 0 19,118 33,813 53,713 36,155 65,494 0 0 1,920 0 0 0 0 637 1,197 800 315 800 0 2,036 4,951 4,290 3,325 6,650 0 18.107 20,000 0 0 0 0 20,781 28,068 5,090 3,640 7,450 0 14,286 85 0 0 0 0 0 155 500 0 500 0 330 0 0 0 0 0 2,080 1,920 2,400 1,280 2,080 0 16,696 2,160 2,900 1,280 2,580 0 0 0 437 437 246 0 250 0 500 2,367 314 0 1,505 3,450 2,241 2,241 2,241 0 20,889 0 0 0 0 0 174 510 0 0 0 0 1,509 0 0 0 0 0 24,327 3,960 3,178 5,046 2,801 0 64,912 0 60,754 58,887 58,887 0 0 0 0 20,103 20,103 0 0 0 54,174 54,174 54,174 0 64,912 0 114,928 133,164 133,164 0 529,980 499,493 76 of 249 699,825 509,853 693,970 0 8 -06 -2020 03:47 PM 101- GENERAL FUND HEALTH EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET ENVIRONMENTAL HEALTH Personnel Services 772 - 511110 Regular 91,681 0 0 0 0 0 772 - 511120 Overtime 2,508 0 0 0 0 0 772 - 511180 LTD 291 0 0 0 0 0 772 - 511210 Longevity 1,974 0 0 0 0 0 772 - 511220 Clothing Allowance 1,684 0 0 0 0 0 772 - 511310 FICA - Employer 6,977 0 0 0 0 0 772 - 511350 TMRS- Employer 14,210 0 0 0 0 0 772 - 511410 Health- Employer 15,153 0 0 0 0 0 TOTAL Personnel Services 134,477 0 0 0 0 0 Supplies 772 - 521000 Operating Supplies 428 0 0 0 0 0 772 - 521100 Office Supplies 372 0 0 0 0 0 TOTAL Supplies 800 0 0 0 0 0 Utility Services Qperations Support 772- 534200 Printing & Binding 242 0 0 0 0 0 TOTAL Operations Support 242 0 0 0 0 0 Staff Support 772 - 535100 Uniforms 467 0 0 0 0 0 772 - 535500 Training /Travel 3.463 0 0 0 0 0 TOTAL Staff Support 3,930 0 0 0 0 0 City Assistance 772- 537800 Community Outreach 338 0 0 0 0 0 TOTAL City Assistance 338 0 0 0 0 0 Professional Services 772 - 541300 Other Consl /Prof Services 19,395 0 0 0 0 0 TOTAL Professional Services 19,395 0 0 0 0 0 Maintenance Services 772 - 551700 Abatement /Lot Cleaning 7,124 0 0 0 0 0 TOTAL Maintenance Services 7,124 0 0 0 0 0 77 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND HEALTH EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Operatina Equipment 772 - 571000 Furniture & Fixtures 431 0 0 0 0 0 772 - 571800 Equipment < $5,000 1.236 0 0 0 0 0 TOTAL Operating Equipment 1,667 0 0 0 0 0 Capital Outlay 772 - 581200 Vehicles & Access. > $5,000 31,807 0 0 0 0 0 TOTAL Capital Outlay 31,807 0 0 0 0 0 TOTAL ENVIRONMENTAL HEALTH 199,779 0 0 0 0 0 TOTAL HEALTH 729,759 499,493 699,825 509,853 693,970 0 78 of 249 XXXXX 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 specialized operations. • Build upon area -wide technical wildland strike teams. and encourage involvement in rescue, hazardous materials, and 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. 79 of 249 FIRE RESCUE XXXXX 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 2018 -19 2019 -20 2020 -21 Fire Chief 1 1 1 Assistant Chief 1 1 1 Emergency Management Coordinator 0 0 1 Fire Marshal 1 1 1 Deputy Fire Marshal 1 1 1 Battalion Chief 4 4 4 Lieutenant 9 9 9 Fire Apparatus Operator 9 9 9 Firefighter 18 18 18 Administrative Assistant 1 1 1 TOTAL POSITIONS 451 451 46 80 of 249 FIRE RESCUE �:�� ► ► •G 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 955 2018 -19 2019 -20 2020 -21 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 955 1018 1035 45 45 46 39 39 39 2 2 2 4 4 5 3 3 3 3 3 3 Number of incidents 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Number of incidents 3,753 4,000 4,150 Unit Responses (# calls for all units Actual Estimate Budget responding to all emergencies) 5,257 5,730 5,900 Buildings preplan contacts 262/237 272/206 Training Hours /Employee Community Contact (citizen contact) 6,538 20,000 18,000 Fire Inspections Conducted 463 450 600 Plan Reviews Completed 205 260 260 Training Hours Provided 7,949 10,504 12,500 I 2018 -19 2019 -20 2020 -21 Efficiency Actual Estimate Budget Average Drive Time (Minutes) 5.51 5.45 • Drive Time < 4 Minutes 31% 32% • of Buildings Preplanned 100% 100% • Prevention Contacts 29% 29% Inspections per Inspector 262/237 272/206 Training Hours /Employee 205 318 81 of 249 5.40 31% 100% 29% 360/240 329 XXXXX FIRE RESCUE XXXXX Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $4,611,501 $4,948,288 $5,235,582 Supplies 18,529 23,355 23,855 Utility Services 55,221 83,000 76,600 Operations Support 392 1,000 2,150 Staff Support 172,038 195,600 196,600 City Assistance 20,868 24,000 23,000 Professional Services 33,465 69,000 55,500 Maintenance Services 70,560 76,400 76,000 Other Costs 1,594 2,061 0 Rental /Leasing 25,581 10,600 13,500 Operating Equipment 100,193 145,246 143,000 Capital Outlay 177,855 188,114 291,000 Total $5,287,797 $5,766,664 $6,136,787 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget will increase 6.4% from the FY 2019 -20 year end estimate from higher personnel costs to hire a new Emergency Management Coordinator to oversee the Emergency Operations Center during events, coordinate the update of emergency plans, and apply for applicable grants. Capital Outlay will increase to begin replacing handheld radios over 3 years. 82 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC SAFETY EXPENDITURES FIRE RESCUE C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXCX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 257 - 533100 Gas Utility Service 257 - 511110 Regular 2,567,507 2,940,564 2,891,488 2,400,196 3,094,509 3,254,823 257 - 511120 Overtime 430,940 380,812 440,000 178,491 400,000 425,000 257 - 511180 LTD 8,160 8,758 8,432 2,149 2,149 9,552 257 - 511210 Longevity 62,328 63,571 68,486 61,012 65,450 71,860 257 - 511220 Clothing Allowance 12,720 13,524 13,316 10,620 14,000 13,478 257 - 511230 Certification Allowance 41,755 43,670 47,336 30,118 42,000 47,597 257 - 511310 FICA - Employer 231,811 263,091 263,396 195,031 276,620 289,985 257 - 511350 TMRS- Employer 502,724 563,873 550,205 385,072 577,830 618,540 257 - 511410 Health - Employer 313,707 309,147 400,802 333,597 453,962 476,203 257 - 511500 Workers' Compensation 20,051 24.492 24.927 21.768 21.768 28.544 TOTAL Personnel Services 4,191,703 4,611,501 4,708,388 3,618,055 4,948,288 5,235,582 Supplies 98,600 257 - 535210 Employee Recognition- Morale 4,325 4,452 4,700 1,316 4,700 257 - 521000 Operating Supplies 4,059 5,064 7,590 1,588 7,000 7,500 257 - 521100 Office Supplies 1,976 2,574 3,200 1,722 3,200 3,200 257 - 521200 Medical /Chem Supplies 5,266 9,324 11,003 6,885 10,955 10,955 257 - 521300 Motor Veh. Supplies 37 136 1,000 96 1,000 1,000 257 - 521600 Equip Maint Supplies 905 1,433 1,200 543 1,200 1,200 TOTAL Supplies 195,600 12,244 18,529 23,992 10,834 23,355 23,855 City Support Services Utility Services 257 - 533100 Gas Utility Service 3,150 5,409 7,000 4,164 7,000 7,000 257 - 533200 Electric Utility Service 9,393 9,685 25,000 11,935 20,000 25,000 257- 533320 Telephone /Air Cards 0 0 3,000 0 0 3,000 257 - 533330 Telephone /Internet 1,023 142 0 0 0 0 257- 533410 Water Utility Service 1,821 1,347 3,600 15,168 18,000 3,600 257 - 533500 Vehicle Fuel 33.643 38,638 38,000 22,600 38,000 38,000 TOTAL Utility Services 49,030 55,221 76,600 53,867 83,000 76,600 Operations Support 257 - 534100 Advertising 0 0 150 0 0 150 257 - 534200 Printing & Binding 142 392 1,000 335 1,000 2,000 TOTAL Operations Support 142 392 1,150 335 1,000 2,150 Staff Support 257 - 535100 Uniforms 82,009 87,750 97,600 72,276 97,600 98,600 257 - 535210 Employee Recognition- Morale 4,325 4,452 4,700 1,316 4,700 4,700 257 - 535300 Memberships 2,643 3,058 3,500 3,267 3,500 3,500 257 - 535400 Publications 1,966 1,854 3,500 104 3,500 2,300 257- 535500 Training /Travel 56,503 65,122 72,199 57,013 72,000 73,000 257 - 535510 Meeting Expenses 3,499 2,907 4,388 1,990 4,300 4,500 257- 535600 Professional Certification 6.012 6.894 10,000 6.549 10.000 10.000 TOTAL Staff Support 156,958 172,038 195,887 142,516 195,600 196,600 83 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET City Assistance 257 - 537800 Community Outreach 15,18 TOTAL City Assistance 15,183 Professional Services 257- 541300 Other Professional Services 25,875 TOTAL Professional Services 25,875 Fund Charaes /Transfers Maintenance Services 257 - 551400 Minor & Other Equip Maint 257 - 551800 Other maintenance agreement 257 - 551810 Maintenance Agr. - Radios 257 - 551900 Construction TOTAL Maintenance Services Other Costs 257 - 554200 Deployment - Reimb- TIFMAS TOTAL Other Costs Debt Service 54 20,001 14,040 24,87' 58,968 15,160 15,160 20,868 24,000 14,208 24,000 23,000 20,868 24,000 14,208 24,000 23,000 33,465 68,000 38,011 69,000 55,500 33,465 68,000 38,011 69,000 55,500 284 2,500 871 15,000 2,500 20,964 31,400 13,681 31,400 43,500 13,100 15,000 8,960 15,000 15,000 36,213 15,000 1,903 15,000 15,000 70,560 63,900 25,414 76,400 76,000 1,594 0 2,061 2,061 0 1,594 0 2,061 2,061 0 Rental /Leasing 257 - 561200 Lease /Purchase Payments 15,916 25,581 10,600 81990 10,600 13,500 TOTAL Rental /Leasing 15,916 25,581 10,600 8,990 10,600 13,500 Operating Equipment 257 - 571000 Furniture & Fixtures 14,582 14,417 49,803 39,034 39,034 22,000 257 - 571200 Vehicles & Access. LESS $5,00 5,544 7,995 8,000 3,281 8,125 10,000 257 - 571300 Computer & Periphe. < $5000 14,545 13,907 19,787 13,242 19,750 18,000 257 - 571310 Computer Software 1,278 6,417 8,000 498 8,000 15,000 257 - 571400 Communication Equip LESS $500 4,054 11,964 17,937 11,122 17,937 18,000 257 - 571600 Police /Fire /Medical Equipment 97,767 40,568 71,275 34,625 43,200 46,000 257 - 571800 Equipment under $5,000 5,429 4,926 9,200 1,390 9,200 14,000 TOTAL Operating Equipment 143,199 100,193 184,002 103,191 145,246 143,000 Capital Outlay 257 - 581200 vehicles & Access. Over $5,00 89,953 177,855 132,000 84,042 132,000 134,000 257 - 581400 Communication Equip Over $500 0 0 25,000 25,388 25,388 135,000 257 - 581600 Donation - Expense 24,864 0 0 14,726 14,726 0 257 - 581800 Equipment Over $5,000 7,000 0 16,000 14,957 16,000 22,000 TOTAL Capital Outlay 121,817 177,855 173,000 139,113 188,114 291,000 TOTAL FIRE RESCUE 4,806,193 5,287,798 5,529,519 4,156,594 5,766,664 6,136,787 84 of 249 XXXXX 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 maintaining health, safety, and welfare through professional review of building plans, permits and performing inspections to works closely with citizens, contractors, builders, developers, and other City Departments to assist in creating an attractive and safe community. GOALS AND OBJECTIVES Implement new permitting /planning /Code Enforcement software to provide increased customer service, transparency, and efficiency on all development projects. 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 (SharePoint, WebQA, and permitting software City View) 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, landowners, neighborhood groups, business owners, appointed officials and Council members, and citizens of the community. 85 of 249 INSPECTIONS XXXXX Promote continuous staff development and cross training to improve efficiency and customer service by increasing the technical knowledge of staff. Continue to expand efforts for community education of Building Safety through the City of Schertz Building Safety Month activities. Review, adopt and implement new Building Codes in order to ensure the health and safety of Schertz residents. ACCOMPLISHMENTS Inspections staff obtained various International Code Council (ICC) and Texas State Board of Plumbing Examiners Inspector. Attended various continuing education classes virtually related to building code regulations, the Master Exam Prep Class for Plumbing, Coaching and Teambuilding Skills for Managers and Supervisors, ADA Accessibility Training, various webinars for inspector training, and training to maintain active Plumbing Licenses and Master Electrical Licenses. Continually improved upon the customer service with the addition of some graphic brochures for permitting, carports, sheds, etc. Continued the yearly program to raise awareness for Building Safety Month which included safety tips on the City social media site and an article in the Schertz Magazine. Successfully continued with the digital plan and permit submittal and review process by utilizing SharePoint and WebQA to increase efficiency and customer service and added organization to provide for internal improvements. Continually reviewed and improved the online inspection request system based on customer input to improve communication with customers. Continued the monthly contractor meetings and quarterly meetings with the Greater San Antonio Builders Association (GSABA) to foster partnerships with the building community. Increased focus on continued training for staff. 86 of 249 INSPECTIONS • A► •►_ I I Eel . 1 XXXXX INSPECTIONS 2018 -19 2019 -20 2020 -21 Dir. of Planning & Comm. Dev. 1 1 1 Executive Assistant 1 1 1 Chief Building Official 1 1 1 Plans Examiner 1 1 1 Building Inspector 3 5 5 Permit Technician 2 2 2 Development Specialists* 0 1 1 TOTAL POSITIONS 1 91 121 12 *Split with Utility Billing New Residential Construction 2018 -19 2018 -19 2019 -20 Workload /Output Actual Estimate Budget New Residential Construction 338 360 360 New Commercial Construction 19 26 26 Reroof Permits 903 850 850 Accessory /Temporary Building Permits 49 25 25 Deck/Patio Permits 83 60 60 Sign Permits 102 100 100 Other Permits 2986 3000 3000 Mechanical Permits 1116 900 900 87 of 249 INSPECTIONS Electric Permits Plumbing Permits XXXXX 918 800 800 1389 1000 1000 Total Permit/License /Fee Revenue $2,279,822 $2,547,756 $2,547,756 Standard Inspections (i.e. framing) 13,338 15,000 15,000 and Re- Inspections 2018 -19 2019 -20 2020 -21 Effectiveness Actual I Estimate Budget Standard Inspections (i.e. framing) 13,338 15,000 15,000 and Re- Inspections Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $802,083 $816,684 $894,229 Supplies 2,897 5,378 5,076 Utility Services 6,047 6,000 8,400 Operations Support 1,206 2,400 1,000 Staff Support 25,975 41,261 41,261 Professional Services 69,720 70,000 70,000 Operating Equipment 2,841 600 650 Capital Outlay 52,087 29,000 0 Total $962,856 $971,323 $1,020,616 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases 5.1 % from the FY 2019 -20 year end estimate with the implementation of the classification and compensation recommendation. 88 of 249 8 -06 -2020 03:47 PM 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 258 - 521000 Operating Supplies 258 - 521100 Office Supplies 258 - 521300 Motor vehicle Supplies 258 - 521600 Equip Maint Supplies TOTAL Supplies City Sui2port Services Utility Services 258 - 533500 vehicle Fuel TOTAL Utility Services Operations Support 258 - 534200 Printing & Binding TOTAL Operations Support C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 420,670 568,258 567,480 439,526 569,659 608,575 27,467 14,090 17,460 5,328 18,000 15,212 1,300 1,611 1,759 438 438 1,887 7,295 8,672 13,952 11,849 11,849 12,809 0 182 291 231 300 288 33,516 44,918 45,805 33,615 43,265 48,682 73,523 95,749 95,683 65,595 89,331 103,840 64,366 67,260 97,084 67,580 82,507 101,281 11081 1.342 1,529 1,335 1.335 1.655 629,218 802,083 841,043 625,497 816,684 894,229 1,056 1,287 1,614 495 1,614 1,600 1,399 1,378 2,400 540 2,400 2,400 72 159 864 114 864 576 22 73 500 0 500 500 2,549 2,897 5,378 1,149 5,378 5,076 4,461 6,047 9,720 3,151 6,000 8,400 4,461 6,047 9,720 3,151 6,000 8,400 1.781 1,206 2,400 0 2,400 11000 1,781 1,206 2,400 0 2,400 1,000 Staff Support 258 - 535100 Uniforms 4,857 5,306 8,690 1,159 8,690 8,690 258 - 535300 Memberships 259 318 745 243 745 745 258 - 535400 Publications 1,589 1,345 2,298 93 2,298 2,298 258 - 535500 Training /Travel Staff 9,942 16,133 23,341 7,431 23,341 23,341 258 - 535510 Meeting Expenses 666 830 2,100 430 2,100 2,100 258 - 535600 Professional Certification 1.941 2.042 4.087 874 4.087 4.087 TOTAL Staff Support 19,254 25,975 41,261 10,230 41,261 41,261 ity Assistance 89 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 258 - 541300 Other Consl /Prof Services 260,540 TOTAL Professional Services 260,540 Maintenance Services Rental /Leasing Operating Equipment 258 - 571000 Furniture & Fixtures 5,391 258 - 571200 vehicles &Access. LESS $5,000 0 TOTAL Operating Equipment 5,391 Capital Outlay 258 - 581200 Vehicles & Access. Over $5,00 0 TOTAL Capital Outlay 0 TOTAL INSPECTIONS 69,720 70,000 9,625 70,000 70,000 69,720 70,000 9,625 70,000 70,000 903 600 0 600 650 1,938 0 0 0 0 2,841 600 0 600 650 52,087 29,000 0 29,000 0 52,087 29,000 0 29,000 0 923,193 962,856 90 of 249 999,402 649,652 971,323 1,020,616 XXXXX DEPARTMENT: PUBLIC WORKS DIVISION: 359 STREETS FUND: 101 GENERAL FUND • 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. 91 of 249 PUBLIC WORKS - STREETS •: A► • _ I I Eel . 1 STREETS 2018 -19 2019 -20 2020 -21 Public Works Manager Streets/Drainage 1 1 1 Street Supervisor 1 1 1 Foreman 1 1 1 Street Worker 11 5 6 6 Street Worker 1 6 8 8 TOTAL POSITIONS 14 17 17 PERFORMANCE INDICATORS Street Sweeping hours 2018 -19 2019 -20 2020 -21 Workload /Output Actual Estimate Budget Street Sweeping hours 1252 1284 1512 Number of signs produced 975 992 1000 Quantity of asphalt purchased (tons) 248 350 400 Special projects (Hours) 131 900 800 Street centerline miles 163 165 167 Annual cost to operate street sweepers (operators and fuel) Cost per ton of asphalt Approved daily budget expenditures for operation 92 of 249 118,450 122,003 45 45 4,561 4,447 125,663 45 4323 XXXXX 2018 -19 2019 -20 2020 -21 Efficiency Actual Estimate Budget Annual cost to operate street sweepers (operators and fuel) Cost per ton of asphalt Approved daily budget expenditures for operation 92 of 249 118,450 122,003 45 45 4,561 4,447 125,663 45 4323 XXXXX PUBLIC WORKS - STREETS XXXXX Effectiveness 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Hours spent on roadway maintenance 2340 2380 2600 Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $725,346 Supplies 92,910 City Support 0 Utility Services 184,414 Staff Support 17,397 Professional Services 6,345 Maintenance Services 40,561 Rental /Leasing 5,043 Operating Equipment 41,318 Capital Outlay 188,545 Total $1,301,880 PROGRAM JUSTIFICATION AND ANALYSIS $764,448 118,900 2,000 174,600 15,338 15,000 331,869 5,000 5,900 342,125 $1,775,180 $929,607 117,950 0 176,000 21,120 18,000 285,500 6,000 9,800 0 $1,563,977 The FY 2020 -21 Budget will decrease 11.9% from the FY 2019 -20 year end estimate. Increases in personnel expenditures related to the classification and compensation study implementation is offset with fewer capital purchases planned in FY 2020 -21. 93 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC ENVIRONMENT EXPENDITURES STREETS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 2,515 3,250 2,139 3,500 3,750 359 - 521050 Operating Supplies -Sign 359 - 511110 Regular 507,802 491,977 570,015 361,319 495,927 602,025 359 - 511120 Overtime 5,124 6,032 6,305 6,765 9,200 6,240 359 - 511180 LTD 1,601 1,478 1,767 389 389 1,866 359 - 511210 Longevity 15,381 16,927 17,138 16,786 16,665 19,162 359 - 511230 Certification Allowance 2,389 2,112 2,910 1,339 2,000 2,880 359 - 511310 FICA - Employer 40,314 40,391 45,206 28,949 40,070 47,776 359 - 511350 TMRS- Employer 85,636 83,788 95,097 55,914 83,702 102,467 359 - 511410 Health- Employer 101,200 66,618 121,404 70,887 100,817 127,821 359 - 511500 Workers' Compensation 13.958 16.024 17.954 15.678 15.678 19.370 TOTAL Personnel Services 773,404 725,346 877,796 558,026 764,448 929,607 Supplies 359 - 521000 Operating Supplies 2,342 2,515 3,250 2,139 3,500 3,750 359 - 521050 Operating Supplies -Sign 19,967 16,691 45,000 31,973 35,000 30,000 359 - 521055 Operating Supplies- StreetMain 56,259 71,658 65,200 45,100 77,200 80,000 359 - 521100 Office Supplies 295 350 400 328 400 400 359 - 521200 Medical /Chem Supplies 1,000 465 1,000 488 1,000 2,000 359 - 521300 Motor Veh. Supplies 995 1,232 1,800 1,108 1,800 1,800 TOTAL Supplies 80,858 92,910 116,650 81,135 118,900 117,950 City Support Services 10,496 17,397 18,620 12,173 15,338 21,120 359 - 532800 EMPLOYEE APPRECIATION EVENTS 0 0 2,500 1,229 2,000 0 TOTAL City Support Services 0 0 2,500 1,229 2,000 0 Utility Services 359 - 533200 Electric Utility Service 135,545 140,869 140,000 98,142 142,000 140,000 359 - 533210 Utilities - Poles 0 4,440 0 0 0 0 359 - 533410 Water Utility Service 559 473 0 407 600 0 359 - 533500 Vehicle Fuel 36,954 38,631 35,000 22,902 32,000 36,000 TOTAL Utility Services 173,057 184,414 175,000 121,450 174,600 176,000 Operations Support Staff Support 359 - 535100 Uniforms 8,351 13,338 12,000 10,271 12,000 13,500 359 - 535300 Memberships 0 149 0 0 0 0 359 - 535500 Training /Travel 1,423 3,023 4,000 1,714 2,138 5,000 359 - 535510 Meeting Expenses 495 726 1,200 188 700 1,200 359 - 535600 Professional Certification 227 161 1,420 0 500 1,420 TOTAL Staff Support 10,496 17,397 18,620 12,173 15,338 21,120 94 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PUBLIC ENVIRONMENT EXPENDITURES City Assistance Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 359 - 541310 Contractual Services 18,19 TOTAL Professional Services 18,193 Maintenance Services 359 - 551400 Minor & Other Equip Maint 0 359 - 551600 Outsourced Street Maintenance 70,181 TOTAL Maintenance Services 70,181 Debt Service Rental /Leasing. 359 - 561100 Rental- Equipment 3.201 TOTAL Rental /Leasing 3,201 Operating Equipment 359 - 571000 Furniture & Fixtures 300 359 - 571200 Vehicles & Access under $5,00 1,166 359 - 571800 Equipment under $5,000 5,196 TOTAL Operating Equipment 6,662 Capital Outlay 359 - 581200 Vehicles & Access. Over $5,00 7,475 359 - 581750 Street Crossing Improvements 25,818 359 - 581800 Equipment Over $5,000 60.860 TOTAL Capital Outlay 94,153 6,345 11,000 9.765 15,000 18,000 6,345 11,000 9,765 15,000 18,000 320 500 0 500 500 40,241 331,369 82,491 331,369 285,000 40,561 331,869 82,491 331,869 285,500 5,043 6,000 11900 5,000 6,000 5,043 6,000 1,900 5,000 6,000 0 300 0 0 300 0 0 0 2,500 5,000 41,318 1,400 516 3,400 4,500 41,318 1,700 516 5,900 9,800 156,398 282,125 0 282,125 0 0 60,000 0 60,000 0 32,147 0 0 0 0 188,545 342,125 0 342,125 0 TOTAL STREETS 1,230,206 1,301,880 1,883,260 868,686 1,775,180 1,563,977 TOTAL PUBLIC ENVIRONMENT 1,230,206 1,301,880 1,883,260 95 of 249 868,686 1,775,180 1,563,977 XXXXX COMMUNITY DEPARTMENT: 460 PARKS, RECREATION AND SERVICES 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, 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 plans and implements over 50 special events, recreation programs, and parades. The Director of Parks, Recreation, and Community Services oversees the budgets for Parks, Swimming Pools, Tree Mitigation, Parkland Dedication, and the Special Events Fund. In addition, the Director oversees and manages the contracts with the YMCA of Greater San Antonio for the staffing and programming of the Recreation Center, the Schertz Area Senior Center, the Schertz Aquatics Center, and the outdoor pools at Pickrell Park and Wendy Swan Memorial Park. 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. 96 of 249 XXXXX 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 2018 -19 2019 -20 2020 -21 Director of Parks, Recreation & Community Services 1 1 1 Administrative Assistant 1 1 1 Parks Manager 1 1 1 Park Maintenance Crew Supervisor 1 1 1 Park Maintenance Technician 1 4 5 5 Park Worker I, Part Time 1 1 1 Seasonal Park Workers 1 1 1 Events Manager 1 1 1 Events Specialist 1 1 1 TOTAL POSITIONS 12 13 13 97 of 249 XXXXX PARKS, RECREATION AND COMMUNITY SERVICES �. �. Total Acres of Park Land Managed Total Acres of City Campuses Managed Total Acres of Land Managed Per FTE Total Miles of Trails Managed Special Events, Programs & Parades 401.11 401.11 401.11 48.68 52.37 89.96 89.96 75.58 25 25 50 50 50 2018 -19 2019 -20 2020 -21 Workload/Outputs Actual Estimate Budge Total Acres of Park Land Managed Total Acres of City Campuses Managed Total Acres of Land Managed Per FTE Total Miles of Trails Managed Special Events, Programs & Parades 401.11 401.11 401.11 48.68 52.37 89.96 89.96 75.58 25 25 50 50 50 Acres of Contractual Mowing Acres of Athletic Association Maintenance Hours of Volunteer Service Hours of Athletic Association Service 119.40 2018 -19 2019 -20 2020 -21 Efficiency Actual I Estimate Budget Acres of Contractual Mowing Acres of Athletic Association Maintenance Hours of Volunteer Service Hours of Athletic Association Service 119.40 119.40 123.09 70.02 70.02 70.02 800 500 500 1,200 1,200 1,200 Cost Benefit for Athletic Association Field Maintenance Cost Benefit for Volunteer Hours Special Events Attendance Youth Sports Registrations (BVYA & SYSA) off MI 0 MIZ off -11 .M Budget 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Bud et Cost Benefit for Athletic Association Field Maintenance Cost Benefit for Volunteer Hours Special Events Attendance Youth Sports Registrations (BVYA & SYSA) off MI 0 MIZ off -11 .M Budget 2018 -19 2019 -20 2020 -21 Supplies Actual Estimate Budget Personnel $568,334 $598,920 $709,059 Supplies 68,853 99,050 99,350 City Support Services 20,808 105,934 86,500 Utility Services 225,783 246,500 246,000 Operations Support 1,847 1,561 2,000 Staff Support 17,338 15,115 19,670 Professional Services 151,897 137,500 137,500 Maintenance Services 11,688 97,458 24,000 Rental /Leasing 13,630 10,000 10,000 98 of 249 xxxxx PARKS, RECREATION AND COMMUNITY SERVICES Operating Equipment Capital Outlay Total 93,040 66,829 65,00# 1910,419 17•,408 185,0011: $1,483,637 $1,555,275 $1,584,079 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020-21 Budget will increase 1.9% from the FY 2019-20 year end estimate with the classification and compensation study recommendation which is partially offset with less maintenance with the completion of the Senior Center Parking lot renovation. 99 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PARKS & RECREATION EXPENDITURES PARKS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 41,419 29,117 31,671 25,394 34,250 34,250 460 - 511110 Regular 301,260 384,802 433,586 297,707 391,154 470,136 460 - 511120 Overtime 16,047 17,549 14,793 10,595 17,800 16,448 460- 511180 LTD 885 1,106 1,326 237 237 1,439 460 - 511210 Longevity 6,669 9,832 4,022 2,880 2,815 3,608 460- 511230 Certification Allowance 2,908 3,485 6,984 1,042 1,768 6,912 460 - 511310 FICA - Employer 24,030 31,366 35,142 22,980 31,653 38,017 460 - 511350 TMRS- Employer 52,016 66,696 72,479 44,570 66,083 80,121 460 - 511410 Health- Employer 51,281 49,453 83,806 51,792 83,982 88,054 460 - 511500 Workers' Compensation 3.379 4.045 3,926 3.428 3.428 4.324 TOTAL Personnel Services 458,475 568,334 656,064 435,232 598,920 709,059 Supplies 460 - 521000 Operating Supplies 41,419 29,117 31,671 25,394 34,250 34,250 460- 521100 Office Supplies 430 1,330 1,000 1,307 1,500 1,500 460 - 521200 Medical /Chem Supplies 2,502 1,348 2,600 1,770 2,500 2,600 460 - 521300 Motor Vehicle Supplies 256 29 500 190 225 500 460 - 521310 Landscaping Supplies -Parks 21,397 15,071 25,500 8,427 25,500 25,500 460 - 521315 Landscaping Supplies- Campus 943 17,107 30,500 10,232 30,500 30,500 460- 521400 Plumbing Supplies 4,221 4,277 4,000 1,601 4,000 4,000 460 - 521610 Building Maintenance Supplies 619 575 500 99 575 500 TOTAL Supplies 71,788 68,853 96,271 49,020 99,050 99,350 City Support Services 460 - 532601 Holidazzle 0 0 25,559 25,559 25,559 26,000 460 - 532604 4th of July Jubilee 0 0 26,000 1,676 26,000 26,000 460- 532607 National Night Out 0 0 500 0 0 0 460 - 532619 Schertz Sweetheart 0 0 10,941 2,389 2,500 10,000 460- 532620 Sweetheart Scholarships 0 0 4,000 0 4,000 4,000 460 - 532626 Other Events 0 0 37,125 11,189 37,500 6,500 460- 532629 MOVING ON MAIN 0 0 375 375 375 4,000 460 - 532800 Music, Movies in the Park 10,437 20,808 10,000 453 10,000 10,000 TOTAL City Support Services 10,437 20,808 114,500 41,641 105,934 86,500 Utility Services 460- 533200 Electric Utility Service 73,034 67,279 76,000 39,402 76,000 76,000 460 - 533310 Telephone /Cell Phones 28 0 0 0 0 0 460- 533410 Water Utility Service 171,163 147,692 160,000 98,880 160,000 160,000 460 - 533500 Vehicle Fuel 11,804 10,812 8,500 5,540 10,500 10,000 TOTAL Utility Services 256,028 225,783 244,500 143,822 246,500 246,000 100 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PARKS & RECREATION EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXWX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Operations Support 460- 541300 Other Consl /Prof Services 460 - 534100 Advertising 999 460 - 534200 Printing & Binding 0 460 - 534800 Temporary Empl. Services 0 TOTAL Operations Support 999 Staff Support 0 460 - 551618 veteran's Memorial Maint. 460- 535100 Uniforms 3,853 460 - 535300 Memberships 201 460 - 535500 Training /Travel 3,830 460 - 535510 Meeting Expenses 316 TOTAL Staff Support 8,200 Citv Assistance 2,574 460 - 571600 Donation - Expense Professional Services 1,000 460- 541300 Other Consl /Prof Services 1,646 460 - 541310 Contract Services 114,246 TOTAL Professional Services 115,892 Maintenance Services 0 460- 551100 Building Maintenance 1,078 460 - 551400 Minor & Other Equip Maint 5,418 460- 551600 Street Maintenance Materials 0 460 - 551618 veteran's Memorial Maint. 2,316 460 - 551710 Landscaping 4.906 TOTAL Maintenance Services 13,718 Rental /Leasing 6,750 460 - 561100 Rental - Equipment 2,321 460- 561200 Lease Payments - Principal 27,172 TOTAL Rental /Leasing 29,494 Operating Eguipment 10,000 460 - 571000 Furniture & Fixtures 2,574 460 - 571600 Donation - Expense 13,970 460 - 571700 Improvements under $5,000 0 460- 571800 Equipment under $5,000 7,523 TOTAL Operating Equipment 24,067 Capital Outlay 15,115 460 - 581200 Vehicles & Access. Over $5,00 0 460 - 581700 Improvements Over $5,000 0 460 - 581800 Equipment Over $5,000 70,408 TOTAL Capital Outlay 70,408 TOTAL PARKS 1,847 1,000 0 1,000 1,000 0 0 0 31 0 0 105 106 530 1,000 1,847 1,105 106 1,561 2,000 7,244 7,195 5,402 6,750 7,195 2,015 1,625 882 1,625 1,625 6,897 10,000 4,986 5,890 10,000 1,182 850 484 850 850 17,338 19,670 11,755 15,115 19,670 8,571 6,000 1,868 6,000 6,000 143,326 131,500 74,899 131,500 131,500 151,897 137,500 76,766 137,500 137,500 479 2,500 1,460 1,500 2,500 4,336 5,000 1,556 2,500 5,000 0 60,000 0 60,000 10,000 761 29,878 7,540 28,458 1,500 6.113 5,000 4,627 51000 5.000 11,688 102,378 15,182 97,458 24,000 13,630 8,015 7,621 10,000 10,000 0 0 0 0 0 ___ 13,630 8,015 7,621 10,000 10,000 783 1,829 1,829 1,829 0 0 0 0 0 0 71,718 50,000 21,511 50,000 50,000 20,539 15,000 12.970 15,000 15.000 93,040 66,829 36,310 66,829 65,000 133,974 0 0 0 0 153,733 128,196 19,624 131,631 140,000 22.712 45,000 6,790 44.777 45.000 310,419 173,196 26,414 176,408 185,000 1,059,505 1,483,637 1,620,028 101 of 249 843,869 1,555,275 1,584,079 XXXXX 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 Aquatics 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 Aquatics Center in order to expand the availability of recreational and health/well-being programming and provide year-round access to same. 102 of 249 POOL ORGANIZATIONAL CHART PERFORMANCE INDICATORS Revenue per year Outdoor Pools Days open per year Outdoor Pools Daily Admissions Wendy Swan Pool Total Attendance Wendy Swan Pool Daily Admissions Pickrell Pool Total Attendance Pickrell Pool Season Pool Pass Sales Total Attendance Schertz Aquatics Ctr $26,410 2018 -19 2019 -20 2020 -21 Workload/Outputs Actual Estimate Budget Revenue per year Outdoor Pools Days open per year Outdoor Pools Daily Admissions Wendy Swan Pool Total Attendance Wendy Swan Pool Daily Admissions Pickrell Pool Total Attendance Pickrell Pool Season Pool Pass Sales Total Attendance Schertz Aquatics Ctr $26,410 $13,190 $29,000 71 61 71 $3,619 0 $4,000 2,249 0 2,500 $18,517 $11,800 $20,000 10,104 6,500 10,500 $4,274 $1,390 $5,000 78,000 Cost per resident for Pool Operations *Cost per resident with the new Schertz Aquatics Center 103 of 249 $14.41 $14.25 $14.25 XXXXX 2018 -19 2019 -20 2020 -21 Efficiency Actual Estimate Budget Cost per resident for Pool Operations *Cost per resident with the new Schertz Aquatics Center 103 of 249 $14.41 $14.25 $14.25 XXXXX POOL XXXXX Supplies 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Supplies $15,344 $25,500 $25,500 Utility Services 27,256 28,000 16,500 Professional Services 2,993 0 0 Maintenance Services 519,889 517,912 527,878 Operating Equipment 2,125 0 0 Total $567,606 $571,412 $569,878 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget will decrease 0.3% from the FY 2019 -20 year end estimate. 104 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PARKS & RECREATION EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET SWIM POOL Personnel Services Supplies 463- 521000 Operating Supplies 3,850 2,271 4,500 2,904 4,500 4,500 463 - 521200 Chem /Med /Lab Supplies 16,070 13,033 18,000 4,045 18,000 18,000 463- 521600 Equip Maint Supplies 570 40 0 0 3.000 3.000 TOTAL Supplies 20,490 15,344 22,500 6,949 25,500 25,500 City Support Services Utility Services 463 - 533200 Electric Utility Service 11,354 17,482 10,000 10,279 16,000 10,000 463- 533410 Water Utility Service 16.481 9,773 6,500 1.851 12.000 6.500 TOTAL Utility Services 27,835 27,256 16,500 12,130 28,000 16,500 Operations Support Staff Support Professional Services 463 - 541300 Other Consl /Prof Services 0 2,993 0 0 0 0 TOTAL Professional Services 0 2,993 0 0 0 0 Maintenance Services 463 - 551400 Minor & Other Equip Maint 14,143 12,385 13,000 3,876 10,411 10,000 463 - 551700 Contract Maintenance 515,073 507.504 517,878 244.876 507.501 517.878 TOTAL Maintenance Services 529,217 519,889 530,878 248,751 517,912 527,878 Rental /Leasing Operatina Equipment 463 - 571000 Furniture & Fixtures 1,032 2,125 0 0 0 0 TOTAL Operating Equipment 1,032 2,125 0 0 0 0 Capital Outlay TOTAL SWIM POOL 578,573 567,606 105 of 249 569,878 267,830 571,412 569,878 XXXXX 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 guests can celebrate life events such as social or cultural activities. The Event Facilities are centrally located in Schertz for businesses and other organizations to hold meetings, training, and /or other specialized events. This department handles all 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, businesses, organizations, and citizens by offering audio /video capabilities and attractive, flexible and diverse use of venue space through upgrades in technology and building improvements. 106 of 249 EVENT FACILITIES EVENT FACILITIES 2018 -19 2019 -20 2020 -21 Civic Center Manager 1 1 1 Civic and Community Centers Coordinator 1 1 1 Event Attendant 3 2 2 P/T Event Attendant 1 2 2 TOTAL POSITIONS 6 6 6 Number of events booked 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Number of events booked 1,019 700 850 Number of events cancelled 30 182 100 Number of facility tours 256 400 400 Number of web inquiries answered 152 225 250 Revenue 107 of 249 302,516 185,000 200,000 41,577 30,000 35,000 XXXXX 2018 -19 2019 -20 2020 -21 Efficiency Actual Estimate Budget Revenue 107 of 249 302,516 185,000 200,000 41,577 30,000 35,000 XXXXX EVENT FACILITIES XXXXX Tradeshows /conventions Customer satisfaction Rating 13 12 13 95% 100% 100% 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Budget Tradeshows /conventions Customer satisfaction Rating 13 12 13 95% 100% 100% Personnel Services 2017 -18 2018 -19 2019 -20 Budget Actual Estimate Budget Personnel Services $239,440 $268,222 $286,109 Supplies 3,246 5,740 6,150 Utility Services 40,823 46,800 47,650 Operations Support 10,368 6,072 12,358 Staff Support 3,057 3,479 4,925 Maintenance Services 0 12,000 13,000 Operating Equipment 26,307 12,500 22,000 Total $323,240 $354,813 $392,192 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget will increase 10.5% from the FY 2019 -20 year end estimate due to full staffing and the purchase of replacement equipment. 108 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PARKS & RECREATION EXPENDITURES EVENT FACILITIES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 149,238 464 - 511110 Regular 33,609 464 - 511120 Overtime 76 464- 511180 LTD 94 464 - 511210 Longevity 10 464- 511310 FICA - Employer 2,578 464 - 511350 TMRS- Employer 5,433 464 - 511410 Health- Employer 6,523 464 - 511500 Workers' Compensation 47 TOTAL Personnel Services 48,371 Supplies 28,803 16,583 464- 521000 Operating Supplies 3,351 464 - 521050 Ancillary Products 65 464- 521100 Office Supplies 351 TOTAL Supplies 268,222 3,766 Utility Services 4,832 2,436 464 - 533100 Gas Utility Service 804 464- 533200 Electric Utility Service 36,939 464 - 533330 Telephone /Internet 1,302 464- 533410 Water Utility Service 5,807 TOTAL Utility Services 44,852 Operations Support 709 464 - 534100 Advertising 4,320 464- 534200 Printing & Binding 29 464 - 534550 Business Meetings /Networking 15 464- 534800 Temporary Empl. Services 11,371 TOTAL Operations Support 15,735 Staff Support 5,399 8,000 464 - 535100 Uniforms 45 464 - 535300 Memberships 190 464 - 535500 Training /Travel 307 464- 535510 Meeting Expenses 0 TOTAL Staff Support 542 Professional Services 174,298 193,177 149,238 195,839 198,508 3,271 5,000 827 1,000 3,352 450 478 115 115 494 2,805 3,668 3,321 3,321 4,185 14,052 15,430 11,604 15,133 15,752 29,225 32,231 22,184 30,185 33,599 15,085 28,803 16,583 22,413 29,967 253 247 216 216 252 239,440 279,034 204,089 268,222 286,109 2,477 4,832 2,436 4,800 5,000 235 450 240 240 450 534 700 288 700 700 3,246 5,982 2,963 5,740 6,150 709 850 432 800 850 34,033 40,000 15,178 38,000 40,000 0 0 0 0 0 6,081 5,800 5,399 8,000 6,800 40,823 46,650 21,008 46,800 47,650 1,908 5,100 1,046 1,000 6,100 968 2,150 0 1,000 1,150 431 108 72 72 108 7,061 5,000 215 4,000 5,000 10,368 12,358 1,332 6,072 12,358 744 2,000 905 1,100 1,500 201 275 162 210 275 2,112 3,050 1,456 2,000 2,950 0 169 169 169 200 3,057 5,494 2,691 3,479 4,925 109 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND PARKS & RECREATION EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Maintenance Services 464 - 551800 Other Maintenance Agreements 0 0 13,000 5,225 12,000 13,000 TOTAL Maintenance Services 0 0 13,000 5,225 12,000 13,000 Rental /Leasing Qoerating Equipment 464- 571000 Furniture and Fixtures < $500 941 6,906 2,500 81 2,500 0 464 - 571500 Operating Equipment <$5,000 10,199 19,401 13,000 ( 4,302) 10,000 12,000 464 - 571550 Capital Recovery Equipment 1,032 0 10,000 0 0 10.000 TOTAL Operating Equipment 12,172 26,307 25,500 ( 4,221) 12,500 22,000 Capital Outlay 464 - 581800 Equipment Over $5,000 0 0 7,000 0 0 0 TOTAL Capital Outlay 0 0 7,000 0 0 0 TOTAL EVENT FACILITIES 125,438 323,241 395,017 233,087 354,813 392,192 110 of 249 xxxxx • OE1 DEPARTMENT DESCRIPTION The Schertz Public Library: Supports life -long learning, literacy and recreation by developing and maintaining a wide variety of library materials in print, audiovisual and digital formats for users of all ages; Encourages the love of reading and learning by providing story time, special event programs, and various other literacy -based programs for infants, children and teens; 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 rvice area includes the City of Schertz, the City of Selma, the City of Cibolo and Guadalupe County. 2020 -21 GOALS Continue improving 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., with an additional focus on providing materials on the topics of diversity, equity and inclusion. 111 of 249 LIBRARY xxxxx Continue weeding projects according to schedule in order to enhance and update collections. Continue systematic review and update of policies and procedures with an eye toward providing excellent customer - focused service, inclusion, and efficiency in service delivery. Implement in -house laptop circulation program. Implement WiFi hot spot circulation program in partnership with Bexar County Bibliotech Library. Evaluate services implemented during COVID response for their viability or sustainability as everyday services (e.g. curbside delivery of materials and virtual programming) 2019 -20 HIGHLIGHTS AND ACCOMPLISHMENTS Received Texas Municipal Library Directors 2019 Achievement in Excellence Award for demonstrating consistent excellence and outstanding contributions to public library services within our community. Schertz Public Library was one of only 53 public libraries in Texas to receive this award. Operations and Collections Created new services and procedures as part of COVID response in order to continue offering library service to the community while closed (e.g., curbside delivery of materials, print jobs, and summer reading materials). Added approximately 8,000 collections and withdrew more than 9,000 dated, worn, lost and damaged items Implemented new digital book platform, cloudLibrary, which provides customer access to more than 200,000 e -books and e- audiobooks. Offered new options of digital -only library cards and online renewals of library cards. •• . • Implemented a new Dungeons & Dragons program for teens and adults, and a board game program for all ages. Implemented a new rogram at Cibolo YMCA and a new Tech Tuesday program to teach customers about various library -owned e- resources. Updated Winter Reading Club and Extreme Book Nerd Challenge to simplify programs and increase participation. Adapted all Youth and Adult in- person programming to work as virtual programming during the COVID -19 closure. New programs included the creation of an all -new summer reading program that included virtual programs, events and 112 of 249 LIBRARY xxxxx curbside delivery of craft and science kits to participants; online storytime; Poetry in Your PJs; a virtual book club called BYOB(ook) Book Nerd Book Club; and online scrapbooking sessions. The web site was updated to include a virtual programming page with various online activities for all ages. Outreach and Partnerships Continued to partner with the Texas State i. i provide service as . Texas Talking Books Program Demo Library. program to encourage reading in non - traditional places. Continued to partner with SCUCISD for various programs and activities including several literacy events, digital card registrations at various campuses, serving as , working Education Advisory Committee, and providing several outreach programs on electronic resources to counselors and teachers at SCUCISD schools. Entered Interlocal agreement with Educational Service Center 20 to provide high- speed fiber Internet connection to library while reducing monthly Internet cost by 67% Expanded the marketing of library resources and programs to the community by working with the Public Affairs Department to develop a marketing plan, redesign omotional flyers and items, and add library content to the Parks, Recreation & FUN Guide. Virtual Services Librarian worked on the implementation team for the citywide rollout of CivicRec. Youth Services Librarian worked with local HOAs to bring book bundles, summer activities and library cards into neighborhoods during summer while library building was closed to the public. Provided rotating collections of library materials to Schertz Senior Center and Legacy at Forest Ridge Retirement Community. Partnered with Texas Medicare Solutions to offer a monthly Medicare 101 informational program Partnered with National Alliance on Mental Illness- Guadalupe Chapter for community programs and workshops Continued partnerships with other City departments to provide programming to community, including Schertz Sweethearts Reading with Royalty program, Kris Kringle Market during Holidazzle, technology help programs at the Senior Center, and Touch -a -Truck program. 113 of 249 LIBRARY Lei zTeTTI z I prf-Al g Lei z Kai no Ell a j LIBRARY 2018-19 2019-20 2020-21 Library Director 1 1 1 Adult Services Librarian 1 1 0 Youth Services Librarian 1 1 0 Virtual Services Librarian 1 1 0 Librarian 0 0 3 Library Assistant 2 2 2 Library Clerk II 3 3 3 Part-time Circulation Clerk (20 hours) 6 6 0 Library Clerk 1 (20 hours) 0 0 7 Part-time Circulation Clerk (10 hours) 2 2 0 Library Clerk 1 (10 hours) 0 0 2 Part-time Processing Clerk (20 hours) 1 1 0 Part- 1 1 0 Programming Specialist (20 hours) 0 0 1 Library Page (10 hours) 2 2 2 Temp Part-time Library Clerk (Unfunded) 1 1 TOTAL POSITIONS 22 22 PERFORMANCE INDICATORS Service population (determined by TSLAC) Total Staffing FTE Circulation Staffing FTE Total Operating Budget Total Materials Collection Registered Borrowers Materials Budget 114 of 249 105,629 2018-19 2019-20 2020-21 Input Actual Estimate Budget Service population (determined by TSLAC) Total Staffing FTE Circulation Staffing FTE Total Operating Budget Total Materials Collection Registered Borrowers Materials Budget 114 of 249 105,629 108,117 111,000 14.0 14.0 14.0 8.5 8.5 8.5 999,857 1,039,308 1,049,101 150,972 140,000 145,000 33,104 32,000 32,000 124,315 139,000 125,000 xxxxx LIBRARY xxxxx Circulation per Capita 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Circulation per Capita 4.24 2.31 2.70 Library Visits per Capita 2.25 0.95 1.69 Program Attendance per Capita .18 0.06 0.07 Collection Turnover Rate 2.96 1.79 2.07 Total Circulation 447,379 250,000 300,000 Total Library Visits 237,821 103,000 187,500 Total Program Attendance 18,906 6,200 8,000 Cost per Person Served Cost per Circulation Circulation per Circulation FTE 9.47 9.61 9.45 2.23 4.16 3.50 52,633 29,412 35,294 Efficiency 2018 -19 Actual 2019 -20 Estimate 2020 -21 Budget Cost per Person Served Cost per Circulation Circulation per Circulation FTE 9.47 9.61 9.45 2.23 4.16 3.50 52,633 29,412 35,294 Percentage of Service Population With Library Cards 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Budget Percentage of Service Population With Library Cards 31.34% 29.60% 28.83% Materials Expenditures per Capita $1.18 $1.29 $1.13 Materials Expenditures as a Percentage of 57,547 67,500 65,500 Operating Budget (striving for 15 %) 12.43% 13.27% 11.91% Items per Capita (striving to meet 1.53 items 4,512 8,120 8,280 per capita standard) 1.43 1.29 1.31 Personnel Services 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel Services $786,234 $800,124 $830,017 Supplies 12,466 15,000 15,000 Utility Services 57,547 67,500 65,500 Operations Support 2,852 5,080 3,600 Staff Support 4,512 8,120 8,280 Professional Services 2,364 1,984 2,300 Maintenance Services 0 0 0 Operating Equipment 133,882 150,000 135,000 Total $999,857 $1,047,808 $1,059,697 115 of 249 LIBRARY XXXXX • :_J4 • :i I N :i The FY 2020 -21 Budget increases 1.1 % from the FY 2019 -20 year end estimate with no changes in operations. 116 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND CULTURAL EXPENDITURES LIBRARY Personnel Services 665 - 511110 Regular 665 - 511120 Overtime 665 - 511180 LTD 665 - 511210 Longevity 665- 511230 Certification Allowance 665 - 511310 FICA - Employer 665 - 511350 TMRS- Employer 665 - 511410 Health- Employer 665 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 665 - 521000 Operating Supplies 665 - 521100 Office Supplies TOTAL Supplies City Support Services Utility Services 665 - 533100 Gas Utility Service 665 - 533200 Electric Utility Service 665 - 533410 Water Utility Service TOTAL Utility Services Operations Support 665 - 534000 Postage 665 - 534200 Printing & Binding TOTAL Operations Support Staff Support 665 - 535100 Uniforms 665 - 535200 Awards 665 - 535300 Memberships 665 - 535500 Training /Travel 665 - 535510 Meeting Expenses TOTAL Staff Support Professional Services 665 - 541365 Courier /Delivery Services TOTAL Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 536,336 569,319 548,668 433,368 565,051 575,656 886 892 1,067 214 1,067 1,056 1,280 1,224 1,266 317 317 1,334 10,024 11,410 15,036 12,863 12,863 16,636 1,200 1,200 582 923 1,200 576 40,410 43,977 43,215 32,609 42,214 45,384 84,199 89,096 85,965 61,715 84,407 92,247 73,611 68,448 86,468 68,038 92,404 96,397 582 668 688 601 601 731 748,527 786,234 782,955 610,647 800,124 830,017 11,158 9,760 12,000 4,072 12,000 12,000 2,684 2,706 3,000 1,729 3,000 3.000 13,842 12,466 15,000 5,801 15,000 15,000 2,148 2,352 2,500 2,116 2,500 2,500 46,147 44,745 45,000 18,734 45,000 45,000 12,644 10,450 10,000 13,988 20,000 18,000 60,938 57,547 57,500 34,838 67,500 65,500 2,392 2,852 3,000 1,298 3,000 3,000 1,670 0 2,350 2,080 2,080 600 4,062 2,852 5,350 3,378 5,080 3,600 28 395 400 7 100 400 171 138 300 154 300 300 1,202 1,247 1,520 1,252 1,520 1,580 3,250 2,600 10,000 4,634 6,000 5,700 91 132 300 93 200 300 4,742 4,512 12,520 6,140 8,120 8,280 2,318 2,364 2,411 1,984 1,984 2,300 2,318 2,364 2,411 1,984 1,984 2,300 117 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND CULTURAL EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Maintenance Services Operating Equipment 665 - 571000 Furniture & Fixtures < $5,000 0 0 1,000 0 1,000 0 665 - 571400 Library Materials 104,667 124,315 139,000 90,244 139,000 125,000 665 - 571600 Donation- Expense 6.853 9.567 10,000 757 10,000 10.000 TOTAL Operating Equipment 111,519 133,882 150,000 91,001 150,000 135,000 Capital Outlay TOTAL LIBRARY 945,948 999,857 1,025,736 753,789 1,047,808 1,059,697 TOTAL CULTURAL 945,948 999,857 1,025,736 753,789 1,047,808 1,059,697 118 of 249 XXXXX DEPARTMENT: 853 INFORMATION TECHNOLOGIES (IT) FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION The Information Technologies Dept. is charged with maintaining, operating and which many of the City 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. The IT department increases the business return on technology investments by creating and managing hardware and software through dedicated planning and alignment. IT is also dedicated to ensuring a great end user experience by designing, implementing, managing and continually improving our processes. IT is also tasked to protect the organization and its ability to perform its mission. We accomplish this through a comprehensive security program, managing our data, ensuring efficiency, effectiveness and compliancy. We also strive to deploy programs designed to engage our staff and citizens in easy and convenient ways. ORGANIZATIONAL CHART INFORMATION TECHNOLOGY 2018-19 2019-20 2020-21 1 1 1 -Director Administrative Assistant 1 1 1 Senior Systems Administrator 1 1 1 Senior Computer Support Engineer 1 1 1 119 of 249 INFORMATION TECHNOLOGY Customer Services Technician II 1 1 1 Customer Services Technician 1 1 1 1 Desk Technician 1 1 1 -Help Public Safety Administrator 1 1 1 TOTAL POSITIONS 8 8 8 Average Monthly Work Orders 2018 -19 2019 -20 2020 -21 Workload Actual Estimate Budget Average Monthly Work Orders 3840 2450 3200 Completed Actual Estimate Budget Average Monthly Hours to Complete 1.10 1.30 1.25 Work Orders 28% 10% 2.91 COVID 19 Related Activities Workhours - 430 300 Total Projects 45 25 30 Average Monthly Project Hours 323 455 425 Total Emails Received 185,761 1,184,129 1,200,000 Total Sent Good Email 146,794 356,039 450,000 Total Teams Meetings - 1,650 1,750 Total Teams Interoffice Chats - 13,500 15,000 • Work Orders Completed 0 -1 Day • Work Orders Completed 2 -3 Days • Work Orders Completed 4 -6 Days • Work Orders Completed 7 -10 Days %Work Orders Completed >11 Days Average Number of Days to Work Orders 73% 2018 -19 2019 -20 2020 -21 Efficiency Actual Estimate Budget • Work Orders Completed 0 -1 Day • Work Orders Completed 2 -3 Days • Work Orders Completed 4 -6 Days • Work Orders Completed 7 -10 Days %Work Orders Completed >11 Days Average Number of Days to Work Orders 73% 46% 55% 12% 8% 15% 7% 11% 10% 4% 7% 10% 5% 28% 10% 2.91 12.65 4.0 Personnel Supplies City Support Services Utility Services Staff Support Professional Services Maintenance Services Operating Equipment Capital Outlay Total $664,890 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel Supplies City Support Services Utility Services Staff Support Professional Services Maintenance Services Operating Equipment Capital Outlay Total $664,890 $649,377 $675,298 5,340 5,135 5,600 709,039 897,237 974,666 232,362 261,206 285,125 39,076 26,250 36,000 216,399 89,125 102,599 13,946 14,500 10,000 300,645 165,805 320,369 37,103 28,070 35,000 $2,218,800 $2,136,705 2,444,657 120 of 249 XXXXX INFORMATION TECHNOLOGY XXXXX PROGRAM JUSTIFICATION AND ANALYSIS The Information Technology FY 2020 -21 Budget increases 14.4% from the FY 2019 -20 year end estimates. Primary costs changes include increases in annual software support costs, plus the addition of annual costs for new services such as ADP, the new text archiving service, services added to allow work - from -home options for staff, etc. Due to COVID -19, equipment purchases and regular desktop replacements in Operating Equipment did not happen and will be increased in FY 2020 -21. In addition, all cell phone expenses are now consolidated into the IT budget and removed from various departments except for charges related to enterprise funds in order to improve transparency. Cost reductions implemented for FY 2020 -21 include decreases in training, hardware purchases, consulting and maintenance expenses. Performance statistics reflect reduced productivity due to open positions and the sudden shift of priorities in March as the City began to deal with the COVID 19 pandemic. These shifts in priorities the FY. These costs are expected to improve as the d are filled and the City adjusts to changes in operations as a result of the pandemic. 121 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXCX INTERNAL SERVICE EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 - - - - -- 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET INFORMATION TECHNOLOGY Personnel Services 853 - 511110 Regular 362,580 446,491 437,979 332,564 435,556 461,976 853 - 511120 Overtime 43,509 45,966 31,189 38,502 48,280 29,606 853 - 511180 LTD 918 1,194 1,358 320 320 1,432 853 - 511210 Longevity 3,352 4,373 4,800 5,080 4,830 5,383 853 - 511310 FICA - Employer 30,421 37,600 36,261 27,990 36,427 37,308 853 - 511350 TMRS- Employer 66,095 79,775 75,744 54,983 78,345 81,057 853 - 511410 Health- Employer 46,554 48,953 58,969 33,479 45,131 57,915 853 - 511500 Workers' Compensation 411 538 559 488 488 621 TOTAL Personnel Services 553,840 664,890 646,859 493,407 649,377 675,298 Supplies 853 - 521100 Office Supplies 1,564 1,784 2,000 1,239 1,960 2,000 853 - 521300 Motor vehicle Supplies 9 71 800 0 800 800 853 - 521600 Equip Maint Supplies 5,600 3,485 3,500 1,049 2,375 2,800 TOTAL Supplies 7,173 5,340 6,300 2,288 5,135 5,600 City Support Services 853 - 532300 Computer Consulting 30,132 920 15,000 9,600 12,500 10,000 853 - 532355 Software Maint -City Wide 285,385 291,591 413,006 314,785 408,140 481,876 853 - 532360 Software Maint -Dept Specific 350,282 406,420 438,840 127,776 430,117 444,295 853 - 532400 Computer Fees & Licenses 17,667 10,108 70,015 16,403 46,480 38,495 TOTAL City Support Services 683,465 709,039 936,861 468,564 897,237 974,666 Utility Services 853 - 533300 Telephone /Land Line 40,865 44,810 56,975 27,972 54,040 62,770 853 - 533310 Telephone /Cell Phones 47,437 60,089 73,234 53,106 63,212 68,225 853 - 533320 Telephone /Air Cards 39,867 46,880 56,700 22,904 59,448 59,240 853 - 533330 Telephone /Internet 70,511 79,755 94,837 53,776 83,656 93,390 853 - 533500 vehicle Fuel 851 828 1,500 295 850 1,500 TOTAL Utility Services 199,530 232,362 283,246 158,053 261,206 285,125 Operations Support Staff Support 853 - 535100 Uniforms 750 1,512 1,360 523 1,050 1,200 853 - 535300 Memberships 865 1,314 1,250 402 1,200 1,250 853 - 535500 Training /Travel 31,219 36,250 49,910 21,023 24,000 33,550 TOTAL Staff Support 32,834 39,076 52,520 21,947 26,250 36,000 122 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 853 - 541300 Other Consl /Prof Services 1,320 853 - 541800 IT Services -Web Design /Maint 5.745 TOTAL Professional Services 7,065 Fund Charaes /Transfers Maintenance Services 1,050 853 - 551300 Computer Maintenance 12,028 TOTAL Maintenance Services 12,028 Rental /Leasing 0 Qperating Equipment 0 853 - 571000 Furniture & Fixtures 2,499 853 - 571200 Vehicles & Access Under $5000 0 853 - 571300 Computer & Periphe. < $5000 248,918 853 - 571401 Communication Equip LESS $500 11,172 853 - 571800 Equipment under $5,000 0 TOTAL Operating Equipment 262,589 Capital Outlay 895 853 - 581200 Vehicles & Access. > $5000 0 853 - 581300 Computer & Periphe. > $5000 80,384 853 - 581800 Equipment Over $5,000 0 TOTAL Capital Outlay 80,384 206,997 190,424 41,511 88,475 101,949 9.402 0 0 650 650 216,399 190,424 41,511 89,125 102,599 13,946 15,500 2,668 14,500 10,000 13,946 15,500 2,668 14,500 10,000 797 1,050 372 500 500 126 0 0 0 0 206,184 237,042 89,116 142,550 297,369 90,407 45,165 4,851 21,860 22,500 3.132 0 895 895 0 300,645 283,257 95,235 165,805 320,369 25,430 0 0 0 35,000 5,367 28,070 0 28,070 0 6,306 27,500 0 0 0 37,103 55,570 0 28,070 35,000 TOTAL INFORMATION TECHNOLOGY 1,838,909 2,218,800 2,470,537 1,283,673 2,136,705 2,444,657 123 of 249 XXXXX 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 with the goals of the organization. 124 of 249 HUMAN RESOURCES • A► •►_ I I Eel . 1 XXXXX HUMAN RESOURCES 2018 -19 2019 -20 2020 -21 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 5 125 of 249 HUMAN RESOURCES XXXXX Total No. of Employees (Avg.) 2018-1 9 2019 -20 2020 -21 Workload/Output Measures Actual Estimate Budget Total No. of Employees (Avg.) 456 460 460 # Full Time Employees (Avg.) 375 375 380 Job Announcements Posted 83 90 90 # Applications received 3,930 4,000 4,000 # Full Time Positions Filled 50 50 50 # Part Time Positions Filled 8 8 10 # Total Turnover 68 55 70 # Full Time Turnover 46 40 45 # Part Time Turnover 22 15 10 # Retirements 8 10 10 # FMLA Claims 53 43 50 # General Training Courses 14 15 15 # of tuition reimbursements 18 20 20 Budget 2018 -19 2019 -20 2020 -21 Supplies Actual Estimate Budget Personnel $412,221 $416,457 $453,335 Supplies 606 2,200 2,700 Human Services 141,714 127,800 190,600 Operations Support 4,027 5,000 6,000 Staff Support 28,562 22,000 38,150 City Assistance 13,860 10,000 10,000 Professional Services 56,433 66,728 15,000 Operating Equipment 1,071 350 350 Total $658,495 $630,535 $716,135 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget will increase 13.6% from the FY 2019 -20 year end estimate. FY 2019 -20 had additional savings related to COVID -19 as training and staff events did not happen. The increase represents returning to normal operations. 126 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX INTERNAL SERVICE EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 - - - - -- 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET HUMAN RESOURCES Personnel Services 866 - 511110 Regular 282,257 302,120 289,120 227,528 297,388 302,654 866 - 511120 Overtime 1,584 0 340 537 1,000 259 866 - 511180 LTD 892 885 896 204 204 938 866 - 511210 Longevity 3,959 4,794 6,218 3,772 3,772 4,476 866 - 511310 FICA - Employer 21,295 23,927 22,605 17,118 22,235 23,501 866 - 511350 TMRS- Employer 46,331 50,443 47,220 33,397 46,425 50,129 866 - 511410 Health- Employer 34,301 24,568 39,157 28,936 40,108 50,987 866 - 511500 Workers' Compensation 378 534 372 325 325 391 866 - 511600 Unemployment Compensation 12.951 4.951 16.000 2.445 51000 20.000 TOTAL Personnel Services 403,949 412,221 421,928 314,262 416,457 453,335 Supplies 866 - 521000 Operating Supplies 0 0 3,446 682 1,500 2,000 866 - 521100 Office Supplies 823 606 700 410 700 700 TOTAL Supplies 823 606 4,146 1,091 2,200 2,700 Human Services 866 - 531100 Pre - employment Check 5,071 5,018 4,000 1,404 4,000 4,000 866 - 531150 Interview Expenses 2,569 0 3,000 124 300 1,500 866 - 531160 COBRA FSA /HSA Adm Services 0 3,390 4,500 3,704 6,000 6,000 866 - 531170 Broker Services 0 75,000 75,000 50,000 75,000 75,000 866 - 531200 Medical Co -pay 1,950 1,061 3,000 600 1,500 3,000 866 - 531300 Employee Assistance 19,915 23,772 8,000 10,483 12,000 9,600 866 - 531400 Tuition Reimbursement 9,217 15,000 19,000 17,594 19,000 15,000 866 - 531500 Employee Wellness Program 5,450 6,634 57,000 2,983 5,000 57,000 866 - 531600 Training Classes 17,255 11.840 19,500 1.214 5.000 19.500 TOTAL Human Services 61,427 141,714 193,000 88,106 127,800 190,600 City Support Services 866 - 532400 Computer Fees & Licenses 204 0 0 0 0 0 TOTAL City Support Services 204 0 0 0 0 0 Utility Services 866 - 533320 Telepohne /Air Card 494 0 0 0 0 0 TOTAL Utility Services 494 0 0 0 0 0 Operations Support 866 - 534000 Postage 0 59 0 0 0 0 866 - 534100 Advertising 2,964 2,576 6,000 325 3,000 3,000 866 - 534200 Printing & Binding 1,261 1,393 3,000 1,280 2,000 3,000 866 - 534800 Temporary Empl. Services 4.114 0 0 0 0 0 TOTAL Operations Support 8,339 4,027 9,000 1,605 5,000 6,000 127 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Staff Support 500 866 - 535100 Uniforms 312 866 - 535210 Employee Recognition - Morale 5,961 866 - 535300 Memberships 2,292 866 - 535400 Publications 450 866 - 535500 Training /Travel 2.057 TOTAL Staff Support 11,073 City Assistance 0 866 - 537100 Medical Services 10.775 TOTAL City Assistance 10,775 Professional Services 5.000 866 - 541300 Other Consl /Prof Services 9,162 TOTAL Professional Services 9,162 Maintenance Services Operating Equipment 866 - 571000 Furniture & Fixtures 613 866 - 571300 Computer & Periphe. < $5000 0 TOTAL Operating Equipment 613 TOTAL HUMAN RESOURCES 506,860 424 500 192 500 500 21,432 28,150 8,743 12,000 28,150 2,175 2,500 1,140 2,500 2,500 0 2,000 0 2,000 2,000 4,532 5.000 896 5.000 5.000 28,562 38,150 10,972 22,000 38,150 13.860 10,000 61991 10.000 10.000 13,860 10,000 6,991 10,000 10,000 56,433 27,600 59,748 66,728 15,000 56,433 27,600 59,748 66,728 15,000 210 350 349 350 350 861 0 0 0 0 1,071 350 349 350 350 658,495 128 of 249 704,174 483,124 650,535 716,135 i•i 1 N 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, prepare 1099s, and prepare monthly bank reconciliations and investments report. Maintain and process payroll for all city employees. Finance handles unclaimed property and their subsequent disbursements to the individuals or the State. Maintain and safe 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 35th consecutive year. Improve the 5 year budgeting and forecasting plan. Update long term debt service plan. ORGANIZATIONAL CHART 129 of 249 XXXXX FINANCE ACCOUNTING 2018-19 2019-20 2020-21 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 AP Specialist 1 1 1 Administrative Assistant 1 1 1 TOTAL POSITIONS 1 71 71 7 130 of 249 xxxxx FINANCE XXXXX Accounts payable checks 6,333 5,920 6,100 Number of Purchase Orders Processed 8,747 6,698 7,000 2018 -19 2019 -20 1 2020 -21 Workload/Output Actual Estimate I Budget Accounts payable checks 6,333 5,920 6,100 Number of Purchase Orders Processed 8,747 6,698 7,000 Certificate of Achievement for Excellence in Financial Reporting, Accumulative 34 35 36 Quarterly Financials completed within 30 days 0 2 4 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Budget Certificate of Achievement for Excellence in Financial Reporting, Accumulative 34 35 36 Quarterly Financials completed within 30 days 0 2 4 Personnel 2018 -19 2019 -20 1 2020 -21 Budget Actual Estimate I Budget Personnel $554,199 $579,871 $601,642 Supplies 4,065 3,500 3,700 Staff Support 3,676 5,060 9,455 Professional Services 31,499 28,887 34,500 Operating Equipment 2,358 1,611 554 Total $595,797 $618,929 $649,851 1:3 :We] c7_1►Ti Mto139l ;9 191-A 11 DU I_1 Z 1107_1 Z /-MM The FY 2020 -21 Budget will increase 5.0% from the FY 2019 -20 year end estimate due to additional compensation awarded from the classification and compensation study. 131 of 249 8 -06 -2020 03:47 PM 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 Utility Services Operations Support 868 - 534200 Printing & Binding TOTAL Operations Support Staff Support 868 - 535100 Uniforms 868 - 535300 Memberships 868 - 535500 Training /Travel TOTAL Staff Support Professional Services 868 - 541300 Other Consl /Prof Services 868 - 541400 Auditor /Accounting Service 868 - 541650 Investment Management Fee TOTAL Professional Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 369,450 396,687 391,824 310,158 405,073 416,716 909 2,707 1,067 1,664 1,500 924 1,181 1,161 1,215 295 295 1,292 10,314 11,310 9,457 9,457 9,457 10,770 2,200 535 291 431 800 288 28,446 31,488 30,780 23,708 31,887 32,762 61,740 66,658 64,296 46,398 66,609 69,883 48,803 43,086 60,522 47,214 63,808 68,462 480 568 506 442 442 545 523,522 554,199 559,958 439,767 579,871 601,642 2,365 1,873 2,700 1,843 2,500 2,700 1,257 2,192 11000 422 11000 11000 3,622 4,065 3,700 2,265 3,500 3,700 138 0 0 0 0 0 138 0 0 0 0 0 1,200 0 0 0 0 0 1,200 0 0 0 0 0 242 252 320 0 250 320 994 695 1,435 690 1,310 1,435 6,703 2,729 7,700 2,951 3,500 7,700 7,939 3,676 9,455 3,641 5,060 9,455 13,755 7,285 14,669 13,887 13,887 15,000 15,500 20,752 16,000 11,500 11,500 16,000 0 3,462 3,500 2,679 3,500 3,500 29,255 31,499 34,169 28,066 28,887 34,500 132 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Maintenance Services Rental /Leasing Qperating Equipment 868 - 571000 Furniture & Fixtures 0 1,502 518 518 518 250 868 - 571200 Office Equipment 0 855 1,093 1,093 1,023 304 TOTAL Operating Equipment 0 2,358 1,611 1,611 1,611 554 TOTAL FINANCE 565,676 595,797 608,893 475,350 618,929 649,851 133 of 249 XXXXX 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. Program and oversee Purchasing training for employees to ensure compliance with City Policy, State and Local Purchasing Legislation Manage, review, and track City contracts and agreements. Notify departments when contracts are expiring. 134 of 249 XXXXX PURCHASING & ASSET MANAGEMENT Manage procedures for Capital and Fixed asset inventory and accountability and conduct physical surveys of City property. Manage disposal and auction activities for surplus, excess, and damaged City property. Manage insurance and Workers Compensation claims and accident/incident reports with immediate response. Gather all information for all incidents involving City property regardless of repair costs. Retain claims, reports and litigation according to the Texas State Records Retention Schedules. Program and oversee safety training for employees to minimize accidents and incidents and mitigate risk. Develop and Maintain the City Safety Policy. ORGANIZATIONAL CHART PURCHASING & ASSET MGMT. 2018-19 2019-20 2020-21 Purchasing Manager 1 1 1 Purchasing Specialist 1 1 1 Risk & Sa ety Specialist 1 1 TOTAL POSITIONS 1 3 1 31 3 1 135 of 249 XXXXX PURCHASING & ASSET MANAGEMENT Bids and Proposals Drafted Bids and Proposals Responses Contracts Reviewed Meetings with Vendors Research Requests Workers Comp Claims Processed Accident and Incident Investigated Training Classes Held Vehicles Processed (Titles, Gas Cards, Plates) Fixed Asset Modifications GovDeals Items Processed GovDeals Total Sales 31 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Bids and Proposals Drafted Bids and Proposals Responses Contracts Reviewed Meetings with Vendors Research Requests Workers Comp Claims Processed Accident and Incident Investigated Training Classes Held Vehicles Processed (Titles, Gas Cards, Plates) Fixed Asset Modifications GovDeals Items Processed GovDeals Total Sales 31 25 24 149 100 85 106 100 120 44 50 50 75 75 100 45 40 35 74 50 75 22 25 30 245 250 250 288 144 50 263 84 50 $151,688.04 $26,400.00 $25,000.00 Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $554,199 $579,871 $601,642 Supplies 4,065 3,500 3,700 Staff Support 3,676 5,060 9,455 City Assistance 31,499 28,887 34,500 Operating Equipment 2,358 1,611 554 Total $595,797 $618,929 $649,851 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget will increase 5.0% from the FY 2019 -20 year end estimate due to personnel increase related to the classification and compensation study recommendation. 136 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES PURCHASING & ASSET MGT Personnel Services 872 - 511110 Regular 872 - 511120 Overtime 872 - 511180 LTD 872 - 511210 Longevity 872 - 511230 Certification Allowance 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 TOTAL Supplies City Support Services Utility Services 872 - 533320 Telephone /Air Card 872 - 533500 Vehicle Fuel TOTAL Utility Services Operations Support 872 - 534000 Postage 872 - 534100 Advertising 872 - 534200 Printing & Binding 872- 534740 Business Memberships TOTAL Operations Support Staff Support 872 - 535100 Uniforms 872 - 535300 Memberships 872 - 535500 Training /Travel 872- 535510 Meeting Expenses TOTAL Staff Support City Assistance 872 - 537100 Medical Services TOTAL City Assistance C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 143,307 159,444 156,297 124,012 162,056 162,751 0 0 0 5 0 0 454 468 485 117 117 505 2,778 3,194 3,602 3,602 3,602 4,010 0 0 0 700 700 0 10,766 12,813 12,224 9,769 12,685 12,745 23,573 26,354 25,535 18,512 25,542 27,185 14,981 11,253 16,088 11,132 15,094 16,808 173 195 202 176 176 212 196,032 213,721 214,433 168,026 219,972 224,216 397 1,036 350 85 300 350 174 625 350 75 350 350 571 1,661 700 160 650 700 0 0 280 0 280 0 253 0 0 0 0 0 253 0 280 0 280 0 24 0 50 0 0 50 1,049 5,819 6,000 2,335 4,500 6,000 29 0 50 0 0 50 0 0 1.515 1.336 11515 1.550 1,102 5,819 7,615 3,671 6,015 7,650 118 237 250 0 250 250 1,144 1,335 1,235 1,235 1,235 1,235 1,719 2,815 3,750 0 5,000 5,000 248 223 350 88 350 300 3,229 4,609 5,585 1,323 6,835 6,785 749 1,994 3,000 651 11800 2,000 749 1,994 3,000 651 1,800 2,000 137 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services Rental /Leasing Qperatina Equipment 872 - 571000 Furniture & Fixtures 546 170 320 0 320 600 872 - 571300 Computer & Periphe. < $5,000 0 0 1,250 0 0 0 872 - 571500 Operating Equipment 0 0 0 0 0 11000 TOTAL Operating Equipment 546 170 1,570 0 320 1,600 Capital Outlay 872 - 581200 Vehicles & Access. > $5,000 28.058 0 0 0 0 0 TOTAL Capital Outlay 28,058 0 0 0 0 0 TOTAL PURCHASING & ASSET MGT 230,539 227,974 233,183 173,831 235,872 242,951 138 of 249 XXXXX DEPARTMENT: PUBLIC WORKS DIVISION: 877 FLEET SERVICES FUND: 101 GENERAL FUND 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: P.M. services, fluid and filter changes, state inspections, tire services, troubleshooting, diagnosis, and repair of mechanical and electrical systems. Fleet Services also maintains 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 C•7 ZICT11 i• 101_1111 [•1 k' /_1 wel M F_1 :49 139 of 249 FLEET MAINTENANCE XXXXX FLEET MAINTENANCE 2018 -19 2019 -20 2020 -21 Assistant Director of Public Works 1 1 1 Administrative Assistant 1 1 1 Fleet Manager 1 1 1 Fleet Foreman 1 1 1 Mechanic 1 4 4 4 TOTAL POSITIONS 8 8 8 �. �. Work Orders: - Police Department vehicles and equipment 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Work Orders: - Police Department vehicles and equipment 682 550 570 -EMS vehicles and equipment 461 425 440 - Streets vehicles and equipment 202 195 180 - Administration vehicles 15 3 5 - Animal Control vehicles 36 35 34 - Facilities Services vehicles 88 85 80 -Fire vehicles and equipment 256 245 250 -Fleet Service vehicles 82 70 70 -I.T 19 12 10 - Inspection vehicles - Marshal Service vehicles 0 2 2 -Parks vehicles and equipment 121 115 110 -Water & Sewer vehicles and equipment 232 245 220 - Utility Billing vehicles 40 45 40 - Drainage vehicles and equipment 171 150 150 - Economic Development vehicles 3 8 6 Engineering vehicles 25 16 15 - Purchasing vehicles 1 1 1 - Operations (non -asset specific) 19 11 12 -Motor Pool vehicles 150 63 60 Work Orders(in- house) Work Orders(outside vendors) Total Work Orders Issued 140 of 249 FLEET MAINTENANCE XXXXX Hours Worked Public Safety 2018 -19 2019 -20 2020 -21 Efficiency Actual Estimate Budget Hours Worked Public Safety 2060.3 2325 2300 Public Works 1705.85 2750 2500 Administration Vehicles 28.00 10 5 Facilities Services Vehicles 178.90 240 200 Fleet Service Vehicles 121.1 120 120 I.T 38.90 20 15 Inspections vehicles 14,812 8,600 9,800 Parks vehicles and equipment 278.95 335 325 Economic Development vehicles 13.10 25 22.5 Engineering vehicles 59.20 40 40 Purchasing vehicles 2.00 0 0 Motor Pool vehicles 125.95 35 140 Fleet Operations 229.90 220 220 Total Hours Worked 4842.15 6120 5887.50 % of all vehicles and equipment issues resolved without recall 95 96 97 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Budget % of all vehicles and equipment issues resolved without recall 95 96 97 Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $271,778 $378,041 $511,614 Supplies 137,606 196,700 216,000 City Support Services 15,887 20,000 15,000 Utility Services 8,744 11,000 12,500 Staff Support 16,752 18,300 29,700 Maintenance Services 241,291 197,000 213,000 Operating Equipment 14,812 8,600 9,800 Capital Outlay 94,940 151,643 52,600 Total $801,810 $981,284 $1,060,214 141 of 249 FLEET MAINTENANCE XXXXX :16M ZfAj J4 •► :i9 Al Z 1p The FY 2020 -21 Budget will increase 8.0% from the FY 2019 -20 year end estimate due to personnel expenditures. The increase comes from the anticipation of being fully staffed including hiring of an Assistant Public Works Director and from increases related to the classification and compensation study recommendation. 142 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES FLEET SERVICE Personnel Services 877 - 511110 Regular 877 - 511120 Overtime 877 - 511180 LTD 877 - 511210 Longevity 877 - 511310 FICA - Employer 877 - 511350 TMRS- Employer 877 - 511410 Health- Employer 877 - 511500 Workers' Compensation TOTAL Personnel Services Supplies 877 - 521000 Operating Supplies 877 - 521005 Supplies - Inspection Sticker 877 - 521100 Office Supplies 877 - 521200 Oil tube Suppl, Chem Supplies 877 - 521300 Motor Veh. Supplies 877 - 521600 Equip Maint Supplies TOTAL Supplies City Support Services 877- 532400 Computer Fees & Licenses TOTAL City Support Services Utility Services 877 - 533500 Vehicle Fuel TOTAL Utility Services Operations Support Staff Support 877 - 535100 Uniforms 877 - 535200 Awards 877 - 535500 Training /Travel 877 - 535510 Meeting Expenses TOTAL Staff Support City Assistance C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 206,834 184,293 319,223 175,397 256,425 348,592 5,214 11,550 6,790 9,696 13,000 12,858 647 537 990 147 147 1,081 2,693 1,598 2,834 2,090 2,090 3,578 16,368 15,542 25,150 14,221 20,770 27,914 34,638 31,989 52,536 26,855 43,388 59,540 31,767 23,478 50,110 27,335 39,020 54,002 2,359 2,791 3,666 3,201 3,201 4,049 300,519 271,778 461,299 258,944 378,041 511,614 3,690 3,892 11,600 4,174 12,000 12,300 2,219 2,490 2,900 1,762 2,900 2,900 631 799 800 459 800 800 17,938 14,190 14,700 13,215 14,500 18,500 172,565 116,043 170,000 119,761 165,000 180,000 1,276 190 1,500 154 1,500 1,500 198,319 137,606 201,500 139,524 196,700 216,000 13,118 15,887 11,500 5,517 20,000 15,000 13,118 15,887 11,500 5,517 20,000 15,000 10,578 8,744 11,500 4,582 11,000 12,500 10,578 8,744 11,500 4,582 11,000 12,500 5,406 7,204 8,250 6,321 7,500 8,000 0 51 407 45 100 500 2,772 9,247 5,182 2,223 10,000 20,000 497 251 400 162 700 1,200 8,674 16,752 14,239 8,751 18,300 29,700 143 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES Professional Services Maintenance Services C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXWX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 877 - 551000 Outside Fleet Repair 125,203 877 - 551050 Outside Collision Repair 43,130 877 - 551100 Building Maintenance 650 877 - 551400 Minor & Other Equip Maint 3,146 877 - 551800 Other Maintenance Agreements 11,246 TOTAL Maintenance Services 183,375 Rental /Leasing 0 0 Operating Equipment 0 877 - 571500 Operating Equipment 8,790 TOTAL Operating Equipment 8,790 Capital Outlay 0 877 - 581200 vehicles & Access. Over $5,00 26,641 877 - 581500 Equipment Over $5,000 0 TOTAL Capital Outlay 26,641 TOTAL FLEET SERVICE 220,182 145,000 96,767 145,000 160,000 13,404 35,000 18,366 32,000 35,000 707 0 0 0 0 1,319 0 0 0 0 5.679 10.000 0 20.000 18.000 241,291 190,000 115,133 197,000 213,000 14,812 4,800 2,755 8,600 9,800 14,812 4,800 2,755 8,600 9,800 28,697 151,643 151,643 151,643 52,600 66.243 0 0 0 0 94,940 151,643 151,643 151,643 52,600 750,015 801,809 1,046,481 144 of 249 686,848 981,284 1,060,214 XXXXX DEPARTMENT: PUBLIC WORKS DIVISION: 878 Facility Services FUND: 101 GENERAL FUND DEPARTMENT DESCRIPTION Facility Services supports, maintains, and provides custodial services for 27 facilities totaling 301.656 square feet. The City buildings include 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, Aquatic Center, Fire /EMS station on I.H.35, Marion EMS station, Records, Fire Station #3, various offices, meeting /training rooms, and storage areas. In addition, Facility Services provides function set up for events such as City Council, Planning and Zoning, various Boards and Commissions, Department meetings, Municipal Court, training seminars, elections, ground breaking ceremonies and other special events. 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. 145 of 249 FACILITY SERVICES XXXXX FACILITY SERVICES 2018 -19 2019 -20 2020 -21 Facility Services Manager 1 1 1 Facility Services Supervisor 1 1 1 Facility Services Administrative Assistant 1 1 1 Facilities Technician 3 3 3 HVAC Technician 1 1 1 Facilities Maint Foreman 1 1 1 Facilities Maint Worker 1 2 2 2 TOTAL POSITIONS 10 10 10 PERFORMANCE INDICATORS Square footage maintained 2018 -19 2019 -20 2020 -21 Workload /Output Actual Estimate Budget Square footage maintained 267.578 286.636 301.656 City Buildings Maintained 24 26 27 Completed work orders 864 1010 1160 Internal Pest Control Services 120 130 140 146 of 249 FACILITY SERVICES XXXXX Electrical Repairs 2018 -19 2019 -20 2020 -21 Workload /Output Actual Estimate Budget Electrical Repairs 76 216 310 Plumbing Repairs 43 50 80 HVAC Repairs 121 780 800 Carpentry 87 127 145 Misc. / other 537 567 582 Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel $653,672 $724,385 $732,743 Supplies 102,432 69,054 145,900 City Support Services 0 200 5,000 Utility Services 176,962 186,000 171,000 Staff Support 5,605 8,800 12,800 Professional Services 82,988 92,000 85,746 Maintenance Services 427,285 469,299 428,536 Rental Equipment 400 500 500 Operating Equipment 5,670 1,500 16,500 Capital Outlay 36,438 35,000 30,000 Total $1,491,452 $1,586,738 $1,628,725 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget increases 2.6% from the FY 2019 -20 year end estimates due personnel expenditures related to the classification and compensation study recommendation. 147 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES BUILDING MAINTENANCE C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 87,488 53,554 38,305 53,554 128,000 878 - 521100 Office Supplies 878 - 511110 Regular 490,969 433,234 420,105 353,051 464,953 460,029 878 - 511120 Overtime 21,522 19,583 19,012 17,856 20,000 22,769 878 - 511180 LTD 1,561 1,291 1,292 329 329 1,416 878 - 511210 Lonegevity 13,366 12,458 12,741 11,992 11,992 14,096 878 - 511230 Certification Allowance 1,708 1,200 1,302 762 1,200 1,276 878 - 511310 FICA - Employer 38,290 34,854 34,880 27,377 38,108 36,887 878 - 511350 TMRS- Employer 85,148 75,595 72,861 56,024 79,603 81,019 878 - 511410 Health- Employer 104,224 69,599 86,391 75,113 103,343 108,429 878 - 511500 Workman's Compensation 6.309 5.859 5,562 4.857 4.857 6.822 TOTAL Personnel Services 763,096 653,672 654,146 547,361 724,385 732,743 Supplies 878 - 521000 Operating Supplies 89,414 87,488 53,554 38,305 53,554 128,000 878 - 521100 Office Supplies 1,277 1,777 1,500 340 1,500 2,000 878 - 521200 Medical /Chem Supplies 12,336 10,878 13,000 4,633 13,000 13,000 878 - 521300 Motor Vehicle Supplies 1,150 764 500 0 500 1,400 878 - 521600 Equip Maint Supplies 1,969 1,525 1,500 0 500 1,500 TOTAL Supplies 106,145 102,432 70,054 43,278 69,054 145,900 City Support Services 878 - 532400 Computer Fees & Licenses 0 0 200 100 200 51000 TOTAL City Support Services 0 0 200 100 200 5,000 Utility Services 878 - 533100 Gas Utility Service 3,705 5,634 5,000 3,432 5,000 5,000 878- 533200 Electric Utility Service 119,391 122,101 118,000 65,662 118,000 118,000 878 - 533310 Telephone /Cell Phones 0 0 0 22 0 0 878- 533410 Water Utility Service 55,667 41,513 40,000 43,997 55,000 40,000 878 - 533500 Vehicle Fuel 8.553 7,714 81000 4,264 81000 81000 TOTAL Utility Services 187,316 176,962 171,000 117,377 186,000 171,000 Operations Support 878 - 534800 Temporary Empl. Services 30.671 0 0 0 0 0 TOTAL Operations Support 30,671 0 0 0 0 0 Staff Support 878 - 535100 Uniforms 6,161 3,567 5,000 3,142 5,000 5,000 878 - 535200 Awards 0 255 500 81 500 300 878 - 535300 Memberships 321 195 500 293 500 500 878 - 535500 Training /Travel 1,388 833 2,000 1,815 2,000 5,500 878 - 535510 Meeting Expense 876 755 11500 247 800 1.500 TOTAL Staff Support 8,747 5,605 9,500 5,578 8,800 12,800 148 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES Professional Services 0 0 878 - 541300 Prof Services /Consultng 581) 0 878 - 541310 Contractual Services 46.333 8 TOTAL Professional Services 92,000 6 Maintenance Services 92.000 8 878 - 551100 Building Maint Misc 82,988 9 878- 551100.Building Maint Misc - PD 878- 551100.Building Maint Misc - EMS1 878- 551100.Building Maint Misc - FD1 878- 551100.Building Maint Misc -F &F /PAR 878- 551100.Building Maint Misc - SENIOR 878- 551100.Building Maint Misc - LIB 878- 551100.Building Maint Misc - AAC 878- 551100.Building Maint Misc - BUNKER 878- 551110.Sitework - FD2 0 0 878- 551120.Roofing - CH 878 - 551130 Plumbing - Misc. 878- 551130.Plumbing - ADM 878- 551130.Plumbing - PD 878- 551130.Plumbing - EMS1 878- 551130.Plumbing - SENIOR C 878- 551130.Plumbing - FD2 878- 551130.Plumbing - EMS4 878- 551130.Plumbing - LIB 878- 551130.P1umbing - YMCA 878- 551130.Plumbing - AAC 878 - 551140 Electric - Misc. 878- 551140.Electric - CH 878- 551140.Electric - ADM 878- 551140.Electric - CIVIC C 878- 551140.Electric - PD 878- 551140.Electric - EMS1 878- 551140.Electric - FD1 878- 551140.Electric - F &F /PARKS 878- 551140.Electric - 11CP 878- 551140.Electric - PW 878- 551140.Electric - EMS4 878- 551140.Electric - LIB 878- 551140.Electric - YMCA 878- 551140.Electric - AAC 878- 551140.Electric - FD3 878 - 551150 HVAC - Misc. 878- 551150.HVAC - CIVIC C 878- 551150.HVAC - PD 878- 551150.HVAC - EMS1 878- 551150.HVAC - EMS4 878- 551150.HVAC - LIB 878- 551150.HVAC - AAC C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXrXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 0 0 0 0 0( 5 581) 0 0 0 0 46.333 8 82.988 9 92,000 6 61.143 9 92.000 8 85.746 46,333 8 82,988 9 92,000 6 60,563 9 92,000 8 85,746 176,366 4 401,087 4 475,566 1 124,018 4 446,299 3 395,000 0 0 0 4 433 8 853 0 0 0 0 0 0 0 1 158 1 158 0 0 0 0 0 0 0 2 266 2 264 0 0 0 0 149 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND INTERNAL SERVICE EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 878- 551150.HVAC - AQUATIC C 0 0 12,886 12,886 0 0 878- 551150.HVAC - FD3 0 0 199 199 0 0 878- 551160.Windows, Doors - CH 0 0 544 0 0 0 878- 551160.Windows, Doors - CIVIC C 0 0 429 429 0 0 878- 551160.Windows, Doors - PD 0 0 676 1,176 0 0 878- 551160.Windows, Doors - EMS1 0 0 1,068 1,453 0 0 878- 551160.Windows, Doors - FD1 0 0 0 602 0 0 878- 551160.Windows, Doors - EMS /PURCH 0 0 602 235 0 0 878- 551160.Windows, Doors - F &F /PARKS 0 0 235 0 0 0 878- 551160.Windows, Doors - 11CP 0 0 2,349 260 0 0 878- 551160.Windows, Doors - PW 0 0 280 280 0 0 878- 551160.Windows, Doors -FD2 0 0 277 277 0 0 878- 551160.Windows, Doors - LIB 0 0 0 544 0 0 878- 551160.Windows, Doors - ABC 0 0 208 131 0 0 878- 551170.Finishes - ADM 0 0 1,055 1,055 0 0 878- 551170.Finishes - CIVIC C 0 0 1,140 1,140 0 0 878- 551170.Finishes - PD 0 0 151 22,001 0 0 878- 551170.Finishes - EMS1 0 0 16,345 17,926 0 0 878- 551170.Finishes - F &F /PARKS 0 0 379 379 0 0 878- 551170.Finishes - PW 0 0 141 141 0 0 878 - 551400 Minor & Other Equip Maint 6,318 6,259 5,000 3,502 5,000 0 878 - 551800 Other Maintenance Agreements 31,951 19,939 18,198 14,686 18,000 33,536 TOTAL Maintenance Services 214,636 427,285 584,297 264,555 469,299 428,536 Rental /Leasing 878 - 561100 Rental - Equipment 4,718 400 500 80 500 500 TOTAL Rental /Leasing 4,718 400 500 80 500 500 Operating Equipment 878 - 571600 Police /Fire /Medical Equipment 14,520 3,988 1,500 150 1,500 16,500 878 - 571700 Improvement Under $5,000 1,760 0 0 0 0 0 878 - 571800 Equipment Less $5,000 4,992 1.682 0 0 0 0 TOTAL Operating Equipment 21,272 5,670 1,500 150 1,500 16,500 Capital Outlay 878 - 581200 Vehicles & Access. Over $5,00 59,316 26,012 25,000 5,758 35,000 30,000 878 - 581800 Equipment Over $5,000 0 10,426 0 0 0 0 TOTAL Capital Outlay 59,316 36,438 25,000 5,758 35,000 30,000 TOTAL BUILDING MAINTENANCE 1,442,251 1,491,452 1,608,197 1,044,800 1,586,738 1,628,725 TOTAL INTERNAL SERVICE 5,334,250 5,994,326 6,671,465 4,147,625 6,210,063 6,742,533 150 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND MISC & PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET PROJECTS Professional Services Fund Charges /Transfers 900 - 548404 Transfer Out - Capital Projec 0 0 4,000,000 0 0 500,000 TOTAL Fund Charges /Transfers 0 0 4,000,000 0 0 500,000 Maintenance Services Rental /Leasing TOTAL PROJECTS 0 0 4,000,000 0 0 500,000 151 of 249 XXXXX 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 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 H This contract is for $5,000. Advocacy Center. The Center provides a warm, homelike environment for children who visit to be interviewed about physical or sex -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 2018 -19 2019 -20 1 2020 -21 Budget Actual Estimate I Budget City Assistance $291,811 $317,666 $320,000 Operating Equipment 11,316 15,000 10,000 Total $303,127 $332,666 $330,000 PROGRAM JUSTIFICATION & ANALYSIS The FY 2020 -21 Budget will decrease 0.8% from the FY 2019 -20 year end estimate with no change in operations. 152 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND MISC & PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET CITY'S ASSISTANCE Utility Services City Assistance 901 - 537300 Patient Assistence 5,000 5,000 5,000 5,000 5,000 5,000 901 - 537400 Transportation Assistance 28,872 42,666 45,000 42,666 42,666 45,000 901- 537500 Children's Advocacy Assistanc 5,000 5,000 5,000 5,000 5,000 5,000 901 - 537600 Schertz Housing Authority 5,000 5,000 5,000 5,000 5,000 5,000 901 - 537700 Senior Citizens Program 259.751 234.145 260,000 164.101 260.000 260,000 TOTAL City Assistance 303,623 291,811 320,000 221,767 317,666 320,000 Operating Equipment 901- 571600 Donation - Expense Sr. Center 8,467 11,316 10,000 4,322 15,000 10,000 TOTAL Operating Equipment 8,467 11,316 10,000 4,322 15,000 10,000 TOTAL CITY'S ASSISTANCE 312,091 303,127 330,000 226,089 332,666 330,000 153 of 249 XXXXX DEPARTMENT: 910 COURT RESTRICTED FUNDS 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 Total $2,607 $19,765 $22,992 $2,607 $19,765 $22,992 PROGRAM JUSTIFICAITON & ANALYSIS The FY 2020 -21 Budget will increase $3,227 from the FY 2019 -20 to match the increase in court technology fee projections. 154 of 249 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Operating Equipment Total $2,607 $19,765 $22,992 $2,607 $19,765 $22,992 PROGRAM JUSTIFICAITON & ANALYSIS The FY 2020 -21 Budget will increase $3,227 from the FY 2019 -20 to match the increase in court technology fee projections. 154 of 249 8 -06 -2020 03:47 PM 101- GENERAL FUND MISC & PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET COURT- RESTRICTED FUNDS Fund Charges /Transfers Qperatinq Equipment 910- 571600 Court Technology Expenditure 6.500 2,607 22,992 0 19,765 22,992 TOTAL Operating Equipment 6,500 2,607 22,992 0 19,765 22,992 TOTAL COURT- RESTRICTED FUNDS 6,500 2,607 22,992 155 of 249 0 19,765 22,992 8 -06 -2020 03:47 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 101- GENERAL FUND AS OF: JUNE 30TH, 2020 MISC & PROJECTS EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- -------- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET LIBRARY CAMPAIGN PROJECT Supplies Professional Services TOTAL MISC & PROJECTS 318,591 305,733 4,352,992 226,089 352,431 852,992 TOTAL EXPENDITURES 30,011,261 31,680,098 39,842,237 23,496,480 34,719,223 37,214,581 156 of 249 XXXXX 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 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Revenue Taxes $6,414,868 Miscellaneous 170,594 Total $6,585,462 Expenses Professional Service $48,880 Debt Service 6,678,977 Total $6,727,858 PROGRAM JUSTIFICATION AND ANALYSIS $6,733,000 127,500 $6,860,500 $5,000 7,022,007 $7,027,007 $6,980,821 115,000 $7,095,821 1 i11 Revenues: Revenues for FY 2020 -21 increase 3.4% from the FY 2019 -20 estimate with higher property values. Expenses: The FY 2020 -21 Budget will increase 1.0% from the FY 2019 -20 year end estimate following the debt service schedule. 157 of 249 8 -06 -2020 03:53 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 505 -TAX I &S AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Taxes Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 6,148,041 6,414,868 6,733,000 6,626,502 6,733,000 6,980,821 0 0 144,003 0 0 0 6,557,697 170,594 150,000 68.920 127,500, 115,000 12,705,739 6,585,462 7,027,003 6,695,422 6,860,500 7,095,821 13,055,963 6,727,858 7,027,003 5,809,381 7,027,007 7,094,861 13,055,963 6,727,858 7,027,003 5,809,381 7,027,007 7,094,861 13,055,963 6,727,858 7,027,003 5,809,381 7,027,007 7,094,861 ( 350,224) ( 142,396) ( 0) 886,041 ( 166,507) 960 158 of 249 8 -06 -2020 03:53 PM 505 -TAX I &S REVENUES 2017 -2018 ACTUAL C I T Y O PROPOSED AS OF: (-------- 2018 -2019 ACTUAL F S C H E R T Z BUDGET WORKSHEET JUNE 30TH, 2020 - - - - -- 2019 -2020 --------------- CURRENT Y -T -D BUDGET ACTUAL PROJECTED YEAR END PAGE:XXXXX -------- 2020 -2021 -- - - - - -) CITY ADMIN. ADOPTED RECOMMENDED BUDGET Taxes 000 - 411900 Property Tax Revenue 6,148,041 6,414,868 6,733,000 6,626,502 6,733,000 6,980,821 TOTAL Taxes 6,148,041 6,414,868 6,733,000 6,626,502 6,733,000 6,980,821 Fund Transfers 000 - 481000 Transfer In - Reserves 0 0 144,003 0 0 0 TOTAL Fund Transfers 0 0 144,003 0 0 0 Miscellaneous 000 - 491000 Interest Earned 4,352 6,774 6,000 1,671 2,500 0 000 - 491200 Investment Income 57,576 44,102 44,000 17,249 25,000 15,000 000 - 495015 Contribution from SED 360,769 0 0 0 0 0 000- 495020 Contribution From YMCA 100,000 100,000 100,000 50,000 100,000 100,000 000 - 497000 Misc Income 0 277 0 0 0 0 000 - 498000 Proceeds From Refunding Debt 6,035,000 19,442 0 0 0 0 TOTAL Miscellaneous 6,557,697 170,594 150,000 68,920 127,500 115,000 TOTAL REVENUES 12,705,739 6,585,462 7,027,003 6,695,422 6,860,500 7,095,821 159 of 249 8 -06 -2020 03:53 PM 505 -TAX I &S GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 101 - 541500 Paying Agent 4,150 4,350 5,000 2,000 5,000 5,000 101- 541502 Cost of Bond Issuance 76,056 44,530 0 0 0 45 0O0 TOTAL Professional Services 80,206 48,880 5,000 2,000 5,000 50,000 Debt Service 101 - 555612 Bond -GO Refunding 2010 - Princi 285,000 300,000 0 0 0 0 101- 555612.Bond -GO Refundin 2010 - Interes 38,475 4,500 0 0 0 0 101- 555628 Bond -CO 2007 - Principal 0 0 0 0 0 325,000 101- 555628.Bond -CO 2007 - Interest 0 0 0 0 0 98,800 101- 555629 Bond -GO 2007 Principal 290,000 300,000 315,000 315,000 315,000 0 101- 555629.Bond -GO 2007 Interest 136,312 124,305 111,823 59,117 111,823 0 101- 555630 Bond -GO SR2008 Principal 475,000 0 0 0 0 0 101- 555630.Bond -GO SR2008 Interest 9,809 0 0 0 0 0 101- 555631 Bond -GO SR2009 Principal 550,000 93,575 0 0 0 0 101- 555631.Bond -GO SR2009 Interest 249,138 120,100 0 0 0 0 101 - 555633 Bond -GO SR2011 Principal 240,000 250,000 260,000 260,000 260,000 270,000 101- 555633.Bond -GO SR2011 Interest 327,038 318,463 308,888 157,044 308,888 296,938 101- 555634 Bond -GO 2011A Refund - Principa 635,000 485,000 475,000 475,000 475,000 485,000 101- 555634.Bond -GO 2011A Refund - Interest 87,701 74,515 63,551 34,542 63,551 52,367 101- 555635 Bond -GO 2012 - Principal 335,000 345,000 355,000 355,000 355,000 365,000 101- 555635.Bond -GO 2012 - Interest 168,095 157,945 149,170 77,248 149,170 138,370 101 - 555636 Tax Note - SR2013 - Principal 170,000 0 0 0 0 0 101- 555636.Tax Note - SR2013 - Interest 1,445 0 0 0 0 0 101- 555637 Tax Note - SR2013A - Principe 165,000 0 0 0 0 0 101- 555637.Tax Note - SR2013A - Interest 1,072 0 0 0 0 0 101- 555638 Bond -GO 2014 Refund- Principal 100,000 100,000 100,000 100,000 100,000 100,000 101- 555638.Bond -GO 2014 Refund - Interest 289,775 286,775 283,775 142,638 283,775 280,775 101- 555639 Tax Note - SR2015 - Principal 35,000 35,000 35,000 0 35,000 40,000 101- 555639.Tax Note - SR2015 - Interest 2,532 1,923 1,313 652 1,313 700 101- 555640 Bond -Ref 2015 Bond - Principal 490,000 660,000 675,000 675,000 675,000 690,000 101- 555640.Bond -GO Ref 2015 - Interest 92,725 81,225 66,188 37,313 66,188 47,400 101- 555641 Tax Note - SR2015A- Principal 145,000 150,000 150,000 0 150,000 150,000 101- 555641.Tax Note - SR2015A - Interest 11,507 9,267 7,007 3,504 7,007 4,697 101- 555642 Bond -GO SR2016- Principal 205,000 215,000 225,000 225,000 225,000 235,000 101- 555642.Bond -GO SR2016- Interest 167,606 159,206 150,406 77,453 150,406 141,207 101 - 555643 Bond- TaxableB CO SR2016 -Princ 55,000 55,000 60,000 60,000 60,000 60,000 101- 555643.Bond- Taxable CO SR2016- Intere 47,238 45,588 43,863 22,381 43,863 42,063 101 - 555644 Bond- NonTaxA CO SR2016- Princi 165,000 175,000 180,000 180,000 180,000 190,000 101- 555644.Bond- NonTax CO SR2016- Interes 69,469 62,669 55,569 29,584 55,569 48,169 101 - 555645 Bond -CO SR2017- Principal 245,000 280,000 357,413 290,000 357,413 405,000 101- 555645.Bond -CO SR2017 - Interest 178,688 139,025 63,063 67,413 63,063 126,800 101- 555646 Bond -GO SR2017 - Principal 135,000 150,000 155,000 155,000 155,000 160,000 101- 555646.Bond -GO SR2017 - Interest 143,944 114,225 109,650 55,988 109,650 104,925 101- 555647 Bond -GO 2018 Refund- Principa 0 550,000 560,000 560,000 560,000 570,000 101- 555647.Bond -GO 2018 Refund - Interes 73,567 122,112 110,346 58,141 110,346 98,368 101- 555648 Bond -CO SR2018 - Principal 0 210,000 220,000 220,000 220,000 235,000 160 of 249 8 -06 -2020 03:53 PM 505 -TAX I &S GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 101- 555648.Bond -CO 2018 - Interest 0 214,951 187,263 96,381 187,263 175,888 101- 555649 Bond -GO 2018 Ref - Principal 0 95,000 580,000 580,000 580,000 530,000 101- 555649.Bond -GO 2018 Ref - Interest 0 193,609 227,444 120,972 227,444 199,694 101 - 555650 Bond -CO 2019 - Principal 0 0 250,000 250,000 250,000 255,000 101- 555650.Bond -CO 2019- Interest 0 0 130,275 67,013 130,275 122,700 TOTAL Debt Service 6,816,134 6,678,977 7,022,003 5,807,381 7,022,007 7,044,861 Other Financing Sources 101- 556300 Payment To Refund Debt 6.159.623 0 0 0 0 0 TOTAL Other Financing Sources 6,159,623 0 0 0 0 0 TOTAL NON DEPARTMENTAL 13,055,963 6,727,858 7,027,003 5,809,381 7,027,007 7,094,861 TOTAL GENERAL GOVERNMENT 13,055,963 6,727,858 7,027,003 5,809,381 7,027,007 7,094,861 TOTAL EXPENDITURES 13,055,963 6,727,858 7,027,003 5,809,381 7,027,007 7,094,861 161 of 249 XXXXX FUND: 202 WATER & SEWER DESCRIPTION and solid waste functions and is managed by the Public Works Department. Staff is responsible for the and wastewater service and infrastructure. This includes the water distribution ansport 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 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Revenues Franchises $224,928 $261,992 Permits 0 3,000 Fees 24,575,500 25,907,843 Fund Transfers 348,302 146,400 Miscellaneous 2,476,326 855,618 Total $27,124,473 $27,174,853 Expenses Non Departmental $4,691,243 $4,215,105 Business Office 828,453 965,105 W &S Administration 23,542,137 23,229,289 Projects 0 1,638,000 Total $28,233,380 $29,08Z394 PROGRAM JUSTIFICATION AND ANALYSIS $238,750 0 24,803,500 146,400 315,718 $25,504,368 $0 901,536 23,828,299 0 $24,727,835 Revenue: Revenues for FY 2020 -21 are expected to decrease 6.1 % from the FY 2019 -20 year end estimate with lower water and sewer fees after COVID -19. Expenses: The FY 2020 -21 Budget decreases 15.0% from the FY 2019 -20 year end estimates due to fewer projects being funded which offset increases in the W &S Administration. 162 of 249 8 -06 -2020 03:51 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 202 -WATER & SEWER AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Franchises Permits Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL BUSINESS OFFICE TOTAL GENERAL GOVERNMENT PUBLIC WORKS W & S ADMINISTRATION TOTAL PUBLIC WORKS MISC & PROJECTS PROJECTS TOTAL MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 263,469 224,928 227,380 261,992 261,992 238,750 0 0 0 3,000 3,000 0 23,293,054 24,074,917 24,575,500 18,656,813 25,907,843 24,803,500 141,510 348,302 4,271,255 109,800 146,400 146,400 3,495,149 2,476,326 465,218 310,442 855,618 315,718 27,193,182 27,124,473 29,539,353 19,342,047 27,174,853 25,504,368 5,877,000 3,862,790 3,250,000 0 3,250,000 0 822,393 828,453 946,023 681,054 965,105 901,536 6,699,393 4,691,243 4,196,023 681,054 4,215,105 901,536 21,777,119 23,542,137 23,705,330 16,343,962 23,229,289 23,828,299 21,777,119 23,542,137 23,705,330 16,343,962 23,229,289 23,828,299 0 0 1,638,000 139,507 0 0 0 0 1,638,000 139,507 0 0 28,476,512 28,233,380 29,539,353 17,164,522 27,444,394 24,729,835 ( 1,283,330) ( 1,108,907) 0 2,177,525 ( 269,541) 774,533 163 of 249 8 -06 -2020 03:51 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 202 -WATER & SEWER AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Franchises 000 - 421490 Cell Tower Leasing 263.469 224.928 227,380 261.992 261.992 238.750 TOTAL Franchises 263,469 224,928 227,380 261,992 261,992 238,750 Permits 000- 436010 Network Nodes 0 0 0 3,000 3,000 0 TOTAL Permits 0 0 0 3,000 3,000 0 Fees 000 - 455200 Garbage Collection Fee 4,960,183 5,130,049 5,280,000 3,869,479 5,200,000 5,280,000 000 - 455500 Water & Sewer Transfer Fee ( 10) 10 0 0 0 0 000 - 455600 Fire Line Fees 29,015 33,160 33,000 0 0 33,000 000- 455700 Recycle Fee Revenue 305,469 328,531 336,000 247,345 330,000 336,000 000 - 455800 W &S Line Constructn Reimbur 36,474 23,182 20,000 21,427 21,427 20,000 000 - 457100 Sale of Water 10,666,527 11,089,576 10,914,000 8,310,357 12,000,000 11,100,000 000 - 457110 Edwards Water Lease 54,872 34,244 40,000 55,616 55,616 40,000 000 - 457120 Water Transfer Charge -Selma 26,420 50,571 30,000 17,169 34,000 30,000 000 - 457200 Sale of Meters 143,916 95,390 120,000 83,360 103,000 120,000 000 - 457400 Sewer Charges 6,816,996 7,281,618 7,550,000 5,917,379 7,900,000 7,592,000 000- 457500 Water Penalties 250,316 5,659 250,000 132,205 260,000 250,000 000 - 459200 NSF Check Fee - Water &Sewer 2,875 2.925 2,500 2.475 3.800 2.500 TOTAL Fees 23,293,054 24,074,917 24,575,500 18,656,813 25,907,843 24,803,500 Fund Transfers 000 - 486000 Transfer In - Reserves 0 0 4,124,855 0 0 0 000 - 486100 Transfer In 0 207,302 0 0 0 0 000 - 486204 Interfnd Chrg- Drainage Billin 141.510 141.000 146,400 109.800 146,400 146,400 TOTAL Fund Transfers 141,510 348,302 4,271,255 109,800 146,400 146,400 Miscellaneous 000 - 490000 Misc Charges 10,989 10,434 5,000 5,787 10,400 10,500 000 - 491000 Interest Earned 44,859 69,496 75,000 22,036 440,000 40,000 000 - 491200 Investment Income 158,054 227,580 240,000 136,361 200,000 120,000 000 - 495013 Capital Contribution -W &S 3,132,348 1,975,524 0 0 0 0 000 - 496000 Water Construction Reserve Ac 1 0 0 1 0 0 000- 497000 Misc Income -W &S 17,267 55,590 20,000 75,537 80,000 20,000 000 - 498110 Salary Reimb -SSLGC 131,630 137,703 125,218 70,720 125,218 125,218 000- 498200 Reimbursmnt -W &S Project 1 0 0 0 0 0 TOTAL Miscellaneous 3.495.149 2,476.326 465,218, 310.442 855.618 315,718 TOTAL REVENUES 27,193,182 27,124,473 29,539,353 19,342,047 27,174,853 25,504,368 164 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET NON DEPARTMENTAL Professional Services Fund Charges /Transfers 101- 548406 Transfer To Public Improvemen 5,825,000 3,800,000 3,250,000 0 3,250,000 0 TOTAL Fund Charges /Transfers 5,825,000 3,800,000 3,250,000 0 3,250,000 0 Maintenance Services Other Financing Sources 101- 556000 Issuance Costs 52,000 62,790 0 0 0 0 TOTAL Other Financing Sources 52,000 62,790 0 0 0 0 Capital Outlay TOTAL NON DEPARTMENTAL 5,877,000 3,862,790 3,250,000 165 of 249 0 3,250,000 0 XXXXX 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 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 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 166 of 249 UTILITY BILLING • A► •►_ I I Eel . 1 XXXXX UTILITY BILLING 2018 -19 2019 -20 2020 -21 Billing Manager 1 1 1 -Utility Billing Asst. Manager 1 1 1 -Utility Billing Clerk II 2 2 0 -Utility Billing Clerk 2 2 4 -Utility Meter Tech 1 2 2 3 Meter Tech I1 1 1 0 TOTAL POSITIONS 9 9 9 167 of 249 UTILITY BILLING XXXXX Personnel Services 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel Services $434,343 $481,310 $496,696 Supplies 2,308 3,200 5,100 City Support Services 250 42,900 5,000 Utility Services 6,763 9,200 9,200 Operations Support 126,535 124,500 120,500 Staff Support 4,822 4,460 6,400 Professional Services 246,532 242,800 253,000 Maintenance Services 6,540 6,500 5,040 Operating Equipment 360 430 600 Capital Outlay 0 49,805 0 Total $828,453 $965,105 $901,536 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget decreases 9.6% from the FY 2019 -20 year end estimate. Personnel increases from the classification and compensation study recommendation are offset by no capital outlay purchases and no software upgrades for FY 2020 -21. 168 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX GENERAL GOVERNMENT EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 - - - - -- 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET BUSINESS OFFICE Personnel Services 176- 532400 Computer Fees & Licenses 176 - 511110 Regular 293,782 298,731 317,221 244,336 317,221 325,655 176 - 511120 Overtime 6,797 4,945 3,200 4,294 6,000 6,845 176- 511180 LTD 891 816 983 221 221 1,010 176 - 511210 Longevity 5,611 4,646 5,546 5,546 5,546 6,164 176- 511310 FICA - Employer 22,643 23,430 24,936 18,715 24,936 25,908 176 - 511350 TMRS- Employer 54,856 49,628 52,676 36,481 52,676 55,261 176 - 511410 Health- Employer 67,161 50,494 73,290 54,008 73,290 74,167 176 - 511500 Workers' Compensation 1,461 1,654 1,626 1,420 1,420 1,686 TOTAL Personnel Services 453,201 434,343 479,478 365,021 481,310 496,696 Supplies 0 9,500 9,500 176 - 534800 Temporary Empl. Services 16.037 0 0 176- 521000 Operating Supplies 1,164 873 1,700 1,505 1,700 3,000 176 - 521100 Office Supplies 1,752 1,435 2,100 845 1,500 2,100 TOTAL Supplies 176 - 535100 Uniforms 2,916 2,308 3,800 2,351 3,200 5,100 Human Services Li LV "pporL cervices 176- 532400 Computer Fees & Licenses 0 0 0 42,271 42,271 0 176 - 532900 Contingencies 1 250 4,501 629 629 5,000. TOTAL City Support Services 1 250 4,501 42,900 42,900 5,000 Utility Services 176 - 533310 Telephone /Cell Phone 1,026 1,914 2,345 1,562 1,700 3,200 176 - 533500 Vehicle Fuel 0 4.849 91000 5.159 7.500 6.000 TOTAL Utility Services 1,026 6,763 11,345 6,721 9,200 9,200 Operations Support 176 - 534000 Postage 72,670 80,006 93,000 52,794 75,000 90,000 176- 534200 Printing & Binding 43,682 41,915 56,000 14,454 40,000 21,000 176 - 534300 Equipment Maintenance - Copie 9,028 4,614 9,500 0 9,500 9,500 176 - 534800 Temporary Empl. Services 16.037 0 0 0 0 0 TOTAL Operations Support 141,417 126,535 158,500 67,248 124,500 120,500 Staff Support 176 - 535100 Uniforms 2,715 1,950 2,709 1,341 2,000 2,300 176- 535200 Awards 30 193 200 0 200 200 176 - 535300 Memberships 30 30 100 37 10 100 176 - 535500 Training /Travel 802 2,516 3,500 1,636 2,000 3,500 176 - 535510 Meeting Expenses 179 133 250 222 250 300 TOTAL Staff Support 3,755 4,822 6,759 3,236 4,460 6,400 169 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXX9(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 176 - 541800 Credit Card Fees 208,802 243,699 240,000 168,800 240,000 250,000 176 - 541810 Credit Cards Fees - AMEX 1.498 2.833 3,000 1.183 2.800 3.000 TOTAL Professional Services 210,300 246,532 243,000 169,982 242,800 253,000 Fund Charges /Transfers Maintenance Services 176 - 551800 Other Maintenance Agreements 6,120 6,540 8,040 3,360 6,500 5,040 TOTAL Maintenance Services 6,120 6,540 8,040 3,360 6,500 5,040 Rental /Leasing Qperating Equipment 176- 571000 Furniture & Fixtures 3,147 360 600 430 430 600 176 - 571400 Communication Equip LESS $500 510 0 0 0 0 0 TOTAL Operating Equipment 3,657 360 600 430 430 600 Capital Outlay 176 - 581200 Vehicles & Access. Over $5,00 0 0 30,000 0 30,000 0 176 - 581700 IMPROVEMENTS OVER $5,000 0 0 0 19,805 19,805 0 TOTAL Capital Outlay 0 0 30,000 19,805 49,805 0 TOTAL BUSINESS OFFICE ■ IiC rtyii�l�aiai�i.'�' \Rtbli/i1��iW 822,393 828,453 946,023 681,054 965,105 901,536 6,699,393 4,691,243 4,196,023 681,054 4,215,105 901,536 170 of 249 DEPARTMENT: PUBLIC WORKS DIVISION: 575 WATER & SEWER ADMINISTRATION FUND: 202 WATER AND SEWER The Water and Wastewater division of Public Works provides reliable water and wastewater services to all Schertz residents through maintenance, repair, strategic planning, inspection of new infrastructure, and the expansion of water and wastewater services. the employees offer excellent customer service, participate in community events, provide a weekly chipping service, meet with developers and utility providers, review plat and subdivision plans, as well as review water and wastewater construction plans. In addition, the Water and Wastewater division oversees the drought and water conservation plans /ordinance, provides letters of availability and Certificates of Convenience and Necessity, assists other departments, and 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. Ensure an adequate future water supply. Engage personnel in making decisions to strengthen 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. ORGANIZATION CHART 171 of 249 XXXXX XXXXX WATER AND SEWER ADMINISTRATION WATER & SEWER ADMINISTRATION 2018 -19 2019 -20 2020 -21 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 5 5 5 Serviceman 1 101 101 10 TOTAL POSITIONS 231 231 23 172 of 249 XXXXX WATER AND SEWER ADMINISTRATION Water Accounts 2018 -19 2019 -20 2020 -21 Workload/Output Actual Estimate Budget Water Accounts 16434 16734 17000 Miles of Water Main 227 230 232 Miles of Sewer Main 115 118 122 Gallons Pumped (Edwards), acre feet 2018 -19 2019 -20 2020 -21 Efficient Actual Estimate Budget Gallons Pumped (Edwards), acre feet 125 135 138 Gallons Received (SSLGC), acre feet 5224 6000 6000 Gallons Distributed, acre feet 4937 5300 5500 New Meter Installed 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Budget New Meter Installed 311 350 350 New Service Taps 0 10 10 Water Service Calls 1085 1250 1250 Water Main Break, Service Repair Calls 1079 1200 1200 Sewer Backup and Repair Calls 784 825 850 173 of 249 XXXXX WATER AND SEWER ADMINISTRATION Personnel Services 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Personnel Services $1,350,479 $1,494,633 $1,543,403 Supplies 313,562 222,200 187,500 City Support Services 52,962 62,860 166,535 Utility Services 3,480,075 3,554,550 3,575,800 Operations Support 9,193 11,250 11,300 Staff Support 35,762 38,000 39,500 City Assistance 205 500 500 Professional Services 373,084 349,000 409,615 Fund Charges /Transfers 8,545,539 6,355,534 6,470,624 Maintenance Services 8,857,026 8,835,140 9,166,090 Other Costs 38,436 40,000 40,000 Debt Service 480,954 2,100,622 2,106,932 Rental /Leasing (30,307) 4,000 4,500 Operating Equipment 35,167 12,000 8,000 Capital Outlay 0 149,000 98,000 Total $23,542,137 $23,229,289 $23,828,299 Projects $0 $1,638,000 $0 PROGRAM JUSTIFICATION AND ANALYSIS The FY 2020 -21 Budget will increase 2.6% from the FY 2019 -20 year end estimate for increased sewer treatment costs from the new winter average. Additional increases include personnel expenditures related to being fully staffed and for the classification and compensation study recommendation. 174 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER PUBLIC WORKS EXPENDITURES & S ADMINISTRATION C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXO(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 575 - 532500 City Insurance - Commercial 575 - 511110 Regular 814,575 882,187 949,873 809,169 949,873 988,783 575 - 511120 Overtime 35,780 40,045 17,945 40,069 53,000 21,213 575 - 511180 LTD 2,577 2,618 3,005 719 719 3,160 575 - 511210 Longevity 22,187 20,146 27,542 22,381 22,381 24,270 575 - 511230 Certification Allowance 13,606 15,798 13,201 10,948 13,201 13,201 575 - 511240 Vehicle /phone Allowance 0 0 0 519 900 900 575 - 511310 FICA - Employer 63,139 70,862 76,758 63,294 76,758 79,885 575 - 511350 TMRS- Employer 150,648 153,905 160,789 127,161 160,789 170,396 575 - 511410 Health- Employer 149,132 155,416 208,469 167,536 208,469 231,608 575 - 511500 Workers' Compensation 8.212 9.503 9.783 8.543 8.543 9.987 TOTAL Personnel Services 1,259,856 1,350,479 1,467,365 1,250,338 1,494,633 1,543,403 Supplies 3,575,800 575 - 521000 Operating Supplies 8,247 11,240 9,000 5,807 9,000 9,000 575 - 521100 Office Supplies 1,004 1,478 1,500 1,398 1,500 1,500 575 - 521200 Medical /Chem Supplies 1,023 955 1,500 812 1,200 1,500 575 - 521400 Plumbing Supplies 17,818 78,927 50,000 29,202 50,000 50,000 575 - 521405 Water Meters -New 150,235 220,754 125,000 119,508 160,000 125,000 575 - 521600 Equip Maint Supplies 9 208 500 0 500 500 TOTAL Supplies 178,336 313,562 187,500 156,727 222,200 187,500 Human Services City Support Services 575 - 532500 City Insurance - Commercial 45,441 51,068 50,068 56,697 56,697 57,000 575- 532800 Employee Appreciation Events 1,953 1,894 2,500 1,996 2,500 2,500 575 - 532900 Contingencies 12,435 0 107,035 3,663 3,663 107,035 TOTAL City Support Services 59,829 52,962 159,603 62,356 62,860 166,535 Utility Services 575 - 533100 Gas Utility Service 1,178 1,377 1,500 1,321 1,500 1,500 575 - 533200 Electric Utility Service 295,137 302,733 320,000 179,781 305,000 320,000 575 - 533310 Telephone /Cell Phones 2,729 2,543 3,500 1,422 3,000 3,500 575 - 533320 Telephone /Air Cards 218 170 800 124 350 800 575- 533400 Water Purchase 3,175,122 3,129,241 3,200,000 2,322,605 3,200,000 3,200,000 575 - 533410 Water Utility Service 9,456 1,538 10,000 1,264 2,200 10,000 575 - 533500 Vehicle Fuel 44,240 42.472 40,000 28.239 42.500 40.000 TOTAL Utility Services 3,528,081 3,480,075 3,575,800 2,534,756 3,554,550 3,575,800 175 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER PUBLIC WORKS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Operations Support 147 575 - 534000 Postage 207 575 - 534100 Advertising 971 575 - 534200 Printing & Binding 38 575 - 534300 Equipment Maintenance - Copie 5,202 TOTAL Operations Support 6,419 Staff Support 5 500 5,50Q 575 - 535100 Uniforms 8,982 575 - 535300 Memberships 5,758 575 - 535500 Training /Travel 8,973 575 - 535510 Meeting Expenses 1,648 575- 535600 Professional Certification 222 TOTAL Staff Support 25,583 City Assistance 15,000 1,158 575 - 537100 Medical Services 333 TOTAL City Assistance 333 Professional Services 0 575 - 541200 Legal Svcs 211,625 575 - 541300 Other Consl /Prof Services 102,431 575 - 541305 Cell Tower Management Fees 64,122 575 - 541400 Auditor /Accounting Service 24,000 575 - 541500 Paying Agent 800 575 - 541650 Misc Expenses 203 TOTAL Professional Services 403,181 Fund Charges /Transfers 29,000 575 - 548040 Contribution To CVLGC 300,000 575- 548050 Contribution to SSLG 2,906,068 575 - 548060 Contribution to COMA 410,650 575 - 548101 Transfer Out - General Fund 0 575 - 548106 Transfer Out- Special Events 3,640 575 - 548600 Inter -fund Charges -Admin 1,344,140 575 - 548610 Interfund Charge -Fleet 129,890 575 - 548700 Bad Debt Expense 70,807 575- 548800 Depreciation Expense 2,150,733 575 - 548900 Amortization Expense 0 TOTAL Fund Charges /Transfers 7,315,927 272 300 147 250 300 2,950 5,000 3,350 5,000 5,000 284 500 0 500 500 5,687 5,500 4,880 5 500 5,50Q 9,193 11,300 8,377 11,250 11,300 17,645 15,000 14,871 15,000 16,500 5,946 6,000 5,701 6,000 6,000 11,013 15,000 10,085 15,000 15,000 1,158 2,000 1,124 2,000 2,000 0 0 0 0 0 35,762 38,000 31,781 38,000 39,500 205 1,500 76 500 500 205 1,500 76 500 500 178,159 200,000 202,548 220,000 200,000 82,647 112,965 24,655 29,000 112,965 80,634 68,214 77,585 80,000 71,650 30,644 24,000 19,000 19,000 24,000 1,000 1,000 600 1,000 1,000 0 0 0 0 0 373,084 406,179 324,388 349,000 409,615 480,000 100,000 100,000 100,000 300,000 3,807,218 4,006,734 3,646,879 4,006,734 3,875,323 577,775 726,800 103,925 726,800 723,850 0 4,000 0 4,000 4,000 0 0 0 0 0 1,365,998 1,385,000 1,038,750 1,385,000 1,450,827 140,288 132,937 99,703 133,000 116,624 0 0 0 0 0 2,162,879 0 0 0 0 11,381 0 0 0 0 8,545,539 6,355,471 4,989,257 6,355,534 6,470,624 176 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER PUBLIC WORKS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Maintenance Services 40,000 36,605 40,000 40,000 36,615 38,436 575 - 551100 Building Maintenance 1,572 6 5,000 1,639 5,000 5,000 575 - 551300 Computer Maintenance 6,218 6,377 17,500 8,992 12,000 17,500 575 - 551400 Minor & Other Equip Maint 25 167 2,500 1,124 2,500 2,500 575 - 551500 Water Maintenance 138,060 152,846 155,000 27,588 155,000 155,000 575 - 551510 Waste Contractor Expense 4,687,548 4,848,197 4,540,000 2,943,964 4,500,000 4,721,600 575 - 551520 Sewer Treatment -COMA /MUD 3,636,298 3,797,306 4,316,000 2,176,733 4,000,000 4,100,000 575 - 551530 Sewer Maintenance 28,650 32,067 84,000 68,438 80,000 84,000 575 - 551540 I &I Maintenance 0 6,033 60,000 0 60,000 60,000 575 - 551600 Street Maintenance Materials 20,867 13,736 20,000 18,784 20,000 20,000 575 - 551720 Low Flow Rebate Program 50 50 250 300 400 250 575 - 551800 Other Maintenance Agreements 260 240 240 160 240 240 TOTAL Maintenance Services 8,519,547 8,857,026 9,200,490 5,247,722 8,835,140 9,166,090 Other Costs 575 - 554100 State Water Fees -TCEQ TOTAL Other Costs Debt Service 575 - 555900 Debt Service 575- 555900.Interest Expense TOTAL Debt Service Rental /Leasing 575 - 561000 Rental - Building & Land 575 - 561100 Rental- Equipment 575 - 561200 Lease /Purchase Payments TOTAL Rental /Leasing Qperating Equipment 575 - 571000 Furniture & Fixtures 575 - 571200 Vehicles & Access. LESS $5,00 575 - 571500 Minor Equipment 575 - 571800 Equipment Under $5,000 TOTAL Operating Equipment 36,615 38,436 40,000 36,605 40,000 40,000 36,615 38,436 40,000 36,605 40,000 40,000 0 0 1,500,000 1,240,000 1,500,000 1,560,000 382,603 480,954 600,622 311,501 600,622 546,932 382,603 480,954 2,100,622 1,551,501 2,100,622 2,106,932 2,783 2,866 3,500 2,952 3,500 3,500 0 0 1,000 0 500 1,000 54,000 ( 33,173) 0 104.000 0 0 56,783 ( 30,307) 4,500 106,952 4,000 4,500 1,072 3,321 5,000 2,247 5,000 5,000 0 3,621 0 0 0 0 2,954 0 3,000 6,364 7,000 3,000 0 28,224 0 0 0 0 4,025 35,167 8,000 8,611 12,000 8,000 Capital Outlay 575 - 581200 Vehicles & Access. Over $5,00 0 0 60,000 0 60,000 0 575 - 581800 Equipment Over $5,000 0 0 89,000 34,514 89,000 98,000 TOTAL Capital Outlay 0 0 149,000 34,514 149,000 98,000 177 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER PUBLIC WORKS EXPENDITURES Water Line Relocation Aviation Heights C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XX>P(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET TOTAL W & S ADMINISTRATION 21,777,119 23,542,137 23,705,330 16,343,962 23,229,289 23,828,299 TOTAL PUBLIC WORKS 21,777,119 23,542,137 23,705,330 16,343,962 23,229,289 23,828,299 178 of 249 8 -06 -2020 03:51 PM 202 -WATER & SEWER MISC & PROJECTS EXPENDITURES PROJECTS City Support Services Qperations Support Professional Services 900 - 541100 ENGINEERING 900 - 541300 PROFESSIONAL SERVICES TOTAL Professional Services Fund Charges /Transfers Maintenance Services 900 - 551900 CONSTRUCTION TOTAL Maintenance Services Rental /Leasing TOTAL PROJECTS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 0 0 0 16,223 0 0 0 0 0 500 0 0 0 0 0 16,723 0 0 0 0 1,638,000 122,784 0 0 0 0 1,638,000 122,784 0 0 0 0 1,638,000 179 of 249 139,507 0 0 8 -06 -2020 03:51 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 202 -WATER & SEWER AS OF: JUNE 30TH, 2020 MISC & PROJECTS EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- -------- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET FM3009 RD &BRIDGE EXPNDSN Professional Services Maintenance Services TOTAL MISC & PROJECTS 0 0 1,638,000 139,507 0 0 TOTAL EXPENDITURES 28,476,512 28,233,380 29,539,353 17,164,522 27,444,394 24,729,835 180 of 249 XXXXX FUND: 411 CAPITAL RECOVERY FUND h (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 Water/Wastewater Capital Recovery plan be updated at least every five years. The last study was 2011. 181 of 249 XXXXX CAPITAL RECOVERY FUND - WATER Revenue Fees $1,061,672 Miscellaneous 161,999 Total $1,223,672 Expenses Non Departmental $1,375,984 Total $1,375,984 PROGRAM JUSTIFICATION AND ANALYSIS $1,100,000 169,000 $1,269,000 $103,500 $103,500 $1,100,000 72,000 $1,172,000 $206,000 $206,000 Projects for FY 2020 -21 include conducting the Water /Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the 1 million gallon elevated tank at Corbett which was funded in FY 2018 -19. 182 of 249 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Revenue Fees $1,061,672 Miscellaneous 161,999 Total $1,223,672 Expenses Non Departmental $1,375,984 Total $1,375,984 PROGRAM JUSTIFICATION AND ANALYSIS $1,100,000 169,000 $1,269,000 $103,500 $103,500 $1,100,000 72,000 $1,172,000 $206,000 $206,000 Projects for FY 2020 -21 include conducting the Water /Wastewater Capital Recovery Study to identify future capital needs. Ongoing projects include the 1 million gallon elevated tank at Corbett which was funded in FY 2018 -19. 182 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 411- CAPITAL RECOVERY - WATER AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Fees Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 1,544,962 1,061,672 1,100,000 939,677 1,100,000 1,100,000 102.749 161.999 1801000 77.774 169.000 72.000 1,647,711 1,223,672 1,280,000 1,017,451 1,269,000 1,172,000 1,000 1,375,984 256,000 52,015 103,500, 206,000 1,000 1,375,984 256,000 52,015 103,500 206,000 1,000 1,375,984 256,000 52,015 103,500 206,000 1,646,711 ( 152,312) 1,024,000 965,436 1,165,500 966,000 183 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 411- CAPITAL RECOVERY - WATER AS OF: JUNE 30TH, 2020 REVENUES Fees 000 - 455900 Cap Rcvey -Water TOTAL Fees Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Income TOTAL Miscellaneous TOTAL REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 1,544,962 1,061,672 11100,000 939,677 111001000 11100,000 1,544,962 1,061,672 1,100,000 939,677 1,100,000 1,100,000 5,527 3,383 5,000 2,766 4,000 2,000 97,222 158,616 175,000 75,008 165,000 70,000 102,749 161,999 180,000 77,774 169,000, 72,000 1,647,711 1,223,672 1,280,000 1,017,451 1,269,000 1,172,000 184 of 249 8 -06 -2020 03:52 PM 411- CAPITAL RECOVERY - WATER GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Supplies City Support Services Utility Services Operations Sunnort C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 101- 541200 Legal Svcs -Water 0 101- 541300 Professional Services -Cap Pla 0 101- 541400 Auditor /Accounting Service 1,000 TOTAL Professional Services 1,000 Fund Charges /Transfers 101- 548406 Transfer Out- Water /Sewer Proj 0 TOTAL Fund Charges /Transfers 0 Maintenance Services Debt Service Operating Equipment Capital Outlay TOTAL NON DEPARTMENTAL 0 5,000 0 2,500 5,000 0 250,000 51,015 100,000 200,000 984 1,000 1,000 1 000 1,000 984 256,000 52,015 103,500 206,000 1,375,000 0 0 0 0 1,375,000 0 0 0 0 1,000 1,375,984 185 of 249 256,000 52,015 103,500 206,000 XXXXX 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. 186 of 249 XXXXX CAPITAL RECOVERY FUND - SEWER •.�t_► i I g •: . Budget 2018 -19 2019 -20 2020 -21 Actual Estimate Budget Revenue Fees $598,137 $510,800 $600,000 Miscellaneous 165,710 123,500 72,000 Total $763,847 $634,300 $672,000 Expenses Non Departmental $5,421 $258,000 $208,000 Total $5,421 $258,000 $208,000 PROGRAM JUSTIFICATION AND ANALYSIS Projects for FY 2020 -21 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. 187 of 249 8 -06 -2020 03:53 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 421- CAPITAL RECOVERY - SEWER AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Fees Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 821,969 598,137 600,000 486,321 510,800 600,000 85.591 165.710 103,000 86.363 123.500 72.000 907,560 763,847 703,000 572,685 634,300 672,000 493,208 5,421 260,500, 141,612 258,000, 208,000 493,208 5,421 260,500 141,612 258,000 208,000 493,208 5,421 260,500 141,612 258,000 208,000 414,352 758,426 442,500 431,073 376,300 464,000 188 of 249 8 -06 -2020 03:53 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 421- CAPITAL RECOVERY - SEWER AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Fees 000 - 455910 Cap Rcvey -Waste Water 794,969 608,937 600,000 486,321 500,000 600,000 000 - 455913 Cap Rcvey -North Sewer Treat 27,000 ( 10,800) 0 0 10,800 0 TOTAL Fees 821,969 598,137 600,000 486,321 510,800 600,000 Fund Transfers Miscellaneous 000 - 491000 Interest Earned 3,799 3,141 3,000 1,635 3,500 2,000 000 - 491200 Investment Income 104,840 139,329 100,000 83,236 120,000 70,000 000 - 491800 Gain /Loss Capital One Sewer ( 11,126) ( 8,567) 0 0 0 0 000 - 491900 Unrealize Gain /Loss -Captl On( 11,922) 31,806 0 1,493 0 0 TOTAL Miscellaneous 85,591 165,710 103,000 86,363 123,5Q01 72,000 TOTAL REVENUES 907,560 763,847 703,000 572,685 634,300 672,000 189 of 249 8 -06 -2020 03:53 PM 421- CAPITAL RECOVERY - SEWER GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Supplies Operations Sunnort C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Professional Services 0 101- 541200 Legal Services -Sewer 0 101 - 541300 Professional Services -Cap Pla 0 101 - 541400 Auditor /Accounting Service 1,000 101 - 541650 Investment Mgt Fee -Sewer 4,360 TOTAL Professional Services 5,360 Fund Charges /Transfers 5,421 101- 548406 Transfer Out- Water /Sewer Prjc 487,848 TOTAL Fund Charges /Transfers 487,848 Maintenance Services 0 TOTAL NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT 0 5,000 0 2,500 2,500 0 250,000 137,217 250,000 200,000 984 1,000 1,000 1,000 1,000 4,437 4,500 3,395 4,500 4,500 5,421 260,500 141,612 258,000 208,000 0 0 0 0 0 0 0 0 0 0 493,208 5,421 493,208 5,421 190 of 249 260,500 141,612 260,500 141,612 258,000 208,000 258,000 208,000 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, as well as 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 structure, such as buildings, parking lots, or driveways. GOALS AND OBJECTIVES Protect lives and property. 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 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. 191 of 249 XXXXX PUBLIC WORKS DRAINAGE XXXXX DRAINAGE 2018-19 2019-20 2020-21 Drainage Foreman 1 1 1 Drainage Worker 11 2 2 2 Drainage Worker 1 5 5 5 TOTAL POSITIONS 1 81 8 PERFORMANCE INDICATORS Acres of Alleys Mowed Acres of Rights-of-Way (ROW) Mowed Acres of Drainage Ditches Mowed 5.15 2018-19 2019-20 2020-21 1 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 57.46 66.46 66.46 158.75 158.75 158.75 Monthly Operating Expenditures 103,075 105,475 118,677 2018-19 2019-20 2020-21 i Efficiency Actual Estimate Budget Monthly Operating Expenditures 103,075 105,475 118,677 ROW Maintenance & Mowing, Hours 3410 5040 5040 Drainage Mowing, Hours 820 920 1000 Drainage Structure Maintenance, Hours 1660 1800 1900 192 of 249 2018-19 2019-20 2020-21 � Effectiveness Actual � Estimate Budget ROW Maintenance & Mowing, Hours 3410 5040 5040 Drainage Mowing, Hours 820 920 1000 Drainage Structure Maintenance, Hours 1660 1800 1900 192 of 249 PUBLIC WORKS DRAINAGE XXXXX 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budaet Revenue Permits $3,860 $4,000 $4,000 Fees 1,200,722 1,205,000 1,230,000 Fund Transfers 27,000 0 176,563 Miscellaneous 56,610 20,521 33,000 Total $1,288,192 $1,229,521 $1,443,563 Expenses Personnel $301,277 $395,746 $401,146 Supplies 4,517 5,900 6,000 City Support Services 3,266 5,500 35,500 Utility Services 15,022 10,750 14,700 Operations Support 0 0 1,050 Staff Support 9,597 8,500 13,700 City Assistance 63 150 500 Professional Services 1,475 6,500 41,500 Fund Charges /Transfers 791,503 479,659 532,167 Maintenance Services 32,767 92,000 83,000 Other Costs 100 100 200 Debt Services 5,535 124,200 122,100 Rental /Leasing 55 250 500 Operating Equipment 4,474 1,500 2,500 Capital Outlay 0 110,500 189,000 Projects 0 0 0 Total $1,169,651 $1,241,255 $1,443,563 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: The FY 2020 -21 revenue from drainage fees is expected to increase 17.4% with a transfer from reserves to purchase replacement capital equipment. Expenses: The FY 2020 -21 Budget will increase 16.3% from the FY 2019 -20 year end estimate to purchase additional capital equipment and provide additional mowing that will no longer be covered by the state. 193 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 204 - DRAINAGE AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Permits Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY PUBLIC WORKS DRAINAGE TOTAL PUBLIC WORKS MISC & PROJECTS PROJECTS TOTAL MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 3,960 3,860 4,000 2,440 4,000 4,000 1,159,910 1,200,722 1,230,000 909,142 1,205,000 1,230,000 0 27,000 0 0 0 176,563 194,255 56,610 33,000 12,578 20,521. 33,000 1,358,125 1,288,192 1,267,000 924,160 1,229,521 1,443,563 1,013,430 1,169,651 1,265,709 697,166 1,241,255 1,443,563 1,013,430 1,169,651 1,265,709 697,166 1,241,255 1,443,563 0 0 0 1,384 0 0 0 0 0 1,384 0 0 1,013,430 1,169,651 1,265,709 698,551 1,241,255 1,443,563 344,696 118,540 1,291 225,610 ( 11,734) 0 194 of 249 8 -06 -2020 03:52 PM 204 - DRAINAGE REVENUES 2017 -2018 ACTUAL C I T Y O PROPOSED AS OF: (-------- 2018 -2019 ACTUAL F S C H E R T Z BUDGET WORKSHEET JUNE 30TH, 2020 - - - - -- 2019 -2020 --------------- CURRENT Y -T -D BUDGET ACTUAL PROJECTED YEAR END PAGE:XXXXX -------- 2020 -2021 -- - - - - -) CITY ADMIN. ADOPTED RECOMMENDED BUDGET Permits 000 - 432400 Floodplain Permit 3,960 3,860 4,000 2,440 4,000 4,000 TOTAL Permits 3,960 3,860 4,000 2,440 4,000 4,000 Fees 000- 457500 Drainage Penalties 10,537 32 10,000 4,250 5,000 10,000 000 - 457600 Drainage Fee 1,149,373 1,200,690 1,220,000 904,892 1,200,000 1,220,000 TOTAL Fees 1,159,910 1,200,722 1,230,000 909,142 1,205,000 1,230,000 Fund Transfers 000 - 481000 Transfer In - Reserves 0 0 0 0 0 176,563 000 - 486405 Transfer -In Grant Fund 0 27,000 0 0 0 0 TOTAL Fund Transfers 0 27,000 0 0 0 176,563 Miscellaneous 000 - 491000 Interest Earned 3,481 3,366 3,000 391 750 3,000 000 - 491200 Investment Income 26,509 29,227 30,000 8,686 15,000 30,000 000 - 497000 Miss Income - Drainage 164,265 24,017 0 ( 229) ( 229) 0 000 - 497100 MISC INCOME -SCRAP METAL SALES 0 0 0 3,730 5,000 0 TOTAL Miscellaneous 194,255 56,610 33,000 12,578 20,521 33,000 TOTAL REVENUES 1,358,125 1,288,192 1,267,000 924,160 1,229,521 1,443,563 195 of 249 8 -06 -2020 03:52 PM 204 - DRAINAGE PUBLIC WORKS EXPENDITURES DRAINAGE C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Personnel Services 1,868 3,300 2,618 3,300 3,300 579 - 521100 Office Supplies 579 - 511110 Regular 217,842 197,031 254,260 151,410 254,260 243,178 579 - 511120 Overtime 7,897 4,209 5,500 2,047 5,500 5,930 579 - 511180 LTD 669 597 788 144 144 754 579 - 511210 Longevity 7,891 8,341 9,166 8,616 8,616 9,474 579 - 511230 Certification Allowance 2,400 2,170 4,800 1,408 2,000 4,800 579 - 511310 FICA - Employer 16,826 16,431 20,940 11,798 20,940 20,149 579 - 511350 TMRS- Employer 36,687 34,246 44,234 23,581 44,234 42,977 579 - 511410 Health- Employer 46,245 34,703 56,886 35,445 56,886 70,404 579 - 511500 Workers' Compensation 3,146 3,550 3,626 3,166 3,166 3,480 TOTAL Personnel Services 339,603 301,277 400,200 237,614 395,746 401,146 Supplies 579 - 521000 Operating Supplies 2,972 1,868 3,300 2,618 3,300 3,300 579 - 521100 Office Supplies 198 200 500 348 500 500 579 - 521200 Medical /Chem Supplies 1,603 2,448 2,000 1,867 2,000 2,000 579 - 521300 Motor Vehicle Supplies 0 0 200 0 100 200 TOTAL Supplies 4,773 4,517 6,000 4,833 5,900 6,000 Human Services City Support Services 579 - 532500 City Insurance - Commercial 5,409 3,266 4,000 2,836 3,500 4,000 579 - 532800 EMPLOYEE APPRECIATION EVENTS 0 0 2,500 1,202 2,000 1,500 579 - 532900 Contingencies 1,465 0 4,000 0 0 30,000 TOTAL City Support Services 6,874 3,266 10,500 4,038 5,500 35,500 Utility Services 579- 533310 Telephone /Cell Phones 1,048 1,059 1,200 333 750 1,200 579 - 533500 Vehicle Fuel 12,969 13,963 12,000 7,862 10,000 13,500 TOTAL Utility Services 14,017 15,022 13,200 8,194 10,750 14,700 Operations Support 579 - 534000 Postage 0 0 50 0 0 50 579 - 534200 Printing & Binding 0 0 1,000 0 0 1,000 TOTAL Operations Support 0 0 1,050 0 0 1,050 Staff Support 579 - 535100 Uniforms 3,340 6,438 6,000 3,432 6,000 6,000 579 - 535300 Memberships 0 129 500 500 500 500 579 - 535500 Training /Travel 1,998 2,690 5,000 1,125 1,500 5,000 579 - 535510 Meeting Expenses 228 191 1,200 0 500 1,200 579- 535600 Professional Certification 192 150 11000 0 0 11000 TOTAL Staff Support 5,758 9,597 13,700 5,056 8,500 13,700 196 of 249 8 -06 -2020 03:52 PM 204 - DRAINAGE PUBLIC WORKS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET City Assistance 500 579 - 537100 Medical Services 98 TOTAL City Assistance 98 Professional Services 80 579- 541200 Legal Svcs 78 579 - 541310 Contractual Services 7,340 579 - 541400 Auditor /Accounting Service 1,500 TOTAL Professional Services 8,918 Fund Charges /Transfers 2,107 579 - 548101 Transfer Out - General Fund 0 579 - 548106 Transfer Out- Special Events 1,213 579 - 548202 Transfer Out to Water & Sewer 0 579- 548500 Interfund Charges -Admin 271,430 579 - 548600 Interfund Charges -Water 141,510 579 - 548610 Interfund Charge -Fleet 83,355 579 - 548700 Bad Debt Expense 3,965 579 - 548800 Depreciation Expense 115,709 TOTAL Fund Charges /Transfers 617,182 Maintenance Services 0 579 - 551610 Drainage Channel Maintenance 1,090 TOTAL Maintenance Services 1,090 Other Costs 0 579 - 554100 State Storm Water Fee -TCEQ 100 TOTAL Other Costs 100 Debt Service 579- 555900 Debt Service 0 579- 555900.Interest Expense 8,206 TOTAL Debt Service 8,206 Rental / Leasina 579 - 561100 Rental - Equipment 0 TOTAL Rental /Leasing 0 Qperatinq Equipment 579- 571200 Vehicles & Access Less $5,000 0 579 - 571500 Equipment Under $5,000 6.812 TOTAL Operating Equipment 6,812 63 500 80 150 500 63 500 80 150 500 0 5,000 0 0 5,000 0 5,000 2,107 5,000 35,000 1.475 1,500 1.500 1.500 1.500 1,475 11,500 3,607 6,500 41,500 0 1,000 0 1,000 1,000 0 0 0 0 0 152,777 0 0 0 0 295,157 243,114 182,334 243,114 285,506 141,000 146,400 109,800 146,400 146,400 95,005 89,145 66,859 89,145 99,261 0 0 0 0 0 107.564 0 0 0 0 791,503 479,659 358,992 479,659 532,167 32,767 92,000 71,702 92,000 83,000 32,767 92,000 71,702 92,000 83,000 100 200 100 100 200 100 200 100 100 200 0 120,000 0 120,000 120,000 5,535 4,200 2,085 4,200 2,100 5,535 124,200 2,085 124,200 122,100 55 500 0 250 500 55 500 0 250 500 4,474 0 0 0 0 0 2,000 864 1,500 2,500 4,474 2,000 864 1,500 2,500 197 of 249 8 -06 -2020 03:52 PM 204 - DRAINAGE PUBLIC WORKS EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXX9(X PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Capital Outlay 579 - 581200 Vehicles & Access. Over $5,00 0 0 35,500 0 35,500 0 579 - 581500 Machinery /Equipment 0 0 75,000 0 75.000 189.000 TOTAL Capital Outlay 0 0 110,500 0 110,500 189,000 TOTAL DRAINAGE 1,013,430 1,169,651 1,265,709 697,166 1,241,255 1,443,563 TOTAL PUBLIC WORKS 1,013,430 1,169,651 1,265,709 697,166 1,241,255 1,443,563 198 of 249 8 -06 -2020 03:52 PM 204 - DRAINAGE MISC & PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXX9(X PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET PROJECTS City Support Services Qperations SUppOrt Professional Services Maintenance Services 900 - 551900 Construction 0 0 0 1.384 0 0 TOTAL Maintenance Services 0 0 0 1,384 0 0 Capital Outlay TOTAL PROJECTS TOTAL MISC & PROJECTS 0 0 0 0 0 0 1,384 1,384 0 0 0 0 TOTAL EXPENDITURES 1,013,430 1,169,651 1,265,709 698,551 1,241,255 1,443,563 199 of 249 XXXXX 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 200 of 249 XXXXX 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 2018 -19 2019 -20 2020 -21 Director 1 1 1 Operations Manager 1 1 1 Clinical Manager 1 1 1 Community Health Coordinator 1 1 1 Training Coordinator 1 1 1 Office Manager 1 1 1 Instructor 0 0 1 Senior Administrative Asst. 1 1 1 Billing Specialist 2 3 3 Billing Clerk 1 0 0 EMS Supervisor 3 3 3 Field Training Officer 3 3 3 MIH Paramedic 1 1 1 Paramedic 25 25 26 EMT 3 3 5 P/T Paramedics 15 15 15 P/T EMT 5 5 5 P/T Supply Coordinator 0 1 1 TOTAL POSITIONS 1 651 661 70 201 of 249 XXXXX EMERGENCY MEDICAL SERVICES (EMS) - �- �- Requests for EMS Service 2018 -19 2019 -20 2020 -21 Workload /Output Actual Estimate Budget Requests for EMS Service 10,759 11,233 11,611 Transports to Hospitals 6,738 6,869 7,192 Hospital to Hospital Transports 911 850 900 Collections per Transport 468.64 475.00 475.00 Students Enrolled in EMT 90 90 110 Certification Classes Trips billed for Alamo Heights 577 700 700 Members of EMS Passport 412 500 500 Response Time 90% Reliability 2018 -19 2019 -20 2020 -21 Efficient Actual Estimate Bud et Response Time 90% Reliability 13:59 13:00 13:00 Total Time on Task (Minutes) 56:30 57:00 57:00 Transport Percentage 63% 62% 63% Days Sales Outstanding 45 47 45 Mutual Aid Requested 47 35 40 Students Graduated from EMT Certification Classes 61 56 65 Critical Failures / 100,000 miles 2018 -19 2019 -20 2020 -21 Effectiveness Actual Estimate Budget Critical Failures / 100,000 miles 5.2 4 8 Fleet Accidents/ 100,000 miles 3.8 4 4 Cardiac Arrest Save % 8% 10% 10% Correct recognition of STEMI 81% 75% 80% EMT Class Certification Pass Rate 96% 92% 92% 202 of 249 XXXXX EMERGENCY MEDICAL SERVICES (EMS) Revenue Fees $5,941,235 $6,352,296 $6,621,567 Inter - Jurisdictional 3,161,147 2,847,959 3,028,357 Miscellaneous 103,432 147,300 135,500 Total $9,205,814 $9,347,555 $9,785,425 Expenses Personnel 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Revenue Fees $5,941,235 $6,352,296 $6,621,567 Inter - Jurisdictional 3,161,147 2,847,959 3,028,357 Miscellaneous 103,432 147,300 135,500 Total $9,205,814 $9,347,555 $9,785,425 Expenses Personnel $4,200,948 $4,398,536 $4,590,954 Supplies 393,102 368,600 359,500 City Support Services 64,105 136,879 136,000 Utility Services 133,236 129,500 137,000 Operations Support 63,624 48,639 49,500 Staff Support 56,092 62,700 69,500 City Assistance 556,463 558,367 562,367 Professional Services 97,492 134,000 118,500 Fund Charges /Transfers 3,076,256 2,721,685 2,993,790 Maintenance Services 11,819 29,200 30,000 Debt Service 113,549 281,008 0 Rental /Leasing 100,780 65,118 67,000 Operating Equipment 77,063 65,000 72,000 Capital Outlay 0 346,000 517,000 Total $8,944,529 $9,345,231 $9,703,111 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenues for FY 2020 -21 are expected to increase4.7% from FY 2019 -20 year end estimates for additional transports and an increase on the inter jurisdictional contracts. Expenses: The FY 2020 -21 Budget will increase 3.8% from the FY 2019 -20 year end estimate. Additional personnel expenditures for new staff are offset by additional revenue brought in by the calls those staff will be on. 203 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 203 -EMS AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Fees Inter - Jurisdictional Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY PUBLIC SAFETY SCHERTZ EMS TOTAL PUBLIC SAFETY MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 4,754,620 5,941,235 6,492,050 4,247,157 6,352,296 6,621,567 2,861,992 3,161,147 2,991,594 2,229,446 2,847,959 3,028,357 135,601 103,432 115,500 107,039 147,300, 135,500 7,752,214 9,205,814 9,599,144 6,583,642 9,347,555 9,785,425 7,702,476 8,944,529 9.598,811 6,629,223 9,345,231 9,703,111 7,702,476 8,944,529 9,598,811 6,629,223 9,345,231 9,703,111 7,702,476 8,944,529 9,598,811 6,629,223 9,345,231 9,703,111 49,738 261,285 333 ( 45,582) 2,324 82,314 204 of 249 8 -06 -2020 03:52 PM 203 -EMS REVENUES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXO(X Fund Transfers Miscellaneous 000 - 491000 Interest Earned 4,403 (-------- - - - - -- 2019 -2020 --------------- 1,800 -------- 2020 -2021 -- - - - - -) 000 - 491200 Investment Income 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED 000 - 493203 Donations -EMS ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 000 - 493205 Donations -Golf Tournament 18,595 ( 2,160) 0 0 0 0 Fees Misc Income 49,966 48,056 50,000 35,096 60,000 60,000 000 - 456100 Ambulance /Mileage Transprt Fe 4,517,954 5,652,205 6,210,950 4,057,625 6,097,146 6,340,467 000 - 456110 Passport Membership Fees 25,275 23,860 28,000 24,645 27,000 28,000 000 - 456120 EMT Class - Fees 98,770 97,379 99,000 65,380 99,000 99,000 000 - 456122 CE Class - Fees 23,458 22,312 27,000 17,693 20,000 15,000 000- 456130 Immunization Fees 3,008 2,764 2,000 6,278 7,500 3,000 000 - 456140 Billing Fees - External 23,016 23,569 25,000 17,560 24,500 26,000 000 - 456150 Standby Fees 38,518 25,185 30,000 15,185 20,000 25,000 000 - 456155 Community Services Support 72,888 52,320 50,000 17,803 23,000 50,000 000 - 456160 MIR Services 13,960 29,192 20,000 24,889 34,000 35,000 000 - 458110 Sale of Merchandise - GovDea( 62,327) 12,399 0 0 0 0 000 - 459200 NSF Check Fee 100 50 100 100 150 100 TOTAL Fees 4,754,620 5,941,235 6,492,050 4,247,157 6,352,296 6,621,567 Inter - Jurisdictional 000 - 473500 Seguin /Guadalupe Cc Support 843,578 843,578 843,577 702,982 843,577 843,577 000 - 474300 Cibolo Support 346,468 410,583 439,612 329,709 439,612 473,115 000 - 475100 Comal Cc ESD #6 116,813 125,159 133,064 98,885 133,064 141,411 000 - 475200 Live Oak Support 213,152 232,140 237,775 178,331 237,775 246,256 000- 475300 Universal City Support 281,284 300,092 305,996 229,497 305,996 321,566 000 - 475400 Selma Support 111,886 148,697 161,001 120,751 161,001 171,441 000- 475500 Schertz Support 556,325 581,537 602,583 451,937 602,583 667,049 000 - 475600 Santa Clara Support 10,447 10,790 11,137 8,353 11,137 11,455 000 - 475800 Marion Support 15,187 16,347 16,849 12,636 16,849 18,375 000 - 475910 TASPP Program 366.853 492.224 240,000 96,365 96.365 134.112 TOTAL Inter - Jurisdictional 2,861,992 3,161,147 2,991,594 2,229,446 2,847,959 3,028,357 Fund Transfers Miscellaneous 000 - 491000 Interest Earned 4,403 5,018 4,000 981 1,800 2,500 000 - 491200 Investment Income 6,237 9,919 9,500 8,851 12,000 5,000 000 - 493203 Donations -EMS 913 625 2,000 5,726 6,000 2,000 000 - 493205 Donations -Golf Tournament 18,595 ( 2,160) 0 0 0 0 000 - 497000 Misc Income 49,966 48,056 50,000 35,096 60,000 60,000 000 - 497100 Recovery of Bad Debt 55,488 2,977 50,000 6,124 7,500 6,000 000 - 497110 Collection Agency -Bad Debt 0 38.996 0 50.261 60.000 60.000 TOTAL Miscellaneous 135,601 103,432 115,500 107,039 147,300 135,500 TOTAL REVENUES 7,752,214 9,205,814 9,599,144 6,583,642 9,347,555 9,785,425 205 of 249 8 -06 -2020 03:52 PM 203 -EMS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX PUBLIC SAFETY EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET SCHERTZ EMS Personnel Services 280 - 532350 Software Maintenance 280 - 511110 Regular 2,167,653 2,314,458 2,474,883 1,854,688 2,500,000 2,501,046 280 - 511120 Overtime 710,157 759,746 734,285 569,291 750,000 723,148 280 - 511180 LTD 6,389 6,310 6,494 1,598 1,598 6,625 280 - 511210 Longevity 45,125 43,266 44,585 44,279 45,000 46,756 280 - 511220 Clothing Allowance 10,980 11,616 12,168 9,592 12,168 12,480 280 - 511230 Certification Allowance 18,805 23,080 23,400 11,200 23,400 21,320 280 - 511310 FICA - Employer 217,875 241,927 246,355 181,446 247,000 252,813 280 - 511350 TMRS- Employer 478,819 474,190 484,783 333,131 450,000 497,124 280 - 511410 Health - Employer 350,227 284,039 311,434 320,563 311,434 468,000 280 - 511500 Workers' Compensation 37,002 42,315 66,345 57,936 57,936 61,642 TOTAL Personnel Services 4,043,032 4,200,948 4,404,732 3,383,725 4,398,536 4,590,954 Supplies 7,000 280 - 533500 Vehicle Fuel 73,325 81,429 80,000 49,217 70,000 280 - 521000 Operating Supplies 657 510 2,000 1,171 2,000 2,000 280 - 521010 Operating Supplies -EMT Class 21,940 21,638 26,000 14,649 25,000 25,000 280 - 521020 Operating Supplies -CE Class 7,740 4,599 16,000 1,814 15,000 9,000 280 - 521025 Community Support Supplies 53,272 41,949 40,000 16,050 20,000 25,000 280 - 521030 Operating Supplies- MIH 77 0 1,000 0 0 1,000 280 - 521100 Office Supplies 3,200 2,880 3,500 1,639 2,500 3,500 280 - 521200 Medical /Chem Supplies 250,857 300,042 265,000 225,490 285,000 275,000 280 - 521250 Immunization Supplies 2,922 19,011 14,600 4,014 14,600 14,000 280 - 521300 Motor veh. Supplies 1,335 1,567 4,000 2,113 2,500 2,500 280 - 521600 Equip Maint Supplies 4,145 905 4,000 0 2,000 2,500 TOTAL Supplies 346,144 393,102 376,100 266,940 368,600 359,500 Human Services City Support Services 280 - 532350 Software Maintenance 26,390 37,843 62,000 34,735 62,000 70,000 280 - 532500 City Insurance - Commercial 22,691 26,363 26,000 24,979 24,979 26,000 280 - 532840 Golf Tournament - Dilworth 0 { 100) 0 0 0 0 280 - 532900 Contingencies 0 0 49,900 0 49,900 40,000 TOTAL City Support Services 49,081 64,105 137,900 59,714 136,879 136,000 Utility Services 280 - 533100 Gas Utility Service 4,703 6,535 6,000 5,898 7,000 7,000 280 - 533200 Electric Utility Service 14,817 11,089 15,000 4,907 13,000 12,000 280 - 533300 Telephone /Land Line 2,865 3,539 3,000 995 3,000 3,500 280 - 533310 Telephone /Cell Phones 7,097 8,168 10,000 10,505 12,000 10,000 280 - 533320 Telephone /Air Cards 11,986 12,428 13,000 3,295 13,000 13,000 280 - 533330 Telephone /Internet 3,719 4,092 4,500 3,079 4,500 4,500 280 - 533410 Water Utility Service 1,821 5,956 4,500 5,303 7,000 7,000 280 - 533500 Vehicle Fuel 73,325 81,429 80,000 49,217 70,000 80,000 TOTAL Utility Services 120,333 133,236 136,000 83,200 129,500 137,000 206 of 249 8 -06 -2020 03:52 PM 203 -EMS C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX PUBLIC SAFETY EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- -------- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Operations Support 280 - 534000 Postage 10,653 10,625 12,500 6,101 12,000 11,000 280 - 534100 Advertising 0 0 1,000 0 0 0 280 - 534200 Printing & Binding 7,760 5,396 8,000 2,254 6,000 6,500 280 - 534300 Equipment Maintenance - Copie 13,408 9,659 13,500 3,466 6,000 7,500 280 - 534400 EMT Class Instructors 16,080 16,160 16,800 8,560 13,000 14,000 280 - 534410 CE Class Instructors 2,720 960 3,000 960 1,500 2,500 280 - 534420 Community Support - Instructors 3,132 2,240 5,000 1,360 2,000 4,000 280 - 534500 Memberships - Organizations 3,420 3,502 3,750 3,750 3,750 4,000 280 - 534800 Temporary Empl. Services 0 15.082 0 4.389 4.389 0 TOTAL Operations Support 57,172 63,624 63,550 30,841 48,639 49,500 Staff Support 280 - 535100 Uniforms 16,073 23,574 25,000 14,364 20,000 22,000 280 - 535210 Employee Recognition- Morale 6,490 4,967 6,000 1,980 6,000 6,000 280 - 535300 Memberships 20 0 0 0 0 0 280 - 535400 Publications 281 489 650 200 200 500 280 - 535500 Training /Travel 17,914 23,269 45,500 19,101 30,000 35,000 280 - 535510 Meeting Expenses 2,893 2,266 3,000 1,178 2,500 3,000 280 - 535600 Professional Certification 1,285 1,527 3,500 3,025 4,000 3,000 TOTAL Staff Support 44,955 56,092 83,650 39,848 62,700 69,500 City Assistance 280 - 537100 Medical Services 2,381 3,356 9,000 1,171 5,000 9,000 280 - 537110 EMS Outsourcing 548,867 548,867 548,867 411,650 548,867 548,867 280 - 537800 Community Outreach 9.875 4.240 4.500 3.328 4.500 4.500 TOTAL City Assistance 561,123 556,463 562,367 416,149 558,367 562,367 Professional Services 280 - 541200 Legal Svcs 3,502 2,204 10,000 59 3,500 5,000 280 - 541300 Other Consl /Prof Services 125,690 81,477 130,000 79,650 115,000 98,000 280 - 541400 Auditor /Accounting Service 3,000 2,951 3,000 3,000 3,000 3,000 280 - 541501 Bond Issuance Costs /Paying Ag 200 0 0 0 0 0 280 - 541800 Credit Card Fees 9,512 10,861 15,000 10,207, 12,500, 12,500 TOTAL Professional Services 141,903 97,492 158,000 92,915 134,000 118,500 Fund Charges /Transfers 280 - 548101 Tranfer Out - General Fund 0 0 4,000 0 4,000 4,000 280 - 548106 Transfer Out- Special Events 3,640 0 0 0 0 0 280 - 548505 Contribution I &S 0 0 0 0 0 115,100 280 - 548600 Interfund Charges -G /F Admin 170,087 141,587 179,100 134,325 179,100 182,682 280 - 548610 Interfund Charges - Admin Fleet 130,000 134,492 138,585 103,939 138,585 181,781 280 - 548650 Interest Expense 2,134 0 0 0 0 0 280 - 548700 Bad Debt Expense 1,572,421 2,464,173 2,532,520 1,743,230 2,400,000 2,510,227 280 - 548800 Depreciation Expense 371,827 336.004 0 0 0 0 TOTAL Fund Charges /Transfers 2,250,108 3,076,256 2,854,205 1,981,494 2,721,685 2,993,790 207 of 249 8 -06 -2020 03:52 PM 203 -EMS PUBLIC SAFETY EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXX9(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Maintenance Services 280 - 551800 Other Maintenance Agreements 0 280 - 551810 Maintenance Agr. - Radios 12,480 TOTAL Maintenance Services 12,480 Other Costs Debt Service 160,000 280 - 555639 Tax Notes SR2015 - Principal 0 280- 555639.Tax Notes SR2015 - Interest 10,289 280 - 555900 Debt Service 18,120 TOTAL Debt Service 28,409 Rental /Leasing. 118,120 280 - 561200 Lease /Purchase Payments 1,567 TOTAL Rental /Leasing 1,567 Operating Equipment 116,459 280 - 571000 Furniture & Fixtures 3,902 280 - 571200 vehicles &Access. < $5,000 4,642 280 - 571300 Computer &Periphe. < $5000 19,864 280 - 571400 Communication Equip < $5000 11,623 280 - 571800 Equipment Under $5,000 6,136 TOTAL Operating Equipment 46,167 Capital Outlay 5,000 280 - 581200 vehicles & Access. Over $5,00 0 280 - 581800 Equipment Over $5,000 0 TOTAL Capital Outlay 0 0 17,000 16,200 16,200 17,000 11,819 13,000 7,680 13,000 13,000 11,819 30,000 23,880 29,200 30,000 0 160,000 0 160,000 0 ( 3,076) 2,888 1,434 2,888 0 116,625 118,120 115,025, 118,120, 0 113,549 281,008 116,459 281,008 0 100,780 67,000 65,118 65,118 67,000 100,780 67,000 65,118 65,118 67,000 3,939 5,000 1,733 4,000 4,500 200 4,000 0 4,000 3,000 23,869 19,000 2,563 15,000 15,000 18,739 10,300 3,424 7,000 9,500 30,317 35,000 16,790 35 000 40,000 77,063 73,300 24,510 65,000 72,000 0 350,000 23,792 325,000 470,000 0 21,000 20,639 21,000 47,000 0 371,000 44,431 346,000 517,000 TOTAL SCHERTZ EMS 7,702,476 8,944,529 9,598,811 6,629,223 9,345,231 9,703,111 TOTAL PUBLIC SAFETY 7,702,476 8,944,529 9,598,811 6,629,223 9,345,231 9,703,111 208 of 249 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 209 of 249 XXXXX ECONOMIC DEVELOPMENT XXXXX ECONOMIC DEVELOPMENT 2018 -19 2019 -20 2020 -21 Executive Director 1 1 1 Business Retention Manager 1 1 1 Economic Development Analyst 1 1 1 Executive Assistant 1 1 1 TOTAL POSITIONS 41 4 4 1:j:4 :I7i]N T, I_1ki [d:a1Z,17Lp_'ti1 Number of inquiries Number of Schertz BRE visits Number of recruitment events Number of new prospects Number of active performance agreements 148 2018 -19 2019 -20 2020 -21 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 148 130 100 48 18 20 15 4 8 45 35 30 14 14 12 Revenue Taxes $4,167,318 $4,334,011 $4,507,371 Fund Transfers 0 0 3,496,428 Miscellaneous 648,216 302,000 141,000 Total $4,815,534 $4,636,011 $8,144,799 Expenses Supplies 2018 -19 2019 -20 2020 -21 j Budget Actual Estimate Budget Revenue Taxes $4,167,318 $4,334,011 $4,507,371 Fund Transfers 0 0 3,496,428 Miscellaneous 648,216 302,000 141,000 Total $4,815,534 $4,636,011 $8,144,799 Expenses Supplies $561 $500 $500 Human Services City Support Services 8,469 21,427 21,650 Utility Services 2,155 3,011 3,695 Operations Support 94,263 110,650 148,610 Staff Support 12,999 27,263 28,100 City Assistance 370 102,500 202,500 Professional Services 36,672 61,000 61,300 210 of 249 ECONOMIC DEVELOPMENT Fund Charges /Transfers Maintenance Services Operating Equipment Total Economic Development Annual and Infrastructure Grants XXXXX Total Schertz Economic Development 457,574 461,636 504,669 80 500 500 1,661 4,000 4,000 $614,804 $792,487 $975,524 $240,362 $6,016,897 $7,169,275 $855,166 $6,809,384 $8,144,799 PROGRAM JUSTIFICATION AND ANALYSIS Revenues: The SEDC receives one -half of one percent of all sales and use tax generated within the City of Schertz. The revenue for FY 2020 -21 is projected to increase by 0.3% from the FY 2019 -20 year -end estimate. The increase reflects a 5% increase in sales tax revenue which is offset by lower investment returns. The SEDC will also transfer $3,496,428 from its reserves for performance agreement payments expected in FY 2020 -21. Expenses: The SEDC funds are restricted to those expenses authorized by the Texas Local Government Code sections 501 and 505. The expenses for FY 2020- 21 are projected to increase by 19% for additional personnel costs, grant awards and software purchases. Project Expenses: Each year, the SEDC allocates funding equal to the estimated annual disbursement of each approved SEDC project. For Proposed Budget, the SEDC has allocated funds associated with the Ace Mart Restaurant Supply Co., Schertz 312 Phase 2, and CineStarz,LLC (formerly WR1 LLC) performance agreements. The SEDC has also allocated $4,050,000 for Main Street infrastructure improvements that was authorized by SEDC Resolution 2019 -7. 211 of 249 8 -06 -2020 03:54 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 620 -SED CORPORATION AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Taxes Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT MISC & PROJECTS ECONOMIC DEVELOPMENT TOTAL DISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 4,227,973 4,167,318 4,412,283 3,553,772 4,334,011 4,507,371 0 0 3,110,648 0 0 0 264,687 648,216 430,000 269.663 302,000, 141,000 4,492,659 4,815,534 7,952,931 3,823,435 4,636,011 4,648,371 0 240,362 7,164,200 746,992 6,016,897 7,169,275 0 240,362 7,164,200 746,992 6,016,897 7,169,275 1,745,192 614,804 788,731 507,451 792,487 975,524 1,745,192 614,804 788,731 507,451 792,487 975,524 1,745,192 855,166 7,952,931 1,254,443 6,809,384 8,144,799 2,747,467 3,960,369 0 2,568,992 ( 2,173,373) ( 3,496,428) 212 of 249 8 -06 -2020 03:54 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 620 -SED CORPORATION AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Taxes 000 - 411500 Sales Tax Revenue (4B) 4,227,973 4,167,318 4,412,283 3,553,772 4,334,011 4,507,371 TOTAL Taxes 4,227,973 4,167,318 4,412,283 3,553,772 4,334,011 4,507,371 Fund Transfers 000- 486010 Transfer In- Reserves 0 0 3,110,648 0 0 0 TOTAL Fund Transfers 0 0 3,110,648 0 0 0 Miscellaneous 000 - 491000 Interest Earned -Bank 6,310 7,488 10,000 1,975 2,000 1,000 000 - 491200 Investment Income 258,680 444,726 420,000 268,187 300,000 140,000 000 - 497000 Miss Income ( 303) 196,003 0 ( 499) 0 0 TOTAL Miscellaneous 264,687 648,216 430,000 269,663 302,0Q01 141,000 TOTAL REVENUES 4,492,659 4,815,534 7,952,931 3,823,435 4,636,011 4,648,371 213 of 249 8 -06 -2020 03:54 PM 620 -SED CORPORATION GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Supplies C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Utility Services Qoerations Support City Assistance 101 - 537600 Development Incentive Fund 0 TOTAL City Assistance 0 Professional Services Fund Charges /Transfers 101 - 548000 Contributions 0 TOTAL Fund Charges /Transfers 0 Maintenance Services Debt Service Rental /Leasing Operating Equipment Capital Outlay TOTAL NON DEPARTMENTAL 0 240,362 6,664,200 746,992 5,516,897 3,119,275 240,362 6,664,200 746,992 5,516,897 3,119,275 0 500,000 0 500,000 4,050,000 0 500,000 0 500,000 4,050,000 240,362 7,164,200 214 of 249 746,992 6,016,897 7,169,275 8 -06 -2020 03:54 PM 620 -SED CORPORATION MISC & PROJECTS EXPENDITURES ECONOMIC DEVELOPMENT Personnel Services Supplies C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXO(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 966- 521100 Office Supplies 504 966 - 521300 Motor Veh. Supplies ° TOTAL Supplies 513 Human Services City Support Services 1,700 966- 532500 City Insurance - Commercial 1,418 966 - 532800 Promotional Events 4,972 966- 532900 Contingencies 0 TOTAL City Support Services 6,390 Utility Services 8,469 21,650 966 - 533300 Telephone /Land Line 427 966 - 533310 Telephone /Cell Phones 1,217 966 - 533500 Vehicle Fuel 536 966- 533550 Vehicle Maintenance 115 TOTAL Utility Services 2,295 Operations Support 750 966 - 534000 Postage 45 966 - 534100 Advertising 40,594 966 - 534105 Goodwill 1,323 966- 534190 Recruitment Events 27,591 966 - 534200 Printing & Binding 500 966- 534300 Equipment Maintenance - Copier 5,202 966 - 534400 Computer Licenses- Software 9,115 966- 534500 Memberships - Organization 8.250 TOTAL Operations Support 92,620 Staff Support 34,750 24,000 966 - 535100 Uniforms 589 966- 535210 Employee Recognition- Morale 72 966 - 535300 Memberships -Staff Support 1,126 966- 535400 Publications 331 966 - 535500 Training /Travel 7,568 966 - 535510 Meeting Expenses -EDC Board 1,824 TOTAL Staff Support 11,510 551 500 294 500 500 10 0 0 0 0 561 500 294 500 500 1,425 1,700 1,477 1,477 1,700 7,045 9,950 2,579 9,950 9,950 0 10,000 0 10.000 10.000 8,469 21,650 4,056 21,427 21,650 565 720 139 487 720 987 1,750 1,123 1,750 2,000 481 750 199 549 750 122 225 35 225 225 2,155 3,445 1,496 3,011 3,695 62 250 20 150 500 49,237 35,000 230 35,000 54,500 900 1,750 403 1,750 1,750 18,588 34,750 7,935 34,750 24,000 322 1,500 340 1,500 1,500 4,358 5,500 2,360 5,500 5,500 14,911 15,000 9,020 15,000 34,025 51885 17,000 5,300 17.000 26.835 94,263 110,750 25,608 110,650 148,610 291 600 199 600 600 282 300 214 300 600 920 2,250 665 2,250 2,250 247 800 211 800 800 9,167 15,000 995 19,813 16,000 2.092 3,500 1.274 3.500 7,850 12,999 22,450 3,558 27,263 28,100 215 of 249 8 -06 -2020 03:54 PM 620 -SED CORPORATION MISC & PROJECTS EXPENDITURES C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET City Assistance 0 966 - 537600 Development Incentive Fund 537,500 966 - 537615 Small Business Grant Fund 0 966 - 537650 Prospect Services 446 TOTAL City Assistance 537,946 Professional Services 102,500 966- 541200 Legal Svcs 9,395 966 - 541400 Auditor /Accounting Service 6,300 966 - 541450 Consulting Services 81889 TOTAL Professional Services 24,583 Fund Charges /Transfers 40,000 966 - 548101 Contributions to General Fund 265,000 966- 548505 Contribution to I & S 360,769 966 - 548600 Interfund Charges -Admin 441,395 966- 548610 Interfund Charge -Fleet 781 TOTAL Fund Charges /Transfers 1,067,945 Fund Replenish Maintenance Services 966 - 551700 Grounds Maintenance 45 TOTAL Maintenance Services 455 Debt Service Operating Eguipment 966- 571100 Furniture & Fixtures 678 966 - 571300 Computer & Periphe < $5000 258 TOTAL Operating Equipment 936 Capital Outlay 0 0 0 0 0 0 100,000 0 100,000 200,000 370 2,500 264 2,500 2,500 370 102,500 264 102,500 202,500 9,317 15,000 3,887 15,000 15,000 6,000 6,300 6,000 6,000 6,300 21.355 40,000 0 40.000 40.000 36,672 61,300 9,887 61,000 61,300 0 0 0 0 0 0 0 0 0 0 456,630 461,636 461,636 461,636 504,669 944 0 0 0 0 457,574 461,636 461,636 461,636 504,669 80 500 0 500 500 80 500 0 500 500 903 1,000 0 1,000 1,000 758 3,000 652 3,000 3,000 1,661 4,000 652 4,000 4,000 TOTAL ECONOMIC DEVELOPMENT 1,745,192 614,804 216 of 249 788,731 507,451 792,487 975,524 XXXXX 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: Kick Cancer /Walk for Life and the Hal Baldwin Scholarship Program. Revenues Fund Transfers $59,893 $0 $0 Miscellaneous 90,970 34,138 32,100 Total $150,510 $34,138 $32,100 Expenses Festival of Angels 2018 -19 2019 -20 1 2020 -21 Budget Actual Estimate I Budget Revenues Fund Transfers $59,893 $0 $0 Miscellaneous 90,970 34,138 32,100 Total $150,510 $34,138 $32,100 Expenses Festival of Angels $17,557 $0 $0 Jubilee 36,870 0 0 Kick Cancer 9,366 9,813 10,000 SchertzQ /Fest 636 0 0 Sweetheart Court Program 23,851 0 0 Hal Baldwin Scholarship 12,136 22,355 22,100 Other Events 34,181 0 0 Total $134,597 $32,168 $32,100 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: The revenue for FY 2020 -21 is expected to decrease 6.0% from FY 2019 -20 year end estimates in anticipation of a lower turnout at events. Expenses: The Special Events Fund FY 2020 -21 Budget decrease 0.2% from the FY 2019 -20 year end estimates with no change in operations. 217 of 249 8 -06 -2020 03:50 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 106- SPECIAL EVENTS FUND AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT PUBLIC WORKS CULTURAL FESTIVAL OF ANGELS EMPLOYEE APPRECIATION EV 4th OF JULY JUBILEE KICK CANCER SCHERTZ FEST SWEETHEART EVENT HAL BALDWIN SCHOLARSHIP OTHER EVENTS TOTAL CULTURAL TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 74,176 59,893 5,000 0 0 0 110,497 90,970 24,510 45,117 34,138 32,100 184,673 150,863 29,510 45,117 34,138 32,100 4 806 0 0 0 0 0 4,806 0 0 0 0 0 10,566 17,557 0 0 0 0 12,133 0 0 0 0 0 26,075 36,870 0 0 0 0 10,594 9,366 9,000 5,121 9,813 10,000 24,584 636 0 0 0 0 17,663 23,851 0 ( 1,950) 0 0 13,545 12,136 20,510 11,867 22,355 22,100 16,804 34,181 0 1,961 0 0 131,964 134,597 29.510 16,999 32,168 32,100 136,770 134,597 29,510 16,999 32,168 32,100 47,903 16,266 0 28,118 1,970 0 218 of 249 8 -06 -2020 03:50 PM C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET 106- SPECIAL EVENTS FUND AS OF: JUNE 30TH, 2020 REVENUES Fees Fund Transfers PAGE : XXXO(X (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 000 - 481000 Transfer In - Reserves 0 000 - 486100 Transfer In 12,133 000 - 486101 Transfer In- General Fund 62,043 TOTAL Fund Transfers 74,176 Miscellaneous 0 000 - 491200 Investment Income 313 000 - 492200 Kick Cancer 10,594 000 - 493000 July 4th Activities 25,628 000 - 493150 SchertzQ 6,150 000 - 493455 Proceeds - Festival of Angels 1,305 000 - 493460 Schertz Sweetheart ( 21) 000 - 493470 Moving on Main 680 000 - 493621 Hal Baldwin Scholarship 20,105 000 - 497000 Miss Income - Special Events 45,743 TOTAL Miscellaneous 0 110,497 TOTAL REVENUES 184,673 0 5,000 0 0 0 0 0 0 0 0 59,893 0 0 0 0 59,893 5,000 0 0 0 435 0 201 250 0 9,306 9,000 9,538 9,538 10,000 34,289 0 0 0 0 1,250) 0 0 0 0 4,170 0 0 0 0 488 0 0 0 0 4,560 0 0 0 0 28,820 15,510 24,350 24,350 22,100 10.153 0 11.028 0 0 90,970 24,510 45,117 34,138 32,100 150,863 29,510 45,117 34,138 32,100 219 of 249 XXXXX 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 $87,045 $86,168 $185,500 Expenses Projects $3,259 $3,259 $185,500 Total $3,259 $3,259 $185,500 Revenue: Revenues for FY 2020 -21 are expected to increase from $86,168 to $185,500 from the FY 2019 -20 year end estimates with a transfer from reserves to fund the master communication plan. Expenses: The PEG Fund FY 2020 -21 Budget increased from $3,259 to $185,500 from the FY 2019 -20 year end estimates with the continued implementation of the communication master plan. 220 of 249 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Bud et Revenues $87,045 $86,168 $185,500 Expenses Projects $3,259 $3,259 $185,500 Total $3,259 $3,259 $185,500 Revenue: Revenues for FY 2020 -21 are expected to increase from $86,168 to $185,500 from the FY 2019 -20 year end estimates with a transfer from reserves to fund the master communication plan. Expenses: The PEG Fund FY 2020 -21 Budget increased from $3,259 to $185,500 from the FY 2019 -20 year end estimates with the continued implementation of the communication master plan. 220 of 249 8 -06 -2020 03:51 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 110 - PUBLIC, EDU, GOVMNT FEE AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Franchises Fund Transfers TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT MISC & PROJECTS PROJECTS TOTAL MISC & PROJECTS TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 84,847 87,045 90,000 60,606 86,168 90,000 0 0 28,000 0 0 95.500 84,847 87,045 118,000 60,606 86,168 185,500 0 3,259 118,000 0 3,259 185,500 0 3,259 118,000 0 3,252 185,50Q 0 3,259 118,000 0 3,259 185,500 84,847 83,787 0 60,606 82,909 0 221 of 249 8 -06 -2020 03:51 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 110 - PUBLIC, EDU, GOVMNT FEE AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Franchises 000 - 421350 Time Warner -PEG Fee 57,299 61,501 60,000 47,678 60,168 60,000 000 - 421465 AT &T PEG Fee 27,548 25,544 30,000 12,928 26,000, 30,000 TOTAL Franchises 84,847 87,045 90,000 60,606 86,168 90,000 Fund Transfers 000 - 481000 Transfer In - Reserves 0 0 28,000 0 0 95,500 TOTAL Fund Transfers 0 0 28,000 0 0 95,500 Miscellaneous TOTAL REVENUES 84,847 87,045 118,000 60,606 86,168 185,500 222 of 249 8 -06 -2020 03:51 PM C I T Y O F S C H E R T Z PAGE:XXXXX Supplies PROPOSED BUDGET WORKSHEET 110 - PUBLIC, EDU, GOVMNT FEE AS OF: JUNE 30TH, 2020 MISC & PROJECTS EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) TOTAL Professional Services 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED Operating Eguipment ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET PROJECTS Supplies Qperations Support Professional Services 900- 541110 COMMUNICATION PLAN 0 0 75,000 0 0 0 TOTAL Professional Services 0 0 75,000 0 0 0 Operating Eguipment Capital Outlay 900 - 581400 Communication Equipment 0 3,259 43,000 0 3,259 185,500 TOTAL Capital Outlay 0 3,259 43,000 0 3,259 185,500 TOTAL PROJECTS 0 3,259 118,000 0 3,259 185,500 TOTAL MISC & PROJECTS 0 3,259 118,000 0 3,259 185,500 TOTAL EXPENDITURES 0 3,259 118,000 0 3,259 185,500 223 of 249 XXXXX WRIMMKINMED MM 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. 2018 -19 2019 -20 2020 -21 Budget ! Actual Estimate Budget Revenue Taxes Miscellaneous Total Expenses City Support Services Operations Support Professional Services Fund Charges /Transfers Building Maintenance Capital Outlay Total $514,678 $520,000 $520,000 51,086 30,800 20,750 $565,764 $550,800 $540,750 $87,133 14,941 28,189 67,592 0 0 $997,846 $95,650 14,000 3,500 74,428 0 223,189 $410,767 $112,466 46,000 3,000 72,464 20,000 0 $253,930 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: Revenue for FY 2020 -21 is expected to decrease 1.8% from the FY 2019 -20 year end estimates due to lower investment returns. Expenses: The Hotel Motel Tax Fund FY 2020 -21 Budget decrease 38.2% from FY 2019 -20 year end estimates due to no planned improvements to the Civic Center. 224 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 314 -HOTEL TAX AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET REVENUE SUMMARY Taxes 520,424 514,678 500,000 246,548 520,000 520,000 Miscellaneous 28.838 51.086 53,000 24,482 30.800 20.750 TOTAL REVENUES 549,261 565,764 553,000 271,030 550,800 540,750 EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL 206,188 197,846 505,894, 363,076 410,767, 253,930 TOTAL GENERAL GOVERNMENT 206.188 197.846 505,894 363.076 410.767 253,930 TOTAL EXPENDITURES 206,188 197,846 505,894 363,076 410,767 253,930 REVENUE OVER /(UNDER) EXPENDITURES 343,073 367,919 47,106 ( 92,045) 140,033 286,820 225 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 314 -HOTEL TAX AS OF: JUNE 30TH, 2020 REVENUES Taxes 000 - 411800 Hotel Occupancy Tax TOTAL Taxes Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Income 000 - 497000 Misc Income TOTAL Miscellaneous TOTAL REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 520.424 514.678 500,000 246,548 520.000 520.000 520,424 514,678 500,000 246,548 520,000 520,000 2,668 2,175 3,000 477 800 750 26,170 45,840 50,000 24,005 30,000 20,000 0 3,071 0 0 0 0 28.838 51.086 53,000 24,482 30.800 20,750 549,261 565,764 553,000 271,030 550,800 540,750 226 of 249 8 -06 -2020 03:52 PM 314 -HOTEL TAX GENERAL GOVERNMENT EXPENDITURES NON DEPARTMENTAL Personnel Services Supplies C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Li Ly JupporL JeryiCQ2 101- 532800 Special Events 54,430 101 - 532820 Community Programs 31.368 TOTAL City Support Services 85,797 Operations Support 101- 534100 Advertising 18,845 101 - 534120 Advertising- Billboards 13,530 TOTAL Operations Support 32,375 Citv Assistance Professional Services 206,188 206,188 101- 541300 Other Professional Services 1,276 101 - 541400 Auditor /Accounting Service 3,000 TOTAL Professional Services 4,276 Fund Charges /Transfers 197,846 101 - 548100 Interfund Transfer Out 67,605 TOTAL Fund Charges /Transfers 67,605 Maintenance Services 101- 551100 Building Maintenance 7,879 TOTAL Maintenance Services 7,879 Oneratina Eauioment Capital Outlay 101 - 581750 Civic Center Improvements 8,255 TOTAL Capital Outlay 8,255 59,369 62,466 54,481 60,650 62,466 27,764 50,000 17,531 35,000 50,000 87,133 112,466 72,013 95,650 112,466 0 30,000 0 0 30,000 14,941 16,000 8,553 14,000 16,000 14,941 46,000 8,553 14,000 46,000 28,189 0 500 500 0 0 3,000 3,000 3,000 3,000 28,189 3,000 3,500 3,500 3,000 67,582 74,428 55,821 74,428 72,464 67,582 74,428 55,821 74,428 72,464 0 20,000 0 0 20,000 0 20,000 0 0 20,000 0 250,000 223,189 223,189 0 0 250,000 223,189 223,189 0 TOTAL NON DEPARTMENTAL TOTAL GENERAL GOVERNMENT 206,188 206,188 197,846 197,846 505,894 505,894 363,076 363,076 410,767 410,767 253,930 253,930 TOTAL EXPENDITURES 206,188 197,846 505,894 363,076 410,767 253,930 227 of 249 XXXXX FUND: 317 PARK FUND III .• • . 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, - profit grants, and donations. 2018 -19 2019 -20 2020 -21 Budget Actual ; Estimate Budget Revenue Fees $11,000 $137,000 $70,000 Fund Transfers 0 0 51,500 Miscellaneous 7,601 5,200 3,500 Total $18,601 $142,200 $125,000 Expenses Professional Services $5,740 $10,000 $25,000 Operating Equipment 9,511 0 0 Capital Outlay 86,841 167,000 100,000 Total $102,092 $177,000 $125,000 PROGRAM JUSTIFICATION AND ANALYSIS Revenue: The revenue for FY 2020 -21 is expected to decrease 12.1% from the FY 2019 -20 year end estimates from new development. Expenses: The FY 2020 -21 Budget decrease 29.4% from the FY 2019 -20 year end estimate with fewer planned parks improvements. 228 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 317 -PARK FUND AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY GENERAL GOVERNMENT PUBLIC ENVIRONMENT PARKLAND DEDICATION TOTAL PUBLIC ENVIRONMENT TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 139,000 11,000 70,000 0 137,000 70,000 0 0 99,000 0 0 51,500 6,848 7,601 81000 3,097 5,200, 3,500 145,848 18,601 177,000 3,097 142,200 125,000 132,429 102,092 177,000 5,760 177,000 125,000 139,499 102,092 177,000 5,760 177,000 125,000 139,499 102,092 177,000 5,760 177,000 125,000 6,349 ( 83,491) 0 ( 2,663) ( 34,800) 0 229 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 317 -PARK FUND AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Fees 000 - 458800 Parkland Dedication 139.000 11.000 70,000 0 137.000 70.000 TOTAL Fees 139,000 11,000 70,000 0 137,000 70,000 Fund Transfers 000 - 481000 Transfer In- Reserves 0 0 99,000 0 0 51,500 TOTAL Fund Transfers 0 0 99,000 0 0 51,500 Miscellaneous 000 - 491000 Interest Earned 795 1,093 1,000 358 700 500 000 - 491200 Investment Income 6,054 6,507 7,000 2,738 4,500 3,000 000 - 493700 Donations 0 0 0 1 0 0 TOTAL Miscellaneous 6,848 7,601 8,000 3,097 5 200 3,50Q TOTAL REVENUES 145,848 18,601 177,000 3,097 142,200 125,000 230 of 249 8 -06 -2020 03:52 PM 317 -PARK FUND PUBLIC ENVIRONMENT EXPENDITURES PARKLAND DEDICATION Supplies Utilitv Services Professional Services 301- 541300 Other Consl /prof Services TOTAL Professional Services Fund Charaes /Transfers Maintenance Services Operating Equipment 301 - 571000 Sign /Fixtures 301 - 571700 Improvements Under $5,000 TOTAL Operating Equipment Capital Outlay 301 - 581700 Improvements Over $5,000 TOTAL Capital Outlay TOTAL PARKLAND DEDICATION C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE:XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 16,139 5.740 0 5.760 10.000 25.000 16,139 5,740 0 5,760 10,000 25,000 1,426 470 0 0 0 0 0 9.041 0 0 0 0 1,426 9,511 0 0 0 0 121 934 86,841 177,000 0 167,000 100,000 121,934 86,841 177,000 0 167,000 100,000 139,499 102,092 231 of 249 177,000 5,760 177,000 125,000 XXXXX 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. 2018 -19 2019 -20 F 2020 -21 Budget Actual Estimate Budget Revenue Fees Miscellaneous Total Expenses Maintenance Services Total PROGRAM JUSTIFICATION AND ANALYSIS $19,162 10,307 $29,469 $70,000 8,250 $78,250 $27,867 $60,000 $27,867 $60,000 $70,000 4,500 $74,500 Revenue: The revenue for FY 2020 -21 is expected to increase by 4.8% from 2019- 20 year end estimate with fewer additional new development projects. Expenses: The FY 2020 -21 Budget will increase by 16.7% from the FY 2019 -20 year end estimate for additional tree trimming and planting shade trees throughout the city. 232 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 319 -TREE MITIGATION AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET REVENUE SUMMARY Fees 100,522 19,162 70,000 52,615 70,000 70,000 Miscellaneous 6,888 10,307 8,750 5.682 8,250 4,500 TOTAL REVENUES 107,410 29,469 78,750 58,297 78,250 74,500 EXPENDITURE SUMMARY PUBLIC ENVIRONMENT TREE MITIGATION 7,518 27,867 75,000, 14,800 60,000, 70,000 TOTAL PUBLIC ENVIRONMENT 7,518 27,867 75,000 14,800 60,000 70,000 TOTAL EXPENDITURES 7,518 27,867 75,000 14,800 60,000 70,000 REVENUE OVER /(UNDER) EXPENDITURES 99,892 1,602 3,750 43,497 18,250 4,500 233 of 249 8 -06 -2020 03:52 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 319 -TREE MITIGATION AS OF: JUNE 30TH, 2020 REVENUES Fees 000 - 458900 Tree Mitigation TOTAL Fees Fund Transfers Miscellaneous 000 - 491000 Interest Earned 000 - 491200 Investment Income 000 - 497000 Misc Income TOTAL Miscellaneous TOTAL REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 100.522 19.162 70,000 52,615 70.000 70.000 100,522 19,162 70,000 52,615 70,000 70,000 1,153 840 750 432 750 500 5,736 9,467 8,000 4,750 7,000 4,000 0 0 0 500 500 0 6.888 10.307 8,750 5,682 8.250 4,500 107,410 29,469 78,750 58,297 78,250 74,500 234 of 249 8 -06 -2020 03:52 PM 319 -TREE MITIGATION PUBLIC ENVIRONMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET TREE MITIGATION Supplies Professional Services Fund ChargeslTransfers Maintenance Services 302 - 551110 Trees 7,518 27,867 75,000 14,800 60,000 70,000 TOTAL Maintenance Services 7,518 27,867 75,000 14,800 60,000 70,000 Operating Equipment Capital Outlay TOTAL TREE MITIGATION 7,518 27,867 75,000 14,800 60,000 70,000 TOTAL PUBLIC ENVIRONMENT 7,518 27,867 75,000 14,800 60,000 70,000 TOTAL EXPENDITURES 7,518 27,867 75,000 14,800 60,000 70,000 235 of 249 XXXXX 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. Revenue Fees $21,365 $21,000 $20,000 Miscellaneous 1,861 1,558 1,200 Total $23,226 $22,558 $21,200 Expenses Supplies 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Revenue Fees $21,365 $21,000 $20,000 Miscellaneous 1,861 1,558 1,200 Total $23,226 $22,558 $21,200 Expenses Supplies $242 $150 $200 City Support Services 9,432 12,000 12,000 Operating Equipment 9,990 9,000 9,000 Total $19,664 $21,150 $21,200 PROGRAM JUSTIFICATION AND ANALYSIS Revenues: Revenue for FY 2020 -21 is expected to decrease 6.0% from the FY 2019 -20 year end estimate with less book sales. Expenses: 20 -21 Budget increase 0.2% from the FY 2019 -20 year end estimates with no expected changes in operations. 236 of 249 8 -06 -2020 03:53 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 609 - LIBRARY BOARD AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET REVENUE SUMMARY Fees 18,863 21,365 20,000 9,186 21,000 20,000 Miscellaneous 1.208 11861 1,750 795 1.558 1.200 TOTAL REVENUES 20,071 23,226 21,750 9,981 22,558 21,200 EXPENDITURE SUMMARY GENERAL GOVERNMENT NON DEPARTMENTAL 16,058 19,664 21,200 81996 21,150, 21,200 TOTAL GENERAL GOVERNMENT 16.058 19.664 21,200 81996 21.150 21.200 TOTAL EXPENDITURES 16,058 19,664 21,200 8,996 21,150 21,200 REVENUE OVER /(UNDER) EXPENDITURES 4,013 3,562 550 985 1,408 0 237 of 249 8 -06 -2020 03:53 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 609 - LIBRARY BOARD AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Fees 000 - 458100 Sale of Merchandise 18,800 000 - 458200 Sale of Recyclying Material 63 TOTAL Fees 18,863 Fund Transfers Miscellaneous 000 - 491000 Interest Earned 372 000 - 491200 Investment Income 836 000 - 493000 Donations 0 000 - 497000 Misc. Income - Library 1 TOTAL Miscellaneous 1,208 TOTAL REVENUES 20,071 21,365 20,000 9,186 21,000 20,000 0 0 0 0 0 21,365 20,000 9,186 21,000 20,000 690 550 254 550 400 1,163 1,000 537 1,000 600 0 200 0 0 200 8 0 4 8 0 1,861 1,750 795 1,558 1,20Q 23,226 21,750 9,981 22,558 21,200 238 of 249 8 -06 -2020 03:53 PM 609 - LIBRARY BOARD GENERAL GOVERNMENT EXPENDITURES C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET NON DEPARTMENTAL 16,058 19,664 21,200 8,996 21,150 21,200 Supplies 16,058 19,664 21,200 8,996 21,150 21,200 101 - 521000 Operating Supplies 234 242 200 13 150 200 TOTAL Supplies 234 242 200 13 150 200 City Support Services 101- 532800 Special Events 5,830 9.432 12,000 4.983 12.000 12.000 TOTAL City Support Services 5,830 9,432 12,000 4,983 12,000 12,000 City Assistance Professional Services Fund Charges /Transfers Operating Equipment 101 - 571400 Library Materials 9.994 9 990 91000 4,000 9 000 9 000 TOTAL Operating Equipment 9,994 9,990 9,000 4,000 9,000 9,000 Capital Outlay TOTAL NON DEPARTMENTAL 16,058 19,664 21,200 8,996 21,150 21,200 TOTAL GENERAL GOVERNMENT 16,058 19,664 21,200 8,996 21,150 21,200 TOTAL EXPENDITURES 16,058 19,664 21,200 8,996 21,150 21,200 239 of 249 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. 1114*01:412ffeu 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 2018 -19 2019 -20 2020 -21 Budget Actual Estimate Budget Revenue Fees $830 $1,000 $1,000 Fund Transfers 2,871 5,250 10,750 Total $3,701 $6,250 $11,750 Expenses Supplies $1,187 $900 $1,500 Operations Support 84 0 500 Staff Support 131 2,250 5,150 Professional Services 1,469 1,600 1,600 Operating Equipment 0 1,500 3,000 Total $2,871 $6,250 $11,750 Revenues: Revenue for FY 2020 -21 will remain at the same funding allocation as FY 2019 -20. Expenses: FY 2019 -20 Budget. 240 of 249 20 -21 Budget will remain the as the XXXXX 8 -06 -2020 03:53 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 615 - HISTORICAL COMMITTEE AS OF: JUNE 30TH, 2020 FINANCIAL SUMMARY REVENUE SUMMARY Fees Fund Transfers Miscellaneous TOTAL REVENUES EXPENDITURE SUMMARY CULTURAL HISTORICAL COMMITTEE TOTAL CULTURAL TOTAL EXPENDITURES REVENUE OVER /(UNDER) EXPENDITURES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 756 813 1,000 46 1,000 1,000 4,806 2,871 10,750 0 5,250 10,750 3 17 0 0 0 0 5,565 3,701 11,750 46 6,250 11,750 1,897 2,871 11,750 169 6,250 11,750 1.897 2.871 11,750 169 6.250 11.750 1,897 2,871 11,750 169 6,250 11,750 3,668 830 0 ( 123) 0 0 241 of 249 8 -06 -2020 03:53 PM C I T Y O F S C H E R T Z PAGE:XXXXX PROPOSED BUDGET WORKSHEET 615 - HISTORICAL COMMITTEE AS OF: JUNE 30TH, 2020 REVENUES (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET Fees 000 - 458100 Sale of Merchandise 756 813 11000 46 11000 11000 TOTAL Fees 756 813 1,000 46 1,000 1,000 Fund Transfers 000 - 486101 Transfer In- General Fund 0 0 10,750 0 5,250 10,750 000 - 486106 Transfer In- Special Events 4,806 2.871 0 0 0 0 TOTAL Fund Transfers 4,806 2,871 10,750 0 5,250 10,750 Miscellaneous 000 - 497000 Misc. Income 3 17 0 0 0 0 TOTAL Miscellaneous 3 17 0 0 0 0 TOTAL REVENUES 5,565 3,701 11,750 46 6,250 11,750 242 of 249 8 -06 -2020 03:53 PM 615 - HISTORICAL COMMITTEE CULTURAL EXPENDITURES HISTORICAL COMMITTEE Supplies C I T Y O F S C H E R T Z PROPOSED BUDGET WORKSHEET AS OF: JUNE 30TH, 2020 PAGE : XXXXX (-------- - - - - -- 2019 -2020 --------------- )( -- - - - - -- 2020 -2021 -- - - - - -) 2017 -2018 2018 -2019 CURRENT Y -T -D PROJECTED CITY ADMIN. ADOPTED ACTUAL ACTUAL BUDGET ACTUAL YEAR END RECOMMENDED BUDGET 609 - 521000 Operating Supplies 704 1,187 1,500 100 900 1,500 TOTAL Supplies 704 1,187 1,500 100 900 1,500 Qperations Support 1,897 2,871 11,750 169 6,250 11,750 609 - 534200 Printing & Binding 0 84 500 0 0 500 TOTAL Operations Support 0 84 500 0 0 500 Staff Support 609 - 535200 Awards 0 131 1,000 69 250 1,000 609 - 535300 Memberships 0 0 150 0 0 150 609 - 535500 Training /Travel 0 0 4,000 0 2,000 4,000. TOTAL Staff Support 0 131 5,150 69 2,250 5,150 Professional Services 609 - 541300 Other Consl /Prof Services 1,456 1,469 1,600 0 1,600 1,600 TOTAL Professional Services 1,456 1,469 1,600 0 1,600 1,600 Qperating Equipment 609- 571810 Event Banners ( 263) 0 3,000 0 11500 3,000 TOTAL Operating Equipment ( 263) 0 3,000 0 1,500 3,000 TOTAL HISTORICAL COMMITTEE 1,897 2,871 11,750 169 6,250 11,750 TOTAL CULTURAL 1,897 2,871 11,750 169 6,250 11,750 TOTAL EXPENDITURES 1,897 2,871 11,750 169 6,250 11,750 243 of 249 Glossary xxxxx 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. 244 of 249 Glossary Capital Improvements Capital Outlay Cash Cash Basis Certificates of Obligation xxxxx 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. 245 of 249 Glossary xxxxx 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. 246 of 249 Glossary xxxxx 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. 247 of 249 Glossary xxxxx 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. 248 of 249 Glossary xxxxx 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. 249 of 249 ei Olum City Council August 11, 2020 Meeting: Department: City Secretary Agenda No. 2. Subject: Workshop Discussion and Update (Ordinance 20 -H -18) - Discussion and update regarding the COVID -19 virus and our current Ordinance No. 20 -H -18 Declaration of Local Disaster. (M. Browne /K. Long) Staff will provide Council with an update regarding the COVID -19 Virus. Discussion will include the recent Executive Order 29 relating to the use of face coverings. Attachments Revised 20 -H -18 i F ♦'f 1 i � • l . t WHEREAS, Texas must continue to protect lives while restoring livelihoods, both of which can be achieved with the expert advice of medical professionals and business leaders 2.nd the continued gradual reopening of Texas pursuant to GA- 18- GA-23 and subsequent *rders of the Governor; and WHEREAS, pursuant to the Texas Disaster Act of 1975, the Mayor is designated as ths Emergency Management Director of the City of Schertz, and may exercise the powers granted by the governor on an appropriate local scale; and TIN r4o , 2, r4 1 11 W W- 111 IWIM, and alleviate the suffering of people exposed to and those infected with the virus, as well as those that could potentially be impacted by COVID-1 9; I P NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS: Section 1. The recitals contained in the preamble hereof are hereby found to be true, and su-"- recitals are hereby made a part of this Ordinance for all purposes and are adopt as a part of the judgment and findings of the City Council. I Section 3. Pursuant to §418.108(c) of the Government Code, this declaration of a local staim of disaster and public health emergency shall be given prompt and general publici and shall be filed promptly with the City Secretary. I ection 4. Pursuant to §418.108(d) of the Government Code, this declaration of a local stat(4:. of disaster and public health emergency activates the City of Schertz, Texas, emergency management plan. Section 5. All ordinances or parts thereof, which are in conflict or inconsistent with any provision of this Ordinance are hereby repealed to the extent of such conflict, and the provisions of this Ordinance shall be and remain controlling as to the matters herein except those portions deemed to conflict with any emergency orders of Governor Abbott. Section 6. This Ordinance shall be construed and enforced in accordance with the laws of tm- State • Texas and the United States of America. I Section 7. If any provision of this Ordinance or the application thereof to any person ATI circumstance shall be held to be invalid, the remainder of this Ordinance and application of such provision to other persons and circumstances shall neverthelle be valid, and the City Council hereby declares that this Ordinance would have be enacted without such invalid provision. Section 8. It is officially found, determined, and declared that the meeting at which thi-- Ordinance is adopted was open to the public and public notice • the time, place, and subject matter of the public business to be considered at such meeting, including this Ordinance, was given, all as required by Chapter 55 1, Texas Government Code, as amended. Section 9. Should Governor Abbott lift the statewide disaster declaration and orders now place prior to the date of expiration stated herein, this ordinance shall no longer I subject to enforcement by the City and shall be repealed by the City Council at t first legally posted meeting thereafter. Section 10. Any peace officer or other person with lawful authority is further authorized to enforce the provisions of this Ordinance or the orders of the Governor in accordance with the authority granted under the Texas Disaster Act of 1975, as applicable, which allows a fine not to exceed $1000.00 and confinement not tit, exceed 180 days pursuant to Government Code 418.173. Section 11. This Ordinance shall be in force and effect from its first and final passage, and publication required by law. 1 BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ TEXAS THIS ORDINANCE WAS PASSED, ON FIRST AND FINAL READING, THE 23rd DAY OF JUNE 2020. ,,.,,--ATT'rzST: -TB31111"W-nuda Dennis, City Secretary ei 10UM City Council August 11, 2020 Meeting: Agenda No. 3. Department: City Secretary Subject: Minutes — Consideration and /or action regarding the approval of the minutes of the meeting of August 4, 2020. (B. Dennis) The City Council held a Regular City Council meeting on August 4, 2020. RECOMMENDATION Recommend Approval. ei Olum City Council August 11, 2020 Meeting: Department: Public Works Agenda No. 4. Subject: Resolution No. 20 -R -89 - Consideration and /or action approving a Resolution by the City Council of the City of Schertz, Texas, authorizing a contract with M &C Fonseca Construction Co., Inc. relating to the construction of the F.M. 1103 TxDOT Utility Adjustments Phase II Project and authorizing the budget expenditures for the project. (C. Kelm /S. Williams /S. McClelland) The Texas Department of Transportation (TxDOT) has finalized plans on a project to widen F.M. 1103 in the City of Schertz. In order to accommodate the increased pavement width and drainage improvements, the City of Schertz must relocate the existing water and wastewater facilities within the existing right of way. The relocations must be complete prior to TxDOT letting their project. The relocations of the existing water and wastewater facilities had to be split into two phases because of changes in the TxDOT design from 60% to 100 %. Because of TxDOT's urgency to have utilities cleared of the project, the City of Schertz moved forward with the Phase I relocations in 2019, which were based on the 60% TxDOT design. The relocation strategy for the project was to only relocate where necessary using offsets instead of relocating all of the 12" water main. While this resulted in a scope that was more affected by changes to the TxDOT design, overall, it reduced the amount of water main that needed to be relocated. Based on the 100% plans, there is a new 800 linear foot section of 12" water main that must be relocated to accommodate the TxDOT project. This section will tie -in to previously relocated water main north and south of Fortune Hill. The F.M. 1103 TxDOT Utility Adjustments Phase II Project was designed by Ford Engineering as approved by resolution 20 -R -69. This project was publicly bid using a Lowest Qualified Bidder Method. Four (4) proposals were received for the project. M &C Fonseca Construction Co., Inc. was the lowest bidder. City Staff evaluated the M &C Fonseca Construction Co., Inc. proposal and found them to be qualified to complete the project based on their experience on other similar projects. M &C Fonseca Construction Co., Inc. proposed to perform the work for $130,283.75 and City Staff recommends a 10% contingency for the project. Once the contract is authorized, a notice to proceed is expected to be issued within two to three weeks. The project duration per the contract is 60 days. GOAL To obtain authorization from City Council to execute a contract with M &C Fonseca Construction Co., Inc. to complete the construction of the F.M. 1103 TxDOT Utility Adjustments Phase II Project. COMMUNITY BENEFIT Relocating the City's existing utilities is necessary in order to move TxDOT's F.M. 1103 Expansion Project into the construction phase. The relocation of the City's existing utilities will also ensure that the City's utilities are in an alignment that allows adequate space for future maintenance. f3"04 h/ NO awe] a.7 DEVOLVA l►l1910117 9117_Ttlll I [1701 Approval of Resolution 20 -R -89 authorizing the City Manager to enter into a contract with M &C Fonseca Construction Co., Inc., in an amount not to exceed $143,312.00 for the construction of the F.M. 1103 TxDOT Utility Adjustments Phase II Project. FISCAL IMPACT This contract is being funded from the CO 2018 Bond. IN9[KR7►1lu1NO17_rI[17 ►1 Staff recommends Council approve Resolution 20 -R -89 authorizing the City Manager to enter into a contract with M &C Fonseca Construction Co., Inc., in an amount not to exceed $143,312.00 for the construction of the F.M. 1103 TxDOT Utility Adjustments Phase II Project. Attachments 20 -R -89 M &C Fonseca Contract Bid Tabulation RESOLUTION NO. 20 -R -89 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS, AUTHORIZING A CONTRACT WITH M &C FONSECA CONSTRUCTION CO., INC. RELATING TO THE CONSTRUCTION OF THE F.M. 1103 TXDOT UTILITY ADJUSTMENTS PHASE II PROJECT AND AUTHORIZING THE BUDGET EXPENDITURES FOR THE PROJECT. WHEREAS, the City of Schertz (the "City ") has a need to relocate existing water utilities adjacent to F.M. 1.103 in conjunction with the upcoming TxDOT F.M. 1.1.03 Expansion Project; and WHEREAS, the City solicited competitive proposals from qualified vendors for constructions services related to the F.M. 11.03 TxDOT Utility Adjustments Phase II Project; and WHEREAS, City staff has determined that M &C Fonseca Construction CO., Inc. is qualified to provide such services for the City; and WHEREAS, City Council has authorized funding for the F.M. 1103 TxDOT Utility Adjustments Phase II Project from the CO 2018 Bond Funds. BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS THAT: Section 1. The City Council hereby authorizes the City Manager to execute and deliver a contract in substantially the same form as Attachment A with M &C Fonseca Construction CO., Inc. for an amount of $1.30,283.75 with a contingency amount of $13,028.25 for an overall not to exceed amount of $143,312.00. Section 2. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Resolution for all purposes and are adopted as a part of the judgment and findings of the City Council. Section 3. All resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Resolution are hereby repealed to the extent of such conflict, and the provisions of this Resolution shall be and remain controlling as to the matters resolved herein. Section 4. This Resolution shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 5. If any provision of this Resolution or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Resolution and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City Council hereby declares that this Resolution would have been enacted without such invalid provision. Section 6. It is officially found, determined, and declared that the meeting at which this Resolution is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Resolution, was given, all as required by Chapter 551, Texas Government Code, as amended. Section 7. This Resolution shall be in force and effect from and after its final passage, and it is so resolved. PASSED AND ADOPTED, this 1 l th day of August, 2020 Brenda Dennis, City Secretary (CITY SEAL) CITY OF SCHERTZ, TEXAS Ralph Gutierrez, Mayor AGREEMENT BETWEEN OWNER AND CONTRACTOR FOR CONSTRUCTION CONTRACT (STIPULATED PRICE) THIS AGREEMENT is by and between City of Schertz ( "Owner ") and M &C FONSECA CONSTRUCTION CO. INC. Owner and Contractor hereby agree as follows: ARTICLE 1— WORK ( "Contractor ") 1.01 Contractor shall complete all Work as specified or indicated in the Contract Documents. The Work is generally described as follows: ARTICLE 2 —THE PROJECT 2.01 The Project, of which the Work under the Contract Documents is a part, is generally described as follows: FM 1103 TXDOT UTILITY ADJUSTMENTS PHASE II ARTICLE 3 — ENGINEER 3.01 The part of the Project that pertains to the Work has been designed by Ford Engineering Inc. 3.02 The Owner has retained the City of Schertz Engineering Department ( "Engineer ") to act as Owner's representative, assume all duties and responsibilities, and have the rights and authority assigned to Engineer in the Contract Documents in connection with the completion of the Work in accordance with the Contract Documents. ARTICLE 4 — CONTRACT TIMES 4.01 Time of the Essence A. All time limits for Milestones, if any, Substantial Completion, and completion and readiness for final payment as stated in the Contract Documents are of the essence of the Contract. 4.02 Contract Times: Days A. The Work is expected to be substantially completed within 60 calendar days after the date when the Contract Times commence to run as provided in Paragraph 4.01 of the General Conditions, and completed and ready for final payment in accordance with Paragraph 15.06 of the General Conditions within 30 calendar days after the date of substantial completion. 4.03 Liquidated Damages A. Contractor and Owner recognize that time is of the essence as stated in Paragraph 4.01 above and that Owner will suffer financial and other losses if the Work is not completed and Milestones not achieved within the times specified in Paragraph 4.02 above, plus any extensions thereof allowed in accordance with the Contract. The Contractor acknowledges and recognizes that the Owner is entitled to full and beneficial occupancy and use of the completed work following expiration of the Contract Time. The Contractor further acknowledges and agrees that, if the Contractor fails to substantially, or cause the Substantial Completion of any portion of the Work within the Contract time, the Owner will sustain Page A -1 of 8 actual damages as a result of such failure. The exact amount of such damages will be difficult to ascertain. Therefore, the Owner and Contractor agree that, if the Contractor shall neglect, fail, or refuse to achieve substantial completion of the Work by the Substantial Completion date, subject to proper extension granted by the Owner, then the Contractor agrees to pay the Owner the sum of: 1. Six hundred dollars ($600.00) per day for each day in which such Work is not completed, not as penalty, but as liquidated damages, for the damages ( "Liquidated Damages ") that would be suffered by Owner as a result of delay for each and every calendar day that the Contractor shall have failed to have completed the Work as required herein. The Liquidated Damages shall be in lieu of any and all other damages which may be incurred by Owner as a result of the failure of Contractor to complete within the Contract Time. ARTICLE 5 — CONTRACT PRICE 5.01 Owner shall pay Contractor for completion of the Work in accordance with the Contract Documents the amounts that follow, subject to adjustment under the Contract: A. For all Unit Price Work, an amount equal to the sum of the extended prices (established for each separately identified item of Unit Price Work by multiplying the unit price times the actual quantity of that item): Unit Price Work Unit Item Estimated Extended No. Description Unit Quantity Price in Price in $$ $$ TPDES —STORM WATER 1 LS 1 2,500.00 2,500.00 POLLUTION PREVENTION PLAN 2 MOBILIZATION LS 1 11,800.00 11,800.00 TRAFFIC CONTROL AND 3 LS 1 6,000.00 6,000.00 REGULATION SITE RESTORATOIN (UTILITY 4 LF 957 5.75 5,502.75 CONSTRUCTIONO REMOVE ASPHALT PAVEMENT 5 (COMPLETE) SY 43 35.00 1,505.00 TRENCH EXCAVATION SAFETY 6 LF 957 3.00 2,871.00 PROTECTION WATER PIPE (PVC) (12 IN) 7 (COMPLETE) (OPEN CUT) LF 798 65.00 51,870.00 WATER SERVICE (3/4 IN) 8 (SHORT SIDE) EA 1 850.00 850.00 WATER SERVICE (1 IN) (SHORT 9 SIDE) EA 7 950.00 6,650.00 10 WATER TIE -IN (COMLETE) (12 ") EA 4 3,500.00 14,000.00 WATER CUT, PLUG, ABANDON 11 (12 IN) LF 338 16.00 5,408.00 WATER CUT, PLUG, REMOVE 12 (12 IN) LF 159 28.00 4,452.00 Page A -2 of 8 Unit Price Work Item Estimated Unit Extended No. Description Unit Quantity Price in Price in $$ $$ 13 FIRE HYDRANT ASSEMBLY EA 1 6,200.00 6,200.00 (COMPLETE) 14 SALVAGE FIRE HYDRANT EA 1 400.00 400.00 15 GATE VALVES (6 IN) EA 1 1,900.00 1,900.00 16 GATE VALVES (12 IN) EA 1 3,200.00 3,200.00 BLOW OFF VALVE (12 "X2 ") 17 (TEMP) EA 4 750.00 3,000.00 18 FLOWABLE FILL FY 14.5 150.00 2,175.00 Total of all Extended Prices for Unit Price Work (subject to final adjustment $130,283.75 based on actual quantities) The extended prices for Unit Price Work set forth as of the Effective Date of the Contract are based on estimated quantities. As provided in Paragraph 13.03 of the General Conditions, estimated quantities are not guaranteed, and determinations of actual quantities and classifications are to be made by Engineer. ARTICLE 6 — PAYMENT PROCEDURES 6.01 Submittal and Processing of Payments A. Contractor shall submit Applications for Payment in accordance with Article 15 of the General Conditions. Applications for Payment will be processed by Engineer as provided in the General Conditions. 6.02 Progress Payments; Retainage A. Owner shall make progress payments on account of the Contract Price on the basis of Contractor's Applications for Payment on or about the 30th day of each month during performance of the Work as provided in Paragraph 6.02.A.1 below, provided that such Applications for Payment have been submitted in a timely manner and otherwise meet the requirements of the Contract. All such payments will be measured by the Schedule of Values established as provided in the General Conditions (and in the case of Unit Price Work based on the number of units completed) or, in the event there is no Schedule of Values, as provided elsewhere in the Contract. 1. Prior to Substantial Completion, progress payments will be made in an amount equal to the percentage indicated below but, in each case, less the aggregate of payments previously made and less such amounts as Owner may withhold, including but not limited to liquidated damages, in accordance with the Contract a. 95 ii percent of Work completed (with the balance being retainage); and b. 995; percent of cost of materials and equipment not incorporated in the Work (with the balance being retainage). B. Upon Substantial Completion, Owner shall pay an amount sufficient to increase total payments to Contractor to the full amount of the contract, less such amounts set off by Owner pursuant to Paragraph 15.01.E of the General Conditions, and less such amounts as Page A -3 of 8 the Engineer shall determine for incomplete Work, retainage applicable to such work and unsettled claims. 6.03 Final Payment A. Upon final completion and acceptance of the Work in accordance with Paragraph 15.06 of the General Conditions, Owner shall pay the remainder of the Contract Price as recommended by Engineer as provided in said Paragraph 15.06. ARTICLE 7 — INTEREST 7.01 All amounts not paid when due shall bear interest at the maximum rate allowed by law, not to exceed 1% per month. ARTICLE 8 — CONTRACTOR'S REPRESENTATIONS 8.01 In order to induce Owner to enter into this Contract, Contractor makes the following representations: A. Contractor has examined and carefully studied the Contract Documents, and any data and reference items identified in the Contract Documents. B. Contractor has visited the Site, conducted a thorough, alert visual examination of the Site and adjacent areas, and become familiar with and is satisfied as to the general, local, and Site conditions that may affect cost, progress, and performance of the Work. C. Contractor is familiar with and is satisfied as to all Laws and Regulations that may affect cost, progress, and performance of the Work. D. Contractor has carefully studied all: (1) reports of explorations and tests of subsurface conditions at or adjacent to the Site and all drawings of physical conditions relating to existing surface or subsurface structures at the Site that have been identified in the Supplementary Conditions, especially with respect to Technical Data in such reports and drawings, and (2) reports and drawings relating to Hazardous Environmental Conditions, if any, at or adjacent to the Site that have been identified in the Supplementary Conditions, especially with respect to Technical Data in such reports and drawings. Contractor has considered the information known to Contractor itself; information commonly known to contractors doing business in the locality of the Site; information and observations obtained from visits to the Site; the Contract Documents; and the Site - related reports and drawings identified in the Contract Documents, with respect to the effect of such information, observations, and documents on (1) the cost, progress, and performance of the Work; (2) the means, methods, techniques, sequences, and procedures of construction to be employed by Contractor; and (3) Contractor's safety precautions and programs. F. Based on the information and observations referred to in the preceding paragraph, Contractor agrees that no further examinations, investigations, explorations, tests, studies, or data are necessary for the performance of the Work at the Contract Price, within the Contract Times, and in accordance with the other terms and conditions of the Contract. G. Contractor is aware of the general nature of work to be performed by Owner and others at the Site that relates to the Work as indicated in the Contract Documents. Page A -4 of 8 H. Contractor has given Engineer written notice of all conflicts, errors, ambiguities, or discrepancies that Contractor has discovered in the Contract Documents, and the written resolution thereof by Engineer is acceptable to Contractor. The Contract Documents are generally sufficient to indicate and convey understanding of all terms and conditions for performance and furnishing of the Work. J. Contractor's entry into this Contract constitutes an incontrovertible representation by Contractor that without exception all prices in the Agreement are premised upon performing and furnishing the Work required by the Contract Documents. ARTICLE 9 — CONTRACT DOCUMENTS 9.01 Contents A. The Contract Documents consist of the following: 1. This Agreement (pages A -1 to A-7, inclusive). 2. Performance bond (pages PB -1 to PB -3, inclusive). 3. Payment bond (pages PYB -1 to PY -3, inclusive). 4. General Conditions consisting of 73', pages of a modified version of EJCDC C -700, having a title page with the general title: STANDARD GENERAL CONDITIONS OF THE CONSTRUCTION CONTRACT. 5. Supplementary Conditions (pages SC -1 to SC -2; inclusive). 6. Specifications as listed in the table of contents of the Project Manual. 7. Drawings (not attached but incorporated by reference) consisting of 17 sheets with each sheet bearing the following general title: FM 1103 TxDOT Utility Adjustment! Phase 11. 8. Addenda (numbers to inclusive). 9. Exhibits to this Agreement (enumerated as follows): a. Contractor's Bid (pages BF -1 to BF -5, inclusive). 10. The following which may be delivered or issued on or after the Effective Date of the Contract and are not attached hereto: a. Notice to Proceed. b. Work Change Directives. c. Change Orders. d. Field Orders. B. The documents listed in Paragraph 9.01.A are attached to this Agreement (except as expressly noted otherwise above). C. There are no Contract Documents other than those listed above in this Article 9. D. The Contract Documents may only be amended, modified, or supplemented as provided in the General Conditions. Page A -5 of 8 ARTICLE 10 — MISCELLANEOUS 10.01 Terms A. Terms used in this Agreement will have the meanings stated in the General Conditions and the Supplementary Conditions. 10.02 Assignment of Contract A. Unless expressly agreed to elsewhere in the Contract, no assignment by a party hereto of any rights under or interests in the Contract will be binding on another party hereto without the written consent of the party sought to be bound; and, specifically but without limitation, money that may become due and money that is due may not be assigned without such consent (except to the extent that the effect of this restriction may be limited by law), and unless specifically stated to the contrary in any written consent to an assignment, no assignment will release or discharge the assignor from any duty or responsibility under the Contract Documents. 10.03 Successors and Assigns A. Owner and Contractor each binds itself, its successors, assigns, and legal representatives to the other party hereto, its successors, assigns, and legal representatives in respect to all covenants, agreements, and obligations contained in the Contract Documents. 10.04 Severability A. Any provision or part of the Contract Documents held to be void or unenforceable under any Law or Regulation shall be deemed stricken, and all remaining provisions shall continue to be valid and binding upon Owner and Contractor, who agree that the Contract Documents shall be reformed to replace such stricken provision or part thereof with a valid and enforceable provision that comes as close as possible to expressing the intention of the stricken provision. 10.05 Contractor's Certifications A. Contractor certifies that it has not engaged in corrupt, fraudulent, collusive, or coercive practices in competing for or in executing the Contract. For the purposes of this Paragraph 10.05: 1. "corrupt practice" means the offering, giving, receiving, or soliciting of any thing of value likely to influence the action of a public official in the bidding process or in the Contract execution; 2. "fraudulent practice" means an intentional misrepresentation of facts made (a) to influence the bidding process or the execution of the Contract to the detriment of Owner, (b) to establish Bid or Contract prices at artificial non - competitive levels, or (c) to deprive Owner of the benefits of free and open competition; 3. "collusive practice" means a scheme or arrangement between two or more Bidders, with or without the knowledge of Owner, a purpose of which is to establish Bid prices at artificial, non - competitive levels; and 4. "coercive practice" means harming or threatening to harm, directly or indirectly, persons or their property to influence their participation in the bidding process or affect the execution of the Contract. 10.06 Other Provisions A. Owner stipulates that if the General Conditions that are made a part of this Contract are based on EJCDC° C -700, Standard General Conditions for the Construction Contract, Page A -6 of 8 published by the Engineers Joint Contract Documents Committee®, and if Owner is the party that has furnished said General Conditions, then Owner has plainly shown all modifications to the standard wording of such published document to the Contractor, through a process such as highlighting or "track changes" (redline /strikeout), or in the Supplementary Conditions. Page A -7 of 8 IN WITNESS WHEREOF, Owner and Contractor have signed this Agreement. This Agreement will be effective on (which is the Effective Date of the Contract). Title: CITY MANAGER Address for giving notices: CITY OF SCHERTZ 1400 SCHERTZ PARKWAY SCHERTZ, TEXAS 78154 ;.r•I��r�e�wr•Ic� a% Title: (If Contractor is a corporation, a partnership, or a joint venture, attach evidence of authority to sign.) Address for giving notices: M &C FONSECA CONSTRUCTION CO INC 1901 PRAIRIE CREEK ROAD GRANITE SHOALS, TEXAS 78654 License No.: (where applicable) (If Owner is a corporation, attach evidence of authority to sign. If Owner is a public body, attach evidence of authority to sign and resolution or other documents authorizing execution of this Agreement.) Page A -8 of 8 ei Olum City Council August 11, 2020 Meeting: Department: Engineering Agenda No. 5. Subject: Resolution No. 20 -R -82 - Consideration and /or action approving a Resolution by the City Council of the City of Schertz, Texas, authorizing a contract with San Antonio Constructors, Ltd., relating to the Cherry Tree Drive Rehabilitation Project and authorizing the budget expenditures for the project. (B. James /K. Woodlee /J. Nowak) Previously the City undertook the 2018 SPAM Rehabilitation project, which rehabilitated some streets in the Northcliffe area. The goal of that project was to rehabilitate streets in the area that had waterline replacement work completed earlier. A portion of Cherry Tree, from Mayfair to Meadowhead was included in the 2018 . SPAM project, however, water line replacement in Cherry Tree extended beyond Meadowhead. This project was developed to address that remaining portion of Cherry Tree where water line replacement occurred but street rehabilitation has not. This project will rehabilitate Cherry Tree from Meadowhead to halfway between Harvest and Whisper Bluff, which represents the additional water line replacement area not included in the 2018 SPAM project. This project will rehabilitate the street to the same pavement section as was done in the 2018 SPAM project. The existing asphalt will be removed and the remaining base material will be cement stabilized and two inches of new asphalt will be placed on the surface. Before the pavement work is done, some curb and gutter repairs and some sidewalk repairs will be completed. Some corners will have the ADA ramps reconstructed to comply with current requirements. The project will also install missing sidewalk segments in the project area. On July 8, 2020, bids were opened for the Cherry Tree Rehabilitation project. Six bids were received with the two lowest bids being below the Engineer's estimate for the project. Selection of the best bid was based primarily on cost. All bidders were required to submit additional information, such as experience on similar projects; experience on public projects; available resources to complete the project; corporate history and stability; and references. The additional information was used to verify the bidders were capable of successfully completing the work. Based on the information provided, all the bidders are capable of completing the work. The lowest bid received was from San Antonio Constructors, Ltd., and was approximately 13% lower than the Engineer's Estimate. A construction contract awarded to San Antonio Constructors, Ltd., would rehabilitate Cherry Tree from Meadowhead to halfway between Harvest and Whisper Bluff. GOAL To obtain authorization from City Council to execute a construction contract with San Antonio Constructors, Ltd., for $273,193.80, and a not to exceed amount of $300,600.00, for the Cherry Tree Drive Rehabilitation Project. COMMUNITY BENEFIT The project will rehabilitate a segment of Cherry Tree form Meadowhead to halfway between Harvest and Whisper Bluff. This section of Cherry Tree had water line replacement work done previously and represents an extension of the 2018 SPAM Rehabilitation project that was recently completed int he Northcliffe area. The project will construct similar improvements as was done to Cherry Tree form Mayfair to Meadowhead in the 2018 SPAM Rehabilitation project - ADA corner ramp constriction, some sidewalk repairs, some curb and gutter repairs, and rehabilitating the street section to provide a new, stronger and more durable pavement section. The project will also install segments of missing sidewalks in the project area. SUMMARY OF RECOMMENDED ACTION Authorize execution of the construction contract for the Cherry Tree Drive Rehabilitation project to San Antonio Constructors, Ltd., for 273,193.80 and a not to exceed amount of $300,600.00. 0_ ' The cost of the project shall not exceed $300,600 and $128,000 of funding is available from Certificates of Obligation for Road Improvements and $172,600 of funding is available from $2.7 million from excess General Fund Reserves earmarked for SPAM. Staff recommends Council approve Resolution 20 -R -82 and authorize award of the bid for the Cheery Tree Drive Rehabilitation Project to San Antonio Constructors, Ltd., for $271,193.80 and a not to exceed amount of $300,600.00. Attachments Resolution No. 20 -R -82 Cherry Tree Location Exhibit Cherry Tree Rehab Bid Tab Cherry Tree Rehab Contract RESOLUTION NO. 20 -R -82 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AUTHORIZING A CONTRACT WITH SAN ANTONIO CONSTRUCTORS, LTD. RELATING TO THE CHERRY TREE DRIVE REHABILITATION PROJECT AND AUTHORIZING THE BUDGET EXPENDITURES FOR THE PROJECT WHEREAS, The City staff of the City of Schertz (the "City ") has recommended that the City accept the bid from San Antonio Constructors, Ltd. relating to the Cherry Tree Drive Rehabilitation. Project and approve the project expenditures; and WHEREAS, City staff has received qualifications indicating that San Antonio Constructors, Ltd. is qualified to provide such services for the City; and WHEREAS, the project will be funded from Certificates of Obligation for Road Improvements and from the $2.7 million from Excess General Fund Reserved earmarked for SPAM, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS THAT: Section 1. The City Council hereby authorizes the City Manager to execute and deliver the contract with San Antonio Constructors, Ltd. for an amount of $273,193.80 with an amount not to exceed $300,600.00. Section 2. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Resolution for all purposes and are adopted as a part of the judgment and findings of the City Council. Section 3. All resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Resolution are hereby repealed to the extent of such conflict, and the provisions of this Resolution shall be and remain controlling as to the matters resolved herein. Section 4. This Resolution shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 5. If any provision of this Resolution or the application thereof to any person . or circumstance shall be held to be invalid, the remainder of this Resolution and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City Council hereby declares that this Resolution would have been enacted without such invalid provision. Section 6. It is officially found, determined, and declared that the meeting at which this Resolution is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Resolution, was given, all as required by Chapter 551, Texas Government Code, as amended. Section 7. This Resolution shall be in force and effect from and after its final passage, and it is so resolved. PASSED AND ADOPTED, this 11th day of August, 2020. CITY OF SCHERTZ, TEXAS Ralph Gutierrez, Mayor ATTEST: Brenda Dennis, City Secretary (CITY SEAL) 50506221.1 - 2 - N; ��. a 100 200 400 600 800 7.000 Feet CG erry Tree Dr . '� �\ 7h,s Ord pct S d 3tirma�l pierpnses.., ri 7ay nox been �arep�erl fn nr la ue rble hd tlu*gal ce gcexc�Yit g os swucyx FsuY�.wscx. I@ doca rrea8.Kftyab .a artilhe -g( umd }. r SYIfW4V dYICl NC{JfCaC;RLb Dr19y IYSY: �" (}ItlAIfdY�lC 14`YdhWC I51C&d1411 tF}NU(N�(kf boU(ei- missing 0 Rehabilitation — cement stabilization, some curb and gutter replacement, fill in sidewalk i AGREEMENT BETWEEN OWNER AND CONTRACTOR FOR CONSTRUCTION CONTRACT (STIPULATED PRICE) THIS AGREEMENT is by and between City of Schertz ( "Owner ") and SAN ANTONIO CONSTRUCTORS LTD Owner and Contractor hereby agree as follows: ARTICLE 1 WORK ( "Contractor ") 1.01 Contractor shall complete all Work as specified or indicated in the Contract Documents. The Work is generally described as follows: ARTICLE 2 THE PROJECT 2.01 The Project, of which the Work under the Contract Documents is a part, is generally described as follows: Cherry Tree Drive Rehabilitation ARTICLE 3 ENGINEER 3.01 The part of the Project that pertains to the Work has been designed by 3.02 The Owner has retained this t gf: ch rt EngJft'Jrink [fie rtmerit ( "Engineer ") to act as Owner's representative, assume all duties and responsibilities, and have the rights and authority assigned to Engineer in the Contract Documents in connection with the completion of the Work in accordance with the Contract Documents. ARTICLE 4 CONTRACTTIMES 4.01 Time of the Essence A. All time limits for Milestones, if any, Substantial Completion, and completion and readiness for final payment as stated in the Contract Documents are of the essence of the Contract. Contract Times: Days B. The Work is expected to be substantially completed within 45 calendar days after the date when the Contract Times commence to run as provided in Paragraph 4.01 of the General Conditions, and completed and ready for final payment in accordance with Paragraph 15.06 of the General Conditions within 46 calendar days after the date of substantial completion. 4.02 Liquidated Damages A. Contractor and Owner recognize that time is of the essence as stated in Paragraph 4.01 above and that Owner will suffer financial and other losses if the Work is not completed and Milestones not achieved within the times specified in Paragraph 4.02 above, plus any extensions thereof allowed in accordance with the Contract. The Contractor acknowledges and recognizes that the Owner is entitled to full and beneficial occupancy and use of the completed work following expiration of the Contract Time. The Contractor further acknowledges and agrees that, if the Contractor fails to substantially, or cause the Substantial Completion of any portion of the Work within the Contract time, the Owner will Page A -1 of 7 sustain actual damages as a result of such failure. The exact amount of such damages will be difficult to ascertain. Therefore, the Owner and Contractor agree that, if the Contractor shall neglect, fail, or refuse to achieve substantial completion of the Work by the Substantial Completion date, subject to proper extension granted by the Owner, then the Contractor agrees to pay the Owner the sum of: 1. Six hundred dollars ($600.00) per day for each day in which such Work is not completed, not as penalty, but as liquidated damages, for the damages ( "Liquidated Damages ") that would be suffered by Owner as a result of delay for each and every calendar day that the Contractor shall have failed to have completed the Work as required herein. The Liquidated Damages shall be in lieu of any and all other damages which may be incurred by Owner as a result of the failure of Contractor to complete within the Contract Time. ARTICLE 5 CONTRACT PRICE 5.01 Owner shall pay Contractor for completion of the Work in accordance with the Contract Documents the amounts that follow, subject to adjustment under the Contract: A. For all Unit Price Work, an amount equal to the sum of the extended prices (established for each separately identified item of Unit Price Work by multiplying the unit price times the actual quantity of that item): Unit Price Work Item Estimated Unit Extended Description Unit No. Quantity Price Price 1 TPDES LS 1 10,450.00 10,450.00 2 MOBILIZATION LS 1 24,835.80 24,835.80 3 TREE TRIMMING ( <6 ") EA 1 1,000.00 1,000.00 MANHOLE ADJUSTMENT 4 EA 5 1,500.00 1,500.00 (SEWER) 5 VALVE BOX ADJUSTMENT EA 6 495.00 2,970.00 6 REMOVE ASPHALT PAVEMENT SY 4870 10.00 48,700.00 REMOVE SIDEWALK AND 7 SY 250 5.00 1,250.00 DRIVEWAY REMOVAL OF CURB AND 8 LF 414 4.00 1,656.00 GUTTER HOT MIX ASPHALT PAVEMENT, 9 TYPE D (2 ") (PG 64 -22) TON 550 98.00 53,900.00 10 PRIME COAT GAL 974 5.00 4,870.00 11 TACK COAT GAL 488 5.00 2,440.00 CONCRETE DRIVEWAY 12 SY 60 75.00 4,500.00 (RESIDENTIAL) 24" WHITE THERMOPLASTIC 13 LF 92 15.00 1,380.00 STRIPE 14 CONCRETE CURB AND GUTTER LF 414 28.00 11,592.00 Page A -2 of 7 Unit Price Work Item No. Description Unit Estimated Quantity Unit Price Extended Price 15 CONCRETE SIDEWALK Sy 540 70.00 37,800.00 16 BERMUDA SODDING Sy 512 5.00 2,560.00 17 SIGN RELOCATE EA 2 395.00 790.00 18 CEMENT TREATMENT (8" RECLAIMED BASE) Sy 4870 10.00 48,700.00 19 8' RETAINING WALL LF 225 28.00 6,300.00 Total of all Extended Prices for Unit Price Work (subject to final adjustment based on actual quantities) $273,193.80 The extended prices for Unit Price Work set forth as of the Effective Date of the Contract are based on estimated quantities. As provided in Paragraph 13.03 of the General Conditions, estimated quantities are not guaranteed, and determinations of actual quantities and classifications are to be made by Engineer. ARTICLE 6 PAYMENT PROCEDURES 6.01 Submittal and Processing of Payments A. Contractor shall submit Applications for Payment in accordance with Article 15 of the General Conditions. Applications for Payment will be processed by Engineer as provided in the General Conditions. 6.02 Progress Payments; Retainage A. Owner shall make progress payments on account of the Contract Price on the basis of Contractor's Applications for Payment on or about the 30th day of each month during performance of the Work as provided in Paragraph 6.02.A.1 below, provided that such Applications for Payment have been submitted in a timely manner and otherwise meet the requirements of the Contract. All such payments will be measured by the Schedule of Values established as provided in the General Conditions (and in the case of Unit Price Work based on the number of units completed) or, in the event there is no Schedule of Values, as provided elsewhere in the Contract. 1. Prior to Substantial Completion, progress payments will be made in an amount equal to the percentage indicated below but, in each case, less the aggregate of payments previously made and less such amounts as Owner may withhold, including but not limited to liquidated damages, in accordance with the Contract a. 9 percent of Work completed (with the balance being retainage); and b. 95 percent of cost of materials and equipment not incorporated in the Work (with the balance being retainage). B. Upon Substantial Completion, Owner shall pay an amount sufficient to increase total payments to Contractor to the full amount of the contract, less such amounts set off by Owner pursuant to Paragraph 15.01.E of the General Conditions, and less such amounts as the Engineer shall determine for incomplete Work, retainage applicable to such work and unsettled claims. Page A -3 of 7 6.03 Final Payment A. Upon final completion and acceptance of the Work in accordance with Paragraph 15.06 of the General Conditions, Owner shall pay the remainder of the Contract Price as recommended by Engineer as provided in said Paragraph 15.06. ARTICLE 7 INTEREST 7.01 All amounts not paid when due shall bear interest at the maximum rate allowed by law, not to exceed 1% per month. ARTICLE 8 CONTRACTOR S REPRESENTATIONS 8.01 In order to induce Owner to enter into this Contract, Contractor makes the following representations: A. Contractor has examined and carefully studied the Contract Documents, and any data and reference items identified in the Contract Documents. B. Contractor has visited the Site, conducted a thorough, alert visual examination of the Site and adjacent areas, and become familiar with and is satisfied as to the general, local, and Site conditions that may affect cost, progress, and performance of the Work. C. Contractor is familiar with and is satisfied as to all Laws and Regulations that may affect cost, progress, and performance of the Work. D. Contractor has carefully studied all: (1) reports of explorations and tests of subsurface conditions at or adjacent to the Site and all drawings of physical conditions relating to existing surface or subsurface structures at the Site that have been identified in the Supplementary Conditions, especially with respect to Technical Data in such reports and drawings, and (2) reports and drawings relating to Hazardous Environmental Conditions, if any, at or adjacent to the Site that have been identified in the Supplementary Conditions, especially with respect to Technical Data in such reports and drawings. E. Contractor has considered the information known to Contractor itself; information commonly known to contractors doing business in the locality of the Site; information and observations obtained from visits to the Site; the Contract Documents; and the Site - related reports and drawings identified in the Contract Documents, with respect to the effect of such information, observations, and documents on (1) the cost, progress, and performance of the Work; (2) the means, methods, techniques, sequences, and procedures of construction to be employed by Contractor; and (3) Contractor's safety precautions and programs. F. Based on the information and observations referred to in the preceding paragraph, Contractor agrees that no further examinations, investigations, explorations, tests, studies, or data are necessary for the performance of the Work at the Contract Price, within the Contract Times, and in accordance with the other terms and conditions of the Contract. G. Contractor is aware of the general nature of work to be performed by Owner and others at the Site that relates to the Work as indicated in the Contract Documents. H. Contractor has given Engineer written notice of all conflicts, errors, ambiguities, or discrepancies that Contractor has discovered in the Contract Documents, and the written resolution thereof by Engineer is acceptable to Contractor. Page A -4 of 7 1. The Contract Documents are generally sufficient to indicate and convey understanding of all terms and conditions for performance and furnishing of the Work. J. Contractor's entry into this Contract constitutes an incontrovertible representation by Contractor that without exception all prices in the Agreement are premised upon performing and furnishing the Work required by the Contract Documents. ARTICLE 9 CONTRACT DOCUMENTS 9.01 Contents A. The Contract Documents consist of the following: 1. This Agreement (pages A -1 to A- 1, inclusive). 2. Performance bond (pages EgA to IB -, inclusive). 3. Payment bond (pages P� to al inclusive). 4. General Conditions consisting of 73 pages of a modified version of EJCDC C -700, having a title page with the general title: STANDARD GENERAL CONDITIONS OF THE CONSTRUCTION CONTRACT. 5. Supplementary Conditions (pages C_1 to S, t5, inclusive). 6. Specifications as listed in the table of contents of the Project Manual. 7. Drawings (not attached but incorporated by reference) consisting of 25 sheets with each sheet bearing the following general title: Cherry Tree Drive. 8. Addenda (numbers to �^, inclusive). 9. Exhibits to this Agreement (enumerated as follows): a. Contractor's Bid (pages El to BE -S, inclusive). 10. The following which may be delivered or issued on or after the Effective Date of the Contract and are not attached hereto: a. Notice to Proceed. b. Work Change Directives. c. Change Orders. d. Field Orders. B. The documents listed in Paragraph 9.01.A are attached to this Agreement (except as expressly noted otherwise above). C. There are no Contract Documents other than those listed above in this Article 9. D. The Contract Documents may only be amended, modified, or supplemented as provided in the General Conditions. ARTICLE 10 MISCELLANEOUS 10.01 Terms A. Terms used in this Agreement will have the meanings stated in the General Conditions and the Supplementary Conditions. Page A -5 of 7 10.02 Assignment of Contract A. Unless expressly agreed to elsewhere in the Contract, no assignment by a party hereto of any rights under or interests in the Contract will be binding on another party hereto without the written consent of the party sought to be bound; and, specifically but without limitation, money that may become due and money that is due may not be assigned without such consent (except to the extent that the effect of this restriction may be limited by law), and unless specifically stated to the contrary in any written consent to an assignment, no assignment will release or discharge the assignor from any duty or responsibility under the Contract Documents. 10.03 Successors and Assigns A. Owner and Contractor each binds itself, its successors, assigns, and legal representatives to the other party hereto, its successors, assigns, and legal representatives in respect to all covenants, agreements, and obligations contained in the Contract Documents. 10.04 Severability A. Any provision or part of the Contract Documents held to be void or unenforceable under any Law or Regulation shall be deemed stricken, and all remaining provisions shall continue to be valid and binding upon Owner and Contractor, who agree that the Contract Documents shall be reformed to replace such stricken provision or part thereof with a valid and enforceable provision that comes as close as possible to expressing the intention of the stricken provision. 10.05 Contractors Certifications A. Contractor certifies that it has not engaged in corrupt, fraudulent, collusive, or coercive practices in competing for or in executing the Contract. For the purposes of this Paragraph 10.05: 1. "corrupt practice" means the offering, giving, receiving, or soliciting of any thing of value likely to influence the action of a public official in the bidding process or in the Contract execution; 2. "fraudulent practice" means an intentional misrepresentation of facts made (a) to influence the bidding process or the execution of the Contract to the detriment of Owner, (b) to establish Bid or Contract prices at artificial non - competitive levels, or (c) to deprive Owner of the benefits of free and open competition; 3. "collusive practice" means a scheme or arrangement between two or more Bidders, with or without the knowledge of Owner, a purpose of which is to establish Bid prices at artificial, non - competitive levels; and 4. "coercive practice" means harming or threatening to harm, directly or indirectly, persons or their property to influence their participation in the bidding process or affect the execution of the Contract. 10.06 Other Provisions A. Owner stipulates that if the General Conditions that are made a part of this Contract are based on EJCDC® C -700, Standard General Conditions for the Construction Contract, published by the Engineers Joint Contract Documents Committee ®, and if Owner is the party that has furnished said General Conditions, then Owner has plainly shown all modifications to the standard wording of such published document to the Contractor, through a process such as highlighting or "track changes" (redline /strikeout), or in the Supplementary Conditions. Page A -6 of 7 IN WITNESS WHEREOF, Owner and Contractor have signed this Agreement. This Agreement will be effective on (which is the Effective Date of the Contract). �1LAt►1i By: DR. MARK BROWNE Title: CITY MANAGER Address for giving notices: CITY OF SCHERTZ 1400 SCHERTZ PARKWAY SCHERTZ, TEXAS 78154 CKoI���c7e[ rilCil Title: (if Contractor is a corporation, a partnership, or a joint venture, attach evidence of authority to sign.) Address for giving notices: SAN ANTONIO CONSTRUCTORS, LTD 6735 LOWBID LANE SAN ANTONIO, TEXAS 78250 License No.: (where applicable) (if Owner is a corporation, attach evidence of authority to sign. If Owner is a public body, attach evidence of authority to sign and resolution or other documents authorizing execution of this Agreement.) Page A -7 of 7 Agenda No. 6. ei Olum City Council August 11, 2020 Meeting: Department: Emergency Medical Services Subject: Resolution No. 20 -R -88 - Consideration and /or action approving a Resolution by the City Council of the City of Schertz, Texas authorizing the City Manager to enter into a Service Contract with Fort Sam Houston Independent School District for EMS services. (C. Kelm /J. Mabbitt) BACKGROUND Schertz EMS has provided ambulance coverage during football season for several school districts in our area to include SCUCISD, Marion ISD and Randolph ISD. Last football season, we covered a Randolph High School football game at Cole High School when the Randolph HS field was under maintenance. Cole High School is located on Fort Sam Houston in the Fort Sam Houston Independent School. District. The administrators at Cole High School were impressed with our courteous and professional crews, and they have requested that we provide an ambulance during their 2020 football season. GOAL To provide EMS services for the 2020 Fort Sam Houston ISD football season. C� Providing an ambulance at these football games will provide a benefit to the players and spectators during the 2020 football season. Consideration and/or action authorizing the City Manager to enter into a Service Contract with Fort Sam Houston Independent School District for EMS services. FISCAL IMPACT The overall impact to the EMS Department is expected to be approximately $5,000 in revenue which will offset labor costs, fuel and ambulance supplies /maintenance costs. Since this service is located on Fort Sam, the district agreed to pay our travel time to and from the games. Our standby costs are $125 per hour. 1 Staff recommends Resolution No. 20 -R -88 approving a Resolution authorizing the City Manager to enter into a Service Contract with Fort Sam Houston Independent School District for EMS services. Attachments Agreement 19 &TO X111 Y to] k'5k'to] 4119 I :3 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AUTHORIZING THE CITY MANAGER TO ENTER INTO A SERVICE CONTRACT WITH FORT SAM HOUSTON INDEPENDENT SCHOOL DISTRICT FOR EMS SERVICES, AND OTHER MATTERS IN CONNECTION THEREWITH WHEREAS, the City staff of the City of Schertz has recommended that the City enter into a service contract with Fort Sam Houston Independent School District (ISD) for EMS services; and WHEREAS, the City Council has determined that it is in the best interest of the City to enter into a service contract with Fort Sam Houston ISD for EMS services; therefore BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS THAT: Section 1. The City Council hereby authorizes the City Manager to enter into a service contract with Fort Sam Houston Independent School District for ambulance services as set forth in Exhibit A. Section 2. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Resolution for all purposes and are adopted as a part of the judgment and findings of the City Council. Section 3. All resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Resolution are hereby repealed to the extent of such conflict, and the provisions of this Resolution shall be and remain controlling as to the matters resolved herein. Section 4. This Resolution shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 5. If any provision of this Resolution or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Resolution and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City Council hereby declares that this Resolution would have been enacted without such invalid provision. Section 6. It is officially found, determined, and declared that the meeting at which this Resolution is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Resolution, was given, all as required by Chapter 551, Texas Government Code, as amended. Section 7. This Resolution shall be in force and effect from and after its final passage, and it is so resolved. PASSED AND ADOPTED, this 11th day of August 2020. CITY OF SCHERTZ, TEXAS Ralph Gutierrez, Mayor ATTEST: Brenda Dennis, City Secretary (CITY SEAL) FORT SAM HOUSTON INDEPENDENT SCHOOL DISTRICT 4005 WINANS ROAD FSH SAN ANTONIO, TEXAS 78234 Phone: 210-368-8700 Fax: 210-368-8741 Fort Sam Houston ISD www.fshisd.net The Fort Sam Houston. Independent School. District, hereinafter referred to as "District," and independent contractor, City of Schertz EMS, hereinafter referred to as "Contractor," enter into a contract on this the day of , 20 for the provision of contracted services. 1. District agrees to engage Contractor, and Contractor agrees to perform personally, in a manner satisfactory to District, the following services: Contractor agrees to provide one ambulance with two personnel to standby at predetermined football games. See attached schedule marked as Attachment A. 2. Unless discontinued earlier by District, the services are to be performed at the following times and places: Contractor agrees to provide medical support at all home football games listed on the attached schedule, Attachment A. The location for each home game is: Cole Football Stadium 4001 Winans Road San Antonio, TX 78234 District agrees to pay Contractor a fee of $1.25.00 per hour for a total fee not to exceed $1,000 per scheduled game, as compensation for services rendered. All reimbursements for expenses associated with contractor services shall be made in accordance with the attached Travel Expense Guidelines for Contractor Services. Contractor shall not be paid in advance except for any required deposit to reserve a scheduled date. This agreement shall be in effect from September 1, 2020 to November 30, 2020, unless terminated by either party at any time, with or without cause. In the event of termination by District or Contractor prior to completion of the contract, compensation shall be prorated on the basis of hours Contract Services Agreement Page 1 of 3 actually worked, and Contractor shall only be entitled to receive just and equitable compensation for any satisfactory work completed and expenses incurred up to the date of termination. Contractor agrees to not employ any person employed by the District who is in a position to approve or determine the terms of this contract. Contractor is not an employee of District, and is not entitled to fringe benefits, pension, workers compensation, retirement, etc. District shall not deduct Federal income taxes, FICA (Social Security), or any other taxes required to be deducted by an employer, as this is the responsibility of Contractor. The District will not pay for preparation days or times. Contractor charges shall be for time actually spent in the District performing the service agreed to in the contract. Contractor agrees to hold District harmless from any and all liability incurred by District by reason of Contractor's negligence or breach of contract, including, without limitation, damages of every kind and nature, out -of.- pocket costs, and legal expenses. IN WITNESS WHEREOF, Fort Sam Houston Independent School District and Contractor have executed this contract, effective the date first herein written. FORT SAM HOUSTON INDEPENDENT SCHOOL DISTRICT By: _ Date: Julie P. Novak, Chief Financial Officer CONTRACTOR -- Date: Social Security /Federal Tax ID Number: Contract Services Agreement Page 2 of 3 Fort Sam Houston ISD Travel Expense Guidelines For Contracted Services The District shall reimburse travel expenses per the following guidelines: 1. MILEAGE — Reimbursed at maximum allowable rate established by the Internal Revenue Service as of contract date. Rate available at ht s: / /wwwJrs. ov /tax- professionals /standard -milea eg rates. Allowable mileage is based on MapQuest Guide if a personal automobile is used. 2. AIR TRAVEL - Reimbursed at coach fare rates only. 3. MEALS - Reimbursement may be claimed for a maximum of $45 per day. Receipts are required for reimbursement of meal expenditures for the contractor only. 4. GRATUITIES - Reimbursed at a maximum of 20% for meals and taxi fare. 5. PHONE CALLS - No reimbursement allowed (local or long distance). 6. HOTEL ACCOMMODATIONS - Reimbursed at a single room rate in a moderately priced hotel. 7. CAR RENTAL - No reimbursement allowed. Taxi fare shall be allowed to and from the airport, the hotel, and the service site (receipts are required). 8. ALCOHOLIC BEVERAGES - No reimbursement allowed. 9. OTHER EXPENSES - Expenses which are considered reasonable and necessary shall be reimbursed upon presentation of proper documentation. These expenses may not include items for personal convenience such as valet service and other personal hotel expenses. Documentation of parking and taxi expenses is required. 10. DIRECT BILLING - Direct bills shall not be accepted. The District reserves the right to reject any reimbursement claim that it deems not reasonable and /or unnecessary. Original itemized receipts must be submitted in order to be eligible for reimbursement. Contract Services Agreement Page 3 of 3 WIVTWIA W, w ff-Am U-Iwa-&�N IMM Away Oct. 16 Lytle* (Homecoming) Home 7:30 Oct. 23 Jourdanton* Away 7:30 Oct. 30 Cotulla*(Senior Night / Pink Out) Home Sept. 4 Natalia A-way 71 Sept. 11 BandeFa Home 7.! Sept. 18 Luling 1 72 Sept. 25 Poteet* (TBD) Home 7- Oct. 2 Randolph* Away 7: Oct. 9 OPEN Bander-a Away Oct. 16 Lytle* (Homecoming) Home 7:30 Oct. 23 Jourdanton* Away 7:30 Oct. 30 Cotulla*(Senior Night / Pink Out) Home 7:30 Nov. 6 Marion* Away 7:30 *District 14 — 3A 10 BandeFa A .., Aug 14 Bander-a Away 5:30 Aug 20 Luling Away it Aug. 27 SACS Away 5-;30 Sept. 3 Natalia Home 5130 Sept. 10 BandeFa A .., Sept. 17 Luling Tiome 5130 Sept. 24 Poteet* (TBD) Away 6:30 Oct. I Randolph* Home 6:30 Oct. 8 OPEN Home 4:30 / 5:30 Oct. 15 Lytle* Away 6:30 Oct. 22 Jourdanton* Home 6:30 Oct. 29 Cotulla Away 6:30 Nov. 5 Marion* Home 6:30 0 10 Bander-a Home C.an I ept. Sept. 17 Luling Away .-I I 5!00 / 6 Sept. 24 Poteet* (TBD) Away 4 :3015:30 Oct. 1 Randolph* Home 4 :3015:30 Oct. 8 OPEN* Oct. 15 Lytle* Away 4:30 / 5:30 Oct. 22 Jourdanton* Home 4:3015 :30 Oct. 29 Cotulla Away 4:30 / 5:30 Nov. 5 Marion* Home 4:30 / 5:30 Agenda No. 7. ei Olum City Council August 11, 2020 Meeting: Department: Information Technology Subject: Resolution No. 20 -R -78 - Consideration and /or action approving a Resolution by the City Council of the City of Schertz, Texas, for the authorizing of an agreement with DAC, Inc. of New Braunfels, Texas, for the city -wide access control systems upgrade project. (B. James /M. Clauser) BACKGROUND Currently, physical access to City facilities by employees and other authorized personnel is managed through one of two different badge access control systems. Both systems have been in place for at least 15 years and are now completely obsolete. Parts are no longer available from the manufacturers for routine maintenance, and when an entry point fails it can take weeks for the vendor to find replacements on the secondary market. Three years ago a stakeholder group was created that included staff members from the Police Department, Facilities, and IT and others to review options for consolidating and replacing the current access control systems into a single centrally managed system. Input from various departments was solicited and the team identified a series of requirements. The major requirements included: • The new system had to be backwards - compatible with the existing locking hardware used by the City. • Next, the system had to have an interface with the City's centralized security camera management system from Ocularis. • The new system also had to allow the use of existing employee badges, as well as be able to accommodate newer badge technologies such as chip - cards, RFID, etc. • The system had to provide advanced report capabilities to allow audit trails, custom and recurring reports, etc. • The system had to allow tenants of City buildings to manage their sites directly while retaining overall oversight by the City. • Another requirement was to allow staff managing certain venues the ability to issue time - limited access cards to renters that would reduce the need for staff to be available at all times to open a venue in advance of the event and stay to lock the doors once the event is over. • Another requirement included the need to be able to integrate employee badges into the login process to ensure compliance with federal mandates for 2- factor authentication into the secure data network. The team reviewed multiple systems on the market and eventually recommended that the City upgrade the existing system from Open Options currently in use by PD. Open Options is a registered vendor with the state DIR Buy Board, and their representatives provided contact information for 2 vendors in Central Texas that were qualified to support their product. After reviewing documentation and presentations from both vendors the team decided to contract with DAC, Inc. of New Braunfels, Texas to manage the upgrade. The overall project is expected to be completed in three phases. Phase one as presented here will focus on replacing the software, back -end hardware, wiring (as needed), and door control systems in each City facility that already has an access control system in place. The vendor will also provide integration into our camera management system. Phases two and three will add new facilities, replace outdated door lock hardware as needed and add access control management to outlying facilities such as pump stations, water towers, etc. Once those phases are complete the City will continue to expand the use of the system to include integrating badge access to sensitive data, security management systems, etc. GOAL This upgrade to the existing access control system currently in use in PD will consolidate all City facility access into a single system. This will increase efficiency by providing a single centrally- managed system and will allow for the use of industry- standard access control hardware moving forward. This upgrade will also provide enhancements that will allow tenants such as the YMCA to better manage access to their individual sites. This system will provide the necessary foundation for integrating security camera monitoring and for upgrading network management.by integrating security badge access to our network infrastructure. COMMUNITY BENEFIT As the City continues to grow a centrally managed flexible access control system provides many opportunities to enhance efficiency and improve Public Safety response. By integrating the system into our existing security camera management system, for example, this system will allow our dispatchers to see and hear alerts presented by the access control monitoring system and view the nearest security camera on a large screen in the dispatch area. Dispatchers can then provide the appropriate response to the alert as opposed to always sending an officer. Another benefit of this upgrade will be that sponsors of events can be issued time - limited access cards to venues such as the Civic Center, the Northcliffe Center and the meeting room in Fire Station 3 to allow them to get into the venue for their events. This will reduce the effort needed by staff to personally manage access to these sites and improve the City's ability to provide quality service for events while reducing the need for overtime. 630041 /I_ awe] a. 7D[K17uh /1 Hill 179117_TiltI[17k1 Staff recommends that Council approves the contract with DAC, Inc. of New Braunfels in the amount of $166,956.19 with not to exceed amount of $175,000 for phase one of the City -wide Access Control Upgrade Project. FISCAL IMPACT In 2018 Certificates of Obligation in the form of bonds were issued in the amount of $300,000 to fund this project. Phase One, as presented here will allocate $164,415.41 and allowing a contingency to a total not to exceed amount of $175,000. The remaining funds will be used for subsequent phases. RECOMMENDATION Staff recommends that Council approves the contract with DAC, Inc. of New Braunfels in the amount of $1.64,415.41 with a not to exceed amount of $1.75,000 for phase one of the City -wide Access Control. Upgrade Project. Attachments 20 -R -78 Resolution DAC Proposal 20 -R -78 -- RESOLUTION NO. 20 -R -78 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AUTHORIZING AN AGREEMENT WITH DAC, INC OF NEW BRAUNFELS, TEXAS FOR THE CITY -WIDE ACCESS CONTROL SYSTEMS UPGRADE PROJECT, AND OTHER MATTERS IN CONNECTION THEREWITH WHEREAS, the City staff of the City of Schertz (the "City ") has recommended that the City enter into an agreement with DAC, Inc of New Braunfels Texas for the purpose of implementing phase one of the City -Wide Access Control System Upgrade project; and WHEREAS, the City Council has determined that it is in the best interest of the City to enter into an agreement with DAC, Inc of New Braunfels Texas for the purpose of implementing phase one of the City -Wide Access Control System Upgrade project, in the amount of $164,41.4.41 with a not -to- exceed value of $175,000 to cover contingencies. BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS Section 1. The City Council hereby authorizes the City Manager to enter into an agreement with DAC, Inc of New Braunfels Texas for the purpose of implementing phase one of the City -Wide Access Control System Upgrade project in the amount of $164,414.41, with a not to exceed value in the amount of $175,000 to cover contingencies. Section 2. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Resolution for all purposes and are adopted as a part of the judgment and findings of the City Council. Section 3. All resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Resolution are hereby repealed to the extent of such conflict, and the provisions of this Resolution shall be and remain controlling as to the matters resolved herein. Section 4. This Resolution shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 5. If any provision of this Resolution or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Resolution and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City Council hereby declares that this Resolution would have been enacted without such invalid provision. Section 6. It is officially found, determined, and declared that the meeting at which this Resolution is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Resolution, was given, all as required by Chapter 551, Texas Government Code, as amended. Section 7. This Resolution shall be in force and effect from and after its final passage, and it is so resolved. PASSED AND ADOPTED, this 11TH day August, 2020. CITY OF SCHE.RTZ, TEXAS Ralph Gutierrez, Mayor ATTEST: Brenda Dennis, City Secretary (CITY SEAL) 50506221.1 - 2 - July 30th, 2020 Mr. Myles Clauser, CPM, CGCIO City of Schertz Dear Mr. Clauser, lmy� I am pleased to present DAC's follow up to our budgetary proposal for the City of Schertz. After having the opportunity to walk and review all of the existing facilities and having continued conversation with your responsive staff we would like to offer you this firm quote for our services. Our entire team is enthusiastic about the prospect of serving as your integrated solutions provider. We look forward to enhancing our relationship through participation in this project. We are committed to integrity and quality, and we are proud of our record and reputation. Selecting the right team to help you recognize and address your business challenges is vital to creating value and delivering a project on time, on budget and to the high standards of quality you expect. I personally select our team leaders to ensure they have the experience and personal attributes needed to serve you with distinction and dedication throughout the course of your program. A smooth project is, of course, of great importance to you and DAC. We have a wealth of experience in providing innovative solutions and look forward to delivering them to the City of Schertz. Our team has the requisite experience to manage any program efficiently and to deliver solutions that meet the highest levels of sustainability and feasibility. You strive for quality and reliability for the City of Schertz and providing those attributes is critical to your continued success. DAC is the firm chosen by project teams when quality and reputation are of the utmost importance. We anticipate teaming with you to meet the needs of this program and look forward to meeting soon as part of the contract team. Thank you for your consideration. We are committed to exceeding your expectations. Respectfully, Roy Charbonneau Manager Central Texas DAC, Inc. City of Schertz 12 • , • • ..� - -• • •- Mill i • i • r� Building �l30 l i ;(Fi liitRR+.lkl 1 1#�Il�ll J Intelligent r Control Pane' ' Door Su• Pr Optically • ' • Hubs L.. Licensing to support AD Locks Building 02 Administration Doors •i • Door • r Optically • . ' • Hub Building ♦ Police 0 Doors of Access Contra Intelligent r Control r • - Door Sub-Panels Optically Isolated Hubs I * All Licensing to support AD Locks City of Schrtz 13 City of Schertz 14 City of Schertz 15 1 11111' �� �� lou "AL UM The following 0R Pricing meets or exceeds the requirements listed in DAC's D|R Contract # DIR-TSO- 3647. Appendix C of DIR-TSO-3647 is attached below which is a quick reference for our listed DIR Customer discount percentages Intelligent Controller Open Options SSP-D2-A 16 $ 2,074.00 $ 33,184.00 $1,191.05 Totals Required '19,056,8C( Applied 4a% Door controller Open Options RSC-1-A 77 $ 482.00 $ 37,114.00 $ 276.80 21,31$60 43% 43% Access Control Software Open Options DNA-2100 i $ 11,320.00 $ 11,320.00 $6,500.79 6,50039 430/6' 4,4% 9 Channel Hub Open Options OPTOHUB 19 $ 1,376.00 $ 26,144.00 $ 790.20 15,01180 43%, 43% AD Lock License 10 Pack Open Options 00-AD-10 51 $ 1,104.00 $ 5,520.00 $ 634.00 3,17UG 43% '43% Dual Sided Badge Printer Fargo DTC4500 i $ 8,444.00 $ 8,444.00 $4,849.18 !L,849.18 43%', 4.4% Door Enclosure Conversion Materlyarious AC DE 77 $ 200.00 $ 15,400.00 $ 140.00 $ 10,780.00 a6% Material Totals $176,866.24 $106,557.09 Grand Totals $272,205.09 $X64,41S.41' 32% David Lewis Business Development Central Texas DAC.|no. Cell: 210-878-9132 Email: City of Schertz 16 mom DAC employs approximately 120 people in the State of Texas, of which more than 85% are dedicated to engineering, project management, technology and installation. We are prepared to execute the City of Schertz access control upgrade project and have resources ready to allocate to this project immediately. DA[ understands the complexity of your project andtherigorsofnnaintaining a functional Access Control System during transition toa new platform. Our team members represent an efficient model ofdelivering a project under these requirements. We've been diligent in allocating resource loads across all phases of construction and technology migration to ensure the project is well designed, executed with precision, fully commissioned and turned over to the City of Schertz for a long-term operation. To maintain an agreed installation schedule, DACxvill structure our installation teann(s)towork in tandem in various areas of the project ifrequired.Ourteann(s) vvi||beresponsib|eforsped0careasofthep 'ect with a Project ForennenossignedtotheresponsibiUtiesofcomnp|etingthevvorkeffident|y.Usingourovvn installation forces allows OAC to better control the project schedule, effectively load manpower when necessary, coordinate with onsite trades, and control cost and quality. Testing Procedure Prior to beginning work at each site, in phase I of this project there will be a complete testing of each door in their existing condition. Any discrepancies that require hardware to be replaces will be noted and accounted for in phase ||of this project. The|asthwopagesareexannp|esofthetvxotypesofdoorsvvevvi|| be working on. Once the door has been moved from the old system and put online with the new Open Options server the door will be tested again to ensure that the door performs the same or better on the new system. The following isamexample form that will be completed in the pre-test phase as well asthe post swap phase City of Schertz 17 City of chertz 18 imilloollimillillillis tuuu0000ttttru Illllllillllllllli City of chertz 18 1-1012• To facilitate minimal downtime DAC will utilize a hot cutover procedure. We will leave the existing panel up and operational throughout the cutover. Once our new hardware is installed and programmed, we will cut the doors over for the facility we are working that day ONE at a time. Any door that is being cutover should not be down for more than five minutes, and during those five minutes there will be a DAC technician on a ladder standing at the door. Once the Head End technician transfers the wiring the Door technician will test his door following the steps listed above in "Testing Procedures." Preliminary Project Sequence Below is a sample schedule that will be adjusted when the project is awarded: 1. PROJECT AWARD a. Acknowledgement of Contract Award 2. KICKOFF MEETING a. Meet @ Customer Location — b. Discuss responsibilities and requirements of both parties c. Customer to provide one (1) available switch port and one (1) IP address per building for the new Open Options controller to be installed d. Customer to begin working toward a final user database for system setup e. Begin determining a building sequence schedule for installation 3. DESIGN a. Review and revise existing customer drawings as needed b. Submit revised drawings to customer for approval c. Expected date of customer approval City of Sc hertz 19 4. MATERIAL PROCUREMENT a. Open Options b. Misc. Equipment 5. PRETEST EXISTING SYSTEM a. Physically test each access controlled door for operation —Log results for review 6. PROJECT COMPONENTS— PROJECT START a. Secure rack location for ACS server and UPS b. Secure location of new badge printer and customer provided associated workstation c. Rack mount customer provided ACS server and UPS d. Load operating software on customer provided ACS server and client workstations. e. Install badge printer and client software on customer provided workstation f. Powerup and test operation of ACS server, workstation(s), badge printer and UPS g. Meet with City of Schertz to secure existing customer user database for ALL buildings h. Review and revise (as needed) customer user database with the City of Schertz i. Load customer user database on ACS server j. Verify operation of customer user database k. Secure building sequence schedule from the City of Schertz I. Verify and test operation of network link between server location and associated buildings in sequence schedule. m. Verify system operation of existing system within building sequence (Document / Review) n. Install new Open Options controller and associated headend equipment along side the existing ACS equipment as to not disturb operation of existing ACS equipment o. Establish communications between new Open Options controller and ACS server p. Program new Open Options controller with database for the associated building in sequence q. Begin moving ACS doors in a "hot swap" method from the existing controller onto the new Open Options controller r. Test and verify operation of each door as it is moved over to the new Open Options controller s. Verify operation of various customer access cards with ACS doors t. Verify operation of each ACS door before leaving building u. Review and qualify system setup with customer v. Provide system training with customer 7. PROJECT CLOSEOUT a. Update and prepare customer as -built drawings b. Prepare closeout documents c. Deliver closeouts documents to customer 8. CUSTOMER APPROVAL AND ACCEPTANCE a. Customer review of closeout documents b. Customer approval and acceptance c. Customer Signoff City of Schertz 110 Project Team: Operations Manager: ROY CHARBONNEAU I Security Operations Manager CAC, Inc. 1 2090 North IH 35 Suite 5115 1 New Braunfels, TX 78130 o 210.98&60126 1 m 281 507-7014 1 rcharbonnegg�a_-)dac- inc.corn Senior Project Manager: TERRY E. VANN I Senior Project Manager - Central Texas Branch CAC, Inc. 12090 North IH 35 Suite 5115 1 New Braunfels, TX 78130 o210.988.6012 I m210.380.0436 I Lvann dacjnqcom System Specialist: JOE MONTEZ I System Specialist Central Texas Branch DAC, Inc. 12090 North 1H 35 Suite 5115 1 New Braunfels, TX 78130 o 210.988.6012 1 rn 21 0.9263280 1 jMon1gz0d _dac-inc.corn City of Schertz I 1"I This proposal is hereby accepted and D4C' Inc. is authorized to proceed with the scope of work described herein. This document serves as a notice to proceed. DAC payment terms are Net 30 days. Signature Signature Name Name Title Title Date Date City of Schertz 112 FINISH CEILING 6„ /,\ i i FINISH CEILING MOUNT FLUSH GENERAL NOTES: 1. THIS INSTALLATION SHALL BE GOVERNED BY ALL APPLICABLE CODES, ORDINANCES AND AUTHORITIES HAVING JURISDICTION. ALL ACCESS CONTROLLED DOORS SHALL OPERATE WITHOUT ANY SPECIAL KNOWLEDGE OR EFFORT. MEANS OF EGRESS FROM AN ACCESS CONTROLLED DOOR SHALL BE NO MORE THAN ONE OPERATION. 2. ELECTRONIC STRIKES SHALL BE 121 24 VDC, AND SHALL OPERATE IN A "FAIL- SECURE" CONFIGURATION. INSTALLED "FAIL - SAFE" CONFIGURATIONS SHALL BE CONNECTED TO A POWER SUPPLY INTERFACED WITH THE FIRE ALARM SYSTEM. FIRE ALARM RELEASE RELAY (FURNISHED BY FIRE ALARM CONTRACTOR) IS REQUIRED WITHIN T -0" OF THE SOURCE POWER SUPPLY. 3. ELECTRONIC STRIKE LOCKS AND SECURED DOOR HARDWARE MUST PROVIDE A FREE MECHANICAL EGRESS OPERATION. 4. REQUEST TO EXIT MOTION SENSOR PROVIDES DOOR POSITION ALARM SHUNT ONLY. THE REQUEST TO EXIT MOTION MAY OR MAY NOT BE CONFIGURED TO RELEASE THE STRIKE UPON APPROACH UNLESS REQUIRED TO BE IN COMPLIANCE WITH LOCAL CODES. 5. A FIRE ALARM PULL STATION, (DPDT, FURNISHED BY FIRE ALARM CONTRACTOR), OR AN EMERGENCY DOOR RELEASE PULL STATION MAY BE REQUIRED IN SOME INSTALLATIONS TO PROVIDE PRIMARY EMERGENCY POWER INTERRUPT OR DISCONNECT. REFER TO THE LOCAL CODES AND AUTHORITY HAVING JURISDICTION FOR SPECIFIC REQUIREMENTS. O O D O .O V .O V _O W m D L Q% E Z O N E m Z N 11. To Acwms Control P mee cell -- Junction box above door with edge panel Integrated Lockset with Built in DIPS and Egress Electronic transfer hinge GENERAL NOTES: 1. THIS INSTALLATION SHALL BE GOVERNED BY ALL APPLICABLE CODES, ORDINANCES AND AUTHORITIES HAVING JURISDICTION. ALL ACCESS CONTROLLED DOORS SHALL OPERATE WITHOUT ANY SPECIAL KNOWLEDGE OR EFFORT. MEANS OF EGRESS FROM AN ACCESS CONTROLLED DOOR SHALL BE NO MORE THAN ONE OPERATION. 2. ELECTROMAGNETIC LOCKS SHALL BE 12/ 24 VDC, AND OPERATE IN A "FAIL- SAFE" CONFIGURATION UNLESS OTHERWISE PRE- APPROVED BY THE LOCAL AUTHORITY HAVING JURISDICTION. FIRE ALARM RELEASE RELAY (FURNISHED BY FIRE ALARM CONTRACTOR) IS REQUIRED WITHIN T -0" OF THE SOURCE POWER SUPPLY. 3. INITIATION OF DELAY EGRESS SYSTEM SHALL BEGIN AN IRREVERSIBLE TIME DELAY SEQUENCE OF [15] OR [30] SECONDS (APPLICABLE CODE). THE LOCK SHALL RELEASE WHEN THE INITIATE TIME DELAY EXPIRES TO ALLOW EGRESS. DELAY EGRESS LOCKS SHALL BE FAIL SAFE. 4. SURFACE MOUNT OPERATING DOOR HARDWARE ONLY. NO INTERNAL PINNING OR MANUAL LOCKING DEVICES MAY BE USED WITHOUT PRIOR APPROVAL OF THE LOCAL AUTHORITY HAVING JURISDICTION. 5. REQUEST TO EXIT PUSH BUTTON SHALL OPERATE INDEPENDENTLY OF THE ACCESS CONTROL SYSTEM ELECTRONICS TO PROVIDE DIRECT POWER RELEASE OF LOCK. b. A FIRE ALARM PULL STATION, (DPDT, FURNISHED BY FIRE ALARM CONTRACTOR), OR AN EMERGENCY DOOR RELEASE PULL STATION MAY BE REQUIRED IN SOME INSTALLATIONS TO PROVIDE PRIMARY EMERGENCY POWER INTERRUPT OR DISCONNECT. REFER TO THE LOCAL CODES AND AUTHORITY HAVING JURISDICTION FOR SPECIFIC REQUIREMENTS. i O O a O N V O J .a O c� C N m D N L Q% E Z O N E m Z N LL ei Olum City Council August 11, 2020 Meeting: Department: Police Department Agenda No. 8. Subject: Ordinance No. 20 -H -25 - Consideration and /or action approving an Ordinance by the City Council of the City of Schertz, Texas, amending the Code of Ordinances, Chapter 34 "Health ". First Reading (C. Kelm /M. Bane) City staff were tasked with reviewing the possibility of the City accepting health and fire inspections from other Texas municipal or county health and fire inspection agencies. This would allow mobile food vendors with current health and fire permits from other Texas municipal or county inspection agencies to forgo a health and fire inspection by the City of Schertz. With this, the Mobile Food Vendors wishing to operate within the City of Schertz would only have to register with the City of Schertz, at which time they would have to provide their current health and fire inspection permits. Those that do not have current health and fire inspection permits would be subject to health and fire inspections performed by the City of Schertz. GOAL To provide clearly defined guidelines for Mobile Food Vendors that wish to operate within the City of Schertz. COMMUNITY BENEFIT N/A SUMMARY OF RECOMMENDED ACTION To review, discuss and take possible action, to include the possible approval of the ordinance as written. FISCAL IMPACT With the City of Schertz not performing inspections for Mobile Food Vendors with current health and fire inspection permits from other Texas municipal or county inspection agencies, there will be a loss of revenue related to the fees charged for the City of Schertz performing inspections. RECOMMENDATION Recommend approval of Ordinance 20 -H -25. Attachments Ordinance 20 -H -25 Red Line Changes ORDINANCE NO. 20 -H -25 AN ORDINANCE BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AMENDING CHAPTER 34 HEALTH AMENDING PARTS OF ORDINANCES IN CONFLICT WITH THIS ORDINANCE; AND PROVIDING AN EFFECTIVE DATE WHEREAS, the City staff of the City of Schertz (the "City ") has recommended that the City Council approve the amended Chapter 34 "Health" as our ordinance is in need of updating to address current changes related to Mobile Food Vendors. WHEREAS, the City staff has provided and updated Chapter 34, attached hereto as Exhibit A. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS: Section 1. Chapter 34, "Health" of the City's Code of Ordinances is hereby revised and amended as set out in Exhibit A attached hereto. Section 2. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Ordinance for all purposes and are adopted as a part of the judgment and findings of the Council. Section 3. All ordinances and codes, or parts thereof, which are in conflict or inconsistent with any provision of this Ordinance or the Amended and Restated Unified Development Code authorized herein are hereby repealed to the extent of such conflict, and the provisions of this Ordinance shall be and remain controlling as to the matters resolved herein. Section 4. This Ordinance shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 5. If any provision of this Ordinance or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Ordinance and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City hereby declares that this Ordinance would have been enacted without such invalid provision. Section 6. It is officially found, determined, and declared that the meeting at which. this Ordinance is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Ordinance, was given, all as required by Chapter 551, as amended, Texas Government Code. Section 7. This Ordinance shall be effective upon the date of final adoption hereof and any publication required by law. PASSED ON FIRST READING, the I I th day of August, 2020. PASSED, APPROVED and ADOPTED ON SECOND READING, the day of , 2020. Ralph Gutierrez, Mayor City of Schertz, Texas Brenda Dennis, City Secretary, City of Schertz, Texas (Seal of City) Chapter 34 - HEALTH Footnotes: --- (1) --- State Law reference— General authority of home -rule municipalities to protect public health, Tex. Health and Safety Code, § 122.066; authority of home -rule municipalities concerning sanitation and health, Tex. Health and Safety Code, § 341.081. ARTICLE I. - IN GENERAL Sec. 34 -1. - Appointment of health official. The health official shall be appointed by the city manager. All activities of the health official shall be coordinated through the director of development services. (Ord. No. 03 -H -09, § 7% -1, 3 -4 -2003; Ord. No. 07-H-32,1, 7 -3 -2007) Sec. 34 -2. - Duties and powers of the health official. (a) Generally. The health official is hereby authorized and directed to enforce the provisions of this chapter and other related ordinances of the city. The health official shall have the authority to render interpretations of this chapter and to adopt policies and procedures in order to clarify the application of its provisions. Such interpretations, policies and procedures shall be in compliance with the intent and purpose of this chapter and shall not have the effect of waiving requirements specifically provided for in this chapter. (b) Health official qualifications. The health official shall either: 1) Be a Registered Professional Sanitarian in Texas or a Sanitarian -in- Training as defined in Title 25, Section 265.142 of the Texas Administration Code, or 2) Meet the Food and Drug Administration Voluntary National Retail Food Regulatory Program Standards basic curriculum and field training elements, as accepted by the Texas Department of Health. (c) Assistant inspector appointment and qualifications. The director of development services, with the approval of the city manager, may appoint such additional officers, inspectors, assistants, and other employees as shall be authorized from time to time. Such employees shall hold a code enforcement license issued by the Texas Department of Health and have such powers as are delegated by the health official. (d) Inspection agencies. The director of development services is authorized to accept reports of approved inspection agencies, provided such agencies satisfy the city's established requirements as to qualifications and reliability. (e) Fees and salary. The fees, salary, or both for the health official shall be set in the annual budget of the inspection department approved by the city council. All fees shall be as set forth in section 34 -3 of this chapter, as modified from time to time. (f) Reports. The health official shall give attention to the health and sanitary conditions of the city and report to the city manager and the city council once each month, making recommendations as necessary conducive to the cleanliness of the city and the general health of the citizens. (g) Right of entry. It shall be unlawful for any person to interfere, hinder, or delay the health official, deputies, inspectors, or officers in the discharge of any duties under this chapter or to refuse to comply with the orders of the health official. The health official shall issue all necessary notices or orders to ensure compliance with this chapter. (h) Orders of correction. The health official shall have the authority whenever, in his or her opinion, a nuisance detrimental to health exists to cause the same to be abated or removed. (i) Appeals. The city manager shall hear and decide on all appeals or orders, decisions, or determinations made by the health official relative to the application and interpretation of this chapter. (j) Liability. The health official and other city employees charged with the enforcement of this chapter shall not be held personally liable for any damage accruing to persons or property as a result of any act or omission while performing the duties required by this chapter, so long as such health official or other city employee is acting in good faith and without malice. (Ord. No. 03 -H -09, § 7% -2, 3 -4 -2003; Ord. No. 07-H-32,1, 7 -3 -2007) Sec. 34 -3. - Permit fees. Exhibit 1. Fees .00 ..... e e s erft y 4oz e u ,rra 4i & $ 5 GO (Ord. No. 03 -H -09, Exh.1, 3 -4 -2003; Ord. No. 07 -H -32, Exh. 1, 7 -3 -2007) Editor's note— Ord. No. 07 -H -32, Exh. 1, adopted July 3, 2007 amended information in the Code set out at the end of Chapter 34 as Exhibit 1. FEES. Since this ordinance was not specifically amendatory and the fees set out herein affect different sections within this chapter the information herein has been set out as a new section 34 -3, at the discretion of the editor. Secs. 34- 4- 34 -21. - Reserved. ARTICLE II. - FOOD ESTABLISHMENTS Footnotes: --- (2) --- State Law reference— Municipal regulatory authority concerning food service employees not preempted by state regulation, Tex. Health and Safety Code, § 438.037; municipality which is member of public health district not prohibited from regulating or administering permit system concerning food service establishments, Tex. Health and Safety Code, § 437.004(d). Sec. 34 -22. - Adoption of Texas Food and Beverage Establishment Rules. A person operating a food establishment, vending machine, mobile food establishment, temporary event, farmers market, or farmers market vendor booth shall comply with this chapter and, the city adopts the Texas Administrative Code Title 25, Part 1, Chapter 228 (Texas Food Establishment Rules) and Chapter 229, Subchapter N (Current Good Manufacturing Practice And Good Warehousing Practice In Manufacturing, Packing And Holding Human Food). (Ord. No. 07-H-32,11, 7 -3 -2007; Ord. No. 17-M-10, § 1, 3 -7 -2017) Sec. 34 -23. - Definitions. The following words, terms and phrases, when used in this article, shall have the meanings, ascribed to them in the section, except where the context clearly indicates a different meaning: Authorized agent or employee means the health official and any deputies, assistant inspectors, or other officers representing the City of Schertz pursuant to this article. Food and /or beverage establishment means a food and /or beverage service establishment, a retail food and /or beverage store, a temporary food and /or beverage establishment, a mobile food and /or beverage unit and /or a roadside food and /or beverage vendor. Food and /or beverage handler means any person, including cook, cook's helper, waiter, waitress, dishwasher, bartender, barmaid, busboy or any other person, whether compensated or not, engaged in the delivery, storing, preparation, dispensing or serving food or beverages for human consumption, or who engages in the handling, use, cleaning or preparation for use of any pots, pans, grills, skillets, plates, trays, eating and drinking equipment /utensils, or similar wares on which such foods or beverages are prepared, dispensed or served. Mobile Food Permit Registration means a mobile food vendor with a current and valid mobile food unit health permit from another Texas municipal or county health inspection agency that registers to operate within the city limits of Schertz. Mobile Food Vendor shall mean a food service vendor that operates a vehicle- mounted or wheeled unit that is capable of being readily moveable. Permit means a license to operate a food and /or beverage establishment within the City of Schertz for a specified period of time for a stated fee as established in section 34 -3 of this chapter. Regulatory authority means the City of Schertz. State rules means rules described in section 34 -22. These rules are also known as the Texas Food Establishment Rules. Temporary food establishment means a food establishment that operates for a period of no more than 14 consecutive days in conjunction with a single event or celebration. (Ord. No. 03 -H -09, § 7% -3, 3 -4 -2003; Ord. No. 07-H-32,1, 7 -3 -2007) Sec. 34 -24. - Inspection of food and beverage establishment. (a) In addition to the rules adopted in section 34 -22, the City of Schertz adopts by reference the provisions of current rule or rules as amended by the Texas Board of Health found in Title 25 of the Texas Administrative Code, Chapter 217, Milk and Dairy, subchapter C, rules for Manufacture of Frozen Desserts; rule 217.65, Examination and Standards for Frozen Desserts. (c) In case of any items of violation identified by or brought to the attention of the health official, the person in charge of such establishment or vending unit shall be advised of the violation. A second inspection will be made after a lapse of sufficient time, as the health official deems sufficient for correction of the violation. Any violation of the same provision on such second inspection shall call for an immediate suspension of the food and /or beverage establishments permits or revocation of the mobile food permit registration. (d) In the interest of public clarification, the results from compiling the inspection report will be converted to a letter grade with the letter "A" being the highest level of food service operation and "F" being lowest. The criteria for the various certificates are: Grade "A" Attain sanitation score of 90 or above; Grade "B" Attain sanitation score of 89 - 80; Grade "C" Attain sanitation score of 79 - 70; Grade "D" Attain sanitation score of 69 -60; Grade "F" Attain a sanitation score of 59 or below. (e) An inspection certificate or mobile food permit registration shall be issued and a copy shall be posted by the establishment and posted immediately at some conspicuous location near the front of the premises where it will be clearly visible to all patrons. The certificate or registration shall not be defaced and may not be removed by any person except the health official. Violation of this section shall be a Class C misdemeanor punishable by a fine not to exceed $200.00 per day that the certificate is removed, moved or defaced and /or suspension of the food establishment permit for 30 days. The health official shall permit the owner to correct any noncritical infractions within no more than 24 hours. If the health official determines that the infraction is of an immediate threat to the public health, there shall be no grace period for correction. Repeat violations may result in higher point deduction. (Ord. No. 03 -H -09, § 7% -4, 3 -4 -2003; Ord. No. 07-H-32,1, 7 -3 -2007; Ord. No 12 -H -14, §§ 1, 2, 6 -26 -2012 ) Sec. 34 -25. - Food handler sanitation training course. It shall be unlawful for any employer to employ any person to be employed as a food handler without such employee having completed a city food handler sanitation training course within two weeks of employment or the next such course scheduled thereafter. Satisfactory completion of a city food handler sanitation training course constitutes authority to permit a person to accept employment or work in, around, or about all food and beverage establishments for a period of one year. Exception: All volunteers within a nonprofit organization shall not be required to attend such course, but all food preparation and serving activities must be directly supervised by someone who has satisfactorily completed a City of Schertz food handler sanitation training course. (Ord. No. 03 -H -09, § 7% -5, 3 -4 -2003) Sec. 34 -26. - Examination and condemnation of unwholesome or questionable food or drink. (a) Samples of food, drink and other substances shall be taken and examined by the health official as often as he deems necessary for the detection of unwholesomeness and deleterious qualities. The health official may condemn and forbid the sale of or cause to be removed or destroyed, any food or drink which is unwholesome or deleterious. (b) Any food which appears to the health official to be of a questionable nature from the standpoint of wholesomeness or possible deleterious quality may be held for further examination by attaching a "City of Schertz Retained" tag to the item(s) foodstuffs so retained and may not be removed or disturbed without the permission of the health official. The city health official shall promptly proceed by examination, laboratory or otherwise to determine the wholesomeness of such food. As soon as such wholesomeness has been determined, such food must be immediately released. If however, such food is found to be unwholesome or deleterious, the health official must promptly condemn such food as herein stated and shall file petition in a court of competent jurisdiction for injunction to restrain the owner from selling such condemned food and to obtain order for destruction of such unwholesomeness or deleterious food or drink. (Ord. No. 03 -H -09, § 7% -6, 3 -4 -2003) Sec. 34 -27. - Procedure when infection suspected. When suspicion arises as to the possibility of transmission of infection from any food and beverage establishment employee, the health official is authorized to require any or all of the following measures: 1) The immediate exclusion of the employee from all food and beverage establishments. 2) The immediate closing of the food and beverage establishment concerned until no further danger of disease outbreak exists in the opinion of the health official. 3) Adequate medical examination of the employee and of his associates with such laboratory examinations as may be indicated. (Ord. No. 03 -H -09, § 7% -7, 3 -4 -2003) Sec. 34 -28. - Permits. (c) Mobile Food Vendors who have a valid food health permit and fire safety inspection from another Texas municipal or county health and fire inspection agency will have their registration fee waived, but will be required to register with the City of Schertz. (d) All permits and city registrations may be suspended or revoked by the health official upon the violation by the holder of any of the terms of this article, following which, unless corrections are immediately made, action may be instituted in the name of the city in any court of competent jurisdiction to obtain a restraining order or permanent injunction preventing such person from operating unless immediate compliance with the provisions of this article is obtained. Revocation of a permit or mobile food permit registration for any cause whatsoever is still affected by the issuance of the statement that the permit or mobile food permit registration may be made at any time and will be approved provided that full compliance of the provisions of this article is accomplished. (e) Whenever a food and /or beverage establishment is constructed or extensively remodeled or whenever an existing structure is converted to use as a food and /or beverage establishment, properly prepared plans and specifications for such construction, remodeling or conversion shall be submitted to the city for review before work is begun. Extensive remodeling means that 20 percent or greater of the area of the food and /or beverage establishment is to be remodeled. The plans and specifications shall indicate the proposed layout, equipment arrangement, mechanical plans and construction materials of work area, and the type of model of proposed fixed equipment and facilities. The city will approve the plans and specifications if they meet the requirements of the rules contained in this article. The approved plans and specifications must be followed in construction, remodeling or conversion prior to opening for business; each new establishment will be inspected by the health official to ensure compliance with this article. (Ord. No. 03 -H -09, § 7% -8, 3 -4 -2003; Ord. No. 07-H-32,1, 7 -3 -2007) Sec. 34 -29. - Penalty. Any person, firm, corporation or agent who shall violate a provision of this article, or fail to comply therewith, or with any other requirements thereof, shall be guilty of a Class C misdemeanor. Such person shall be considered guilty of a separate offense for each and every day or portion thereof during which any violation of any of the provisions of this article is committed or continued, and upon conviction of any such violation, such person shall be punished by a fine not to exceed $2,000.00. (Ord. No. 03 -H -09, § 111, 3 -4 -2003; Ord. No. 07-H-32,1, 7 -3 -2007) ei IRIUM City Council August 11, 2020 Meeting: Department: Finance Agenda No. 9. Subject: Resolution No. 20 -R -84 - Consideration and /or action approving a Resolution by the City Council of the City of Schertz, Texas, authorizing a preliminary maximum tax rate for fiscal year 2020 -21 and setting the Public Hearing dates, and other matters in connection therewith. (M. Browne /B. James /J. Walters) BACKGROUND On July 27, 2020 the City received the certified property tax rolls from the Guadalupe, Comal, and Bexar appraisal districts. The Guadalupe Tax Assessor - Collector used this information, and information provided by the City of Schertz, to calculate the No- new - revenue and Voter - approval tax rates for the 2020 Tax Year. The No- new - revenue rate is a calculated rate that would provide the city with about the same amount of revenues it received the year before on properties taxed in both years. The Voter - approval Rate is a calculated maximum rate allowed by law without voter approval. If Council adopts a rate higher than the Voter Approval Rate, the tax rate will automatically be on the November 2020 ballot. The 2020 No- new - revenue Rate is $0.5079 per $100 of valuation and the 2020 Voter - approval Rate is $0.5247per $100 of valuation. Staff is recommending a preliminary maximum property tax rate of $0.5146 per $100 which is the same as the current tax rate. In accordance with Chapter 26.05(d) of the State's Property Tax Code, a governing body must hold a public hearing on the tax rate if the proposed tax rate exceeds the lower of the No- new - revenue or Voter - approval Tax Rate. In this case, the hearing is required as the proposed rate does exceed the No- new - revenue rate. Staff recommends holding public hearings on August 25h and September 1 st and encourages citizen participation and input in the adoption process. A one - quarter page "Notice of Public Hearing on Tax Increase" must be published in the local newspaper and online in compliance with the Tax Code 26.06. The notice will contain information based upon a preliminary tax rate to be determined by the City Council and the dates of the public hearings. During the final tax rate adoption process Council can approve a lower rate at that time, however they will not be able to approve a higher rate without republishing the notices and holding additional public hearings. GOAL To set a preliminary maximum tax rate for the 2020 Tax Year. C01104 1U 111 01111 I1 d:1 010101 DIY Y Setting a tax rate provides funding for essential services. Staff recommends council set the preliminary maximum tax rate at $0.5146 and schedule public hearings. FISCAL IMPACT The proposed maximum rate maintains quality service to residents and businesses and provides growth in service offerings based on the classification and compensation study, staffing study and City priorities. The current property tax rate is $0.51.46 per $100 valuation. The proposed maximum tax rate is $0.5146 per $100 valuation. The M &O portion of the property tax rate will decrease to $0.3495 from $0.3496 per $100 valuation. The I &S portion will increase to $0.1651 from $0.1.650 per $100 valuation. The annual impact on the average home value of $244,500 will be a $17 increase in the tax bill or $1.42 increase in monthly escrow payments. Staff recommends Council approve resolution 20 -R -84, setting a preliminary tax rate and scheduling public hearings. Attachments Resolution 20 -R -84 RESOLUTION NO. 20 -R -84 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AUTHORIZING A PRELIMINARY MAXIMUM TAX RATE FOR FISCAL YEAR 2020 -21, AND OTHER MATTERS IN CONNECTION THEREWITH WHEREAS, the City staff of the City of Schertz (the "City ") has recommended that the City Council approve a preliminary maximum tax rate for Fiscal Year 2020 -21; and WHEREAS, the City Council has determined that it is in the best interest of the City to establish a preliminary maximum tax rate. BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS 11 :01%I� Section 1. The City Council hereby authorizes a preliminary maximum tax rate of $.5146 per $100 valuation which is composed of the Maintenance & Operation Tax Rate of $0.3495 and the Interest & Sinking Tax Rate of $0.1651. Section 2. The public hearings on the budget and tax rate will be held on August 25th and September Ist, 2020. Section 3. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Resolution for all purposes and are adopted as a part of the judgment and findings of the City Council. Section 4. All resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Resolution are hereby repealed to the extent of such conflict, and the provisions of this Resolution shall be and remain controlling as to the matters resolved herein. Section 5. This Resolution shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 6. If any provision of this Resolution or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Resolution and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City Council hereby declares that this Resolution would have been enacted without such invalid provision. Section 7. It is officially found, determined, and declared that the meeting at which this Resolution is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Resolution, was given, all as required by Chapter 551, Texas Government Code, as amended. Section 8. This Resolution shall be in force and effect from and after its final passage, and it is so resolved. PASSED AND ADOPTED, this 11th day of August, 2020. CITY OF SCHERTZ, TEXAS Mayor, Ralph Gutierrez ATTEST: City Secretary, Brenda Dennis (CITY SEAL) 50506221.1 - 2 - ei IRIUM City Council August 11, 2020 Meeting: Department: Finance Agenda No. 10. Subject: Ordinance No. 20 -T -27 - Consideration and /or action approving an Ordinance by the City Council of the City of Schertz, Texas, authorizing an adjustment to the fiscal year 2019 -2020 budget, repealing all Ordinances or parts of Ordinances in conflict with this Ordinance; and providing an effective date. First Reading (M. Browne /B. James /J. Walters) This budget adjustment is proposed to recognize $165,000 in insurance payments the City received for the old platform and hire a new Emergency Management Coordinator. The platform was hit while stopped on a call and was totaled by the insurance agency. The City received $165,000 in insurance. These funds will be recognized and the budget increased to purchase replacement equipment to outfit the new platform for $132,901 and increase the Fire Rescue Budget by $32,099 to fund the 1956 Fire Engine remodel and outfitting the new bloeker engine the city purchased from Converse. Staff is proposing to approve a new Emergency Management Coordinator position to oversee the City's emergency operations center, emergency policy and procedures, and grant writing. This position can be funded from the CARES act in the current fiscal year and is proposed to be funded in the proposed FY 2020 -21 budget. The primary role of the Emergency Management Coordinator is to help the community, the city, and organizations by having a system in place for anticipated hazards and area vulnerability. In addition, the EMC is a position that wears many hats and is someone who builds relationships and networks with internal and external stakeholders during non - disaster or emergency times while playing a crucial role in compliance and coordination within the EMC job scope. This position will ensure we are ready in regards to Mitigation, Preparedness, Response, and Recovery in the event of a disaster, large scale emergency, multi jurisdictional emergencies, as well as pandemics like COVID 19. The emergency manager must develop relationships with other local, state, and federal emergency response agencies /organizations in order to better facilitate inter - agency operations during emergency and non - emergency periods. The emergency manager is also responsible for raising community awareness of emergency preparedness and response by bringing in volunteers from the community to help in administrative functions or as trained, volunteer community responders. In developing community volunteer assistance, the emergency manager can effectively augment the emergency response force and relieve some of the burden from professional responders. Additionally, the standalone Emergency Manager will also allow greater opportunities to create and develop joint training exercises with regional partners, as well as developing region wide community preparedness events. At present, the EMC responsibilities are handled by the Fire Chief which in turn causes a significant division of that position's time. With the geographic location of Schertz being in three counties, it requires the emergency manager to attend approximately 11 meetings a month in order to maintain compliance and cooperation across all three while continuing to develop and grow our regional partnerships. Texas Department of Emergency Management Annexation review requires updates to our Emergency Operations Plan and related annexes annually. To be effective, this updating process must be a proactive, streamlined, and continually ongoing course of events that are strategically planned out during the course of the year. When this proactive process occurs, it will greatly improve our abilities during the most difficult of time while freeing up time for department heads and EM team members to focus on their primary jobs. The emergency manager plays an essential role in pre, during, and post organizational preparation and recovery to emergency management necessitated response. This position in cooperation with a finance department liaison ensures all emergency management requirements and needs are met for the successful coordinating of state and federal reimbursement efforts. Examples of what this position is tasked with in order to enhance our efforts in mitigation, preparedness, response, recovery, planning, exercising, and training: • Planning tabletop and full-scale disaster exercises as required by TDEM • Grant writing, management, tracking, and reporting for Homeland, FEMA, and state. • Attend all Regional Emergency Preparedness Advisory Committee (REPAC) meetings. • Attend and participate in Emergency Management meetings for all three counties. • Form, manage, and maintain partnerships with community stakeholders • Form manage and maintain relationships with local, state and federal government and their respective officials • Champion regional cooperation of all first responders The City of Schertz hiring an Emergency Manager will help make us more resilient for future disasters and pandemics. Grant money is available from TDEM and FEMA to help offset the salary and benefits of an emergency manager in an amount up to 50% of the cost. In addition, the Emergency Manager can assist the City in finding grant opportunities that has the possibility of bringing in more money to the City than the cost of their position. GOAL To approve the budget adjustment ordinance to hire the Emergency Management Coordinator and recognize the $165,000 insurance payment from the platform. COMMUNITY BENEFIT The Emergency Management Coordinator will provide a higher level of awareness and expertise prepare for emergency situations and directing staff to maximize benefits during an event. The additional insurance funds will help outfit the new platform engine and help outfit the blocker engine to prevent any future accidents on active engines during a response. SUMMARY OF RECOMMENDED ACTION Staff recommends approval of Ordinance 20-T-27. I W 0WR 0 1 LVA I WIXOM The Emergency Management Coordinator annaul estimated weighted cost will be estimated at $113,000 and paid for by the CARES act funding until December 31 st before it will be covered by the City's FY 2020-21 Proposed Budget. The $165,000 insurance payment will cover equipment purchases and outfitting of engines in the Fire Department. RECOMMENDATION Staff recommends approval of Ordinance 20-T-27. Attachments Ordinance 20-T-27 10 ' ,111 1 1 1 I AN ORDINANCE BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS AUTHORIZING AN ADJUSTMENT TO THE FISCAL YEAR 2019 -20 BUDGET, REPEALING ALL ORDINANCES OR PARTS OF ORDINANCES IN CONFLICT WITH THIS ORDINANCE; AND PROVIDING AN EFFECTIVE DATE WHEREAS, pursuant to Ordinance 19 -T -23, the City of Schertz (the "City ") adopted the budget for the City for the fiscal year 2019 -2020 (the "Budget), which provides funding for the City's operations throughout the 2019 -2020 fiscal year; and WHEREAS, the City needs to authorize the hiring of a new Emergency Management Coordinator to be funded by the CARES Act for FY 2019 -20; and WHEREAS, the City needs to recognize $165,000 of insurance payments received for the claim on the old platform to be used for equipment purchase; WHEREAS, City staff recommends that the City Council of the City adjust the Budget and approve the ordinance; and WHEREAS, the City Council of the City has determined that it is in the best interest of the City to adjust the Budget and approve the hiring of the new Emergency Management Coordinator position and recognize an additional $165,000 in equipment purchases from insurance funds received, as more fully set forth in this Ordinance. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS: Section 1. The City shall authorize the hire of a new Emergency Management Coordinator position to be effective immediately. Section 2. The City shall budget for equipment purchases by $165,000 for the insurance money received with $132,901 to outfit the new platform and $32,099 to remodel the 1956 Fire Engine and outfit the new blocker engine. Section 3. The City shall reallocate $109,829.69 of the funds for the Playscape Restroom from fiscal year 2016 -17 to fiscal year 2017 -18. Section 4. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Ordinance for all purposes and are adopted as a part of the judgment and findings of the Council. Section 5. All ordinances and codes, or parts thereof, which are in conflict or inconsistent with any provision of this Ordinance are hereby repealed to the extent of such conflict, and the provisions of this Ordinance shall be and remain controlling as to the matters resolved herein. Section 6. This Ordinance shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 7. If any provision of this Ordinance or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Ordinance and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City hereby declares that this Ordinance would have been enacted without such invalid provision. Section 8. It is officially found, determined, and declared that the meeting at which this Ordinance is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Ordinance, was given, all as required by Chapter 551, as amended, Texas Government Code. Section 9. This Ordinance shall be effective upon the date of final adoption hereof and any publication required by law. PASSED ON FIRST READING, the l lth day of August, 2020. PASSED, APPROVED and ADOPTED ON SECOND READING, the 25th day of August, 2020. CITY OF SCHERTZ, TEXAS Mayor ATTEST: City Secretary (CITY SEAL) 50558021.1 - 2 -