HomeMy WebLinkAbout07/19/2022 - Special Minutes - City Council
MINUTES OF THE CITY COUNCIL SPECIAL (BUDGET) MEETING
IN-PERSON WITH TELECONFERENCE PARTICIPATION
CITY OF COLLEGE STATION
JULY 19, 2022
STATE OF TEXAS §
§
COUNTY OF BRAZOS §
Present:
Karl Mooney, Mayor
Council:
Bob Brick via remote
John Crompton via remote
Linda Harvell
Elizabeth Cunha
John Nichols
Dennis Maloney
City Staff:
Bryan Woods, City Manager
Jeff Capps, Deputy City Manager
Adam Falco, Interim City Attorney
Tanya Smith, City Secretary
Ian Whittenton, Deputy City Secretary
1. Council Lunch.
2. Call to Order and Announce a Quorum is Present. (12:00 p.m.)
With a quorum present, the Special (Budget) Meeting of the College Station City Council was called
to order by Mayor Mooney via In-Person and Teleconference at 12:03 p.m. on Tuesday, July 19, 2022,
in the Council Chambers of the City of College Station City Hall, 1101 Texas Avenue, College Station,
Texas 77840.
2. Executive Session
No Executive Session was held.
3. Reconvene from Executive Session and take action, if any.
No Executive Session was held.
4. Pledge of Allegiance, Invocation, consider absence request.
5. SPECIAL (BUDGET) ITEMS
5.1. Presentation, discussion, and possible action on the FY 2022-2023 Proposed Budget.
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Mary Ellen Leonard, Finance Director, provided a brief overview of the outside agency funding
requests and the amount of funding received by each agency depends on Council direction and the
availability of funds. Agencies are funded by the General Fund, Community Development Fund, Hotel
Tax Fund, and Solid Waste Fund. Contract Partners have been identified based on their economic
impact and the community services provided to the City. The Contract Partner agencies are Brazos
Valley Economic Development Corporation (BVEDC) and Arts Council of the Brazos Valley
(ACBV). Department Budget Agencies are agencies whose work directly supports the goals of a City
Department.
OUTSIDE AGENCY FUNDING
Requests from the General Fund amounted for the following:
Agencies with No Requested Increase:
Arts Council ($35,000)
BV Economic Development Corporation ($350,000)
Keep Brazos Beautiful / Solid Waste Fund ($46,730)
Noon Lions Club ($16,500)
Brazos County Health District ($350,000)
Amber Alert Network Brazos Valley ($5,000)
Agencies with Requested Increase:
Aggieland Humane Society ($276,000)
$14,400 increase to cover increase in property repairs and maintenance.
Brazos County Appraisal District ($576,000)
$75,801 increase .
HOTEL TAX FUND AGENCY FUNDING
Agencies with No Requested Increase:
B/CS Chamber of Commerce ($25,000)
Veterans Memorial ($30,000)
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Arts Council Marketing / Public Art Support ($35,500)
Arts Council Operations and Maintenance / New Facility ($98,200)
Agencies with Requested Increase:
Arts Council Affiliate Funding ($375,300)
Hotel Tax funded affiliate funding and operations and maintenance $46,000 to assist in the
rebuilding of the local arts and return to full programming and grant distribution.
United Way request funding of $10,000 to provide rides to citizens for doctor appointments and other
appointments they cannot make because of expense and no transportation.
At 1:23 p.m., the Mayor recessed the Special (Budget) Workshop.
The Special (Budget) Workshop reconvened at 1:35 p.m
Mrs. Leonard opened up an overview and discussion regarding the Utility funds.
Utility Funds
ENTERPRISE
Electric Fund:
Response to Winter Storm URI cost of $48,343,000
Due to reduced fund balance post Winter Storm Uri and more increases in Purchase
Power costs, the City is not budgeting an FY23 Electric Risk Mitigation Fund transfer.
Cost per meter absorbed by the city $1,120
Power Supply Replacement Cost = $13,665,000
Ancillary Costs = $34,678,000
The are future Legislative changes.
o ERCOT rules are subject to change by Governor and / or TX Legislature.
Natural gas price.
o Raw Material used by plants is at an all-time high.
Material / Labor Inflation.
o Transformer
o Specialized equipment
o Labor shortages
Jeff Capps, Deputy City Manager, provided an overview of the SLAs for Electric.
Service Level Adjustments ($620,500)
Vacuum Truck for Transmission and Distribution
Dump Trailer
Vehicle for Relays (Equinox equivalent)
Funding Source
Residential 49.09%
Other Revenue 4.51%
Fines and Penalties 1.02%
Transmission Delivery Adjustment 12.20%
Commercial 33.18%
Future Years
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Forecast developed in 2022 future years are subject to change based on the facts and
circumstances at the time of analysis. The forecast currently does not include any rate
changed beyond the proposed FY23 increase but the forecast does include potential
TDA adjustments based on expected transmission costs.
Water / Wastewater Capital :
Water Services ($471,000)
Service Truck - Water Production
Emergency Fuel Trailer
Pipe Cutting Equipment
Backhoe with Breaker Attachment
Environmental Compliance Coordinator
LCWWTP Screenings and Grit Annual Hauling
Solid Waste ($820,400)
Residential Rear-loader Truck + Crew
Solid Waste Supervisor & Truck
Annual replacement of 2 roll-off containers
Adopt A Street Supplies - Solid Waste
At 3:13 p.m., the Mayor recessed the Special (Budget) Workshop.
The Special (Budget) Workshop reconvened at 3:25 p.m.
Jeff Kersten, Assistant City Manager, provided an overview of the Roadway Maintenance Fee Fund
and noted that the full summary is in the proposed FY22-23 proposed budget.
Roadway Maintenance
Drainage SLA ($68,000)
Slope Mower
Drainage Utility Projects
The City funds drainage projects via drainage revenue paid by residential and commercial customers
for FY23, drainage capital appropriations total $1,266,500 for the following projects:
Minor drainage improvements that cover unscheduled/emergency projects
Replacement of the culvert at John Milliff Road and Redmond Drive and associated creek
bank stabilization
Replacement of the storm drain and culvert end treatments at University Oaks and Stallings
FY23 Rate Recommendations - with the increase in inflation, fees and other revenues must go up to
cover costs. Certain fees have been tied to the CPI-U in the fee resolution and the CPI-U increase thru
May 2022 is 10%.
Rates Tied to CPI: Solid Waste, Roadway Maintenance and Drainage.
Other Adjustments: Electric Rates will increase 10%.
Rate increases are NOT proposed for Water or Wastewater Services.
Impact of Rate Increases on Monthly Bill
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Residential Multi-Multi-Family
Residential
(w/Rate Difference Family (w/ Rate Difference
Current
Increase) Current Increase)
Electric (usage + svc
chg.) $93.10 $101.71 $8.61 $93.10 $101.71 $8.61
Electric (PDA) 11.17 13.25 2.07 11.17 13.25 2.07
Water 26.15 26.15 - - - -
Drainage 6.10 6.71 0.61 2.80 3.08 0.28
Sanitation 16.80 18.48 1.68 7.80 8.58 0.78
Roadway 8.30 9.13 0.83 6.50 7.15 0.65
Sewer 25.55 25.55 0 27.09 27.09 0
AVERAGE BILL $187.18 $200.98 $13.81 $148.47 $160.86 $12.40
Jennifer Prochaska, Assistant City Manager provided a brief overview of the Northgate Parking and
Community Development.
Other Enterprise / Grant Funds
Northgate Parking ($177,900)
Northgate Surface Parking Lot Management System
High-visibility Crosswalk Markings
Channelizing Intersection at Wellborn and Church
Northgate District Coordinator/Code Enforcement Officer
Community Development
Community Development Analyst
HOT Tax Funds
Jeff Kersten, Assistant City Manager, stated that this tax allows the city to collect up to its current tax
rate of 7% on rental income of hotels and motels within the city limits. In accordance with Chapter
351 of the Tax Code, expenditures from this fund must directly enhance and promote tourism and the
hotel industry in the City.
Additions to the FY23 budget are from the Tourism Division and include an increase of three FTEs
and parttime non-benefitted staff to help administer large events. There are also increases to help
service sports and Christmas events in the city. In FY22, the city reexamined KPIs that are historically
collected and began the process of assuring that they could be more succinctly focused on priorities
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Tourism $683,900)
Economic Development and Tourism Staff Assistant
Tourism PTNB Staff
Convention Sales Coordinator
Sports Servicing
Sports Sales Coordinator
Servicing Commitments for Tourism Events
Christmas in College Station
HOT Fund Five Year Forecast
.
Fee Resolution
Mary Ellen Leonard, Finance Director, gave a brief overview of the proposed changes to the
Ordinance & Policy will enable the City to achieve a long-term stable and positive financial condition.
prudent stewardship, planning,
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accountability, and full disclosure. The more specific purpose is to provide guidelines regarding the
-to-day financial affairs and in developing recommendations to the City Manager and City
Council.
Ordinance
Revision to Part 4 to exercise, approve, and execute all contract renewals options subject to
sufficient budgeted funds.
o Purpose to minimize supply chain issues for renewals by reducing authorization time
Fiscal and Budgetary Policy Statements.
2.8 Contingent Appropriation wording clarification that contingency within a fund is an
accounting item.
o Purpose clarify policy related to accounting journal entry.
3.8 Utility General Fund Transfers still under review.
17.1 Operating Reserves / Fund Balances General Fund increase the General Fund reserve
percentage from 18% to 20%.
o Purpose increase the reserve percentage for financial sustainability.
Mrs. Leonard explained the services associated with a user fee or charge, the direct and indirect costs
of that service will be offset by a fee where possible. There will be a review of fees and charges no
less than once every three years to ensure that fees provide adequate coverage of costs of services.
Full fee support (80100%) will be obtained from enterprise operations such as utilities, solid
waste service, landfill, cemetery, and licenses and permits.
Partial fee support I (5080%) will be generated by charges for emergency medical services,
m
Partial fee support II (20%50%) will be generated by charges for youth programs and
activities.
Minimum fee support (020%) will be obtained from other parks, recreational and cultural
programs and activities.
Fees below are adjusted annually based upon the Consumer Price Index published by the U.S.
Department of Labor, Bureau of Labor Statistics. Index adjustments cannot fall below zero. The CPI-
U increase thru May 2022 is 10%.
Rates tied to CPI Licenses and Permits; Solid Waste; Roadway Maintenance; and Drainage
Full Fee Support Manuel Adjustment Electric Rates will increase 10%; Garage fees to go
up comparable to A&M Garages; and Cemetery & Parks fees increased to cover costs.
Parks and Recreation Cost Recovery Continuum
Mrs. Leonard explained that user prices are determined by establishing the aggregate cost associated
with each service or program. These categories are reviewed every 35 years by City Management.
The actual cost recovery is recorded each fiscal year as staff considers necessary adjustments and
establishes performance benchmarks. Financial barriers will be addressed thru scholarships, work
programs and financial assistance
Minimum Cost Recovery 0% to 25% (i.e. Playgrounds, Parks, Greenways and Trails)
LowCost Recovery 26% to 50% (i.e. Youth Based Programs and Services)
MediumCost Recovery 51% to 75% (i.e. Adult based Programs and Services)
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HighCost Recovery 76% to 100% (Enterprise Operations, cemetery, License/Permits)
Closing
Bryan Woods, City Manager, reviewed the direction Council provided as follows:
Include a list of sponsorships in the budget
Provide Council with a presentation on Electric, Water, and Wastewater supply
Provide Council with a history of the Street Maintenance fund
Various forms of public education about utility bills
Provide Council with the cost of Rental Registration
Budget Book will include Hotel Occupancy Tax and add Short Term Rentals
Solid Waste Fees/ trash cans will stay the same
Provide Council with information on interactive features at Veterans Park Memorial Trail
Provide Council with a report on litter in Wolf Pen Creek Park.
Provide Council with a report on the feasibility of city services using electric vehicles
Revise language for Parks Department fees (pages 21 and 27 of proposed budget)
Bird Blind funding in the amount of $150,000
Possible options for rehabilitation of Shady Drive
6. Adjournment.
There being no further business, Mayor Mooney adjourned the Special (Budget) Meeting of the City
Council at 5:37 p.m. on Tuesday, July 19, 2022.
________________________
Karl Mooney, Mayor
ATTEST:
___________________________
Tanya Smith, City Secretary
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