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07-29-2014 (City Council) Agenda Packet Gr{,prf r u Wylie City Council 4 .ca Zit NOTICE OF MEETING Special Called Work Session Agenda July 29, 2014 - 6:00 p.m. Wylie Municipal Complex Council Chambers/CouncilConference Room 300 Country Club Road, Building #100 EricHogue.................................................................................Mayor Keith Stephens Mayor Pro Tern Nathan Scott Place 2 Todd Wintters Place 3 Bennie Jones Place 4 William Whitney III Place 5 David Dahl Place 6 Mindy Manson City Manager Richard Abernathy City Attorney Carole Ehrlich City Secretary In accordance with Section 551.042 of the Texas Government Code, this agenda has been posted at the Wylie Municipal Complex, distributed to the appropriate news media, and posted on the City website: www.wylietexas.gov within the required time frame. As a courtesy, the entire Agenda Packet has also been posted on the City of Wylie website: www.w lietexas% ov. The Mayor and City Council request that all cell phones and pagers be turned off or set to vibrate. Members of the audience are requested to step outside the Council Chambers to respond to a page or to conduct a phone conversation. The Wylie Municipal Complex is wheelchair accessible. Sign interpretation or other special assistance for disabled attendees must be requested 48 hours in advance by contacting the City Secretary's Office at 972.516.6020. Hearing impaired devices are available from the City Secretary prior to each meeting. CALL TO ORDER Announce the presence of a Quorum. INVOCATION & PLEDGE OF ALLEGIANCE CITIZENS COMMENTS ON NON-AGENDA ITEMS Residents may address Council regarding an item that is not listed on the Agenda. Residents must provide their name and address. Council requests that comments be limited to three (3) minutes. In addition, Council is not allowed to converse, deliberate or take action on any matter presented during citizen participation. WORK SESSION • FY 2014-2015 Budget Discussion July 29, 2014 Wylie City Council Special Called Meeting/Work Session Page 2 of 2 Agenda RECONVENE INTO REGULAR SESSION Take any action as a result from Work Session. ADJOURNMENT If during the course of the meeting covered by this notice,the City Council should determine that a closed or executive meeting or session of the City Council or a consultation with the attorney for the City should be held or is required, then such closed or executive meeting or session or consultation with attorney as authorized by the Texas Open Meetings Act,Texas Government Code§ 551.001 et. seq.,will be held by the City Council at the date,hour and place given in this notice as the City Council may conveniently meet in such closed or executive meeting or session or consult with the attorney for the City concerning any and all subjects and for any and all purposes permitted by the Act,including,but not limited to,the following sanctions and purposes: Texas Government Code Section: §551.071—Private consultation with the attorney for the City. §551.072—Discussing purchase,exchange,lease or value of real property. §551.074—Discussing personnel or to hear complaints against personnel. CERTIFICATION I certify that this Notice of Meeting was posted on this 25th day of July 2014 at 5:00 p.m. as required by law in accordance with Section 551.042 of the Texas Government Code and that the appropriate news media was contacted. As a courtesy, this agenda is also posted on the City of Wylie website: www.wvlietexas.gov. Carole Ehrlich,City Secretary Date Notice Removed 1 , , , 1 , , _1 1 , , , , , Ali°I ,„ �' ii III ,, , , , , 11 1 1 1 1 ili a iii0 1 ICI IJ1 , ,, ' ' ,'„ ' ::' ' '..I' illili 'I 1 mu BudgEtou -- ,S1„, , ,r1ru„...11lmi ,... Session ll'' Alit l 1 , u .rea '��" ii x" �n''M1,^„',�,,`/irk,'„u,..,n for ^�f M W ,°18" rv+n� ir II d;'A'v:, nY^..eu .r, 'rtlp:iii f'yanr„ dim M k^ NyI ..Yer 149�1�1111 ar IL r uu� �NM^, ,, n�rnP'" Ilnrdl'i ri � , tl;Sv&AuM°pp��Ww:�PA�' NR I. m „°V vu. '°`'N91P::°fi,;s::„ no'N, m ''��'d • N it M^;" ,ory�;.:r., m'tbl„r„�y.r,.tV 'I o" ' "m ) R°"Aerv,dP^o 'u:'„ m II ,arar Jul y 29 2014 9N6"ti i', p on1d,Prru I+",Or ¢md '"eA'M�,v' r'pl,;;1„ "I d i'r" tilit • Audited Utility Fund Ending Balance 09/30/13 $ 8,674,912 Projected '14 Revenues 13,837,219 Available Funds 22,512,131 Projected '14 Expenditures (14,717,183) Estimated Ending Fund Balance 09/30/14 $ 7,794,948 Estimated Beginning Fund Balance - 10/01/14 $ 7,794,948 Proposed Revenues '15 13,591,400 Proposed Expenditures '15 (14,571,247) Use of Fund Balance - New/Replacement Fleet & Equipment (434,000) a) Estimated Ending Fund Balance 09/30/15 $ 6,381,101 b) a) See list of Fund Balance items on slide #3. b) Policy requirement is 90 days of operating expenditures, which is equal to $3,592,910. 2 f s c ss c tiit Dept. Description Amount Util Admin Ground Storage Reservior Design $ 140,000 Water GPS Location Units (2) $ 18,000 Water New Skid-Steer Loader $ 42,000 Sewer Lift Station Generator $ 55,000 Sewer Back Hoe Replacement $ 108,000 Sewer New Heavy Duty Mowing Tractor $ 22,000 Sewer Submersible Mixer for Lift Station $ 14,000 Sewer Lift for Vehicle Maintenance $ 35,000 Total: $ 434,000 3 1 s ar r Audited 4B Sales Tax Fund Ending Balance 09/30/13 $ 1,436,995 Projected '14 Revenues 1,862,224 Available Funds 3,299,219 Projected '14 Expenditures (2,070,439) Estimated Ending Fund Balance 09/30/14 $ 1,228,780 Estimated Beginning Fund Balance - 10/01/14 $ 1,228,780 Proposed Revenues '15 1,978,052 Proposed Expenditures '15 (1,950,684) Use of Fund Balance - New/Replacement Fleet & Equipment (240,000) a) Estimated Ending Fund Balance 09/30/15 $ 1,016,148 b) a) See list of Fund Balance items on slide #5. b) Policy requirement is 25% of budgeted sales tax revenue ($1,947,992 x 25% = $486,998). 4 s f c ss I c Sales Dept. Description Amount 4B Senior Connect Senior Center to WISD Fiber Ring $ 30,000 4B Senior Senior Center Entry Remodel $ 19,000 4B Senior Van Replacement $ 27,000 4B Parks Truck Replacements (3) $ 88,500 4B Parks Lighting Control System at Founders Park $ 9,500 4B Parks Concrete Borders at Valentine and OCP $ 16,000 4B Parks Mower Replacements (3) $ 27,000 4B Parks New Turf Aerator $ 15,500 4B Parks New Turbine Blower $ 7,500 Total: $ 240,000 5 • cr tl r Audited Recreation Fund Ending Balance 09/30/13 $ 442,975 Projected '14 Revenues 1,266,266 Available Funds 1,709,241 Projected '14 Expenditures (1,411,094) Estimated Ending Fund Balance 09/30/14 $ 298,147 Estimated Beginning Fund Balance - 10/01/14 $ 298,147 Proposed Revenues '15 1,189,000 Proposed Expenditures '15 (1,404,224) Use of Fund Balance - Replacement of Cardio Equipment (63,100) Estimated Ending Fund Balance 09/30/15 $ 19,823 6 ts 1 r Audited General Fund Ending Balance 09/30/13 $ 11,734,825 Projected '14 Revenues 27,989,406 Available Funds 39,724,231 Projected '14 Expenditures (29,809,138) Estimated Ending Fund Balance 09/30/14 $ 9,915,093 Estimated Beginning Fund Balance - 10/01/14 $ 9,982,753 Proposed Revenues '15 29,592,159 Proposed Expenditures '15 (29,245,019) Excess Revenues Over Expenditures $ 347,140 Carry-Forward of Funds for Various Projects (67,660) a) Use of Fund Balance - Transfer to Debt Service Fund for Debt Payments (400,000) Use of Fund Balance - New/Replacement Fleet & Equipment (638,700) b) Estimated Ending Fund Balance 09/30/15 $ 9,223,533 c) a) Carry-forward of funds to be used for Fire Department tablets, Animal Shelter remodel, and PSB VolP b) See list of Fund Balance items on slide #8. c) Policy is 25% of budgeted expenditures. As shown, this Ending Fund Balance is 32%. Based on a balanced budget (revenues = expenditures), Ending Fund Balance would be $8,876,393 or30%. 7 s f c ss 1 c to 1 Dept. Description Amount Dept. Description Amount FAC PSB Bathroom Remodel for Accessibility $ 10,000 WFR SCBA Replacements (4) $ 30,000 WFR SCBA Bottle Replacements (11) $ 18,700 HR NeoGov Application Software $ 7,500 WFR Building Maintenance -Various $ 45,000 IT Desktop (25) / Laptop (5) Replacements $ 51,500 AC Shelter Management Software $ 800 IT Tape Changer for Tape Backup Server $ 6,600 IT Hard Drives for SAN Storage System (7) $ 5,000 BLD Truck Replacements (2) $ 59,500 PD Tahoe Replacements (3) $ 88,500 STR 6-Yard Dump Truck Replacement $125,000 PD Trailblazer Replacement $ 23,000 STR Truck Replacement $ 29,000 PD Charger Replacement $ 23,000 STR Crack Sealing Machine $ 45,000 PD Equipment for Replacement Vehicles $ 18,500 PD Cellbrite Equipment Upgrade $ 5,100 REC Blazer Replacement $ 27,000 PD Throw Phone Replacement $ 20,000 Total: $638,700 Possible Additions for Consideration: PD Commercial Enf. Unit Vehicles (2) $114,196 PD Commercial Enf. Unit Equipment $ 40,000 PD New SRO Vehicle & Equipment $ 37,000 Total w/Additions: $829,896 Based on a balanced budget (revenues =expenditures), Ending Fund Balance would be $8,685,197 or 29%. 8 Additional Funding Potential New Programs General Fund Additional Revenues Possible Expenditures Description Amount Dept. Description Amount Current Available Excess Funds $ 347,000 PD New School Resource Officer $112,000 Est. Additional Tax Revenue $ 320,000 PD Commercial Enf. Unit(2 Officers @ 1/2 a Year) $ 96,500 Total: $ 667,000 WFR Asst. Fire Chief(Promote 1 Battalion Chief) $ - Revenue from WISD if Add'I. SRO Funded $ 30,000 AC Admin. Assistant(Part-Time to Full-Time) $ 34,500 1/2 Cent Tax Rate Cut $(131,000) AC New Kennel Attendant $ 49,500 STR New Street Maintenance Workers (2) $102,000 LIB 6 Additional Library Hours $171,000 Total: $565,500 Note: Totals for new positions include salary and benefits, as well as any additional recurring expenditures. 9