Title: City of Washington Proposed FY 200405 Budget 1
1FY 04-05 ProposedCity of Washington Budget
- As Presented to
- Washington City Council
- April 19, 2004
2Highlights Total Budget
3Highlights Total Budget
- Total is 48,902,671 with Special Revenue funds
- assumes Capital/Grant project funds close at
years end - Aquatic Center Fund, Civic Center Fund now under
Parks Recreation in General Fund - no longer separate enterprise funds
4General Fund Highlights
- Increases some fees
- Draws down fund balance to balance
- Retains 55 cents property tax rate
- Allows limited spending for capital outlay
- Cuts original department requests by more than
3.4 million - Funds only 1 (of 20 requested) new position
5General Fund Fees
- Increases monthly residential garbage collection
fees - New fee 7 (up 2)
- Increases revenues by 110,000
- Covers only 57.7 of Sanitation Divisions costs
6A Look At The Numbers
7General Fund Fees
- Increases non-resident recreation athletic
activity fees - New fee 60 (up 20)
- Increases revenues by 21,000
- Covers only 20.9 of athletic programs costs
(287,823) - 55 (1000) of program participants are
non-residents - Beaufort County provides only 15,732 for City
recreation - 31.89 of the cost of non-resident recreation
activities would continue to be subsidized by the
City
8General Funds Fund Balance
- Proposed budget uses 900,694 of GF Fund Balance
- Current GF Fund Balance
- 3,084,157 (not including Powell Bill revenues)
- 24 of General Fund appropriations
- NC Local Government Commission (LGC) recommends
8 minimum fund balance (including Powell Bill
revenues)
9General Funds Fund Balance
- 2004-05 proposed Fund Balance 2,183,463
- Level would be 17 of the General Fund
appropriations - Past City practice 25 to 30 unrestricted fund
balance - Matched average of same size municipalities in NC
- Non-public power cities need higher fund balance
for cash flow in first 6 months - Public power cities can maintain cash flow with
budgeted transfers and administration charges
10A Look At The Numbers
11A Look At The Numbers
12General Funds Fund Balance
- Operational cost shortfall needs to be addressed
- Cannot continue draw downs indefinitely
13General Fund Capital Outlay
- 266,916 for items needed to fulfill work
responsibilities and provide services - computer upgrades (software and hardware)
- 2 police patrol cars
- repair facilities (HVAC, lighting and carpet)
- operational equipment (i.e., lawnmower, postage
machine, garage tire balancer, pool vacuum and
lights, fitness treadmill, parks recreation
pickup truck, garbage carts, portable radios)
14General Fund Capital Outlay
- Unfunded capital outlay requests include
- additional police cars
- various trucks/maintenance equipment
- computers
- radios and communications equipment
15General Fund Capital Outlay
- Funds minimal needs of Citys E-911 Central
Communications Center - further upgrades on hold while management staff
addresses redundancy with the Countys E-911
Center - Construction of second fire station on west side
of town on hold - Current GF revenues will not support
- hiring 6 additional personnel to staff station
- paying for construction debt service
16General Fund Capital Outlay
- Remaining funds special community projects
- 10,000 - Veterans Memorial Park
- 25,000 - Beebe Memorial Park
- 10,000 - proposed skate board park
17Property Tax Rate
- At current tax base and revenue growth, 0.55 tax
rate will not continue to cover future City
services or operational costs
18A Look At The Numbers
19Property Tax Rate
- 0.02 of 0.55 tax rate set aside
- public safety capital needs (specifically Fire
Department) needs - directive from previous Council
- FY 04-05 Public Safety Capital Reserve Fund -
116,866 - undesignated until decisions made about
additional fire station and personnel - FY 03-04 includes 205,000 to buy land for new
fire station - Public Safety Capital Reserve Fund will have
321,866, undesignated if land acquisition not
completed by end of FY 03-04
20General Fund ProjectsUtility Billing
- Convert to envelope billing system to provide
- customer account privacy as recommended by state
law - space on bill form to list any additional billing
services - ability to communicate with customers with bill
inserts - return payment envelopes
- Additional annual postage cost - 13,000
- Much of this cost absorbed by 3 utilities
(administration charges paid to General Fund)
21General Fund Support Economic Development
- Downtown Washington
- on the Waterfront (DWOW)
- 55,000 recommended (71,895 requested)
- Not expected to be recurring cost at this level
- Future funding levels to be determined
22General Fund SupportEconomic Development
- Beaufort County Economic Development Commission
(EDC) - City FY 04-05 budget proposes
- 84,490 for operations (same as FY 03-04)
- 15,636 for Skills Center
- 82,932 for industrial park land debt service
(same as FY 03-04) - 55,000 in agreed upon incentive grant to
PrettlNoma - EDC requested 123,616 for FY 04-05 operations
- 39,126 increase includes 15,636 for Citys
share of Skills Center
23Water Sewer Funds
- LGC letters Water and Sewer funds operating at
losses - City instructed to review fees and expenditures
- to determine if fees should be increased or
expenditures reduced in order to cover the full
costs of providing these services - Significant rate increases proposed for water and
wastewater services - To keep rate increases as low as possible,
operational funds still at uncomfortable levels
24Water Fund
- 13 increase proposed for water rates
- Average residential customer will pay 2.84 more
a month (750 cubic feet) - Revenues will rise only 5 over FY 03-04
- FY 03-04 budget has non-recurring revenues
- FY 03-04 transferred 195,104 from other funds
- FY 03-04 has 40,000 Rural Center grant
25A Look At The Numbers
26Water Fund
- FY 04-05 expenditures up 5
- New position in Water Distribution Maintenance
Division - state-mandated cross-connections/backflow
prevention program - Other than 5 increase adopted for FY 03-04,
water rates have not increased since FY 97-98 - Operational costs and debt service payments over
this 5-year period could not be covered by FY
03-04s 5 increase - No capital outlay requested except for
replacement water meters (8,000), tamping
machine (2,000)
27Sewer Fund
- 18 increase proposed for wastewater rates
- Average residential customers will pay 4.85 more
a month (750 cubic feet) - 5 of increase to pay future debt service on
oxidation ditch project - At Citys request, LGC approved sewer rate
increase of 5 annually for the next 3 years to
pay debt service on money borrowed from the State
Revolving Loan Fund
28A Look At The Numbers
29Sewer Fund
- Revenues still will be down 26.9 from FY 03-04
- FY 03-04 has non-recurring revenues (1,140,780)
- transfers from other City funds
- grants
- special assessments
- appropriated restricted fund balance (encumbered
contractual obligations from FY 02-03) - 657,000 of FY 03-04 revenues were non-grant
funding used for recurring operational costs - FY 03-04 sewer sales revenue projections were too
high
30Sewer Fund Capital Outlay
- Capital outlay at bare minimum level
- State-mandated gas generator (21,000)
- State requires secondary power source at all lift
stations - 16 generators now in place (29 lift stations
total) - have been buying 2/year only 1 generator
requested for FY 04-05 - Debt service payment (10,220)
- Sewer Funds half of debt service for upgrade to
System Control and Data Acquisition (SCADA)
system at the Citys Operations Center - Electric Fund budgeting for other half of payment
- First of 5 annual payments for 90,000 project
31Water Sewer Impact Fees
- New Impact Fee proposed
- Seek to implement in May 2004
- Common in North Carolina
- New customers pay to offset loss of treatment
capacity in water and wastewater plants - Projected revenue of 26,000 (water) and 23,600
(sewer) can be applied debt service (existing and
future) - frees up some rate revenues for operations
32Stormwater Utility Management Fund
- Proposed budget of 388,244 supported by current
rates - No capital outlay recommended
- Additional position requested to implement and
enforce new state-mandated storm water management
nutrient control program
33A Look At The Numbers
34Electric Fund
- Proposed budget is 29,054,027
- 20,040,000 for City-purchased power
- 19,900,00 purchased from the NC Eastern
Municipal Power Agency (NCEMPA) - 140,000 purchased from the federal Southeast
Power Administration (SEPA)
35A Look At The Numbers
36Electric Fund - Rates
- No rate increase proposed
- Rates primarily dictated by Power Agency
wholesale rates - Power Agency could review rates at any time
37Electric Fund Capital Outlay
- Cash outlay of 195,050
- Vehicles pickup truck, minivan
- Equipment computers, radios, load management
switches, capacitor switches, substation control
batteries, reclosers, single-phase three-phase
meters, thumper, cell phone equipment
38Electric Fund Capital Outlay
- Budget includes initial debt service on 5-year
note for 1,941,351 - FY 04-05 payment of 214,131 for last 6 months of
the fiscal year - Future annual payments will be 424,262
- Borrowed 1.94 million will
- purchase automatic remotely-read meters
- complete relocation of the Wanoca substation (1
million) - replace a bucket truck, a line truck and a
front-end tractor - construct first phase of the Bath electric
circuit rebuild (160,000) - pay Electric Funds half of the SCADA system
upgrade
39Electric Fund System Maintenance
- Proposed Electric Fund budget includes
- 322,400 for tree trimming contract
- 328,700 for materials for overhead and
underground construction (includes transformers) - 70,000 for substation maintenance
40A Look At The Numbers
41Human Resources Positions
- 22 new positions requested City-wide
organization, including 6 firefighters - 3 new positions recommended
- 2 of the recommended new positions due to
state-mandated programs - 1 position in Water Fund to implement/operate
cross connections and backflow prevention program - 1 position in Storm Water Utility Management Fund
to implement/operate nutrient control program
42Human Resources Positions
- Third new position in General Fund
- Code Enforcement Officer in Community Development
Planning Department - City Council directive to step up code
enforcement against public nuisances
43Human Resources Benefits
- Major medical insurance premiums projected to
increase 3.4 - had expected 20 increase
- Recommend upgrading vision and dental coverage
- current plans have minimal benefits
- proposed upgrades provide significant
improvements at a reasonable cost - Total proposed increase in health care benefits
is 8.79
44Human Resources - Compensation
- Pay Classification Study recommends recurring
personnel costs that City cannot afford at levels
presented at this time - Management staff recognizes that any plan would
have to be implemented over a 3- to 4-year span
45Human Resources - Compensation
- Budget proposes 188,000 in personnel costs
increases - COLA (parallels Consumer Price Index of 1.6)
- Existing merit and job maturity raises
- Management staff proposes implementing first-year
increment within the 188,000 - Strategy would not inhibit Councils budget
deliberations
46Questions and Discussion