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21-R-18 - Seminnual Reports with respect to the Progress of the Capital Improvements planRESOLUTION NO. 21 -R -18 A RESOLUTION BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS ACCEPTING THE SEMIANNUAL REPORTS WITH RESPECT TO THE PROGRESS OF THE CAPITAL IMPROVEMENTS PLAN, AND OTHER MATTERS IN CONNECTION THEREWITH WHEREAS, the Capital Improvements Advisory Committee has reviewed the revenue and expenditures relating to the established Capital Recovery Fees in accordance with the Capital Improvements Plan for the City of Schertz; and WHEREAS, the City Council accepts the Semiannual Reports as filed by the Capital Improvements Advisory Committee in accordance with Texas Local Government Code Chapter 395; then BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SCHERTZ, TEXAS THAT: Section 1. The City Council hereby accepts the Capital Recovery Balance Report with respect to the progress of the Capital Improvements Plan for the City of Schertz, Texas for the periods of April 1, 2020 through September 30, 2020 as shown in the attached Exhibit A and the draft minutes of the November 13, 2020 City of Schertz Capital Improvements Advisory Committee as shown in the attached Exhibit B. Section 2. The recitals contained in the preamble hereof are hereby found to be true, and such recitals are hereby made a part of this Resolution for all purposes and are adopted as a part of the judgment and findings of the City Council. Section 3. All resolutions, or parts thereof, which are in conflict or inconsistent with any provision of this Resolution are hereby repealed to the extent of such conflict, and the provisions of this Resolution shall be and remain controlling as to the matters resolved herein. Section 4. This Resolution shall be construed and enforced in accordance with the laws of the State of Texas and the United States of America. Section 5. If any provision of this Resolution or the application thereof to any person or circumstance shall be held to be invalid, the remainder of this Resolution and the application of such provision to other persons and circumstances shall nevertheless be valid, and the City Council hereby declares that this Resolution would have been enacted without such invalid provision. Section 6. It is officially found, determined, and declared that the meeting at which this Resolution is adopted was open to the public and public notice of the time, place, and subject matter of the public business to be considered at such meeting, including this Resolution, was given, all as required by Chapter 551, Texas Government Code, as amended. Section 7. This Resolution shall be in force and effect from and after its final passage, and it is so resolved. PASSED AND ADOPTED, this 2nd day of March, 2021. CITY OF SCHERTZ, TEXAS iea� Raf 1 utie z, Mayor ATTEST: LIN Brenda Dennis, City Secretary CITY OF SCHERTZ CAPITAL RECOVERY IMPACT FEE REPORT APRIL 1, 2020 TO SEPTEMBER 30, 2020 Apr 1, 2020 to Sept 30, 2020 ************"* IMPACTS FEES ***** * *** * * * ** Water Sewer Total Beginning Allocated Impact Fee Balance 1,161,122.42 152,267.99 1,313,390.41 Net Change in Allocted Impact Fees Ending Allocated Impact Fee Balance 1,161,122.42 0.00 1,161,122.42 0.00 152,267.99 152,267.99 Beginning Unallocated Impact Fee Balance 7,080,227.76 7,125,712.81 14,205,940.57 Revenues: 0.00 0.00 0.00 Impact Fees 680,106.00 361,985.48 1,042,091.48 Transfer In 0.00 0.00 0.00 Interest Earned 232.44 118.82 351.26 Investments Income 22,499.69 19,295.03 41,794.72 Misc Income 0.00 0.00 0.00 Reimbursement 0.00 0.00 0.00 Expenses: Advertising 0.00 0.00 0.00 Engineering 0.00 0.00 0.00 Legal Svcs 0.00 0.00 0.00 Professional Services 57,301.03 159,004.84 216,305.87 CCMA- NorthCliffe Impact Fees 0.00 0.00 0.00 Auditor /Accounting Services 0.00 0.00 0.00 Investment Mgt Fee - Sewer 0.00 2,273.24 2,273.24 Transferred Out 0.00 0.00 0.00 Total Revenue Over /(Under) Expense 645,537.10 865,65835 220,121.25 Ending Unallocated Impact Fee Balance 7,725,764.86 7,345,834.06 15,071,598.92 Estimated Cost of Unfunded Projects Corbett Ground Storage Tank NE Quad Distribution Mains Impact Fee Study Update Woman Hollering Trunk Line Cibolo West Trunk Line Impact Fee Study Update Total Unfunded Project Costs 5,000,000.00 1,300,000.00 127,216.28 7,860,000.00 6,000,000.00 156,477.85 6,427,216.28 14,016,477.85 20,443,694.13 Unfunded Projects to Ending Unallocated Impact Fee Balance 2 1,298,548.58 (6,670,643.79) (5,372,095.21) 1 Allocated Impact Fee Balances only include Capital Recovery funds and not funds from any other source. It also assumes Capital Recovery Funds are used first when allocated. 2 Negative Unfunded Projects to Ending Impact Fee Balance to be funded by future revenues or through other sources Capital Recovery Water Projects Capital Improvements Program SE Quad Pump Station SE Quad GST SE Quad Elevated Tank SE Quad Distribution Mains NE Quad Distribution Mains Di: Original Cost Estimate $ 1,688,289 $ 1,100,000 $ 1,250,000 $ 1,700,000 $ 1,600,000 $ Current Project Designation Corbett Ground Storage Tank Corbett Ground Storage Tank Corbett Elevated I Tank - RL1 Corbett Elevated & Ground Tanks Current Cost Estimate $ 5,000,000 1 $ 5,650,000 $ 1,300,000 Capital Recovery Funding /Allocation 2011 2012 2013 $ 12,251.14 2014 $ 500.00 2015 $ 86,166.10 2016 $ 3,050,000.00 2017 $ 6.77 2018 $ 2,081.13 2019 $ 1,375,000.00 2020 $ 120,233.32 Capital Recovery Funding Balance $ $ $ 4,523,917.24 $ $ $ Other Funding Sources $ $ $ 1,022,245.46 $ $ $ Total Project Funding Sources $ $ $ 5,546,162.70 $ $ $ Proiect Annual Expenses First Half 2011 Second Half 2011 First Half 2012 Second Half 2012 First Half 2013 Second Half 2013 $ 12,251.14 First Half 2014 $ 6.77 Second Half 2014 $ 2,081.13 First Half 2015 $ 980.00 Second Half 2015 $ 120,233.32 First Half 2016 $ 87,843.28 Second Half 2016 $ 22,763.75 First Half 2017 _ $ - Second Half 2017 $ 40,403.20 First Half 2018 $ 6,248.00 Second Half 2018 $ 7,485.13 First Half 2019 $ 50,510.63 Second Half 2019 $ 1,994,741.24 First Half 2020 $ 1,385,858.48 Second Half 20_20 $ 1,161,122.42 Total Expenses $ $ $ 4,892,528.49 $ $ $ Allocated Impact Project Fee Balance $ I $ $ $ $ $ Project Balance $ 1 $ $ 653,634.21 $ $ $ Project Status Future Future Ongoing Future Future Capital Recovery Sewer Projects Capital Improvements Program Final South Sewershed Master Plan Town Creek Phase III Town Creek Phase TIVW oman Hollering Creek S TP PH II South Schertz Trunk Lir and Lift Station Original Cost Estimate $ 15,000 $ 659,126 $ 1,000,000 $ 600,000 $ 9,600, Current Project Designation Town Creek Phase III - QA3 Crossvines Batch Plant Expansion - QA4 Woman Hollering Trur Line - QA2 /Q01 Current Cost Estimate $ 931,740 $ 487,848 $ 10,860,1 Capital Recovery Funding/Allocation 2011 2012 2013 2014 $ 82,262 2015 $ 49,861 2016 $ 980.00 $ 17,032 2017 $ 28,743.00 $ 61,364 2018 $ 46,690.62 $ 487,848.00 $ 34,775 2019 $ 5,858.72 $ - $ 5,382 2020 $ 815,683.00 $ 38,315 Capital Recovery Funding Balance $ 1 $ - $ $ 487,848.00 $ Other Funding Sources I Bond 2007 $ 931,739.74 1 Bond 2013 $ 3,000,OOC Total Project Funding Sourced $ I $ 931,739.74 1 S $ 487,848.00 $3,000.000 ProiectAnnual Exoenses First Half 2011 Second Half 2011 First Half 2012 Second Half 2012 $ 82,262 First Half 2013 $ 49,861 Second Half 2013 $ 980.00 $ 17,032 First Half 2014 $ 28,743.00 $ 61,364 Second Half 2014 $ 46,690.62 $ 34,775 First Half 2015 $ 5,858.72 $ 5,382 Second Half 2015 $ 815,683.00 $ 38,315 First Half 2016 $ 33,784.40 $ 121,438 Second Half 2016 $ 83,983 First Half 2017 $ 6,220 Second Half 2017 $ 4,048 First Half 2018 $ 247,870 Second Half 2018 $ 68,609.20 $ 212,479 First Half 2019 $ 225,595.33 $ 56,860 Second Half 2019 $ 41,375.48 $ 225,106 First Half 2020 $ - $ 98,737 Second Half 2020 $ - $ 135,710 Total Expenses $ $ 931,739.74 $ $ 335,580.01 $ 1,481,450. Allocated Impact Project Fee Balance $ $ 1 $ 1 $ 152,267.99 1 $ Project Balance $ $ 1 $ 1 $ 152,267.99 , $ 1,518,549 Project Status Future Complete Future On Going On Going CITY OF SCHERTZ ROADWAY IMPACT FEE REPORT APRIL 1, 2020 TO SEPTEMBER 30, 2020 Apr 1, 2020 to Sept 30, 2020 ROADWAY IMPACTS FEES Area 1 Area 2 Area 3 Area 4 Total Beginning Allocated Impact Fee Balance 0.00 0.00 0.00 0.00 0.00 Net Change in Allocted Impact Fees 0.00 0.00 0.00 0.00 0.00 Ending Allocated Impact Fee Balance 0.00 0.00 0.00 0.00 0.00 Beginning Unallocated Impact Fee Balance 169,631.63 95,690.55 195,504.27 3,570.62 464,397.07 Revenues: Impact Fees 168,062.00 50,072.98 251,891.21 2,696.00 472,722.19 Transfer In 0.00 0.00 0.00 0.00 0.00 Interest Earned 178.29 88.84 238.95 2.83 508.91 Investments Income 0.00 0.00 0.00 0.00 0.00 Misc Income 0.00 0.00 0.00 0.00 0.00 Reimbursement 0.00 0.00 0.00 0.00 0.00 Expenses: Advertising 0.00 0.00 0.00 0.00 0.00 Engineering 0.00 0.00 0.00 0.00 0.00 Legal Svcs 0.00 0.00 0.00 0.00 0.00 Professional Services 0.00 0.00 0.00 0.00 0.00 Auditor /Accounting Services 0.00 0.00 0.00 0.00 0.00 Transferred Out 0.00 0.00 0.00 0.00 0.00 Total Revenue Over /(Under) Expense 168,240.29 50,161.82 252,130.16 2,698.83 473,231.10 Ending Unallocated Impact Fee Balance 337,871.92 145,852.37 447,634.43 6,269.45 937,628.17