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HomeMy WebLinkAbout2015-09-01 - Regular City CouncilMINUTES OF REGULAR BUSINESS MEETING City of Stephenville - City Council Tuesday, September 1, 2015, 5:30 P.M. The City Council of the City of Stephenville, Texas, convened on September 1, 2015, at 5:30 p.m., in the Council Chambers at City Hall, 298 West Washington Street, for the purpose of a Regular Business Meeting, with the meeting being open to the public and notice of said meeting, giving the date, time, place and subject thereof, having been posted as prescribed by Chapter 551, Government Code, Vernon's Texas Codes Annotated, with the following members present, to wit: Mayor Jerry K. Weldon II Mayor Pro-Tem Russ McDanel Council members Mark McClinton Rhett Harrison Doug Svien Alan Nix Sherry Zachery Jerry Warren Absent Boyd Waggoner Others Attending Patrick C. Bridges, City Administrator Randy Thomas, City Attorney Cindy L. Stafford, City Secretary Call to Order. The meeting of the Stephenville City Council was called to order at 5:31 p.m. on Tuesday, August 4, 2015, by Mayor Weldon, who highlighted upcoming events: • Observance of 9/11 at the Stephenville High School and the Tarleton State University football games. • Rodeo Parade on September 19, followed by rodeo events the following week. • Stephenville Museum Bygone Days on the Bosque and Sundown on the Square on October 10 as well as Lee Roy Parnell performing in the Rec Hall that evening. II. Citizens' General Discussion. No one wished to address the council. III. Annual Report of the Cross Timbers Fine Arts Council, Julie Crouch, Director Julie Crouch, on behalf of the CTFAC Board of Directors, thanked the City Council for its continued support. Crouch reported that CTFAC sponsors or co-sponsors 15 to 20 art -related events throughout the year, which include ballet, concerts, theater productions, bi-monthly art exhibits and receptions. CTFAC also sponsors summer art and theater camps for children, as well as youth art exhibits. Crouch listed some of the highlights from last year: Regular Business Meeting September 1, 2015 Stephenville City Council I • CTFAC together with Bruner Auto Family and the City of Stephenville will feature "An Evening with Don Edwards and Cowboy Legends" in September in conjunction with the rodeo week activities. • Renowned cellist, Evan Drachman and pianist Richard Dowling will perform at the First United Methodist Church in October through the Piatigorsky Foundation. • In November, Ballet Austin's "Snow White" will be performed at the Tarleton Clyde H. Wells Fine Arts Auditorium. • Paint the Town events offering adult and children's classes were offered each month during the past year. • Partnership with Cathy Knoll, SISD music therapist, continues to offer Accessible Arts Clubhouse to Erath County life skills students. Crouch stated that CTFAC is a volunteer -driven organization with over 350 members, which is governed by a board of nine volunteer directors elected to a three-year term. Crouch invited each council member to join the CTFAC and participate in its activities. She said, "It is an investment in your cultural community and will leave a lasting cultural legacy for the inspiration, enjoyment and education of all our citizens. MOTION by Russ McDanel, second by Sherry Zachery, to accept the CTFAC report and approve the 2015-2016 budget. MOTION carried. IV. PLANNING AND ZONING COMMISSION A. Consider Approval of the Preliminary Plat of Creekside Subdivision, 1000 East Lingleville Road, being 22.5 acres of land--13.28 acres, William Sims Survey, A-683; 1.213 acres, M. R. Williams Survey, A-804; and 8.01 acres, Lot 14, Block 89 City Addition --Stephenville, Erath County, Texas Andy Hansen, developer, explained that this development is in an area of the city that will require extensive infrastructure improvements. To help defray some of these costs, he will be asking council for tax abatement at its next meeting. MOTION by Alan Nix, second by Mark McClinton, to approve the preliminary plat for Creekside Subdivision. MOTION CARRIED. B. Consider Approval of the Replat of Lot 18, Block 9, Golf Country Estates and Lot 19, Block 9, Golf Country Estates, City of Stephenville, Erath County, Texas to Lot 18R, Block 9, Golf Country Estates, City of Stephenville, Erath County, Texas MOTION by Russ McDanel, second by Sherry Zachery, to approve the replat. MOTION CARRIED. Regular Business Meeting September 1, 2015 Stephenville City Council N V. Consider Approval of Contract with County -Wide Inspections for Building Inspection Services Sue Brown, 800 Williamson Road, Granbury, Texas, expressed concern over the firing of JoeAnn Everett, former building inspector for the City of Stephenville. City Attorney Randy Thomas explained to Ms. Brown that this is a personnel matter and not within the purview of the council. Brown stated that she has known JoeAnn Everett for years and is not insubordinate and is very capable and knowledgeable of codes and construction issues. City Administrator Bridges stated that County -Wide Inspections had submitted two contracts —fee based contract and an annual -fee contract. Following presentation by County -Wide and deliberations by council on August 25th, council had suggested for a reduction in the annual -fee contract price. As County -Wide would be providing inspection services as well as plan review services, they were not able to allow for reductions, but will work at no charge during the month of September. MOTION by Rhett Harrison, second by Sherry Zachery, to table this item. MOTION FAILED by the following vote: Ayes: Councilmembers Harrison, Zachery, and Warren. Noes: Councilmembers McClinton, Svien, McDanel, and Nix. MOTION by Russ McDanel, second by Alan Nix, to authorize the city administrator to enter into a consulting agreement with County -Wide Inspection Services for a period of one year commencing on the date that it is signed and ending one year later; and contract can be terminated for any reason upon thirty days' written notice; compensation agreed upon is $120,000 a year with no charge to the city for the month of September. MOTION CARRIED by the following roll call vote: Ayes: Councilmembers McClinton, Svien, McDanel, Nix. Noes: Councilmembers Harrison, Zachery, Warren. Absent and not voting: Waggoner Mayor Weldon stated that he will not be signing the contract until there has been a legal review and a chance for all councilmembers to review the content of the contract. Weldon further explained that If there is a comment by councilmember sufficient to bring this back to the council, it will be brought back. VI. Public Hearing on the Tax Rate for 2015 Mayor Weldon opened a public hearing. No one came forward to offer comments concerning the budget, and the mayor closed the public hearing. Regular Business Meeting September 1, 2015 Stephenville City Council VII. Consider Approval of Ordinance No. 2015-0-15 Adopting the Annual Budget for the Fiscal Year Beginning October 1, 2015 and Ending September 30, 2016 City Administrator Bridges noted that this budget reflects a reduction of $360,000 from last year; however, new positions were added. MOTION by Doug Svien, second by Russ McDanel, to adopt Ordinance No. 2015-0-15. MOTION CARRIED by unanimous vote. Vill. Consider Approval of Ordinance No. 2015-0-16 Adopting the Fee Schedule MOTION by Russ McDanel, second by Rhett Harrison, to adopt Ordinance No. 2015-0- 16. MOTION CARRIED. IX. Consider Approval of Child Safety Funds MOTION by Mark McClinton, second by Alan Nix, to approve the Child Safety Funds as follows: STAR Council on Substance Abuse—drug/alcohol abuse program $3,000 ^ SISD—Expansion of AED's/Secondary Campuses $2,000 1 Paluxy River Children's Advocacy Center $3,500 Cross Timbers Family Services, Inc. —Youth Conference $3,000 C.A.S.A $3,000 MOTION CARRIED. X. STEPHENVILLE TYPE B ECONOMIC DEVELOPMENT AUTHORITY A. Consider approval of the Certification of Formation of the Stephenville Type B Economic Development Authority City Administrator Pat Bridges explained that the Secretary of State has rejected the certification of formation which was previously filed because of its similarity to "Stephenville Economic Development Corporation", which is an existing corporation. "Type B" was added to the name, and the certification will be refiled with the Secretary of State. MOTION by Doug Svien, second by Sherry Zachery, to approve the Certification of Formation of the Stephenville Type B Economic Development Authority. MOTION CARRIED by unanimous vote. Regular Business Meeting September 1, 2015 Stephenville City Council B. Consider approval of Resolution No. 2015-R-13 Authorizing the Stephenville Type B Economic Development Authority MOTION by Russ MCDanel, second by Mark McClinton, to approve Resolution No. 2015- R-13. MOTION CARRIED by unanimous vote. Mayor Weldon announced the SEDA Board of Directors as follows: Place 1, Matt Harpole; Place 2, Ron Mullins; Place 3, Keith Brown ; Place 4, Michelle Dunkerley; Place 5 Marion Cole, Place 6, Nathan Heller; and Place 7, Shelby Slawson. XI. PUBLIC WORKS COMMITTEE REPORT A. Consider Approving Contract with Freese and Nichols, Inc. for Paving Management System MOTION by Alan Nix, second by Sherry Zachery, to approve the contract with Freese Nichols, Inc. for a pavement management plan. MOTION CARRIED by unanimous vote. B. Agreement Amendment with CH2MHILL for Wastewater Treatment Plant Operations. This agenda item was tabled by the committee for consideration at the next Public Works Committee meeting. 1 C. Consider Approval of Agreement with Schrickel Rollins and Associates, Inc. for Professional Services for the Replacement of the College Street Bridge MOTION by Alan Nix, second by Mark McClinton, to approve the contract proposal with Schrickel Rollins and Associates, Inc. to begin the engineering and design work on the College Street Bridge. MOTION CARRIED. XII. PUBLIC HEALTH AND SAFETY COMMITTEE REPORT --Calls for Service Outside City Limits The committee discussed calls for service received from outside the city limits of the city, and there were no recommendations made. XIII. Consider Approval of Resolution No. 2015-R-14 Accepting the 2015 Johnson Controls Advanced Metering Infrastructure Performance Contract Project and Authorizing Final Payment MOTION by Alan Nix, second by Russ McDanei, to adopt Resolution No. 2015-R-14 and authorizing the final payment. MOTION CARRIED by unanimous vote. XIV. CONSENTAGENDA j MOTION by Doug Svien, second by Mark McClinton, to approve the consent agenda. MOTION CARRIED. Regular Business Meeting September 1, 2015 Stephenville City Council ! L A. Approve Minutes 1. Regular Council Meeting on August 4, 2015 2. Special Council Meeting on August 11, 2015 3. Special Council Meeting on August 18, 2015 B. Approval of Bid Award for Street Renovation Materials C. Approval of Office Supplies renewal contract D. Approval of the Second Amendment to the Interlocal Agreement with the City of Fort Worth for Household Hazardous Waste Program XV. Comments by City Administrator September 8—Public hearing on the tax rate September 15—Approve the tax rate XVI. Comments by Council members Mark McClinton congratulated the Terrell Family and Texas Health Harris Resources Emergency wing that was recently dedication. Russ McDanel applauded everyone involved with the budget preparation and deliberation. He also thanked the 40+ applicants who applied for SEDA Board of Directors. He said that the applicants were high -quality people and that he is excited about the future of Stephenville and the economic growth and the impact that the new economic development will have on the community. Rhett Harrison echoed McDanel's comments and he, too, is excited about the future. Alan Nix thanked Shelby Slawson, the only SEDA board member that stayed through the entire council meeting. Sherry Zachery also congratulated the newly appointed board members. Mayor Weldon commented on the following: • College Street Bridge —He thanked Nick Williams for being proactive with this project to secure the safety of our citizens. • East Side Sewer —This project will need innovative debt financing. Weldon said that the council will need to think outside the box on this. • Needs assessment for multi -purpose facility, taking a business -based approach to how we meet the needs for a multi -purpose facility for the city. /1 • SEDA—This is an historic step to provide infrastructure and a workforce to be \ able to support businesses in the future. r Regular Business Meeting September 1, 2015 Stephenville City Council l XVII. Adjourn. MOTION by Jerry Warren, second by Russ McDaniel, to adjourn the meeting. MOTION CARRIED at 7:16 p.m. Jer K. W Ion II, Mayor ATTEST: l4 0•4 Cindy L. tafford, City Otary Regular Business Meeting September 1, 2015 Stephenville City Council Cross Timbers Fine Arts Council Year End June 2015 Proposed Budget2015-2016 REVENUE July 14-June 15 Grants/Donantions (General) Membership Individual $ 7,711.00 Membership Corporate $ 3,750.00 Hotel/Motel Tax $ 57,593.58 Grants - ECUW $ 1,875.00 Grants - other $ 9,664.25 Individual Donations $ 23,411.00 Grants - Levitt + Matching Grants/Donantions - Don Edwards Concert TOTAL Grants/Donations $ 104,004.83 Fundraisers/Special Projects Ragin Cajun $ 24,948.83 Our Uves,Our Stories $ 10,800.00 Bar-B-Que $ 2,990.00 Ballet Austin / other Piatigorsky TOTAL Fundraisers/Special Projects $ 38,738.83 Activity Fees/Ticket Sales/Other Art/Manner Camp Fees $ 9,849.58 Broadway Boot Camp $ 2,100.OU Paint the Town $ 14,765.55 Gallery Commissions $ 292.00 Other/Misc $ 832.12 TOTAL Activity Fees/Ticket Sales/Other $ 27,839.25 Budget Estimate 2015-2016 $ 50,000.00 " $ 8,000.00 $ 149,500.00 $ 30,000.00 $ 3,000.00 $ 5,000.00 $ 500.00 $ 38,500.00 $ 10,000.00 < - $ 15,000.00 $ 300.00 $ 500.00 $ 25,800.00 TOTAL REVENUE $ 170,582.91 $ 213,800.00 " Hotel Motel Tax is estimated per Draft City of Stephenville Budget ($50,000) "• Levitt Grant of $25,000 is a matching grant contingent on CTFAC contributing $25,000 Cross Timbers Fine Arts Council Year End June 2015 Proposed Budget2015-2016 EXPENSES Payroll Expense Fundraisers/Special Projects July 14 - June 15 $ 72,948.07 Ragin Cajun $ 6,869.54 Our Lives Our Stories $ 11,046.50 Bar-B-Que $ 5,399.42 Ballet Austin $ 53.71 Levitt Concerts/Events $ - Don Edward Concert $ Piatigorsky $ - TOTAL Fundraisers/Special Projects $ 23,369.17 General Activites/Camps/Workshops Budget Estimate 2015-2016 $ 75,000.00 $ 7,000.00 $ 5,500.00 $ 5,000.00 $ 50,000.00 $ 8,000.00 $ 500.00 Art/Manner Camp Instruction $ 2,075.00 $ 2,500.00 Art/Manner Camp Supplies/Other Expense $ 4,653.07 $ 5,000.00 Broadway Boot Camp $ 558.29 $ - Paint the Town $ 7,573.28 $ 7,800.00 Arts Accessible Clubhouse $ 1,875.00 $ 2,500.00 Gallery and Artist Event Receptions $ 3,268.04 $ 3,300.00 Misc Program Expense $ 1,193.16 $ 1,500:00 TOTAL General Activites/Camps/Workshops $ 21,195.84 $ 22,600.00 Utilities Electric $ 8,848.24 $ 9,000.00 Telephone/Internet $ 3,498.33 $ 3,500.00 Water/Sewer/Garbage $ 1,602.12 $ 1,600.00 Cell Phone $ 400.00- $ 600.00 TOTAL Utilities $ 14,348.69 $ 14,700.00 Other Operations Expense Copier $ 1,849.10 $ 2,000.00 General Promotional Ad $ 115.02 $ 250.00 Office/Building Supplies $ 2,476.12 $ 2,500.00 Maintenance $ 5,380.68 $ 5,000.00 " Postage $ 859.40 $ 850.00 Insurance $ 5,457.68 $ 5,500.00 Professional Fees $ 755.00 $ 750.00 Bank Charges $ 868.55 $ 800.00 Dues/Subscriptions $ 942.65 $ 1,000.00 Travel/Mileage $ 1,604.79 $ 1,500.00 Web Site $ 189.85 $ 200.00 Misc/Other Operations Expense $ 960.96 $ 1,000.00 TOTAL Other Operations Expense $ 21,459.80 $ 21,350.00 TOTAL EXPENSE $ 153,321.57 $ 209,650.00 NET INCOME $ 17,261.34 $ 4,150.00 " Maintenance does not include appx $32,000 in estimated cost for roof and slab repairs. Insurance adjustment and repair estimates are not finalized CITY OF STEPHENVILLE STATEMENT OF PROJECTED NET REVENUE OVER jEXPENDITUR5 • All FUNDS FOR THE YEAR ENDED SEPTEMBER 30 2016 CAPITAL SPECIAL SPECAL DEBT WATER STORM GENERAL PROJECT REVENUE REVENUE SERVICE SE'r9ER WATER LANDFILL AIRPORT FUNC FUND FUND 4B FUND FUND FUND FUND FUND TOTAL REVENUE 13.063653 161 369700 466.667 182.463 6.553.275 600.000 370.400 114,690 22.022.311 EXPENDITURES '2'35.818 374.800 110,000 482.463 6.264.212 529.804 370.042 93437 20.400.576 NE BASE! INE BUDGE 928 835 163 51001 316.587 0 289,063 70.196 358 21.253 1621.735 CAPITAL REPLACEMENTS i872.0001 0 0 0 0 07.300'I 9 0 0 (1.169.300 AND NEON PROGRAMS CHANGE IN NET RESERVES 16.835 463 15.1001 316.667 0 (8.231! 70.196 358 21.253 452.435 POSITIVE (NEGATIVE SPECIAL NOTE • Reserras roll be used for SPECAL REVENUE WATER'SE'WER Neicometo Stephenville 5.100 �.dol Replacement 8.231 Sign 5.100 8137 A 7 CITY OF STEPHENVILLE STATEMENT OF PROJECTED CASH JECTED CASH FLOW - ALL FUNDS FOR THE YEAR ENDED SEPTEMBER 30.2016 CAPITAL SPECIAL SPECK DEBT WATER STORM GENERAL PROJECT REVENUE REVENUE SERVICE SEWER WATER LANDFILL AIRPORT FUND FUND FUND 48 FUND FUND FUND FUND FUND TOTAL ESTIMATED ENDING CASH BALANCE 41,2015. RESTRICTED 11.343.564 3 MONTH OPERATIONS 3.463587 316.749 1.454.284 85543 22,582 RIGHT-OF-WAY 1.000.000 416,511 CAPITAL REPLACEMENT 500.000 500.0N FACILITIES 600,000 GRAM MATCHING 1.000,10 359,617 ECONOMIC DEVELOPMENT 50,000 DEBT SERVICE 141.157 M.087 266433 CUSTOMER DEPOSITS 333.714 1.300 UNRESTRICTED 690.174 350,930 114279 128.990 73.430 1.351.803 EST CASH BALANCE 10112015 7.303 761 776.128 316.749 0 141 157 2971.015 880.712 215,833 96.012 12.701.367 REVENUE 13.064,653 463 369.100 456.667 482.463 6553.275 600.000 370,400 114.690 22.022,311 EXPENDITURES 12.135.818 0 374.800 150.000 402.93 6,264.212 53.804 370,042 93.437 20.400.576 NET 2015.2015 BUDGET: 928.835 ADD -BACK ITEMS: CHANGES IN: EQUIPMENT REPLACEMENT j459.000) NEW PROGRAMSIPOSIiIONS (413.000) NON -CASH ITEMS: LEASE PURCHASE PAYMENT 30.600 TOTAL AI)DAACKITEMS 1841.4001 RESTRICTED: 3 MONTH OPERATIONS 3.033.955 311.649 316.667 RIGHT-OF-WAY 675.000 416,974 CAPITAL REPLACEMENT 2%000 FACILITIES 700.000 GRANT MATCHING 750.000 359.617 ECONOMIC DEVELOPMENT 50.000 DEBT SERVICE CUSTOMER DEPOSITS UNRESTRICTED 1.932.242 EST. CASH BALANCE T3012016 7.391.196 776,591 311.849 316.667 i (169.200) (628200 (128.100) (541.100 103.500 134.100 10.670,4751 1.566.053 92.511 23.359 w0.000 80.w0 141.157 822.087 266.433 333.714 1.300 240.924 184.475 225,081 33.9% 2,617,427 141.157 2.962.178 950.908 319.691 117265 13287.902 City of Stephenville Summary of Revenues Source of Funds Amounts 2013-2014 Approved 2014-15 Proposed 2015-16 Budget Charges Po5ltive (Negative) May-15 YTD Percent YTD Actual to Bud et Taxes 12.269,097 12250.186 12.546,550 (170.003) 10.255.7T9 83.72% Licenses and permits 261. 125 173.800 237,500 63.700 151.100 86,94% Fines and forfeitures 294.915 266000 278,000 12.000 21T907 81.92% Intergolemmental grams 140.056 103.107 86.300 (16,807) 5.395 6.23% SeMCe charges 8.617.549 8462.094 8,505,090 42.996 5,347.863 63.20% Interest on investments 9.673 12.604 9,963 (2,641) 7.394 58.66%. Transfers 207.067 219.355 277.945 58,590 146,240 66,67% Other Income 482,261 316,116 80,200 (235.916) 369,748 116.97% Total Revenue 22.281.743 21,803.262 22.021.848 (248.081) 16.501.426 75.68% General Funds Taxes Property Taxes 4. 316,355 4.427.9T7 4.649.860 221,873 4,288.519 96.85% Sales Tax 5485. T05 5.470.000 5.133.333 (336,667) 3.895.735 71.22% Othertaxes 1471.835 1.436.000 1.465.000 29.000 1.293.155 90.05% Licenses and permits 261,125 173.800 237.500 63,700 161.100 86.94% Fines and forfeitures 261.324 250.000 252.000 12.000 207.079 82.83% Intergo%emmental 127. 734 89.407 72.600 (16,807) 1.100 2.68% Senice charges 931.716 950,800 928,400 (22.400) 634,439 66.73% Interest on investments 4.976 5.500 6,000 (500) 4.133 75A5% Transfers 196,531 208.825 258,870 50.045 139,216 66.67% Other Income 323.773 126.200 52,100 (74.100) 167.353 132,61% Total General Fund 13,381,074 13,138.509 13.064.653 (73.856) 10.783.129 82.07% .r sales 3.698.805 3.800.000 3,800,000 0 2.180,965 57.39% tewater charges 2,590.482 2.500.000 2.500.000 0 1.718,853 68.75% ce and delinquent charges 218,607 173,000 203,000 30,000 155.340 89,79% let on investments 3.561 5,500 3.500 (2.000) 2.431 44.20% tiers 10.536 10530 19.075 8.545 T024 66,70% rincome 156.385 189,516 27.700 (161,816) 200.422 105.75% Total Utility Fund 6.678.376 6.678.546 6.553.275 (126,271) 4.265.035 63.86% 2111 FunA fees 454.984 343.604 370.000 26,396 184.446 53,68% .at on investments 32 0 0 0 62 0,00% rIncome 2,103 400 400 0 1973 493.25% [tars 0 0 0 0 0.00% Total Landfill Fund 457. 119 344.004 370,400 26.396 186,481 100.00% Hangar rental 99,210 105.000 100,000 (5.000) 68.406 65.15% Sermce and delinquent charges 1.440 1.440 1.440 0 800 mtergo*mmerltal Grants 8,705 10,000 10.000 0 0 Gasoline Sales 2.975 3.250 3.250 0 2.043 62.86%, Otherincome 0 0 0 0 0,00% Transfers 0 0 0 0 Total Airport Fund 112,330 119,690 114.690 (5.000) 71.249 59.63% Sloan Water Drainage Fund Storm water drainage fee 619.330 585.000 699,000 14,000 404,614 69.16% interest on investments 260 1,600 1.000 (500) 200 13.33% Total Stonnwater Fund 619,590 586,500 600.000 13.500 404.814 69.02% Property Taxes 595.268 582.204 482,000 (100.204) 565,155 97.07% Sales Tax 4B - - 466,667 466,667 565.156 Hotel/M otel Tax 399,934 334.005 350,000 15.995 213.215 63.84% Fines and forfeaures 33.591 16,000 16.000 0 10.828 67,68% Intergo*rnmental 3.617 3.700 3.700 0 2,995 80-95% Interest on investments 844 104 463 359 568 WAS% Transfers - 0 0 0 Otherincome 0 0 0 0 0,00% Total Other Funds 1,095.632 936.013 1.318.830 382,817 1.357.916 145.07% Total Funds 22.281.743 21.803.262 22.022,311 218.586 17.D6&624 77.51% A City of Stephenville Summery of Expenditures City council 276,040 53,072 222,968 City administrator 160,189 160,670 (481) City secretary 109706 114,266 (4,560) Total General Gdvemment 545,935 328,008 217.927 Finance and Administration: Emergency management 13.750 5,300 8,450 Municipal buildings 223,031 210,535 12.496 Financial administration and acco, 376,577 379.422 (2,845) Purchasing 67.535 68.466 (931) Information Technology 126,339 135,860 (9,521) Tax 148,050 148,050 0 Legal counsel 250,648 129.522 121.126 Municipal court 173,000 168.000 5,000 Human resources 104.192 95,497 8,695 Total Finance and Administratix 1,483,122 1.340.652 142,470 Community Services: Community Svc Administration 100,790 130,594 (29, 804) Recreation administration 500,282 457,814 42,468 Park maintenance 583,151 521,348 61.803 Cemetenes 158, 558 125, 8W 32,678 Library 270,883 222,900 47.963 Street maintenance 1.482,454 1,006,050 476,404 Senior citizens center 171,358 115,360 55.998 Aquatic Center 195,152 161,868 33,284 Total Community Services 3,462,628 2,741,814 720,814 Fire Department Fire and ambulance administration 313,180 316,365 (3,185) Fire prevention and investigation 186.939 191,200 (4,261) Fire suppression 1,250.323 1,218,090 32,233 Emergency medical services 1,249,352 1,191,600 57,752 Volunteer fire 31,117 24.920 6,197 Total Fire Department 3.030.911 2,942,175 88,736 Police Department: Police administration 373,906 420,760 (46,854) Police patrol 2.277,990 1,956,045 321,945 Police communications 637,315 635,485 1.830 Police support services 161,152 170,720 (9,568) Criminal investigation 640,704 715,000 (74,298) Professional Standards 269,865 271,250 (1,385) Animal control 205,172 122,840 82,332 Pudic Safety Clerical 243,719 143.055 100,664 Total Police Department 4,809,823 4.435,155 374,668 Planning 3 Building Services Planning 207,945 126,085 81,860 Inspection 227,615 139,925 87,690 Code enforcement 86,387 82,004 4,363 Total Community Development 521.927 348,014 173,913 Non-0eparanenml: Transfers O O O Total General Fund 13,854,346 12. 135,818 1,718,528 Utilities administration 190,000 261,970 (71.970) Water production 817,858 771,548 46.310 Water distribution 918,887 666,131 252,536 Water customer service 201,085 204,451 (3,366) Wastevveter collection 707,486 393,296 314.190 Waetevveter treatment 994,506 996,65E (2,150) Billing and collections 209.697 216,300 (6,803) Translate 208,825 258,870 (50,045) Non -Departmental 2,494,251 2.494,9W (739) Total Utility Fund 6.742.375 6.264.212 478.163 1 wndllll Fund Landill operations 331,641 350,967 (19.326) Transfers 10.530 19.075 (8.545) Total landfill Fund 342,171 370,042 (27.871) Airport Fund Total Airport Fund n.w'nwgw F�md 90. 328 93.437 (3.109) G t[frm Water Operations 528,798 529,804 (1,006) Transfers O O O Total Storm Water Drainage Fu 528,798 529 804 (1.006) Special Revenue Fund Economic Development 150,000 (150,000) Hotel/Motd,ChildSafety etc. 366,665 374,800 Total Special Revenue Fund Fund 365.665 524.800 (159.135) Daht Sis", Total Debt Service Fund 582,204 482.463 99. 741 fapifwl Pr'Mw Ja Fr.nd Total Capital Project Fund O O O Total Expenditures 22.505.868 20.400.576 2.105.311 Percent YTD 62.81 % 67.49% 49.22%: 89. 36%I 6075%I 68. 32% 59.48% 44. 38% 74.44%' 86.33%i ea .0% 07= 62 67.47% 53.54%i 54. 66%I 63.95%'. 58.20y 44.39% 58.56% 58.08% 47 683. 37.1 61.3 47.2 67.1 pale Muqua I. NIV Actual Amount 2014-15 City of Stephenville Proposed Statement of Activities General gowmment i1.660.982) 1.490 060 Publk salary. Emergency Management i'3750) 5300 Fire (2.458718i 2,947475 Police (4.681.681) 4450.855 MuricipalCourt,t, 93.OW 168.000 Streets i1452.01.1) t006.050 Cemetery 040.895) 125.880 Cuhue and recreatior: Parks 564414) 521,348 Recreation 328.0461 457 814 Tourism 472.971 Senior C7tizensCenter 1171.358) 115.360 Library (267.576) 2P2.9W Splashulle (56.403) 161.868 Communityde4opnent M7876) 348.014 Longterm debt (582.204) 482.463 Total governmental actidties i 12.612,713) 12.976.358 Program Revenues Chargesfor 258,870 521.5W 274.900 30.000 30.300 29193 112SOO 466,697 24 000 4.°00 1415W 252.5W 2.146,030 Water 279990 4.447642 3.926.638 Wastewater 637.190 1969-423 2.625,638 Storm Water Drainage 57.702 529,804 6W.000 Sanitary Land88 Enterprise 1.833 370.042 370,400 Airport Ertepise 29,362 93437 114,690 Told business-" actNties 1.G06.077 7,410,348 7.638.365 Net( (Expense) Revenue Iverrmental Business -Type Activi8es ActhAfies (1.227.S0) (5.3W) (2425 975) (4.378.155 106.900 (976.050) (95, 580) 149215o� (345.314) (6.304) (91, 360) (218.8W) (20,358) (95.514) (482463) (10.830, 328) (521.W5) 657.215 70.196 358 31.253 Ma M] primary government 1.1.606.636) 20.386.706 9.784.395 (10,830.328) 228.017 General revenues: Tares- Property taxes (GereralFund & Debt SK) Sales tax Mer taxes Irrestmert earnings Miscellaneous Translars Total general rewrues and trarekrs Change in net assets Netasssts4 inring Net assetserding & 131.850 5.133.333 1.815.OW 5,463 52100 13870 (13.870) 12151.616 (11870) 1.321.288 214.147 8,537.795 4,163.572 9.859, 083 4.377.719 (1,227 (4.378.155) 106.900 0 17.215 70.1. 358 5.131,850 5,133.333 1.815.000 5.463 52100 0 1.5K435 n n P�oje�tE�,d Elts'Au WatolkgmdtE� StOnWVhlqE adfiil AITO �of1*olle Epm4 4M fYNIMI Sala�s �nl �� �Be� �rHces Stp��s �i�ero� Service S 16011 S i,SIT, S o�S,410 S 644,080 � 30 � KIA lK,GN 481,C Noe New �01 C 01 PgmmsRepiuer lhpovemd ToW S 148,E S $,U 165X 513,X, 31W I RON I 1illKo 1,So3,o18 111,645 531,150 1,13999D 513,810 98,1N 69,�)0 TA6561511 1N1 IM 504, 04 S19SO4 1'1,341 4t110 11500 IN 125M 11171 AN 44,803 79 BIR 11,64 BAT S13,oSS,381 BAP MIA S14,19 S3WEll SS31A 534 IN '5289 519 3 $11509 7f n NEW PROGR NIS 1 CAPITAL NFR0MIENT PRIORITIES NTW COAL C.AFNA . PROGM REPL4CMI LMRO«.IErT MUN L uln Mum DAISON D1PT DFSCIEMN 2014-15 1014-5 2014-15 5102.IDUIN ADHINISTRATHI ASSISTANT 4000 5105 MUNICIPAL BLD UPGRADE FURNITURE CITY HILL OFFICES 20,000 5401 HUMAN RESOURCES PROFESSIONAL SALARY SURITY (i preplorFY16-1l 1000 550: PARK MAIN PARKING LOLFNIRINCEROAD 50.000 5'0: PATROL RADARI�NITS 12,0m 5801 .IDMn ADMINISTRIHIT ASSISTANT 48.000 5801 ADMIN UPDATE SUBDI11SION ORDINANCE 40.000 505 STREETS PROFESSIONAL SERIICESFOR STRUT PROJECT il0a/oofS1.000.000) MOAN 5505 STREETS PA1TMINTNIGHTPLAN TRANSPORTATION UTILITY FUNDING STUDY 65.000 5501 RIC HILL REPLACE HEATER IN RIC HILL 6X0 5501 RIC HALL STAGE CURTAIN I;xo 5915 STREET ITON PICKUP iREPLICE2009FORD) 30.000 5505 STREET BACKHOEiREPLACE'.004CASI) 78,000 50 AIL DEPARTMENTS DIGITAL RADIO SYSTEMlReplire malo;) 1'9.000 5?02. PATROL PATROL ITHICLES1A) 15A00 5'OS fHl PATROLITHI(LE 30,000 TOTAL GENERAL FUND 24A000 459.000 1 165,000 5000 .IDMIN CITY ENGINEER 1100 5001 SERER EAST SIDE SEWEREISUENTA(QUISIHON(PHASE 1 30,000 42 DISTRIBUTION 3"1HGAL GROUND STORAGE TAN1IVALUA➢ON 6,?00 500: DIS1ROU110N 536AC TRACT AIRPORT WELL FIELD WANSIONPLAN -PH.ISEI 'lmo 5101 COLLECTION BASIN 6EVALUATION (5 011RAGI) 68,000 5003 CtSTOMERSFRUCE L_' TON PICKUP TRUCK(REPLACEUNIT 130-:006(HEIT) ::A00 *3 CUSTOMERSFRRCI I: TON PICKUP TRUCK IREPLACEUNIT 13:-2008FORD) 22,000 510: jwwTP ISKID S1EER LOADER :S.WO TOTAL WATER &WASTEWATER 98.100 69,000 130,0o TOTALALLFUNDS 1 346.1001 528,000 251?00 1169.300