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ORD 2006-15 - Adopt Annual Budget [FY 2006-07] 09-05-2006ORDINANCE NO. 2006 -15 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF HUNTSVILLE, TEXAS, FINDING THAT ALL THINGS REQUISITE AND NECESSARY HAVE BEEN DONE IN PREPARATION AND PRESENTMENT OF AN ANNUAL BUDGET; APPROVING AND ADOPTING THE OPERATING AND CAPITAL IMPROVEMENTS BUDGET FOR THE CITY OF HUNTSVILLE, TEXAS, FOR THE PERIOD OCTOBER 1, 2006, THROUGH SEPTEMBER 30, 2007; AND PROVIDING FOR AN EFFECTIVE DATE HEREOF. WHEREAS More than thirty days before the end of the City's fiscal year and more than thirty days before the adoption of this ordinance, the City Manager of the City Huntsville, Texas, submitted a proposed budget for the ensuing fiscal year according to Section 11.05 of the Charter of the City of Huntsville, Texas, and Texas Local Government Code Section 102.005; and WHEREAS the City Manager filed a copy of the proposed budget with the City Secretary and the budget was available for public inspection at least fifteen days before the budget hearing and tax levy for the fiscal year 2006 -2007 (Texas Local Government Code § 102.006); and WHEREAS the itemized budget shows a comparison of expenditures between the proposed budget and the actual expenditures for the same or similar purposes for the preceding year and projects for which expenditures and the estimated amount of money carried for each [Texas Local Government Code § 102.103(a)]; and WHEREAS the budget contains financial information of the municipality that shows the outstanding obligations of the City, the available funds on hand to the credit of each fund, the funds received from all sources during the preceding year; the funds available from all sources during the ensuing year; the estimated revenue available to cover the proposed budget; and the estimated tax rate required to cover the proposed budget [Texas Local Government Code § 102.103(b)]; and WHEREAS on August 20, the City Secretary published notice in the City's official newspaper of a public hearing relating to the budget, which include one publication not earlier than the 30th day or later than the tenth day before the date of the hearing [Texas Local Government Code § 102.0065]; and WHEREAS on September 5, 2006, the City Council of the City of Huntsville held a public hearing relating to the budget; and WHEREAS the budget for the year October 1, 2006, through September 30, 2007, has been presented to the City Council, and the City Council has held a public hearing with all notice as required by law, and all comments and objections have been considered; and WHEREAS the City Council now makes changes to the budget that it considers warranted by law or in the best interest of the municipal taxpayers; NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF HUNTSVILLE, TEXAS, that: SECTION 1: City Council adopts the budget for the City of Huntsville, Texas, now before the City Council for consideration and attached, as the budget for the City for the period of October 1, 2006, through September 30, 2007. SECTION 2: The appropriation for the ensuing fiscal year for operating expenses, debt service and capital outlay budgets shall be fixed and determined as shown on Exhibit "A ". SECTION 3: Projects described for fiscal year 2006 -2007 in the Capital Improvements budget portion of the 2006 -2007 budget are approved at the cost level indicated, subject to the availability of funding of project costs (see Exhibit "B "). SECTION 4: City Council approves an increase in the monthly payment for a full -time employee to the City's Medical Insurance Internal Service Fund from the current $472.00 per month to $542.80 per month, per budgeted position. SECTION 5: City Council approves a transfer of an amount equal to three and one half (3.5 %) percent of the gross revenues received during Fiscal Year 2006 -2007 from all water, and wastewater customers a transfer equal to three (3 %) percent of gross revenues received during Fiscal Year 2006 -2007 from all solid waste collection and disposal customers, to the Street Special Revenue Fund to compensate the City for the use of streets and rights -of -way by the Water, Wastewater, and Solid Waste Funds. SECTION 6: Fiscal and Budgetary Policies as detailed in the 2006 -2007 budget are approved. SECTION 7: City Council has reviewed the investment policies and investment strategies, and the Investment and Banking Policies are approved. SECTION 8: The City Secretary is directed to maintain a copy of the adopted budget, to file a copy of it with the City Library and the County Clerk, and to publish a notice saying the budget is available for public inspection [Texas Local Government Code §§ 102.008 and 102.009(d)]. SECTION 9: Council may amend this budget from time to time as provided by law for the purposes of authorizing emergency expenditures or for municipal purposes, provided, however, no obligation shall be incurred or any expenditure made except in conformity with the budget. [Texas Local Government Code §§ 102.009- 102.011; Huntsville City Charter §§ 11.06- 11.07.] SECTION 10: The City Manager may, within the policies adopted within this budget, authorize transfers between budget line items; City Council may transfer any unencumbered appropriated balance or portion of it from one office, department, or agency to another at any time, or any appropriation balance from one expenditure account to another within a single office, department, or agency of the City. [Huntsville City Charter § 11.06.] SECTION 11: City Council expressly repeals all previous budget ordinances and appropriations if in conflict with the provisions of this ordinance. If a court of competent jurisdiction declares any part, portion, or section of this ordinance invalid, inoperative, or void for any reason, such decision, opinion, or judgment shall in no way affect the remaining portions, parts, or sections, or parts of a section of this ordinance, which provisions shall be, remain, and continue to be in full force and effect. SECTION 12: This ordinance shall take effect immediately after its passage. PASSED AND APPROVED on this the 5th day of September 2006. THE VIT IIUNYSVILLE, TEXAS Mayor ATT T: Danna Welter, City Secretary AP OVED AS ORM: omas A. L e r, Cit Attorney EXHIBIT "A" .. cttu of htuwtSVUl,e get FY 06 -07 General Fund General Fund Transfers Debt Service Fund Debt Service Fund Transfers Water Fund Water Fund Transfers Wastewater Fund Wastewater Fund Transfers Solid Waste Fund Solid Waste Fund Transfers Street Fund Street Fund Transfers Cemetery Fund Cemetery Fund Transfers Internal Service Funds Medical Insurance Fund Capital Equipment Fund Fire Equipment Fund Computer Equipment Fund Special Revenue Funds Court Security Fund Court Technology Fund Airport Fund Library SRF Police Forfeiture Fund School Resource Officers Fund School Resource Officers Fund Transfers Public Safety Grants Fund Arts Center Fund Endowment Funds Library Endowment Cemetery Endowment Fund Cemetery Endowment Fund Transfers H/M Funds H/M Arts H/M Arts Transfers H/M Visitors H/M Visitors Transfers H/M Tourism H/M Statue Total Operating Budget and Transfers Total Capital Projects Budget Total 06 -07 Proposed Budget 14,018,060 529,795 1,621,502 246,644 9,698,507 1,624,806 7,228,343 1,202,156 3,596,507 164,840 2,357,321 126,740 125,105 1,903 2,622,740 733,588 134,024 313,655 53,298 8,000 19,665 17,901 354,206 7,445 181,559 110,140 11,000 47,000 151,286 50,000 195,850 6,500 47,560,086 9,831,059 57,391,145 EXHIBIT "B" ottu of I- tuwtsvUI,d h� Capital Project Budget FY 06 -07 9 Finance Approved LTD Total LTD 06 -07 06 -07 Total 06-07 Project # Project Name Budget Expenditures Re- Budget Additions Project Budget FUNt3709;•INATER,. 70105 Palm St & Spring Creek Wtr Plant Im rov & Study 663,750 214,442 449,308 449,308 Spring Creek Water Plant Improvements Included above Included above Included above Included above Palm Street Water Plant Improvements Included above 70106 24" Radial Water Line 150,000 21,547 128,453 - 128,453 7011_0 Economic Development - Water 100,000 - 100,000 - 100,000 70112 IH -45 Boettcher /Collard 121,625 101,739 19,886 19,886 _70118 FM 1791 S. Phase II A - water extension 21,087 19,209 1,878 1,878 70119 HWY 30 Relocate Water line 119,117 109,052 10,065 - 10,065 7025 16th Street from Ave C to Avenue B -replacement 13,075 - 13,075 13,075 7026 Avenue B from 13th St.to 16th St. - replacement 20,325 16,259 4,066 4,066 7027 Avenue C from 13th St. to 16th St. - replacement 19,000 1,126 17,874 17,874 7035 Pine Shadows/Hickory to Normal Park - replacement 19,700 - 19,700 19,700 7037 Vet. Memorial Pk /GC to Woodward - replacement 24,625 25,058 - 7038 Dairy Farm Road - 6" Waterline - Replacement 10,500 6,286 4,214 4,214 7039 Mesquite Street - 6" Wtr Line Replacement 10,175 10,971 - - 7040 30" Water Main Repairs 120,000 120,000 - 120,000 7041 Spring Creek Water Plant Improvements Filters 40,000 40,000 40,000 7_0121 Relocate 12" Waterline under 1-45 @ Elkins 92,346 282 92,064 92,064 70122 North Sam Houston Water 20,500 - 20,500 - 20,500 70123 Moffit Springs/1-45 N. Phase 1 179,500 179,500 - 179,500 70124 Gazebo Street - Water Extension 4,462 4,462 - 4,462 701 -999 Unallocated Budget 68,717 68,717 - 68,717 Painting of 2 MG H dro illar - 415,050 415,050 Repainting of 1 MG Ground Storage - - 205,105 205,105 Generator for Water Plant - - 55,000 55,000 Moffit Springs/1-45 N. Phase2 - - 250,000 250,000 _ 11th Street/MLK Street - - 150,000 150,000 IH-45/ Elkins Lake - - 300,000 300,000 a yZ i FUND,702 ,Y1tASTEWATER _, 1702 Nonde artmental Wastewater Projects CIP 493 t, , �?„ Phi . � � 493 \9 a Y,, F 493 70201 Pine Hill Road 90,600 104 90,496 90,496 702_02 North Sam Houston 73,000 73,000 - 73,000 70203 Boettcher Drive 52,000 98 51,902 - 51,902 70204 Economic Development - Waste Water 100,000 - 100,000 100,000 7112 TxDOT S.R.A. Wastewater Improvements 545,705 446,627 99,078 - 99,078 7020_8 Parker Creek WWTP Pavement Repairs 142,903 110,782 32,121 - 32,121 70209 Barnes Subdivision 63,500 - 63,500 63,500 70210 _Old Phelps Road -Wastewater 130,500 130,500 130,500 702 -999 Unallocated Wastewater Budget 9,620 9,620 - 9,620 16th Street & Sycamore Rehabilitation - _ - 60,000 60,000 Generators for Lift Station - - 365,000 365,000 FM 247 Wastewater - - 36,000 36,000 Graham Road /Hughway_75 South - - - 70,000 70,000 Highway 30 East - - 44,000 44,000 Old Colony Road III 200,000 200,000 FUND 71 j._,WASTEYIIATI ,. F6 EMBE 7 ._ EB ISSt E r EXHIBIT "B" inance Approved LTD Total LTD 06 -07 06 -07 Total 06 -G rroject iF rroject name tsuaget cxpenonures rte- tsuaget Haaiuons rrolect tsuaget 7101 Westrid a Collector Sewer Lines 541,390 191,466 349,924 349,924 71101 Westrid e & Sumac Area Included above Included above Included above Included above 71103 McGary Creek (Hwy 30 W. Interceptor) Phase 1 617,953 541,158 76,795 - 76,795 71103 McGary Creek (Hwy 30 W. Interceptor) Phase II Included above Included above Included above Included above 71104 Westridge Interceptor 816,882 695,364 121,518 121,518 71108 Parker Creek Interceptor 771,540 107,539 664,001 - 664,001 71109 McGary Creek Force Main & Sta Upgrade 148,000 103,329 44,671 44,671 71131 Highway 190 East - Wastewater 100,000 - 100,000 100,000 71111 Westrid e & Sumac Area 967,510 605,685 361,825 361,825 71111 McGary Creek Force Main & Sta Upgrade 832,000 605,685 226,315 226,315 71111 Westrid a Interceptor 556,118 556,118 - - 71111 Westrid a Collector Sewer Lines 967,600 605,686 361,914 361,914 71111 McGary Creek (Hwy 30 W. Interceptor) Phase II 335,088 335,088 - - 71140 Economic Development 100,000 100,000 100,000 71133 Timbers /1 -45 replacement/relocation 71,993 282 71,711 - 71,711 711 -999 Unallocated Budget 48,127 48,127 48,127 13th Street Headwall i.,idttE' d'6� - ,•.ay. 'h' y .343' ,.`` 60,000 Y��. 60,000 14th Street Headwall - - 45,000 45,000 Bearkat Drainage - 100,000 100,000 8• FUNI$1 Nll1GCj?�f'< s EX k ., WIM `3• s,. -,3? , 3`.�' x 4?'. v, �5''? Y. 81801 Swimming Pool CIP A uatic Center 2,235,665 a� pf., k Sa.:1 qY \.., •A 1,593,246 642,419 •` ..'fi ':t �$�. "k ., x?' 642,419 /.}''F } */!�� -�+ `' k '. 7� 'a� T`P FAVIYti 17G�7 sk-„ m;" 's , y•', 85201 Fire Station Project �i, 2 3' 9 1,711,276 fix.• �st'�`i Y, x "'.a,i €i sxr Y .�,. .ru E� i.. 682,408 1,028,868 - 1,028,868 �r •,i:. i 70117 y f ",''. �S '3 Westhill Park Sect 5 Fund 701 - Water p -:u F ' 11,970 / 1' ar Y.'. R -- �...�'s 6,596 5,374 5,374 70206 En ineering Only Fund 702 - Sewer 10,260 5,654 4,606 4,606 8689 Fund 800 - Street 148,770 81,981 66,789 66,789 v y 81401 Sidewalks - 10,1 - 40,000 40,000 77"7"- ell FUND 81,5� G>NEt�At:'CIP= PARKOa.v2, Y a ...�,.cc,t,� z �, 81507 Kate Barr Ross Soccer Field 206,000 F.. y•..W 197,488 i,,,,� z ' .,,r 8,512 - 8,512 81513 Block 3 Improvements 30,909 26,024 4,885 4,885 81503 Way Finding Sign Project - f2Ds 60,000 42,527 17,473 17,473 81516 _ Parking Lot - Eastham Thomason Park _ 93,486 64,517 28,969 28,969 81517 _ Comprehensive Plan _ 172,500 23,956 148,544 148,544 81518 2005 Aerial Mapping 250,000 3,006 246,994 - 246,994 Kate Barr Ross Concrete Work - - - 14,000 14,000 ____ Fiber Loop Project- North - - 128,445 128,445 Comprehensive Plan Implementation _ 30,000 30,000 Service Center Yard Repaving - 70,000 70,000 Parkin Lot - Pineview Park - - 10,000 10,000 Ft1Nb,800 ?, , �l b 90001 Land - Cemetery Addition 30,000 32,592 - 90002 Land Purchase 16,212 16,751 47,000 13,000 60,000 90003 Library Related 30,000 - - FUN6 810.. WYNNE HOME A. y SF � .••;' 1910 Wynne Home 831,774 759,572 72,202 72,202 FUND,,620 »HOMk GRANT ; v, V "1, 1620 1 HOME Grant 600,000 223,450 376,550 - 376,550 Total FY 06 -07 Capital Projects L_16,339,848 I $ 9,190,749 1 $ 7,170,459 1 $ 2,660,600 1 L__9,831 ,059