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Fy 2014 proposed budget presentation 10.21.13 v5

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Fy 2014 proposed budget presentation 10.21.13 v5

  1. 1. Wally Bobkiewicz, City Manager www.cityofevanston.org Fiscal Year 2014 Proposed Budget Presentation October 21, 2013
  2. 2. 2 FY 2014 Proposed Budget Presentation • FY 2013 Budget Status – 2013 General Fund Status – Other Funds • FY 2014 Budget Overview • General Fund • Other Funds • Proposed FY 2014 Capital Improvement Plan • Upcoming Budget Discussion Schedule • Questions
  3. 3. 3 FY 2013 Budget Status • 2013 General Fund revenues are projected to perform at approximately 100.56% or $472,568 above budget due primarily to the following sources: – Income Tax – Projected to be $400,000 above budget – Real Estate Transfer Tax – Projected to be $476,000 above budget – Building Permits – Projected to be $1.4M above budget • 2013 General Fund expenses are estimated to be nearly $1.5 million or 1.77% below budget. • Public Safety expenses slightly above budget due to increase in staffing during the year.
  4. 4. 4 FY 2013 Budget Status • Staff anticipates the General Fund will close 2013 with a surplus totaling $1,967,896. • Projected 2013 surplus proposed to be distributed as follows: – Transfer to Capital Improvement Fund: $300,000 – Transfer to Fleet Maintenance Fund: $600,000 – Transfer to Insurance Fund: $500,000 – Transfer to Police/Fire Pension Funds of $138,000 (not presently in budget) – Remaining surplus will be retained in General Fund
  5. 5. 5 Fiscal Year 2014 Proposed Budget Overview
  6. 6. 6 • Total Proposed Budget for FY 2014 is $252,295,571 (including interfund transfers) Pg. 36 • General Fund Revenues - $87,235,298 – Pg. 14, 44 • General Fund Expenditures - $87,004,481 – Pg. 14, 44 • General Fund Surplus - $230,817 – Pg. 14, 44 FY 2014 Proposed Budget Overview
  7. 7. 7 *Police/Fire Pension Transfer not yet included in Proposed Budget Document FY 2014 Proposed Budget Overview FY 2013 FY 2013 FY 2014 Amended Estimated Proposed Budget Actual Budget Revenues $84,523,051 $84,995,619 $87,235,298 Expenditures $84,520,422 $83,027,723 $87,004,481 Net $2,629 $1,967,896 $230,817 Transfer to Capital Improvement $0 $300,000 $0 Transfer to Fleet Maintenance Fund $0 $600,000 $0 Transfer to Insurance Fund $0 $500,000 $0 Transfer to Police/Fire Pension Funds* $0 $138,000 $0 Surplus/(Deficit) $2,629 $429,896 $230,817 Adjustment to GAAP Basis of Accounting $0 $0 $0 Adjusted Surplus/(Deficit) $2,629 $429,896 $230,817
  8. 8. 8 FY 2014 Proposed Budget Overview Total Revenue Adjustments (Increases) 565,000$ Total Expenditure Adjustments (Decreases) 607,358$ Net Deficit Reduction 1,172,358$ TOTAL PROPOSED REVENUES (Before Adjustments) 86,670,298$ TOTAL PROPOSED EXPENDITURES (Before Adjustments) 87,611,839$ BALANCE (Before Adjustments) (941,541)$ TOTAL DEFICIT REDUCTION 1,172,358$ NET SURPLUS / (DEFICIT) (After Adjustments) 230,817$ FY 2014 General Fund Budget-Balancing Summary:
  9. 9. 9 FY 2014 Proposed Budget Overview • FY 2014 General Fund is presented as a balanced budget with a surplus of $230,817. • In order to balance the budget, staff recommends the following revenue and expense adjustments: Revenue Amount Increase Building Permit Fee by $1 per $1,000 for permits from $20,000 to $1,000,000, and $2 per $1,000 for permits over $1,000,000, (Last increase in 2006-07 Budget) $ 300,000 Youth Organization Umbrella (YOU) Grant $ 40,000 Increase Interfund Transfers to General Fund by 3% $ 225,000 Total General Fund Revenue Adjustments $ 565,000
  10. 10. 10 FY 2014 Proposed Budget Overview • Recommended General Fund Expense Adjustments: Expense Amount Reduce Interfund Transfer to Solid Waste Fund $ (450,000) Citywide Salary Savings (0.5%) $ (300,000) Elimination of Human Resource Contractor $ (133,500) Addition of Human Resource Specialist $ 123,549 Scheduled Computer Purchases per Replacement Plan (Police) $ 30,000 Increase to Police Training $ 33,800 Increase for Activities at the School-Based Health Clinic at ETHS $ 9,000 Addition of 2 YOU Grant Funded Outreach Workers $ 42,368 Addition of 2 Recreation Instructors at 28 Hours per Week $ 26,068 Replace 0.5 FTE Rec Aide and 0.5 FTE Preschool Instructor with 1 FTE Preschool Rec Aide $ 11,357 Total Expense Adjustments $ (607,358)
  11. 11. 11 FY 2014 Proposed Budget Overview • The Community Development Department is anticipating an increase in building permit revenue in 2014, totaling $2.77 million. • Of this amount, approximately half is considered on-going revenue and the other half should be used to offset one-time expenses per City Council policy. Recommended one-time expenses include: One-Time Expenses Amount Kubota r400 Vehicle (Snow and Sidewalk) $ 100,000 ACCELA System Update $ 100,000 Equipment Replacement Fund Transfer $ 170,000 Dutch Elm Tree Inoculations $ 200,000 Bike Racks $ 100,000 Fire Department - 12 Mobile Computers $ 46,000 Automated Stretcher Lift Device $ 40,000 Tree Planting $ 58,500 Mobile City Hall Vehicle $ 150,000 Forestry Technology $ 100,000 Information Technology Purchases $ 320,500 TOTAL $ 1,385,000
  12. 12. 12 The FY 2014 Proposed Budget includes staffing increases of 11.95 full-time equivalents (FTE) as summarized below: FY 2014 Proposed Budget Overview POSITION DEPARTMENT FUND FTE Cultural Arts Coordinator City Manager's Office General 1 Victim Advocate Police General 1 Police Sergeant Police General 1 Police Commander Police General 1 Customer Service Representative Health General 1 Emergency Response Coordinator Health General 0.2 Library Department staffing adjustments Library Library 6.75 TOTAL ALL FUNDS 11.95 Additional position control information is available on page 196 of the Budget.
  13. 13. 13 Property Tax Levy History: 2009 2010 2011 2012 2013 Adopted Adopted Adopted Adopted1 Proposed2 General Fund (GF) $ 16,587,883 $ 14,198,162 $ 13,351,689 $ 9,578,882 $ 9,638,452 IMRF Pension $ - $ 2,151,438 $ 2,997,911 $ 2,702,504 $ 2,642,934 Total Operating Levy $16,587,883 $16,349,600 $16,349,600 $12,281,386 $12,281,386 Library $ - $ - $ - $ 4,253,214 $ 5,003,339 Library – Capital $ - $ - $ - $ - $ 150,000 Library – Debt $ - $ - $ - $ - $ 748,178 Fire Pension $ 5,527,112 $ 6,057,267 $ 6,119,393 $ 6,061,575 $ 5,959,481 Police Pension $ 6,730,620 $ 7,436,369 $ 8,196,751 $ 8,069,325 $ 8,033,924 Debt Service Fund $ 10,138,162 $ 10,806,575 $ 11,863,894 $ 11,798,019 $ 12,568,104 TOTAL NET LEVY $ 38,983,777 $ 40,649,811 $ 42,529,638 $ 42,463,519 $ 44,744,412 1. 2012 Debt Service Levy was reduced due to 2002C Bond refinancing 2. 2013 Debt Service Levy reduced by Library Debt Service Levy, but increased due to increased debt payments on 2006 and 2007 bond issues. FY 2014 Proposed Budget Overview
  14. 14. 14 2014 Property Tax Levy Impact Summary: FY 2014 Proposed Budget Overview Property Value 300,000$ 600,000$ 900,000$ Estimated Assessed Value 84,000$ 168,000$ 252,000$ 2012 Combined Property Tax Rate* 0.01724 0.01724 0.01724 Estimated 2012 Property Tax 1,448$ 2,896$ 4,344$ 2013 Change in Property Tax Levy 5.37% 5.37% 5.37% Estimated 2013 Property Tax 1,526$ 3,052$ 4,578$ Difference 78$ 156$ 233$ City of Evanston Property Tax by Assessed Value * Combined Property Tax Levy = Municipal Levy + Library Levy
  15. 15. 15 Other Funds (Pg. 115): • Special Revenue Funds • Debt Service Funds • Capital Projects Funds • Enterprise Funds • Internal Service Funds • Pension Trust Funds FY 2014 Proposed Budget Overview
  16. 16. 17 Water Fund: •Proposed 2014 Budget for Water Fund is $23,969,734. •A detailed rate review was provided to the City Council on July 22, 2013. •As part of that rate review, staff recommended a water rate increase of 10% in FY 2014. •This increase will be used to maintain funding of current capital replacement programs in combination with debt issuance for selected projects. FY 2014 Proposed Budget Overview
  17. 17. 18 FY 2014 Proposed Budget Overview Solid Waste Fund: •FY 2014 Budget proposes decreasing the General Fund contribution to the Solid Waste Fund from $1,245,967 to $800,000 assuming the following increases: 2013 Current Fee 2014 Proposed Fee 95 gallon Cart Monthly Fee $ 14.95 $ 18.95 65 gallon Cart Monthly Fee $ 7.95 $ 9.95 Yard Waste Cart Annual Fee $ 25.00 $ 50.00 Yard Waste Sticker $ 1.75 $ 3.00
  18. 18. 19 FY 2014 Proposed Budget Overview Solid Waste Fund: •Assuming the proposed increase, City fees are still low compared to other area communities: Municipality Size Refuse Collection Container Yard Waste Collection Fees 95 Gal 65 Gal Annual Sticker Oak Park $21.38 $18.10 $122 $2.36 Arlington Hts. $24.55 N/A $125 $2.10 Wilmette $21.63 N/A N/A $2.25 Glenview $16.63 N/A $146 N/A Sample Avg. $21.00 $18.00 $131 $2.25 Evanston: Current $14.95 $7.95 $25 $1.75 Evanston: Proposed $18.95 $9.95 $50 $3.00
  19. 19. 20 FY 2014 Proposed Budget Overview Solid Waste Fund: •Total Revenue from fee increase is estimated at $900,000 •Reduction of General Fund transfer of approximately $450,000 •Net increase to Solid Waste Fund revenues of approximately $450,000 •Increase in fees is not a reflection of increases of total operating costs: • 2012 Actual Expenses $4,611,737 • 2013 Estimated Expenses $4,610,552
  20. 20. 21 Fiscal Year 2014 Capital Improvement Plan (CIP) Overview
  21. 21. 22 FY 2014 Proposed Capital Improvement Plan • Total Proposed FY 2014 CIP budget is $39,831,802 across all funds. • Proposed 2014 CIP projects were selected based on recommendations from staff and City Council. • Capital projects have been grouped into major categories and several smaller sub-categories: • Facilities - City Facilities, Community Centers, Parks/Recreation • Right-of-Ways – Lighting, Sidewalks, Streets, Traffic Signals • Utilities – Water Distribution, Water Plant, Sewer • General Projects – Technology, Economic Development, Engineering Services • Proposed 2014 GO debt issuance for Capital Improvement Fund projects totals $8.3 million.
  22. 22. 23 FY 2014 Proposed Capital Improvement Plan 2014 General Obligation Debt Funded Projects: •Facilities Projects – City Facilities Description Amount Civic Center Boiler Building Renovations 120,000 Fire Station #2 Renovations 360,000 Police - Fire Headquarters Renovations 50,000 Civic Center Security Improvements 300,000 Facilities Capital Improvement Contingency 250,000 SUBTOTAL - CITY FACILITIES 1,080,000
  23. 23. 24 FY 2014 Proposed Capital Improvement Plan 2014 General Obligation Debt Funded Projects: •Facilities Projects – Community Centers Description Amount Crown Center Minor Projects 50,000 Animal Shelter Renovations 120,000 Chandler Center Study / Minor Improvements 250,000 Fleetwood-Jourdain Study / Minor Improvements 250,000 Levy Center Renovations 100,000 Ecology Center Renovations 100,000 SUBTOTAL - COMMUNITY CENTERS 870,000
  24. 24. 25 FY 2014 Proposed Capital Improvement Plan 2014 General Obligation Debt Funded Projects: •Facilities Projects – Parks and Recreation Description Amount Neighborhood Public Art Program 75,000 Lakefront - Lagoon Area Improvements 275,000 Baker Park Renovations 75,000 Lakefront - Dempster Street Boat Rack Installations 75,000 SUBTOTAL - PARKS AND RECREATION 500,000
  25. 25. 26 FY 2014 Proposed Capital Improvement Plan 2014 General Obligation Debt Funded Projects: •Right-of-Way – Lighting, Sidewalks and Traffic Signals Description Amount City Works Sign, Signal, Street Light & Tree Inventory & Upgrade 250,000 SUBTOTAL - LIGHTING 250,000 Central Street Sidewalk - Eastwood to Hartrey Design 100,000 50 / 50 Sidewalk Replacement Program 250,000 SUBTOTAL - SIDEWALKS 350,000 CMAQ Chicago Avenue Signal Improvement Reimbursement 60,000 Dempster Signals Phase II & III and Construction Engineering 59,000 SUBTOTAL - TRAFFIC SIGNALS 119,000
  26. 26. 27 FY 2014 Proposed Capital Improvement Plan 2014 General Obligation Debt Funded Projects: •Right-of-Way – Streets Description Amount Street Resurfacing - CIP 2,325,000 Emerson/Ridge/Green Bay Intersection 150,000 Bridge Street Bridge Construction - McCormick to Brown 360,000 Bridge Rehab Isabella Phase II Design & Construction 150,000 Bridge Street Bridge Phase III - Construction Engineering 40,000 Neighborhood Traffic Calming & Pedestrian/Bike Accommodations 50,000 Pedestrian Safety, Pavement Marking, Streetlight Improvements 150,000 Davis Streetscape / Resurfacing / Bike Lane - Asbury - Dodge 300,000 Dodge Ave Protected Bike Lane - Howard to Church (if grant funded) 120,000 Sheridan Road Improvement Project (Emerson to North City Limits) 250,000 Sheridan Road Signal Upgrade Project (Main to Burnham) 100,000 Sheridan-Chicago Bike Path Phase I, II Engineering and Construction 37,458 Bike Plan Update 25,000 Isabella/Sheridan Rehabilitation Project (Wilmette Reimbursement) 280,000 ETHS/Dodge Ave Pedestrian Light Improvement 100,000 ETHS/Church St Bike Path 250,000 SUBTOTAL - STREETS 4,687,458
  27. 27. 28 FY 2014 Proposed Capital Improvement Plan 2014 General Obligation Debt Funded Projects: •General Projects – Engineering Services Description Amount Engineering Services 475,000 SUBTOTAL - GENERAL PROJECTS 475,000
  28. 28. 29 FY 2014 Proposed Capital Improvement Plan 2014 General Obligation Debt Funded Projects: •Summary Category Sub-Category Amount Facilities City Facilites 1,080,000$ Facilities Community Centers 870,000$ Facilities Parks and Recreation 500,000$ Facilities Total 2,450,000$ Right-of-Way Lighting 250,000$ Right-of-Way Sidewalks 350,000$ Right-of-Way Traffic Signals 119,000$ Right-of-Way Streets 4,687,458$ Right-of-Way Total 5,406,458$ General Projects Engineering Services 475,000$ General Projects Total 475,000$ Grand Total 8,331,458$
  29. 29. 30 FY 2014 Proposed Capital Improvement Plan Tax Increment Financing (TIF) Funded Projects: •Proposed 2014 TIF projects by category: Description TIF Category Amount Comprehensive Sign Package Washington Natl. Signage 125,000$ Fountain Square Reconstruction Study Washington Natl. Streets 300,000$ Davis Street Streetscape - Benson to Chicago - Repaving Washington Natl. Streets 100,000$ Sheridan-Chicago Bike Path Phase I, II, III Washington Natl. Streets 12,486$ Small Diameter Sewer Rehabilitation (various) Washington Natl. Sewer 185,000$ Howard Street - Target Access Drive Improvements Howard-Hartrey Streets 500,000$ TOTAL - TIF FUNDED PROJECTS 1,222,486$
  30. 30. 31 FY 2014 Proposed Capital Improvement Plan Grant and Private Donation Funded Projects*: •Facilities Grant Funded Projects: * All projects are budgeted in Capital Improvement Fund Description Category Sub-Category Amount MWRD Grant Projects Facilities City Facilities 850,000 Metra Station Heating Control Replacements Facilities City Facilities 10,000 Lakefront - Boat Ramp Renovations Facilities Parks & Rec 200,000 Lakefront - Lagoon Area Improvements Facilities Parks & Rec 400,000 Baker Park Facilities Parks & Rec 25,000 Lakefront - Clark Street Beach Bird Habitat Facilities Parks & Rec 173,000 Lakefront - Lagoon Area Improvements Facilities Parks & Rec 500,000 TOTAL 2,158,000
  31. 31. 32 FY 2014 Proposed Capital Improvement Plan Grant and Private Donation Funded Projects*: •Right-of-Way Grant Funded Projects: * All projects are budgeted in Capital Improvement Fund Description Category Sub-Category Amount Ridge/Emerson/Green Bay Intersection Engineering Right-of-Way Streets 24,000 Ladd Arboretum Bike Path Renovations Right-of-Way Streets 88,000 Bike Plan Update Right-of-Way Streets 100,000 Sheridan Road / Chicago Avenue ITEP Grant Right-of-Way Streets 800,000 Dodge Avenue Protected Bike Lane (Howard to Church) Right-of-Way Streets 480,000 Bridge Street Bridge Construction (McCormick to Brown) Right-of-Way Streets 1,940,000 Sheridan-Chicago Bike Path Phase I, II, III Right-of-Way Streets 199,776 Safe Routes to School Improvements Right-of-Way Streets 249,862 Dempster Signals Phase II & III Right-of-Way Streets 51,000 TOTAL 3,932,638
  32. 32. 33 FY 2014 Proposed Capital Improvement Plan Proposed 2014 CIP by Funding Source Funding Source Amount MFT Fund 1,400,000 E911 Fund 250,000 CDBG Fund 410,800 TIF Funds 1,222,486 CIP Fund - New GO Debt 8,331,458 CIP Fund - Carryover / Prior Debt 3,051,420 CIP Fund - Grants / Donations 6,090,638 Special Assessment Fund 500,000 Parking Fund 5,180,000 Water Fund 10,170,000 Sewer Fund 3,225,000 TOTAL 39,831,802
  33. 33. 34 Remaining Budget Discussion Schedule Saturday, October 26, 2013 9 a.m. – 1 p.m. Civic Center Parking Lot City Council Capital Tour Tuesday, November 5, 2013 6:15 p.m. Council Chambers City Council Goal Setting Monday, November 11, 2013 7 p.m. Council Chambers Public Hearing – Truth in Taxation Public Hearing – FY 2014 Proposed Budget Preliminary Tax Levy Estimate
  34. 34. 35 Remaining Budget Discussion Schedule Monday, November 18, 2013 7 p.m. Council Chambers City Council Budget Discussion Monday, November 25, 2013 7 p.m. Council Chambers Budget Adoption Monday, December 9, 2013 7 p.m. Council Chambers Tax Levy Adoption Tax Levy Abatement
  35. 35. 36 Questions?

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