HomeMy WebLinkAbout2011-3371 - Ordinance - 09/22/2011
ORDINANCE NO. 2011-33-71
AN ORDINANCE ADOPTING A BUDGET FOR THE 2011-12 FISCAL YEAR AND
AUTHORIZING EXPENDITURES AS THEREIN PROVIDED.
WHEREAS, a proposed budget for the fiscal year October 1, 2011, to September 30,
2012, was prepared and presented to the City Council and a public hearing held
thereon as prescribed by law and the Charter of the City of College Station, Texas,
notice of said hearing having first been duly given; and
WHEREAS, the City Council has reviewed and amended the proposed budget and
changes as approved by the City Council have been identified and their effect included
in the budget; now therefore,
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF COLLEGE STATION,
TEXAS:
PART 1: That the proposed budget as amended by the City Council of the City of
College Station, which is made a part hereof to the same extent as if set forth
at length herein, is hereby adopted and approved, a copy of which is on file in
the Office of the City Secretary in College Station, Texas.
PART 2: That authorization is hereby granted for the expenditure of the same under
the respective items contained in said budget with the approved fiscal
procedures of the City.
PART 3: That the City Manager and his authorized and designated employees, at his
discretion, be, and are hereby authorized to sign or release utility easements;
to negotiate and sign documents related to the settlement of disputed
assessments for paving, weed mowing, demolition, and other disputes based
on legal questions of whether the assessments are enforceable or other
extenuating circumstances; to sign contracts and documents authorizing the
payment of funds and to expend public funds for expenditures that are
$50,000 or less; to sign change orders authorizing the expenditure of funds
pursuant to the TEXAS LOCAL GOVERNMENT CODE or as provided in the original
contract document. The intent of this section is to provide the ability to
conduct daily affairs of the City which involve numerous decisions of a routine
nature.
PART 4: That the City Manager and his authorized and designated employees, at his
discretion, be, and are hereby, authorized to provide for transfers of any
unexpended or unencumbered appropriation balance within each of the
various departments in the General Fund and within any other fund of the City
and to authorize transfers of Contingent Appropriations within a fund up to an
amount equal to expenditures that are $15,000 or less.
ORDINANCE NO.
PART 5: That the City Council hereby approves the funding for the outside agencies
and organizations in this budget and authorizes the City Manager and his
authorized and designated employees, at his discretion, to sign contracts and
documents authorizing the payment of funds, and to expend public funds for
expenditures that are $50,000 or less that have been expressly approved and
appropriated in this budget, as set out in Appendix J of the
2011-12 Fiscal Year Budget.
PART 6: That the City Council hereby approves the funding and the purchases that are
made pursuant to interlocal agreements as provided by CHAPTER 271,
SUBCHAPTERS, (D) AND (F) of the TEXAS LOCAL GOVERNMENT CODE, in this
budget and authorizes the City Manager and his authorized and designated
employees, at his discretion, to sign contracts and documents authorizing the
payment of funds, and to expend public funds that have been expressly
designated, approved, and appropriated in this budget, as set out in the 2011-
12 Fiscal Year Equipment Replacement Fund, and Attachment "A" to this
Ordinance.
PART 7: That this ordinance shall become effective immediately after passage and
approval.
PASSED AND APPROVED THIS 22 DAY OF SEPTEMBER, 2011.
APPROVED:
Mayor
ATTEST:
City Secretary)
APPROVED:
Ca'41'OL
City Attorney
ORDINANCE NO.
Potential FY10 Technology Purchases through GSA Schedule 70,
HGAC, TXMAS, Texas Department of Information Resources, TCPN or Buy Board Purchases
Estimated Projected
ITEM Quantity Unit Cost Total
Scheduled Replacement/Repair/Additions
Replacement PCs 74 1,000 74,000
Replacement Monitors 50 160 8,000
Replacement Printers 8 2,200 17,600
Replacement Laptops 20 1,200 24,000
Replacement Copiers 65,000
Replacement Scanners 15,000
Printer replacement Parts 20,000
PC Replacement Parts (Video Cards, Hard Drive & Memory) 25,000
Replace 3servers 3 7,500 22,500
Server replacement parts 20,000
Server OS replacement/upgrade 10,000
Replacement UPS battery/units 35,000
Estimated Additional Desktop Software 60,000
Includes but not limited to New & Upgrade
versions of Adobe Acrobat, PageMaker,
Photoshop Illustrator, Premier, Audition,
Microsoft Publisher, Windows XP,
Frontpage, Project, Visio, Vstudio.net,
AutoCAD, ESRI ArcGIS, Crystal, Corel
Draw, Cognos, Novell
Replace Fire ESO Toughbooks 45,461
Exchange and Windows File Server Licenses 41,500
Computer Network Maint and Equipment Replacement 30,000
Motorola Radio Repair/Replacement 20,000
Telephone Repair/Replacement 25,000
Fiber ring expansion 50,000
SCADA Man Machine Upgrade - Wastewater 89,000
Communications Infrastructure Improvements - Wastewater 30,000
Fiber to Lift Stations and Well 7 -Wastewater 64,000
Dowling Road High Service Improvements - Wastewater 388,250
Sandy Point Cooling Tower Expansion - Wastewater 76,000
Professional Services - Wastewater 14,400
Carters Creek Lab SCADA Building - Wastewater 40,600
Subtotal - Scheduled Replacement 1,310,311
Service Level Adjustments
SLA - new position equipment
includes desktop pc, extended warranty,
network card, added memory, monitor,
laptop, printer, standard software, additional
phones and radios
Subtotal - Service Level Adjustments
ORDINANCE NO.
Potential FY10 Technology Purchases through GSA Schedule 70,
HGAC, TXMAS, Texas Department of Information Resources, TCPN or Buy Board Purchases
Estimated Projected
ITEM Quantity Unit Cost Total
Unscheduled Replacements/Additions
Estimated Additional PC setups 10 2,100 21,000
not identified specifically in budget
includesbut not limited to: Monior, network card,
extended warranty, added memory
Estimated Standard Desktop Software 10 604 6,040
not identified specifically in budget
Includes but not limited to: Microsoft
Office 2010, Vipre, Microsoft Windows
client access license, Novell
Estimated Additional Desktop Software 45,000
Includes but not limited to New & Upgrade versions of
Adobe Acrobat, PageMaker, Photoshop
Illustrator, Premier, Audition
Microsoft Publisher, Windows 7
Frontpage, Project, Visio, Vstudio.net
AutoCAD, ESRI ArcGIS, Crystal
Corel Draw, Cognos, Novell
Estimated Additional Printers/Plotters 20,000
Estimated Memory upgrades 350 100 35,000
includes: desktop pcs, printers
laptops
Estimated PC misc parts 10,000
includes: CD Burners, harddrives
modems, network cards, DVD Burner
mice, network cables
Estimated Monitor upgrades 20,000
includes: Flat Panel and larger
than 19" monitor
Estimated Additional Scanners 5 1,200 6,000
Estimated Additional Laptops/Toughbooks 10 4,000 40,000
Estimated Network Upgrades 40,000
Sub-Total Unscheduled Replacement/Additions 243,040
Phone System Maintenance
Cisco Datavox 45,000
Subtotal - Phone System Maintenance 45,000
ORDINANCE NO.
Potential FY10 Technology Purchases through GSA Schedule 70,
HGAC, TXMAS, Texas Department of Information Resources, TCPN or Buy Board Purchases
Estimated Projected
ITEM Quantity Unit Cost Total
Network Software on Master License Agreement (MLA)
Novell Open Workgroup Suite (1Zen/1Groupwise/1 ODS) -927 65,000
CommVault 16,000
Novell Sentinel 10,060
ZenWorks Asset Management -904 nodes 4,500
ZenWorks Patch Management - 904 nodes 8,000
Subtotal - Network Software on MLA 103,560
PC Hardware and Software Maintenance
HP Printer Maintenance 2,818
AutoCAD 15,225
Barracuda Spam/Spyware 4,275
Subtotal - PC Software Maintenance 22,318
IBM Hardware and Software Maintenance
Hardware Maintenance (2 power Ts) -
Power 7 Software Subscription and Support 2 2,000
Subtotal - IBM Hardware and Software Maintenance 2,000
GIS Software Maintenance
Enterprise Maintenance for ESRI software
Subtotal - GIS Software Maintenance 44,000
Grand Total 1,770,229