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HomeMy WebLinkAboutFY 2006-2007 Citizens' Budget 640 • coil . ai, 1 • j , k I ...,., . . --_—.... .• ' .. 1 1 .r St EfLil , .li - . ,n I ,. 0 • • _. ,,. ,... . ,.. ar- . .. .1.4 :, . : ' w ' . -,....... .. -'---' .-„ --_. - k t 4 - .,-• k . , . , - ... .. r.,.... ...... , ..•_.• ... .,; ... . ... . .., . . . . -..\ . . ._,...,_. • • " .' '' filk_ It if . • 9 io. ii 1) ,iteoi I ° 8 _ .,., ...,.„_. . i . . ....., fti..... ,,, 0 .. . on,srlimisimaritt. .',.. ,. • • i • :_,...,._, . . ,.....„_..„,..,..‘• 1- ' • _.-1. 'Co 4 &, ,.... ,,low:, r. ... , .., s a Lo is, -1 . .' 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': ,4:. . -,'.:?e-f-:•,' • - :•:,--..',--k, ' '''' ' '?':.-: - - . - "‘",••,- . ..tt.. . . . . , ,. -A • .,?.. . .-.. ...-....,. ,-..-• ... .., . i t 1 ' 1, City of College Station, Texas Approved Budget for Fiscal Year 2007 October 1, 2006 to September 30, 2007 Principal City Officials, September 2006 Elected Officials Mayor Ron Silvia Council Members Ben White, Mayor Pro Tem John Happ, Place 2 Ron Gay, Place 3 Lynn Mcllhaney, Place 4 Chris Scotti, Place 5 Dave Ruesink, Place 6 City Administration City Manager Glenn Brown Deputy City Manager Terry Childers Assistant City Manager Kathy Merrill Chief Financial Officer Jeff Kersten Director of Water Services Department John C. Woody Director of Electric Utility David Massey Chief of Police Michael Clancey Chief of Fire Robert B. Alley Director of Public Works Mark Smith Director of Parks and Recreation Stephen C. Beachy Acting Director of Planning and Development Services Lance Simms Chief Information Officer Olivia Burnside Director of Public Communications and Marketing Rebecca Nugent Director of Human Resources Julie O'Connell Director of Economic and Community Development David Gwin City Attorney Harvey Cargill, Jr. City Secretary Connie L. Hooks Internal Auditor Vacant 1 • CITY OF COLLEGE STATION October 1,2006 Honorable Mayor and City Council: In accordance with the City Charter, I am pleased to present the City of College Station Approved Fiscal Year(FY)2006-2007 Annual Budget totaling$228,415,773 for all funds. Of this amount, $162,721,258 is proposed for the operations and maintenance budget, and $65,694,515 is proposed for capital projects. The capital projects appropriations are for the many infrastructure projects either underway or planned to be • underway in 2006-2007. • Budget Goal • The key goal in the preparation of the FY 2006-2007 budget is to provide excellence in customer service at • a reasonable cost. Below, some of the key items from the FY 2006-2007 budget are outlined. They are separated into the Council defined Vision Statements of Core Services, Parks and Leisure Services, Planning and Development and Economic Development.The City Council has spent time determining the top priorities for next year and some of these key priorities are outlined.A detailed explanation of resources allocated can be found in the Executive Summary and Budget Overview of the budget document. Core Services • Core services are police,fire and emergency management, streets,traffic, drainage and public utilities (including electric,water,wastewater and sanitation). Core services also include the capital projects for each of these areas.The FY07 Approved Budget includes resources for six new police officers and three full-time Firefighter/Paramedics.Additional funds are proposed in the General Fund Public Works budget that will allow the City to continue to maintain streets at current levels.All of the additions mentioned are required to cover the increasing cost of maintaining core services.As the City continues to grow,facilities are added and capital projects are completed, more resources will be needed to maintain City services. • Parks and Leisure Services • The FY07 Approved Budget includes funds for the ongoing operations of the Parks and Recreation • department.Additional funding is included in the Parks and Recreation budget for the operations and maintenance of Phase II of Veterans Park.Additional resources will also be needed in FY08 to fund operations and maintenance costs for Veterans Park as more of the facility comes on line.As new parks are • developed, additional resources will be necessary to operate and maintain an integrated system of parks and greenways. Planning and Development Additional resources have been included in the Planning and Development Services department budget to help to manage the growth the City of College Station has experienced over the last several years. Funds are included in the budget for Phase II of the Comprehensive Plan update. This is one of the top priorities • identified by the City Council through the strategic planning process. Funds are also included in the budget • for an additional Assistant Director of Planning and Development Services position to focus on long range planning.This was also a priority identified by the City Council. • Economic Development • • To encourage further economic development in the City, resources for Economic Development initiatives are • • included in the budget such as the capital resources necessary to continue with a Hotel/Conference Center. Funds are included to conduct an Economic Development plan in conjunction with the Comprehensive Plan • update. Funds are also included in the budget for many capital improvement projects that will help development in and around the City. Continuing to move forward with the development of a new convention center in College Station is also one of the key priorities for next year. • Key Decision Points The approved budget has a number of key decisions the City Council considered as the budget was reviewed: Property Tax Rate:The approved FY07 property tax rate is 43.94 cents per$100 assessed valuation.This tax rate provides the necessary resources to fund the FY07 budget. Utility Rates and User Fees: The approved budget includes a Water rate increase of 5%and a Wastewater rate increase of 5%.Also included is a 12% rate increase in the Electric Fund.These rate increases are needed to meet the operating, capital and debt service coverage requirements in these utility funds, and to ensure high quality service is provided as the community continues to grow.A residential and commercial sanitation rate increase of 8% is also included. This increase is necessary to cover increased tipping fees and to maintain residential and commercial sanitation service levels. In addition, an 8%tipping fee increase is included in the BVSWMA approved budget. Maintain Core Services:As the community grows and City services expand,there are more needs than resources available. It has been a challenge to ensure that core services are met with the limited resources available. Many of the service level adjustments in the budget are adjustments necessary to cover the operating and maintenance costs associated with capital projects.The service level adjustments are also necessary to maintain existing service levels as costs continue to increase.As the City continues to grow, increasing amounts of resources will be needed to maintain core services. Conclusion Budgeting is an interconnected process with many factors influencing each proposal. Future decisions made by Council may impact service levels or other parts of the budget.As always,the budget is a work in progress and should ultimately reflect the direction in which City Council wishes to move the City. Developing the budget is a team effort that requires the participation of the Citizens, City Council, and City staff.The budget was reviewed with Council by fund over a series of workshops held in August and September. Staff worked with Council to review the budget and incorporate changes that meet the priorities outlined by Council. Changes Council made to the proposed budget have been incorporated in the approved document. In closing, I would like to thank Jeff Kersten, Bryan Guinn, Courtney Kennedy, Susan Manna,and Nikki Williams in the Finance Department and the Office of Budget and Strategic Planning for the hard work and long hours they have put into this process. I would also like to thank the Management Team and other City employees that worked on the budget.Thanks also to the City Council for providing the leadership and direction to make the decisions that will move College Station forward in the next year and in the years to come. Sincerely, Glenn Brown City Manager 3 • • City of College Station, Texas Summary of Net Revenues and Net Expenditures • • BEGINNING BALANCE $ 99,557,408 REVENUES: Total Net Revenues:$213,099,603 • Ad Valorem Tax 18,482,000 • Sales Tax 17,509,000 Investment Other Retum on • Earnings 1.66% Investment Other Taxes 5,073,000 1.46% 4.24% Long Term Debt Fines, Issuance • Licenses&Permits 1,040,000 Forfeits& 18.94% Penalties • Intergovernmental 3,352,797 174i Charges for Services 107,898,500 £ Ad Valorem Tax Fines, Forfeits&Penalties 3,713,700 8.67% Investment Earnings 3,101,286 Other 3,535,900 • Return on Investment 9,027,120 Sales Tax • ----------__—,- ___. _- 8.22% Transfers In Long Term Debt Issuance 40,366,300 �otZe38axes • Total Revenues $ 213,099,603 - Licenses&Permits Charges for Services • 0.49% 50.63% -- - • Intergovernmental ' TOTAL AVAILABLE RESOURCES 312,657,011 1.57% EXPENDITURES: General Government 4,297,748 Total Net Expenditures:$228,415,773 Fiscal Services 3,313,292 Debt Service,9.14%— Police 12,387,217 Outside Agency Funding, Fire 9,339,160 1.02% — Return on Investment, • Planning&Development Services 2,297,036 Community Development, 3.95% • Public Works 7,805,081 079/a -Contingency,0.29% Parks&Recreation 8,245,293 BVSWMA,1A7% other/Other Transfers, • Parking Enterprise,0.20% / n an% Information Services 3,327,896 Library 950,604 Sanitation,2.31% rGeneral& live Transfers,0.41% Utilities 63,243,556 Projects/Direct Capital, 1.17% Projects/Direct Capital 2,669,560 SanitationCIP Expenditures Less 5,268,552 Gen&Adnin xfers, • Parking Enterprise 485,584 25.20% BVSWMA 3,369,057 Community Development 1,803,649 Utilities,27.69% Outside Agency Funding 2,330,462 Debt Service 20,873,185 :1 Transfers to CIP Funds, Return on Investment 9,027,120 ."'+ 2.70% General Government, Contingency 655,000 1.88% Library,0.42% / Other/Other Transfers 2,066,692 Fiscal Services,1.45% Net General&Administrative Transfers 941,401 Information Services,JJJ/// 1.46% Police,5.42% CIP Expenditures Less Gen&Admin Xfers 57,551,628 Parks&Recreation, Panning\__\_ Fire,4.09% 361% Development • Transfers to CIP Funds . 6,167,000 Services,1.01% Total Expenditures $ 228,415,773 Public Works,3.42% Change in Fund Balance (15,316,170) ENDING FUND BALANCE $ 84,241,238 I . Budget Overview The text below focuses on the various City departments and functions provided by each department.Approved changes are discussed and basic functions of City departments are identified. Governmental Funds response; 3)fire prevention services,including commercial fire safety inspections and fire Police Department $12,387,217 prevention training at local schools and various The Police Department provides a number of services functions;4)code enforcement activities performed ' that help to keep the community safe. Services by the community enhancement action center;and 5) provided include: 1)police patrol with certified hazardous material response. police officers who are assigned to specific areas of the city and who are equipped with police vehicles Incidents Dispatched and all necessary equipment;2)criminal 4,000 investigation for the investigation of reported 3,500 crimes; 3)animal control;4)communications support Jg 3,000 for officers on the street and short term jail/detention 2,500 facilities that reduce the processing time of arrests;; '2'000 1 II II il II E 7.500 and 5)a recruiting and training division that serves a 2,•000 support and training function for the Department. 500 O Calls for Service 2002 2003 2004 2005 2006 est 2007.1 ■EMS 5FIRE • 50, 00 The above rah illustrates incidents res onded to 5o,5 goo p p 60,000 by the Fire Department over the last three years. 59,500- ' se,500 There are four service level adjustments totaling 58,000_ $273,244 approved for FY07.The first SLA,totaling 57,500 $147,363,is to hire three firefi hter/p aramedics in 57,000- II gs5soo June 2007.In FY06,the department proposed a s5,000 multi-year program to hire 15 firefighter/paramedics 55,500 ___-._._ - -._.. 2004 2005 2006 est. 2007 est. over several fiscal years to reinstate a dedicated ladder truck company.The ladder truck was .II The above graph illustrates an increase in calls for purchased in FY05 and delivered in FY06.Phase 1 service.A "Call for Service"is defined as any event of the program funded five firefighter/paramedics or situation, reported by a citizen that requires a and was approved in the FY06 budget.Phase 2, • response from the Police Department. planned for FY07,will provide funds for three firefighter/paramedics,promotions for three One service level adjustment(SLA)totaling lieutenants and three apparatus operators(drivers). $401,664 has been approved for the FY07 Police To mitigate the financial impact on the budget,the Department operating budget.This SLA is for the new personnel and promotions will occur in June addition of six police officers to the Patrol Division. 2007. These positions will be phased-in over the course of the fiscal year in order to reduce the initial financial The remaining SLAs are in the Emergency impact of the request. Management division.The first SLA totals$105,112 and provides funds for training staff and to purchase Fire Department $9,339,160 additional equipment for the Emergency Operations The Fire Department provides services to College Center so that the facility can be used as a joint EOC Station,City of Bryan—through an automatic aid with Brazos County,City of Bryan,and TAMU. • program—and to rural areas around College Station Included in this total is the$80,000 request that was • through mutual aid agreements. The Fire Department made during the budget process for a continuity of operates out of four stations located throughout the operations plan(COOP).The Governor's Division of City.Fire Station#5 opened in October 2006. Emergency Management is currently in the process of preparing standards for COOPs,so the funds that • The basic services provided by the Fire Department would have been allocated for that purpose will include: 1)fire response;2)emergency medical 5 instead be used to enhance maintenance and The Streets FY07 Approved Budget includes two operations,as well as response in the division. service level adjustments totaling$414,135. $205,000 is approved to fund overlays and • The second SLA,totaling$20,769,will cover the rehabilitations for thoroughfares within the City. The portion of salary and benefits of the staff assistant other SLA totals$209,135 and will cover the currently funded by Community Development.In increased cost of street maintenance materials. January 2006,Council appropriated funds from the General Fund so that one half of the cost for the full- Drainage issues impact health and public safety,as time staff assistant in Community Development well as transportation and mobility.Drainage service could be shared with Emergency Management.With levels provide a drainage maintenance program that the proposed plan to implement a community EOC,a keeps the storm carrying capacity of the system full-time staff assistant will be needed in Emergency adequate in College Station.Right of way mowing • Management.Brazos County,City of Bryan,and and creek cleaning are the primary ways this service TAMU have all agreed to share the cost of the is provided. position,so the annualized cost of this position to the City will be$10,385. There are two approved SLAs in the Drainage Division of Public Works.The first service level Public Works $7,805,081 adjustment is for$93,000 for a small tracked front- . The Public Works Department maintains streets, end loader with a multi terrain skid steer. The other drainage and greenways,and the City's traffic SLA is for$25,000 for a plan sized scanner/copier. • • control system.It is also responsible for refuse • collection,capital project engineering and The traffic signal and sign system in College construction,as well as fleet and facilities Station serves as an integral traffic flow control • maintenance.The department also oversees the mechanism throughout the City. The system is • Brazos Valley Solid Waste Management Agency. critical during peak traffic times,such as during Texas A&M football season.The Traffic Signal The Facilities Maintenance Division provides Division is responsible for maintaining and repairing support services to City departments through the traffic signals and school warning devices in order to maintenance of City facilities. This entails all City provide safe and efficient movement of vehicles and buildings including heating,ventilation and cooling pedestrians. systems.Additionally,Facilities Maintenance performs some minor building construction and The Department of Public Works Engineering • remodeling activities.The Division also supervises Division is responsible for the administration of the facility repair fund use to ensure that facilities and City's capital improvement plan.This includes the equipment are repaired and replaced in a timely building of projects approved as part of bond • manner. elections such as streets,fire stations,libraries,and others. Capital projects for the public utilities,such The Streets Division of the Public Works as electric,water,wastewater,and drainage projects • • Department strives to ensure that the street system are also included. within the City of College Station is properly maintained.This is done through a number of Parks & Recreation $8,245,293 programs,including a street rehabilitation program The Parks and Recreation Department is responsible that addresses street repair before more expensive for College Station park facilities and recreation reconstruction measures are needed. The Streets programs.Among the services provided are athletics, Division also coordinates with the Engineering recreation and instruction programs for youth and Division to plan and develop major street capital adults.Also provided are programs and special ' projects that involve rebuilding roadways that need events at the Wolf Pen Creek Amphitheater and other upgrades. park locations throughout the City.The Parks Department operates a number of special facilities The Streets Division provides routine pothole including three City-owned swimming pools and the patching and other maintenance services.The CSISD natatorium. effectiveness of this service is measured by • determining whether 95%of the streets in the City have a grade of"C"or better,using the Pavement • Management System. 6 Pool Attendance vs.Revenue approved to fund Concession operations.It is $300,000 150,000 anticipated that all costs for Concessions will be $280,000 148,000 offset by revenues received. • $z50,0o0 FL-i ,4500oThe Parks Operations Division maintains park $z40000I ,4400o facilities through regular mowing and maintenance $220,000 - 142,000 projects. $200,000 - 140,000 2003 2004 2005 2006 2007 est. The Forestry Division,through horticultural and Revenue— Attendance - landscaping efforts,ensures that City property is - The above graph illustrates the revenue generated maintained in an aesthetically pleasing manner. The by the pools and the leveling off of attendance due to City Cemetery is included in the property maintained facility capacity limitations. by the Forestry Division. The Conference Center is operated to provide Larry J. Ringer Library $950,604 - 1 meeting space for various groups and organizations. Beginning in 2007,the Larry J.Ringer Library will 1 The Lincoln Center is a community center that be overseen by the City's Parks and Recreation provides positive programming and serves as a Department.The City of Bryan staffs and operates satellite center for social services.The Xtra the library,which is fully funded by the City of Education program provides citizens of all ages the College Station. The approved operating budget for opportunity to enhance their quality of life through the Library in FY07 is$950,604. various continuing education programs. Planning and Conference Center Attendance Development Services $2,297,036 84,000 The Planning and Development Services Department 63,000 provides oversight for new development in the City. 42,000 Planning and Development Services works to 21,000 reinforce compliance with zoning,subdivision, o drainage and other ordinances.This ensures 2003 2004 2005 2006 2007 est. development in a manner consistent with policies established by Council. This process includes The preceding graph illustrates the number of planning and construction functions as well as Conference Center customers from 2003 to 2007 development coordination activities.The Fire - (estimated). Department and the Public Utilities Department are • There are six service level adjustments(SLAs) also involved in the planning and development approved in the Parks and Recreation FY07 budget process.In FY06,as part of a city reorganization totaling$537,098.The major,inter-divisional SLA in plan,Neighborhood Services and Historic Programs Parks is$274,861 to fund Phase II of Veterans Park were moved to the Information Services department. operations and maintenance. Planning and Development Services has four The Parks Special Facilities Division is responsible approved service level adjustments(SLAs)for FY07 for the Lincoln Center,Conference Center,and all in the amount of$304,827.The first approved SLA Pool facilities.Also,beginning in 2007,Special provides$193,935 for Phase II of the Comprehensive Facilities will oversee the Larry J.Ringer Library Plan update.The second approved SLA for$40,000 facility. will provide funds for annexation planning,including research and advertising.The third SLA is for The Parks Recreation Division has three SLAs in $55,892 to fund a second Assistant Director position • the approved budget.The first SLA is for$62,800 for for Planning and Development Services.Finally,the State and National Athletic Events.The second is for last SLA is for$15,000 to jointly fund a $11,663 to fund Athletic League improvements.A Transportation Modeler position with the Bryan- third SLA is for$6,992 to fund the supervision of the College Station Metropolitan Planning Organization lunch nutrition program at the Lincoln Center.This (MPO). SLA will be reimbursed by a grant from the Brazos Valley Area Agency on Aging.Finally,$180,782 is 1 7 Information Services $3,327,896 Service. The oversight of Utility Customer Service Information Services implements and maintains the Fund was added to Fiscal Services,while the Risk technology and computer based information systems Management function was transferred to the Human • used by all City Departments.Information Services is Resources division as part of the comprehensive city • • also responsible for franchising,the City's print wide reorganization that occurred in FY06. shop,and the City mail system. Fiscal Services Administration handles cash and The Information Services Administration division debt issues for the City while ensuring all funds are oversees the other areas of the Department as well as invested prudently.The Accounting and Purchasing manages the franchise agreements that the City has Divisions work closely together to ensure that with telecommunication,cable,electric,water,and purchases are made and recorded according to natural gas providers. guidelines.Municipal Court collects fines and fees for the City.The Office of Budget and Strategic • The Information Technology division includes Planning prepares,monitors,and reviews the annual Management Information Services(MIS), budget.The office also coordinates the City's Geographic Information Services(GIS),E- strategic planning process,which is closely tied to Government,and Communication Services.With the the City's budget. exception of Communication Services,these services are budgeted in the General Fund. The MIS division The Fiscal Services Department has two SLAs implements and supports computing platforms and totaling$45,521. The first SLA totals$5,000 and applications for all City Departments,including will offset the payment increase for ad valorem Computer Aided Dispatch(911)for Public Safety services paid to the Brazos County Appraisal District and connectivity to the Internet.The GIS division is as a result of school finance reform that was enacted responsible for the coordination of all geographic by the state legislature. The second SLA,totaling data and its presentation to the public.The E- $40,521,is for a Juvenile Case Manager position that Government division is responsible for the City's will be funded by the Juvenile Case Manager Fee website,interactive processes with citizens and the Fund. Intranet. General Government $4,297,748 In FY06,a comprehensive city-wide reorganization The General Government Department includes many occurred.As a result,the Community Programs, of the administrative functions of the City. i i io i Programs Services,and Historic were transferred to the Information Services Department. The Mayor and Council Division has been added to Additionally,oversight of the Library was transferred account for expenditures related to Council functions from Information Services to the Parks and such as education and training. The funds were Recreation Department.Finally,oversight of Utility previously budgeted in the City Secretary Division Customer Services was transferred from Information and total$52,660. Services to Fiscal Services. The City Secretary Division is responsible for • The Information Services General Fund divisions elections,records management,City Council support have five approved SLAs in the amount of$142,448. and other activities.The approved budget is Three of the SLAs are for maintenance agreements $375,811 and includes one SLA that will provide for software that will be utilized by a variety of funds to offset cost increases associated with departments throughout the City. The maintenance conducting elections and placing statutorily required SLAs total$33,790.An SLA in the amount of legal notices in the local paper. $40,000 is approved to fund the replacement of the • City's existing firewall. The last SLA will add a The City Manager Division is responsible for the system analyst position to handle the increased work day to day operations of the City,making load in the MIS division. recommendations on current and future issues to the City Council,and providing short and long-term Fiscal Services $3,313,292 direction to the organization. The approved budget is The Fiscal Services Department provides Fiscal $952,228.The increase in the division's budget over Administration,Accounting,Purchasing,and FY06 is a result of adding a deputy city manager Budgeting services to the City.It also oversees the position,which was recommended as part of the • operations of Municipal Court and Utility Customer comprehensive city-wide reorganization that • occurred in FY06. Also recommended as part of the benefits program.The Risk Management function reorganization,was moving oversight of the within HR seeks to limit the exposure of the City to Community Programs division from the City physical and financial losses through a number of Manager division to the Information Services programs addressing worker safety. The Risk • Department. One SLA is approved in the amount of Management function was added to Human $10,122 and will fund an internship in the City Resources as part of the comprehensive city-wide Manager's Office for a TAMU political science reorganization that occurred in FY06.The approved student. Human Resources budget for FY07 is$853,889. The Legal Division provides legal services and Other General Fund $682,806 support to City Council and City staff.Among the Expenditures services provided by this office are legal advice, contract writing,and litigation. The approved Legal There are a number of expenditures budgeted in the Office budget is$862,657. There is one SLA totaling General Fund that do not fall under the purview of $53,653. The SLA will add a Legal Assistant any one department.Miscellaneous expenditures position to handle additional workload that has been within the governmental funds include$405,255 for added as a result of the increase in capital projects. outside agency funding and$277,551 for contingency and other charges. The Economic Development Division is responsible for coordinating economic development activities in Debt Service Fund $12,277,235 College Station. The Economic Development FY07 The Debt Service Fund is used to account for ad approved operating budget is$231,600.The valorem taxes collected to pay for authorized general reduction in the budget is a result of using a portion government debt. The debt service portion of the ad of salary and benefits funds to fund a deputy city valorem tax totals 24.840 per$100 valuation.Based manager position that was recommended as part of on the current forecast of the Debt Service Fund,it is the comprehensive city-wide reorganization that anticipated that there is capacity for additional debt occurred in FY06. service beyond that which has been authorized. The Community Development Division helps Economic Development Fund $1,087,127 provide low cost housing and other public assistance The City created an Economic Development Fund to through Community Development Block Grant funds account for resources and expenditures directed at from the federal government. These funds are used to providing incentives for businesses and industries assist low to moderate-income residents of College that are planning to locate in College Station. This is Station.Assistance is provided through housing different from the funding provided to the Research services,public agency funding,public facility Valley Partnership,which is included in the Electric improvements,and economic development activities. Fund Budget.Resources set aside for economic The total Community Development FY07 approved development purposes will be transferred into this budget is$574,537. fund and remain in the fund until expended. In FY07, The Public Communications&Marketing $1,087,127 will be available in this fund for Division provides timely and factual information economic development incentives and related through the media and directly to citizens. The total expenditures. FY07 approved budget is$394,366 and includes one Parks Xtra Education Fund $100,484 SLA to purchase Channel 19 studio editing hardware. Funds to purchase the hardware will be provided by The Parks Xtra Education Fund was established in the Educational and Governmental Fee that the City FY96 and is a joint effort between the City of collects as part of the franchise agreement with the College Station and College Station Independent cable television provider in the City. School District to provide community based education programs. The FY07 approved Parks Xtra Oversight of the Emergency Management Division Education budget for program expenditures is • was transferred to the Fire Department in FY06. $95,755. $4,729 is approved for the Xtra Education portion of the General and Administrative(G&A) The Human Resources Division assists in transfer to cover the cost of internal services such as recruiting,hiring,and retaining qualified candidates Human Resources,Accounting,and Budget. for City positions.The division provides employee training and administers the compensation and 9 • • Municipal Court Funds $299,173 SCADA system. The third SLA,for$17,000,is for 4 • The City is authorized by the State Legislature to GIS Laptops. $37,800 will be used to purchase a new • collect fees on traffic tickets written by the City. service truck for the Water Distribution Division. There are four fees collected by Municipal Court: the The final SLA is for$25,000 and will be for the Court Security fee;Court Technology fee;Efficiency purchase a portable Vibration Analyzer that will allow for in-depth analysis of vibration events to Time Payment fee; and the Juvenile Case Manager • fee. determine if they are the result of equipment failure. The funds collected,along with existing fund Wastewater Fund $11,015,019 • balances from prior years,are for security and Effective sanitary sewer collection and treatment is technology projects at the Municipal Court,as well essential to public health in an urban environment. •.• as to offset a portion of the cost associated with Over the last several decades,standards have accepting credit cards at Municipal Court.Finally,a increased for this infrastructure. Past upgrades to the Juvenile Case Manager position has been approved Carters Creek Wastewater Treatment Plant were that will be funded by the Juvenile Case Manager directly related to changing standards. As the system fee. continues to grow,additional capital is needed for line extensions. The existing system will have to be • Police Seizure Fund $20,000 maintained with line replacements and plant • • • The Police Seizure Fund accounts for revenues and enhancements and expansions. Wastewater services • • expenditures related to property seized by College are provided as an enterprise function with service • Station Police Department.Revenues are budgeted at related fees paying for the cost of service. • $10,500 for FY07 and expenditures at$20,000. The FY07 Approved Budget includes$133,368 for Enterprise Funds four SLAs in the Wastewater Division. The first SLA will provide funding in the amount of$41,918 for • Electric Fund $68,935,361 one additional Wastewater Treatment Plant Operator. The Electric Division is responsible for providing An additional$26,450 is for the purchase of a lift cost efficient and reliable electric service to the station small pick-up truck.This truck will be used to . citizens,businesses and institutions in College inspect and operate six existing lift stations and • . Station.Reliable electric service is necessary to potential future lift stations.A third SLA totaling ensure continued prosperity of the City. $48,000 will fund one new maintenance service truck in the Wastewater Treatment Division. The final • Water Fund $12,475,538 SLA for$17,000 is for the purchase of network test • The City of College Station has the capacity to equipment and an analyzer. This equipment will aid produce approximately 22 million gallons per day of in the trouble shooting of the communications of the • potable water. The Water Division has developed SCADA system. • high standards of reliability that assures customers' • needs are met with a water supply that meets or Sanitation Fund $6,357,812 exceeds all federal and state mandated standards.As The Sanitation Division of Public Works provides a City enterprise,the full cost of service for water services that meet the City's solid waste collection production,transmission and distribution is needs. These include providing residential containers, recovered by charging customers for consumption on curbside recycling,brush and grass clipping a per unit basis. collection,street sweeping and the removal of waste that can be disposed of in the landfill or through • There are five approved SLAs totaling$118,300 in composting. Commercial services are also provided • the Water Division approved budget.The first SLA to local businesses. Commercial service offers • • is for a Transmission and Distribution Flushing collection in small and large receptacles,and is Program in the amount of$35,000.This SLA will loaded with side mounted automated collection provide funds to develop a professionally engineered equipment. Customers with greater volumes have the plan that will allow the Operators to manually flush option of using roll-off containers that are serviced the approximately 230 miles of water distribution by front load collection equipment. system.The second SLA for$3,500 is to purchase an • Intellution Key for the Sandy Point Pump Station. This is a software decoding device that allows City networked computers to access the water/wastewater 10 • Refuse Collected source is limited by state statutes to support of 40,000 tourism and have a number of other allowable uses N 30,000 0o specified in the law. , F 25,000 . 20,000 Aspart of the budgetprocess,Council approved 15,000 g ply 10,000 funding for organizations out of the Hotel Tax Fund. , 5,000 These organizations include the Convention and 2003 2004 2005 2006 est. 2007 est. g Visitors Bureau,Arts Council of Brazos Valley, Residential ■Commercial The above graph illustrates volumes, in tons, of Northgate Business Association,and the Veteran's refuse collected and disposed of by the Sanitation Memorial. Division, since FY03. Total anticipated revenues in the fund are • Two service level adjustments are included in the $2,901,000;anticipated expenditures total Sanitation approved budget for FY07. The first SLA $3,614,497.The approved FY07 budget includes is for$140,000 to purchase a Knuckle-Boom brush $2,114,497 for City Operations,including Wolf Pen truck.The second SLA is for$52,520 to cover the Creek Operations and other Parks programs and contractual increase of a container lease agreement events that are eligible for Hotel Tax Funds,as well with Texas Commercial Waste.The Sanitation as costs associated with plans for the planned hotel approved budget also includes funding for Keep convention center. Brazos Beautiful that was requested through the Community Development Fund $3,377,176 outside agency funding request process.Approved pay plan adjustments are included as well. The Community Development division administers grant funds received from the federal government. Parking Enterprise Fund $522,431 Total approved expenditures in FY07 total The Parking Enterprise Fund accounts for parking $3,377,176. operations in the City.This includes the parking lot, Wolf Pen Creek TIF $3,008,775 parking garage,and on street parking.The approved budget for FY07 is$522,431. The Wolf Pen Creek Tax Increment Finance Zone generates revenues that must be utilized within the Brazos Valley Solid Waste Management Wolf Pen Creek District.The budget funding is • Agency (BVSWMA) $7,059,454 targeted for future Wolf Pen Creek projects.Of the total approved amount,$1,930,000 is earmarked for BVSWMA is a cooperative arrangement between the • • Cities of College Station and Bryan to provide solid capital improvements.A significant project budgeted . in FY07 is the WPC Amphitheater additions. waste disposal service.BVSWMA is responsible for $850,000 is approved for the addition of an office, j running the landfill,developing and implementing performer dressing rooms,storage,ticket booth,and alternative disposal programs for waste that cannot concession area for the amphitheater.An additional be placed into the current landfill site,and providing $1,080,000 is approved for water feature projects for long-term disposal for the two cities and other designed to help increase development in the district. customers of the agency. The approved expenditures include one service level Cemetery Perpetual Care Fund adjustments in the amount of$6,875.The requested This fund accounts for the sale of cemetery lots and SLA is to fund the replacement upgrade of a 1997 'Y2 other revenues that are collected through the College ton gas truck to a diesel vehicle.This is part of the Station cemetery.The fund also accounts for overall effort to convert all BVSWMA vehicles to expenditures on projects that take place in the diesel prior to moving to the Grimes County landfill. cemetery. There are no expenditures anticipated in Also included is$2,424,636 for capital related this fund in FY07. ' expenses. Internal Service Funds Special Revenue Funds The City has established several internal service Hotel Tax Fund $3,614,497 funds for areas where goods and services are • provided to City departments on a cost- The City receives a tax of 7%on room rental rates reimbursement basis.The Internal Service Funds • from persons staying in hotels or motels within the include the Insurance Funds,the Equipment • City. The City's use of taxes received from this 11 • . Replacement Fund,the Utility Customer Service Utility Customer Service Fund $2,548,155 Fund,Fleet Maintenance Fund,Print/Mail Fund and The Utility Customer Service Division is the primary Communications Fund.Each of these funds receives interface with the City's utility customers. revenues from City departments to which services are Responsibilities include setting up customer provided.Base budget revenues for the funds reflect accounts,connecting and disconnecting utility the above policies.In the Print/Mail Fund,revenues services,reading meters,billing and collecting utility are transferred as the division completes jobs and customer accounts and addressing customer bills the expenses back to the division for which concerns.In FY06,oversight of the division was services were provided.All other Internal Service transferred to the Fiscal Services Department from funds have revenues transferred from departmental the Information Services Department as part of the budgets on a quarterly basis to ensure that funds are comprehensive city-wide reorganization. available to fund related expenses. The division has two SLAs totaling$27,000.The Insurance Funds first SLA totals$7,000 and provides additional funds The City of College Station has four funds for for overtime in the Meter Services division as a result • insurance purposes,all of which are self-funded. of increased workloads.The second SLA totals • • $20,000,and will result in the outsourcing of utility Property Casualty Fund $848,076 bills and late notices. The property casualty fund ensures that the City can adequately cover potential property and liability 420 Utility Bills Mailed .! losses.The FY07 estimated revenues for the Property 400 Casualty fund are$903,103.Approved expenditures Casualty N 360 total$848,076. F 340 320 Employee Benefits Fund $5,343,911 300 2003 2004 2005 2006 est 2007 est The employee benefits fund is self-funded and ' provides medical coverage to covered City • j employees.Estimated revenues for the employee benefits fund total$5,611,115 for FY07,and Fleet Maintenance Fund $1,697,130 approved expenditures total$5,343,911. The Public Works Fleet Services Division manages the vehicle and equipment fleet.The division also . • Workers Compensation Fund $743,031 performs preventive maintenance and vehicle repair. j The workers compensation fund provides coverage The City maintains a fleet of vehicles and heavy 1 against losses sustained through on the job injuries to equipment to provide services to the citizens of „ employees.Revenues anticipated in the Workers College Station.Nearly every City department Compensation fund are$842,934;expenditures total depends on having a reliable fleet to provide service. $743,031. Some of these services include Police and Fire • response, Solid Waste Collection,Public Utilities, Unemployment Fund $35,000 Building Inspection,and Parks. In FY07,revenues in Revenues in the unemployment fund are estimated to the Fleet Fund are projected to be$1,725,400. The be$32,519.Expenditures in this fund are expected to FY07 approved expenditures are$1,697,130.Fleet be$35,000. Services has one approved SLA for$5,500 to fund software and technology upgrades at the Public Equipment Replacement Fund $7,485,109 Utilities Fleet Satellite Shop. • The City has a fund that serves to accumulate Print Mail Fund $491,563 resources for the replacement of vehicles and large ' motorized equipment,the telephone and radio The Print Mail Division is responsible for providing systems,to provide replacement assets for the printing,copying,banner and sign making,vehicle existing major technological infrastructure,and the decal creation and placement and mail services to ._ • replacement of copiers.The anticipated revenues City Departments.The total estimated revenues for :. • total$4,220,809;expenditures total$7,485,109. FY07 are$492,750.The approved expenditures for • • FY07 total$491,563.This includes one SLA totaling $25,180 to purchase a new postage metering machine. 12 Communications Fund $823,954 Street Extension Projects The Communications Division is responsible for the Anticipated expenditures in FY07 total$9,755,639 for various street extensions and widening projects. implementation and maintenance of the network infrastructure,telephone,voice radio,data radio This includes$724,003 for the construction of Phase (mobile data)and paging systems and any other II of Jones Butler Road South. $3,576,009 is system requiring connectivity for communications. projected for the construction of the Revenues in this fund are projected to be$758,720 in Arrington/Decatur Street extension.In addition, FY07.Approved expenditures in FY07 total $540,000 is projected for oversize participation $823,954.There are two SLAs totaling$13,475.The efforts throughout the City as authorized in the 2003 first SLA totals$8,000 and covers additional costs bond election. $2,413,043 is projected in FY07 for associated with the City's phone maintenance phase II of the extension of Dartmouth Drive and contract.The second SLA totals$5,475 for on-call $367,398 is projected for the Rock Prairie Road pay. Widening project. Additionally,$439,084 is projected for the Corsair Street extension project and Capital Project Funds $646,102 for improvements on Barron Road. The City has a number of capital project funds. Street TxDOT Projects General obligation bonds form the basic resource for Working in cooperation with the Texas Department general government projects such as streets,parks, of Transportation,the City expects to spend traffic,public facilities and other such needs. $341,910 on Texas Avenue Streetscaping.An However,the City has several other resources that additional$341,909 is projected for FY08.It is may be used to supplement those resources and help anticipated that the landscaping will be completed in to hold down the ad valorem taxes necessary to pay conjunction with the completion of the phases of the for general obligation bonds. widening project. In addition to the general government projects,the Traffic Projects City has bond funds for each of the utilities operated In FY07,funds have been approved for traffic signal by the City. For FY07,operating funds from both the enhancements including new traffic signal projects. Water and Wastewater Funds in the amount of New signals are being constructed at the intersections $3,500,000 are approved to be used to fund capital of Harvey Mitchell Parkway and Luther,Harvey projects in lieu of the issuance of additional debt. Mitchell Parkway and Holleman,and Harvey Mitchell Parkway and Welsh.Funds for safety Other resources to fund capital projects include the improvements to the traffic system and for traffic Wolf Pen Creek Tax Increment Financing District, system communications are also approved for FY07. the Drainage Utility and Parkland Dedication Funds. Each provides resources that will be used to complete Sidewalks and Trails Projects a number of projects over the next five years. The City of College Station has worked over the Community Development funds will also be used to years to ensure adequate transportation infrastructure fund certain street projects in eligible areas and park for pedestrians and bicyclists.The City has an projects in the Tarrow Park and Lincoln Center area. adopted sidewalk and bike loop plan.In FY07, $100,000 is approved for new sidewalk projects General Government Capital Projects throughout the City,and$230,000 is projected for The following is a brief summary of some of the key hike and bike tails.An additional$318,202 is general government projects scheduled for FY07. projected for completion of the bike loop. Street Capital Projects $9,035,402 Parks Capital Projects $1,724,057 Street Rehabilitation Projects In FY07,construction on the second phase of In FY07,$2,831,751 is projected for rehabilitation to Veterans Park will continue and is projected to be streets in the Southside area.This is a multi-year $4,025,400.Other projects for which funding has effort to rehabilitate the infrastructure in older parts been approved include the development of University of College Station.Additionally,$2,591,466 is Park and the construction of a new forestry shop. projected for improvements in the Northgate area, Funds have also been appropriated for the Woodland which includes funds for phase II of the Church Hills Park development and for the design of a new Street rehabilitation project and for rehabilitation bath house at Adamson Pool.In addition, efforts on Tauber and Stasney. Community Development Block Grant funds in the 13 • amount of$667,000 have been included for eligible improvements.Additionally,$78,500 is projected for projects. storm water mapping and the drainage master plan. In addition,an SLA for$7,200 was approved for a General Government& mosquito abatement program. Capital Equipment Capital Projects $7,559,230 • • General government and capital equipment projects Utility Capital Projects • are planned assets that have value to more than one The following is a brief summary of some of the . . specific area of City operations.The two main utility capital projects scheduled for FY07. These • divisions within this category are public facilities and capital projects are funded either through existing technology projects. revenues from these funds or through the issuance of utility revenue bonds. In FY07,$7,308,302 is projected to be spent on public facilities. Included in this amount is Electric Capital Projects $10,537,765 $1,067,000 for development of a new city cemetery; $10,537,765 is the approved expenditure amount for $965,619 for the relocation of Fire Station#3; electric capital projects in FY07.As the electric $2,743,933 for renovations to the police station; and capital projects are considered competitive matter $1,750,000 for improvements to current municipal under Texas Senate Bill No. 7,details of these • facilities. In addition,$611,750 is projected for projects are not outlined in this summary,but are projects are planned in the Northgate area. provided to Council as part of the budget review . . •.. It is projected that$5,814,342 will be spent on process. technology projects in FY07. This includes$100,000 Water Capital Projects $17,425,356 for MDT System Replacement and$453,172 for ATM network replacement. $4,800,000 is In FY07, $17,425,356 is the approved appropriation appropriated for the replacement of the City's radio for water capital projects.Production projects include system.Also included are funds for an EMS $3,819,300 for the continued construction of a water • Reporting System,Police Scheduling System and transmission line along FM 2818 from Highway 21 S • Wireless Infrastructure improvements. to Villa Maria Rd.Also included are funds for the construction of two additional shallow wells that will . Business Park Projects $535,804 allow water production to meet projected peak • In FY07 it is estimated that$1,215,143 will be spent demand capacity. Other significant production projects within the Business Park.Included are funds projects include the replacement of the chlorine for a business incubator and funds for the continued disinfection system at the Dowling Road Pump development of the Spring Creek Corporate Campus. Station and the completion of water plant security • • In addition,$500,000 has been budgeted in this fund upgrades. for transfer to the Economic Development Fund. Significant distribution projects include$534,000 for These funds will be for economic development a reclaimed water irrigation project.Also included efforts of the Research Valley Partnership. are funds for the construction of water lines in Drainage Capital Projects $1,947,334 annexed areas along Raymond Stotzer West and for the Wellborn Rd.Widening project.Funds are The approved appropriation for Drainage capital projected in FY07 for the extension of an 18"water projects is$948,314. The Operations and line along Rock Prairie Road. $1,275,000 is Maintenance portion of the Drainage Fund is appropriated in FY07 for the purchase of land in • $999,020,for total FY07 Drainage Fund recently annexed areas and$1,297,000 is projected to • • expenditures of$1,947,334.The drainage capital be spent over the next two fiscal years for the projects budget includes a projected$2,044,900 for extension of water service into areas annexed in improvements to the City's drainage system. 2002. Significant projects include improvements to the Bee Creek main channel and erosion repair and stream Approved rehabilitation projects include$285,000 • restoration improvements to Bee Creek from for general distribution system rehabilitation.Also Lancelot to Guadalupe. $50,000 is projected for approved in FY07 are funds for the replacement of engineering on the Bee Creek Tributary A Phases IV the Barron Road water line and meters in conjunction • and V project.Funds are projected in FY07 for with the upgrade of Barron Road to a minor arterial. Greenways projects and minor drainage Additionally,$2,282,485 is projected for Southside • • improvements and also for Southside drainage rehabilitation projects. • 14 • City of`College Station Office of Budget & Strategic Planning 1101 Texas Avenue College Station, TX 77840 www.cstx.gov • • . r .., - '*41411111111... '......'. :: 77- . :-...-1'...';',1',--1. - '4 'lir°7.** J.-11Pf • ham , -:a4,... .w. ( . . , . " 0 . r µ . / / w.w imp';.' J .!Ii# JIiW....4.41V1u�,�lu/w[+.l liN f • jligbi • • v- , why•..w V,A.... • t., +a� h x M it, • i i f I • . . I� i - A 4111111% Sr1-1-\_Ass COLVIV rrt 0 r CA_ of • • The approved FY07 budget includes$2,500,000 in Special Revenue Capital Projects current revenues that are approved to be transferred The following is a brief summary of some of the key from operations to fund water capital projects. special revenue projects scheduled for FY07. Additionally,a debt issue of$14,750,000 is projected • in FY07 for water capital projects. Parkland Dedication • Capital Projects $1,087,541 Wastewater Capital Projects $9,441,625 • Parkland dedication funds can be used for projects The FY07 approved budget includes$9,441,625 in that are in neighborhood parks located within the • • appropriations for numerous wastewater capital various park zones.These funds come from a projects. Collection projects include$295,000 for dedication required as new development occurs in oversize participation and planning.Funds are also College Station.In FY07,$1,087,541 has been approved for the design of the Lick Creek Impact Fee budgeted for projects that are anticipated will be Line and for the design of the Lick Creek Parallel completed in the various park zones. Trunk Line.Funds have also been included for the construction of wastewater lines in annexed areas Convention Center $3,044,785 throughout the City. $3,000,000 is the approved appropriation for the new Rehabilitation projects included in the approved Convention Center. These funds will be available for budget include$235,000 for collection system land acquisition,design and construction of this rehabilitation projects.$100,000 is projected for the project. relocation of the wastewater lines along Barron Road Additional O&M Costs in conjunction with the road's upgrade to a minor arterial. $550,000 is projected for repairs to the With the addition of new facilities and infrastructure, • Carters Creek Wastewater Treatment Plant screw lift additional operations and maintenance costs may be system.$1,890,250 is the projected expenditure for incurred. In the case of infrastructure rehabilitation it • ' Southside sewer upgrades. is expected that O&M cost will decrease for those • areas the project targeted.However,it is difficult to Treatment and disposal projects include$750,000 in quantify the cost savings of rehabilitation since FY07 for odor control improvements at the Carters resources are used elsewhere and not removed from Creek Treatment Plant.Funds have been included for departmental budgets. • UV treatment improvements at the plant and for on sludge processing and facility improvements. Conclusion �cttisi0n $550,106 is approved in FY07 for pavement repairs The previous discussion provided an overview of the at the Carters Creek Wastewater Treatment Plant and approved FY07 budget and key changes from the $163,000 is approved for SCADA system FY06 budget.A full version of the Approved Annual improvements.Funds are also approved for various Budget is available at the Larry J.Ringer Library • infrastructure improvements at both the Carters (1818 Harvey Mitchell Parkway),in the City Creek Wastewater Treatment Plant and the Lick Secretary's Office in City Hall,or for download at •• Creek Treatment Plant. http://www.cstx.gov. • A total of$1,000,000 in current revenues from operations is approved to be used to fund wastewater capital projects.Additionally,a debt issue of $7,100,000 is projected in FY07 for wastewater • capital projects. 15