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1125 ORDINANCE NO. 1125 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF SOUTHLAKE, TEXAS, APPROVING REVISED BUDGET FIGURES FOR FISCAL YEAR 2015; APPROVING AND ADOPTING THE BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2015, AND TERMINATING SEPTEMBER 30, 2016, AND MAKING APPROPRIATIONS FOR EACH DEPARTMENT, PROJECT AND ACCOUNT; REPEALING CONFLICTING ORDINANCES; PROVIDING A SAVINGS AND SEVERABILITY CLAUSE;AND DECLARING AN EFFECTIVE DATE. WHEREAS,the City Manager has prepared a revision of certain figures in the 2015 budget and submitted same to the City Council;and, WHEREAS, the City Manager of the City of Southlake, Texas (hereinafter referred to as the "City") has caused to be filed with the City Secretary a budget to cover all proposed expenditures of the government of the City for the fiscal year beginning October 1, 2015, and ending September 30, 2016, (hereinafter referred to as the"Budget");and WHEREAS, the Budget, a copy of which is attached hereto and incorporated herein for all purposes, shows as definitely as possible each of the various projects for which appropriations are set up in the Budget,and the estimated amount of money carried in the Budget for each of such projects;and WHEREAS, the Budget has been filed with the City Secretary for at least thirty (30) days and available for inspection by any taxpayer;and WHEREAS,public notice of public hearing on the proposed annual budget,stating the date,time, place and subject matter of said public hearing, was given as required by the Charter of the City of Southlake and the laws of the State of Texas;and WHEREAS, such public hearing was held on September 15, 2015, prior approval of such date being hereby ratified and confirmed by the City Council,and all those wishing to speak on the Budget were heard;and WHEREAS, the City Council has studied the Budget and listened to the comments of the taxpayers at the public hearing held therefore and has determined that the Budget attached hereto is in the best interest of the City. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF SOUTHLAKE,TEXAS: Section 1. That all of the above premises are found to be true and correct and are incorporated into the body of this Ordinance as if copied in their entirety. Section 2. That the revised figures, prepared and submitted by the City Manager for the 2015 budget, be, and the same are hereby, in all things, approved and appropriated, and any necessary transfers between accounts and departments are hereby authorized,approved,and appropriated. Section 3. That the Budget attached hereto and incorporated herein for all purposes is adopted for the Fiscal Year beginning October 1,2015,and ending September 30,2016;and there is hereby appropriated from the funds indicated such projects,operations,activities,purchases and other expenditures as proposed in the Budget. Section 4. That the City Manager shall file or cause to be filed a true and correct copy of the approved Budget, along with this ordinance, with the City Secretary and in the office of the County Clerks of Denton and Tarrant County,Texas,as required by State law. Section 5. That any and all ordinances, resolutions, rules, regulations, policies or provisions in conflict with the provisions of this Ordinance are hereby repealed and rescinded to the extent of conflict herewith. Section 6. If any section, article, paragraph, sentence, clause, phrase or word in this Ordinance,or application thereto any person or circumstances is held invalid or unconstitutional by a Court of competent jurisdiction, such holding shall not affect the validity of the remaining portions of this Ordinance; and the City Council hereby declares it would have passed such remaining portions of this Ordinance despite such invalidity,which remaining portions shall remain in full force and effect. Section 7. That the necessity of adopting and approving a proposed budget for the next fiscal year as required by the laws of the State of Texas requires that this Ordinance shall take effect immediately from and after its passage,and it is accordingly so ordained. PASSED AND APPROVED on first reading this 15-12 day ofr ,2015. ,,`ttttttt tltttt,4 411a�THL9k�'•,� ll,Mayor ATTEST: :k5�••''•.. .%•1,�� • w 01\0/tit: S _t7 - 4` •'9 i Lori Payne �yi 47 City Secretary %........ PASSED AND APPROVED ON second reading this ISday of Seio-0.4- ,2015. Oda& t,•tt'ttttttrttr, La a Hill,Mayor ATTEST: •`‘‘ •` VT HLAh , z.,.•coo. %....A ry4 . +V M - 6(A--- P Lori Payne ?:::(3% • ; City Secretary .. APPROVED AS TO FORM''.•.,,,;.;.*le.� �w� .••• di, j City Attorney Date: / -5 -, 4 Adopted: o4.6w to.tc I S,D`o I 5-- Effective: 'Effective:S fp-c.v.,"b-e1- I ca ao 15" .ror ALL FUNDS SUMMARY 2016 Proposed and 2015 Revised Budget 1003 PM 0825/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Ad Valorem Taxes $25,925,968 $26,464,685 $26,359,685 ($105,000) -0.4% $26,165,910 ($298,775) -1.1% Sales Tax 25,674,009 25,206,000 28,368,000 3,162,000 12.5% 25,908,000 702,000 2.8% Hotel Tax 948,971 926,065 957,588 31,523 3.4% 1,013,824 87,759 9.5% Franchise Fees 2,841,025 2,736,404 3,152,147 415,743 152% 3,184,914 448,510 16.4% Fines 2,372,700 2,190,062 1,808,300 (381,762) -17.4% 1,642,800 (547,262) -25.0% Charges for Services 1,183,207 1,252,150 1,199,650 (52,500) -4.2% 1,704,630 452,480 36.1% Rental Income 153,824 153,816 153,816 0 0.0% 153,816 0 0.0% Permits/Fees 2,611,265 1,517,300 2,725,800 1,208,500 79.6% 1,484,300 (33,000) -2.2% Miscellaneous 1,467,089 1,049,000 1,195,100 146,100 13.9% 1,150,000 101,000 9.6% Water Sales-residential 12,980,508 13,100,000 13,600,000 500,000 3.8% 14,004,460 904,460 6.9% Water Sales-commercial 3,320,125 3,500,000 3,100,000 (400,000) -11.4% 3,600,300 100,300 2.9% Stormwater-residential 832,610 819,850 851,100 31,250 3.8% 866,500 46,650 5.7% Stormwater-commercial 529,555 527,600 537,200 9,600 1.8% 552,800 25,200 4.8% Wastewater Sales 4,944,645 5,050,000 5,050,000 0 0.0% 5,008,000 (42,000) -0.8% Sanitation Sales 1,709,347 1,715,000 1,715,000 0 0.0% 1,745,000 30,000 1.7% Other Utility Charges 465,293 416,900 504,000 87,100 20.9% 394,000 (22,900) -5.5% TIF Distdct 7,246,638 6,729,476 7,324,928 595,452 8.8% 7,600,823 871,347 12.9% Interest Income 351 712 153,130 173.280 20150 13.2% 165.655 12.525 8.2% Total Revenues $95,558.491 $93,507,438 $98.775.595 $5.268.156 5.6% $96.345,732 $2,838.294 3.0% EXPENDITURES City Secretary $381,127 $491,369 $483,195 ($8,174) -1.7% $481,386 ($9,983) -2.0% Human Resources 622,990 616,307 616,307 - 0.0% 627,211 10,904 1.8% City Manager 810,603 825,144 836,274 11,130 1.3% 863,668 38,524 4.7% Information Technology 1,874,520 2,142,154 2,142,154 (0) 0.0% 2,161,120 18,966 0.9% Communications 0 162,743 170,977 8,234 5.1% 159,191 (3,552) -2.2% Support Services 1 309.226 1.422 660 1.279.881 1142 779) -10.0% 1.305.048 5117.612) -8.3% General Gov Total $4,998,486 $5.660.377 $5,528,788 ($131,589) -2.3% $5.597.624 5$62.7531 -1.1% Finance . 1,125,894 1,231,600 1,217,113 (14,487) -1.2% 1,252,430 20,830 1.7% Municipal Court 586,020 673,877 673,877 0 0.0% 694,448 20,571 3.1% Teen Court 130 282 148 021 148.021 50) 0.0% 155.758 7,737 5.2% Finance Total $1,842.196 $2,053,498 62.039.011 5$14,4871 -0.7% $2.102.6364S 9.138 2.4% Fire 7,550,369 7,629,218 7,722,513 93,295 1.2% 7,785,820 156,602 2.1% Police 5,869,672 5,860,540 5,898,521 37.981 0.6% 6,029,185 168,645 2.9% Public Safety Support 1 213 591 1 213 217 1.213 217 2 0.0% 1301.711 88,494 7.3% Public Safety Total $14.833,832 $14,702,975 614.834.251 $131.276 0.9% 615.116.716 $413,741 2.8% Streets/Drainage 1,671,514 1,682,704 1,684,926 2,222 0.1% 1,806,889 124,185 7.4% Public Works Admin 1,113,227 1,287,502 1,287,476 (26) 0.0% 1,394,261 106,759 8.3% Facility Maintenance 1,414,986 1,751,706 1,768,255 16,549 0.9% 1,691,866 (59,840) -3.4% Utility Billing 4.48,208 503,768 462,030 (41,738) -8.3% 501,468 (2,300) -0.5% Water 11,511,589 11,624,912 11,600,885 (24,027) -0.2% 11,675,053 50,141 0.4% Wastewater 2,280,146 2,731,590 2,482,490 (249,100) -9.1% 2,411,300 (320,290) -11.7% Sanitation 1.245 775 1 320 000 1 272 000 548 0001 -3.6% 1 300.000 520 0001 -1.5% Public Works Total $19.685.448 $20,902.182 1211.521.262 ($344.120). -1.6% $20,780,837 (8121.3461 -0.8% Building Inspections 909,418 1,052,964 1,056,139 3,175 0.3% 1,087,902 34,938 3.3% Planning 850.398 966 175 954.375 f11 800) -1.2% 985.820 19,645 2.0% Planning and Dev Total $1.759.816 $2,019,139 $2,010.514 ($8,6251 -0.4% $2.071722 ULM 2.7% Economic Development 240 017 730 965 730 965 11 0.0% 730 656 01/91 -0.1% Economic Dev.Total $240.017 $230,965 its 14 0.0% $2 $$$ WE -0.1% Community Services 836,889 1,157,814 1,171,639 13,825 1.2% 1,276,132 118,318 10.2% Parks and Recreation 4,963,606 5,322,489 5,289,594 (32,895) -0.6% 5,388,266 65,777 1.2% Library Services 684 317 621 299 649 049 77 750 4.5% 654 159 32 1160 5.3% Community Svcs.Total $6.484.812 $7,101.602 $7,110,282 argil 0.1% $7,318,557 216,955 3.1% EXPENDITURES.cont. TIF District 3,834,118 3,703,170 4,478,312 775,142 100.0% 4,358,190 655,020 17.7% Crime Control District 620,181 724,040 676,871 (47,169) -6.5% 917.060 193,020 26.7% Vehicle Replacement 694,876 587,000 587,000 0 0.0% 538,000 (49,000) -8.3% Court Security 34,975 73,638 73.638 0 0.0% 85.504 11,866 16.1% Court Technology 12,203 35,250 35,250 0 0.0% 81,500 46,250 131.2% ALL FUNDS SUMMARY 2016 Proposed and 2015 Revised Budget 1008 PM 08/25115 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted _ -Decrease Proposed Adopted -Decrease Stormwater Utility District 397,085 619,616 619,616 0 0.0% 407,575 (212,041) -34.2% Strategic Initiative 568,189 1,218,000 1,218,000 0 0.0% 1,015,907 (202,093) -16.6% Hotel Occupancy Tax 753,228 754,462 754,462 (0) 0.0% 677,821 (76,641) -10.2% Public Art 39,597 100,500 73,500 (27,000) -26.9% 135,500 35,000 34.8% Red Light Camera 633,165 736,920 483,620 (253,300) -34.4% 380,160 (356,760) -48.4% Facility Maintenance 129,505 130,000 130,000 0 0.0% 179,537 49,537 38.1% Commercial Vehicle Enforcement 117,462 124,704 124,704 0 0.0% 123,201 (1,503) -1.2% Economic lnvestmest 0 0 0 0 0.0% 0 0 0.0% Community Enhancment Dev Corp - 0 0 0 0.0% 1,148,402 1,148,402 Debt Service 24,071,704 25,238,205 25.239.205 1000 0.0% 23,703,876 (1 534 3291 -6.1% Total Expenditures $81.550.674 ;86,716243 $86.806.051 $89,808 0.1% $86,972,962 Saila 0.3% Net Revenues $14.007.814 $6.791.195 S11.969 543 $5 178.348 $9 372 751, Bond/Insurance Proceeds $0 $0 $0 $0 $0 $0 Transfers In $21,578,983 $17,669,818 $24,085,065 $6,415,248 $18,448,821 5779,003 Developers Contributions $0 $50,000 $50,000 SO $50,000 $0 Transfers Out ($29 848 9831 (527 159 8191 ($34 125 0671 ($6 965 2471 ($31 230 8881 (S4 071 0681 Total Other Sources(Uses) J$8.270.000( ($9.440.0021 39.990.0011 ($550 0001 ($12 732 0671 ($3,292,0651 tw.Mg.in w/component. $0 $0 $0 $0 Beginning Fund Balance $63,170,350 $68,908,166 $68,908,166 $70,887,708 Prior Period Adjustment $0 $0 $0 $0 Residual Equity Transfer SID 5 50 La Ending Fund Balance $68 908 166 566.259 355 $70 887 708 $67.528.362 PROPOSED BUDGET 2016 ALL FUNDS SUMMARY Special Special Special Special Revenue Revenue Revenue Special Storm Stetegic Facility Economic Commercial Rot' Court Coin Red Light General Utility Debt Service Revenue Bicentennial Perk Perks/ Revenue SF Operating Crime Control Vehicle Water Initiative Meintesence Investment Vehicle Occupancy Security Technology Camera Public Art Recycling Emil Eurud Fund BW799Mtlgn Conceeeio03 Miliminn B9[Rtlg6 Nina and Vend Fund BtroMnsa409 P1e41c1 and Feed and ENo$99mn1 Emil and and and and Emil CEDC Fued11 SPDC1109e IIMI Projected Revenues 640,759,805 $24,936,760 $5,902,470 85,150 $0 $30250 $44200 510,025 $7,601,823 $1,668,000 690,000 81,424,300 18,000 84.000 8500 $85.000 $1,014,324 $32700 943,300 8367,300 6300 86,030 $5,474,180 86,837,316 $96,345,732 Projected Expenditures $35,957,381 $22,796,601 813,903,762 $70,000 80 $80,000 $81,000 $10,000 $4,358,190 8817,060 $538,000 $407,575 61.015.907 $179,537 $0 $123201 $677,821 $85,504 $81,500 $380,160 $135,500 $0 $1,148,402 $4,022,560 $86,972,982 Net Renanum WW2& ILIUM 9821L$12$ 1111.0101 12 MIMI MEM LA UM= MUM MAIM 1L11L226 NM MAD Slant 6162.004 MUM Al2e1W ($1Z1 M M 208 /12.1114261 I1277.711 Total Other Sauces(01e11 (84.634.045) (81.799,470) 55,965,203 50 $0 $0 $0 $0 (83,180,765) (53,858,620) $1,000,000 (61,721,510) (52,900,0001 81.500.000 8150.000 $40,000 ($382,723) $0 $0 60 $152,149 $0 $218,967 03273253) ($12,732,067) Estimated Fund Balance, Working Capital 9130/14 99,176,486 67,358,679 $9,352,512 $98,348 $37,680 $367,402 $97,488 $3,992 $4,011,514 $7,310,198 $4,074,188 $1,830,857 $7,450,606 $3,686,446 91.750,500 651,840 $1,203,575 $424,933 5402,735 $353,416 $524,002 $40,677 $0 $11279,834 $70,887,708 Estimated Fund Balance, Working Capital 9/30/15 85,344,685 87,896,067 87.316,403 533.4911 637(668 6317(662 640(6$4 84.017 $4,074,3112 $4204,61$ $4(699,199 81,126,172 *3,642.699 $5,010,909 $1,601,060 $53,839 11,147,355 $372,129 6384,535 8549,550 6640(661 848,707 $4,544,745 $10,621,337 $57,526292 PROPOSED BUDGET 2016 ALL FUNDS SUMMARY EXPENDITURES BY FUND/DIVISION/CATEGORY 2015 2015 2016 $Increase/ %Increase/ 2014 Adopted Amended Proposed (Decrease) -Decrease GENERAL FUND Actual Budget Budget Budget Adopted Adopted City Secretary/Mayor/Council Personnel 237,252 311,813 311,813 325,569 13,756 4.4% Operations 143,875 179,556 171,382 155,817 (23,739) -13.2% Capital Outlay 0 0 0 0 0 0.0% Total 381,127 491,369 483,195 481,386 (9,983) -2.0% Human Resources Personnel 417,161 439,753 439,753 458,545 18,792 4.3% Operations 205,829 176,554 176,554 168,666 (7,888) -4.5% Capital Outlay 0 0 0 0 0 0.0% Total 622,990 616,307 616,307 627,211 10,904 1.8% City Manager's Office Personnel 767,088 775,691 787,691 814,095 38,404 5.0% Operations 43,515 49,453 48,583 49,573 120 0.2% Capital Outlay 0 0 0 0 0 0.0% Total 810,603 825,144 836,274 863,668 38,524 4.7% Support Services Personnel 121,447 125,000 125,000 40,000 (85,000) -68.0% Operations 1,187,779 1,297,660 1,154,881 1,265,048 (32,612) -2.5% Capital Outlay 0 0 0 0 0 0.0% Total 1,309,226 1,422,660 1,279,881 1,305,048 (117,612) -8.3% Communications Personnel 0 87,498 112,248 121,516 34,018 38.9% Operations 0 75,245 58,729 37,675 (37,570) -49.9% Capital Outlay 0 0 0 0 0 0.0% Total 0 162,743 170,977 159,191 (3,552) -2.2% Information Technology Personnel 590,005 638,155 638,155 695,140 56,985 8.9% Operations 1,217,350 1,503,999 1,503,999 1,442,360 (61,639) -4.1% Capital Outlay 67.165 0 0 23.620 23.620 236199900.0% Total 1,874,520 2,142,154 2,142,154 2,161,120 18,966 0.9% Finance Personnel 793,861 825,079 835,079 878,330 53,251 6.5% Operations 332,033 406,521 382,034 374,100 (32,421) -8.0% Capital Outlay 0 0 0 0 0 0.0% Total 1,125,894 1,231,600 1,217,113 1,252,430 20,830 1.7% Municipal Court Personnel 495,270 525,137 520,137 541,843 16,706 3.2% Operations 90,750 148,740 153,740 152,605 3,865 2.6% Capital Outlay 0 0 0 0 0 0.0% Total 586,020 673,877 673,877 694,448 20,571 3.1% Teen Court Personnel 113,247 122,135 122,135 127,594 5,459 4.5% Operations 17,035 25,886 25,886 28,164 2,278 8.8% Capital Outlay 0 0 0 0 0 0.0% Total 130,282 148,021 148,021 155,758 7,737 5.2% PROPOSED BUDGET 2016 ALL FUNDS SUMMARY EXPENDITURES BY FUND/DIVISION/CATEGORY 2015 2015 2016 $Increase/ %Increase/ 2014 Adopted Amended Proposed (Decrease) -Decrease GENERAL FUND Actual Budget Budget Budget Adopted Adopted Fire Services Personnel 6,567,217 6,817,469 6,885,949 7,051,522 234,053 3.4% Operations 714,088 726,840 751,655 734,298 7,458 1.0% Capital Outlay 269.064 84,909 84,909 0 (84,909) -100.0% Total 7,550,369 7,629,218 7,722,513 7,785,820 156,602 2.1% Police Services Personnel 5,284,748 5,326,116 5,326,116 5,453,744 127,628 2.4% Operations 544,757 534,424 572,405 575,441 41,017 7.7% Capital Outlay 40.167 0 0 0 0 0.0% Total 5,869,672 5,860,540 5,898,521 6,029,185 168,645 2.9% Public Safety Support Personnel 0 0 0 0 0 0.0% Operations 1,213,591 1,213,217 1,213,217 1,301,711 88,494 7.3% Capital Outlay 0 0 0 0 0 0.0% Total 1,213,591 1,213,217 1,213,217 1,301,711 88,494 7.3% Building Inspection Personnel 819,350 933,694 933,694 946,050 12,356 1.3% Operations 90,068 119,270 122,445 141,852 22,582 18.9% Capital Outlay 0 0 0 0 0 0.0% Total 909,418 1,052,964 1,056,139 1,087,902 34,938 3.3% Streets/Drainage Personnel 761,684 775,354 775,354 846,064 70,710 9.1% Operations 890,964 907,350 909,572 960,825 53,475 5.9% Capital Outlay 18.866 0 0 0 0 0.0% Total 1,671,514 1,682,704 1,684,926 1,806,889 124,185 7.4% Facility Maintenance Personnel 279,611 366,051 375,973 366,318 267 0.1% Operations 1,128,916 1,345,655 1,350,378 1,325,548 (20,107) -1.5% Capital Outlay 6.459 40,000 41,904 0 (40,000) -100.0% Total 1,414,986 1,751,706 1,768,255 1,691,866 (59,840) -3.4% Public Works Administration Personnel 879,058 1,058,567 1,058,567 1,131,027 72,460 6.8% Operations 234,169 228,935 228,909 263,234 34,299 15.0% Capital Outlay 0 0 0 0 0 0.0% Total 1,113,227 1,287,502 1,287,476 1,394,261 106,759 8.3% Planning Personnel 812,636 880,650 880,650 908,991 28,341 3.2% Operations 37,762 85,525 73,725 76,829 (8,696) -10.2% Capital Outlay 0 0 0 0 0 0.0% Total 850,398 966,175 954,375 985,820 19,645 2.0% Economic Development Personnel 81,808 157,316 157,316 155,992 (1,324) -0.8% Operations 158,209 73,649 73,649 74,664 1,015 1.4% Capital Outlay 0 0 0 0 0 0.0% Total 240,017 230,965 230,965 230,656 (309) -0.1% Community Services Personnel 562,155 799,959 799,959 827,885 27,926 3.5% Operations 274,734 357,855 371,680 448,247 90,392 25.3% Capital Outlay 0 0 0 0 0 0.0% Total 836,889 1,157,814 1,171,639 1,276,132 118,318 10.2% PROPOSED BUDGET 2016 ALL FUNDS SUMMARY EXPENDITURES BY FUND/DIVISION/CATEGORY 2015 2015 2016 $Increase/ %Increase/ 2014 Adopted Amended Proposed (Decrease) -Decrease GENERAL FUND Actual Budget Budget Budget Adopted Adopted Parks and Recreation Personnel 2,192,357 2,288,671 2,288,671 2,204,295 (84,376) -3.7% Operations 2,046,408 1,926,360 1,893,465 1,793,225 (133,135) -6.9% Capital Outlay 17.848 54.200 54.200 25.200 (29,000) -53.5% Total 4,256,613 4,269,231 4,236,336 4,022,720 (246,511) -5.8% Library Services Personnel 513,803 461,969 476,969 489,909 27,940 6.0% Operations 53,646 51,330 60,080 51,250 (80) -0.2% Capital Outlay 94.687 100,000 100,000 103,000 3.000 3.0% Total 662,136 613,299 637,049 644,159 30,860 5.0% TOTAL GENERAL FUND 33,429,492 35,429,210 35,429,210 35,957,381 528,171 1.5% PROPOSED BUDGET 2016 ALL FUNDS SUMMARY EXPENDITURES BY FUND/DIVISION/CATEGORY 2015 2015 2016 $Increase/ %Increase/ 2014 Adopted Amended Proposed (Decrease) -Decrease Pginal Budget Budaet Budaet Adopted Adopted 1211.1.1.1.Y.11= Sltility Billing Personnel 329,436 353,354 340,966 354,954 1,600 0.5% Operations 118,772 150,414 121,064 146,514 (3,900) -2.6% Capital Outlay Q 4 4 Q Q 0.0% Total 448,208 503,768 462,030 501,468 (2,300) -0.5% Water Utilities Personnel 1,377,749 1,464,852 1,464,852 1,521,118 56,266 3.8% Operations 9,650,020 9,491,310 9,467,283 9,728,935 237,625 2.5% Capital Outlay 483.820 668.750 668.750 425.000 (243.750) -36.4% Total 11,511,589 11,624,912 11,600,885 11,675,053 50,141 0.4% Wastewater Utilitieg Personnel 520,986 520,430 520,430 552,658 32,228 6.2% Operations 1,619,921 1,816,180 1,817,080 1,858,642 42,462 2.3% Capital Outlay 139.239 394.980 144.980 4 (394 980) -100.0% Total 2,280,146 2,731,590 2,482,490 2,411,300 (320,290) -11.7% Sanitation Operations 1245,778 1,320.000 1.272.000 1,300.000 (20.000) -1.5% Total 1,245,778 1,320,000 1,272,000 1,300,000 (20,000) -1.5% bgn-Deoartmentalized Debt Service 6.385.921 6.833.055 6.833.055 6.912.080 79.025 1.2% Total 6,385,921 6,833,055 6,833,055 6,912,080 79,025 1.2% TOTAL UTILITY FUND 21,871,642 23,013,325 22,650,460 22,799,901 (213,424) -0.9% STORM WATER DISTRICT Personnel 103,699 114,927 114,927 120,045 5,118 4.5% Operations 293,386 338,239 338,239 287,530 (50,709) -15.0% Capital Outlay Q 166,450 166.450 Q (166.450) -100.0% Total 397,085 619,616 619,616 407,575 (212,041) -34.2% DEBT SERVICE FUND Principal 11,235,280 12,639,311 12,639,311 11,479,601 (1,159,710) -9.2% Interest 3,448,881 2,862,050 2,862,050 2,406,180 (455,870) -15.9% Administrative Expenses 5.658 18.000 18.000 18.000 4 0.0% Total 14,689,819 15,519,361 15,519,361 13,903,782 (1,615,579) -10.4% SPECIAL REVENUE REFORESTATION FUND Operations 59,510 30,000 30,000 70,000 40,000 133.3% Capital Outlay 4 Q 4 Q 4 0.0% Total 59,510 30,000 30,000 70,000 40,000 133.3% SPECIAL REVENUE BICENTENNIAL CONCESSIONS Operations 0 0 0 0 0 0.0% Capital Outlay 4 0 0 4 4 0.0% Total 0 0 0 0 0 0.0% FACILITY MAINTENANCE Operations 129,505 130,000 130,000 179,537 49,537 38.1% Capital Outlay 4 4 Q 4 4 0.0% Total 129,505 130,000 130,000 179,537 49,537 38.1% SPECIAL REVENUE PARK DEDICATION FUND Operations 0 0 0 0 0 0.0% Capital Outlay 4 Q Q 80,000 80,000 0.0% Total 0 0 0 80,000 80,000 800000000.0% SPECIAL REVENUE PARK AND RECREATION Operations 0 44,000 44,000 81,000 37,000 84.1% Capital Outlay 4 4 0 4 4 0.0% Total 0 44,000 44,000 81,000 37,000 84.1% SPECIAL REVENUE LIBRARY DONATION FUND Operations 22,181 8,000 12,000 10,000 2,000 25.0% Capital Outlay Q 0 0 0 0 0.0% Total 22,181 8,000 12,000 10,000 2,000 25.0% TIF FUND Operations 3.834.118 3.703 170 4.478.312 4.358.190 655,020 17.7% Total 3,834,118 3,703,170 4,478,312 4,358,190 655,020 17.7% N PROPOSED BUDGET 2016 ALL FUNDS SUMMARY EXPENDITURES BY FUND/DIVISION/CATEGORY 2015 2015 2016 $Increase/ %Increase/ 2014 Adopted Amended Proposed (Decrease) -Decrease Q{9j Budget au= Dudget Adopted Adopted CRIME CONTROL DISTRICT FUND Personnel 441,650 594,986 554,986 556,702 (38,284) -6.4% Operations 178,531 111,054 88,335 300,358 189,304 170.5% Capital Outlay Q 18.00Q 33.550 60.000 42.000 233.3% Total 620,181 724,040 676,871 917,060 193,020 26.7% SPDC FUND Personnel 101,543 106,658 106,658 190,946 84,288 79.0% Operations&Maintenance 410,142 682,600 682,600 789,600 107,000 15.7% Capital Outlay 135,798 190,000 190,000 154,000 (36,000) -18.9% Debt Service Z995.964 2.885.789 2.886.789 2.888.014 2.225 0.1% Total 3,643,447 3,865,047 3,866,047 4,022,560 157,513 4.1% STRATEGIC INITIATIVE FUND Capital Outlay 568.189 1218.000 1.218.000 1.015.907 (202,093) -16.6% Total 568,189 1,218,000 1,218,000 1,015,907 (202,093) -16.6% VEHICLE REPLACEMENT Capital 694.876 587.000 587.000 538,000 149.0001 -8.3% Total 694,876 587,000 587,000 538,000 (49,000) -8.3% HOTEL OCCUPANCY FUND Personnel 132,732 196,508 196,508 196,350 (158) -0.1% Operations 620,496 557,954 557,954 481,471 (76,483) -13.7% Capital 4 4 4 4 Q 0.0% Total 753,228 754,462 754,462 677,821 (76,641) -10.2% COURT SECURITY FUND Personnel 32,533 59,518 59,518 58,434 (1,084) -1.8% Operations 2,442 14,120 14,120 9,070 (5,050) -35.8% Capital Outlay Q Q Q 18.000 18,000 179999900.0% Total 34,975 73,638 73,638 85,504 11,866 16.1% COURT TECHNOLOGY FUND Operations 5,936 20,250 20,250 9,000 (11,250) -55.6% Capital Outlay 6,267 15 000 15 000 72.500 57,500 383.3% Total 12,203 35,250 35,250 81,500 46,250 131.2% RECYCLING FUND Operations 4 4 9 9 0 0.0% Total 0 0 0 0 0 0.0% RED LIGHT CAMERA FUND Personnel 52,411 55,690 55,690 56,320 630 1.1% Operations 572,882 638,230 384,930 300,840 (337,390) -52.9% Capital Outlay 7.872 43.000 43.000 23,000 (20,000) -46.5% Total 633,165 736,920 483,620 380,160 (356,760) -48.4% PUBLIC ART FUND Operations 39,597 50,500 48,500 60,500 10,000 19.8% Capital 9 50.000 25.000 75.000 25,000 50.0% Total 39,597 100,500 73,500 135,500 35,000 34.8% COMMVERICAL VEHICLE ENFORCEMENT Personnel 110,634 116,312 116,312 113,182 (3,130) -2.7% Operations 6,828 8,392 8,392 10,019 1,627 19.4% Capital Outlay 4 4 4 4 0 0.0% Total 117,462 124,704 124,704 123,201 (1,503) -1.2% CEDC FUND Personnel 0 0 0 403,757 403,757 4037569900.0% Operations&Maintenance 0 0 0 687,145 687,145 6871449900.0% Capital Outlay 0 0 0 57,500 57,500 574999900.0% Debt Service Q Q 9 Q 9 0.0% Total 0 0 0 1,148,402 1,148,402 2871004925.0% ECONOMIC INVESTMENT FUND Operations 0 0 0 0 0 0.0% Capital 4 4 4 4 0 0.0% Total 0 0 0 0 0 0.0% GRAND TOTAL-ALL FUNDS 81,550,675 86,716,243 86,806,051 86,972,982 256,738 0.3% PROPOSED BUDGET 2016 ALL FUNDS SUMMARY EXPENDITURES BY FUND/CATEGORY 2015 2015 2016 $Increase/ %Increase/ 2014 Adopted Amended Proposed (Decrease)' -Decrease FUND Actual Budget Budget Budget Adopted Adopted General Fund Personnel 22,289,758 23,716,077 23,851,229 24,384,429 668,352 2.8% Operations 10,625,478 11,434,024 11,296,968 11,421,132 (12,892) -0.1% Capital Outlay 514.256 279.109 281.013 151.820 1127.289) -45.6% Total 33,429,492 35,429,210 35,429,210 35,957,381 528,171 1.5% Utility Fund Personnel 2,228,171 2,338,636 2,326,248 2,428,730 90,094 3.9% Operations 12,634,491 12,777,904 12,677,427 13,034,091 256,187 2.0% Capital Outlay 623,059 1,063,730 813,730 425,000 (638,730) -60.0% Debt Service 6.385.921 6.833.055 6.833.055 6.912.080 79.025 1.2% Total 21,871,642 23,013,325 22,650,460 22,799,901 (213,424) -0.9% Stormwater District Personnel 103,699 114,927 114,927 120,045 5,118 4.5% Operations 293,386 338,239 338,239 287,530 (50,709) -15.0% Capital Outlay 0 166.450 166.450 0 1166.450) -100.0% Total 397,085 619,616 619,616 407,575 (212,041) -34.2% Debt Service Fund Debt Service 14.689.819 15.519.361 15.519.361 13.903.782 11.615.579) -10.4% Total 14,689,819 15,519,361 15,519,361 13,903,782 (1,615,579) -10.4% Special Revenue- Reforestation Fund Operations 59,510 30,000 30,000 70,000 40,000 133.3% Capital Outlay 0 0 0 0 Q 0.0% Total 59,510 30,000 30,000 70,000 40,000 133.3% Special Revenue- Bicentennial Concessions Operations 0 0 0 0 0 0.0% Capital Outlay 0 0 0 0 0 0.0% Total 0 0 0 0 0 0.0% Facility Maintenance Operations 129,505 130,000 130,000 179,537 49,537 38.1% Capital Outlay 0 0 0 0 0 0.0% Total 129,505 130,000 130,000 179,537 49,537 38.1% Special Revenue- Park Dedication Operations 0 0 0 0 0 0.0% Capital Outlay 0 0 0 80.000 80.000 0.0% Total 0 0 0 80,000 80,000 800000000.0% Special Revenue- Parks and Recreation Operations 0 44,000 44,000 81,000 37,000 84.1% Capital Outlay 0 0 0 0 0 0.0% Total 0 44,000 44,000 81,000 37,000 84.1% Special Revenue- Library Donation Fund Operations 22,181 8,000 12,000 10,000 2,000 25.0% Capital Outlay 0 0 0 0 0 0.0% Total 22,181 8,000 12,000 10,000 2,000 25.0% TIF Fund Personnel 0 0 0 0 0 0.0% Operations 3.834.118 3.703.170 4.478.312 4.358.190 655.020 17.7% Total 3,834,118 3,703,170 4,478,312 4,358,190 655,020 17.7% Crime Control District Fund Personnel 441,650 594,986 554,986 556,702 (38,284) -6.4% Operations 178,531 111,054 88,335 300,358 189,304 170.5% Capital Outlay 0 18.000 33.550 60.000 42.000 100.0% Total 620,181 724,040 676,871 917,060 193,020 26.7% PROPOSED BUDGET 2016 ALL FUNDS SUMMARY EXPENDITURES BY FUND/CATEGORY 2015 2015 2016 $Increase/ %Increase/ 2014 Adopted Amended Proposed (Decrease) -Decrease FUND Actual Budget Budget Budget Adooted Adopted SPDC Fund Personnel 101,543 106,658 106,658 190,946 84,288 79.0% Operations 410,142 682,600 682,600 789,600 107,000 15.7% Capital Outlay 135,798 190,000 190,000 154,000 (36,000) -18.9% Debt Service 2.995.964 2.885.789 2.886.789 2.888.014 2.225 0.1% Total 3,643,447 3,865,047 3,866,047 4,022,560 157,513 4.1% Strategic Initiative Fund Capital Outlay 568.189 1,218.000 1,218.000 1.015.907 (202,093) -16.6% Total 568,189 1,218,000 1,218,000 1,015,907 (202,093) -16.6% Vehicle Replacement Capital Outlay 694.876 587.000 587.000 538.000 (49.0001 -8.3% Total 694,876 587,000 587,000 538,000 (49,000) -8.3% Hotel Occupancy Fund Personnel 132,732 196,508 196,508 196,350 (158) -0.1% Operations 620,496 557,954 557,954 481,471 (76,483) -13.7% Capital Outlay 4 4 4 4 4 0.0% Total 753,228 754,462 754,462 677,821 (76,641) -10.2% Court Security Fund Personnel 32,533 59,518 59,518 58,434 (1,084) -1.8% Operations 2,442 14,120 14,120 9,070 (5,050) -35.8% Capital Outlay 0 0 Q 18.000 18.000 179999900.0% Total 34,975 73,638 73,638 85,504 11,866 16.1% Court Technology Fund Operations 5,936 20,250 20,250 9,000 (11,250) -55.6% Capital Outlay 6.267 15.000 15.000 72.500 57.500 383.3% Total 12,203 35,250 35,250 81,500 46,250 131.2% Recycling Fund Operations 4 4 4 4 Q 0.0% Total 0 0 0 0 0 0.0% Red Light Camera Fund Personnel 52,411 55,690 55,690 56,320 630 1.1% Operations 572,882 638,230 384,930 300,840 (337,390) -52.9% Capital Outlay 7 872 43.000 43,000 23.000 (20,000) -46.5% Total 633,165 736,920 483,620 380,160 (356,760) -48.4% Public Art Fund Operations 39,597 50,500 48,500 60,500 10,000 19.8% Capital 0 50,000 25.000 75,000 25.000 50.0% Total 39,597 100,500 73,500 135,500 35,000 34.8% Commercial Vehicle Enforcement Fund Personnel 110,634 116,312 116,312 113,182 (3,130) -2.7% Operations 6,828 8,392 8,392 10,019 1,627 19.4% Capital Outlay 0 0 0 0 0 0.0% Total 117,462 124,704 124,704 123,201 (1,503) -1.2% CEDC Fund Personnel 0 0 0 403,757 403,757 ############# Operations 0 0 0 687,145 687,145 ############# Capital Outlay 0 0 0 57,500 57,500 574999900.0% Debt Service 0 0 0 0 0 0.0% Total 0 0 0 1,148,402 1,148,402 ############# Economic Investment Fund Operations 0 0 0 0 0 0.0% Capital 0 0 0 0 0 0.0% Total 0 0 0 0 0 0.0% GRAND TOTAL ALL FUNDS 81,550,675 86,716,243 86,806,051 86,972,982 256,738 0.3% EXPENDITURE CATEGORY Personnel 25,493,131 27,299,312 27,382,076 28,508,895 1,209,583 4.4% Operations 29,435,523 30,548,437 30,812,027 32,089,483 1,541,046 5.0% Capital Outlay 2,550,317 3,630,289 3,372,743 2,670,727 (959,562) -26.4% Debt Service 24.071.704 25.238.205 25.239.205 23.703.876 11.534.329) -6.1% GRAND TOTAL ALL FUNDS 81,550,675 86,716,243 86,806,051 86,972,982 256,738 0.3% GENERAL FUND 2016 Proposed and 2015 Revised Budget 10:09 PM 0825/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Ad Valorem Taxes $19,193,801 $19,561,715 $19,456,715 ($105,000) -0.5% $20,283,440 $721,725 3.7% Sales Tax 12,585,569 12,022,000 13,768,000 1,746,000 14.5% 12,568,000 546,000 4.5% Franchise Taxes 2,841,025 2,736,404 3,152,147 415,743 15.2% 3,184,914 448,510 . 16.4% Fines 1,330,324 1,115,000 1,115,000 0 0.0% 1,115,000 0 0.0% Charges for Services 1,183,207 1,252,150 1,199,650 (52,500) -4.2% 1,234,150 (18,000) -1.4% Permits/Fees 2,426,335 1,482,300 2,428,800 946,500 63.9% 1,449,300 (33,000) -2.2% Miscellaneous 1,111,754 815,000 905,000 90,000 11.0% 855,000 40,000 4.9% Interest Income 180.497 70.000 80.000 10.000 14.3% 70.000 Q 0.0% Total Revenues $40,852,512 $39,054,569 $42,105,312 $3,050,743 7.8% $40,759,805 $1,705,236 4.4% EXPENDITURES City Secretary $381,127 $491,369 $483,195 ($8,174) -1.7% $481,386 ($9,983) -2.0% Human Resources 622,990 616,307 $616,307 0 0.0% 627,211 10,904 1.8% City Manager 810,603 825,144 836,274 11,130 1.3% 863,668 38,524 4.7% Information Technology 1,874,520 2,142,154 2,142,154 (0) 0.0% 2,161,120 18,966 0.9% Communications 0 162,743 170,977 8,234 5.1% 159,191 (3,552) -2.2% Support Services 1.309.226 1,422.660 1.279.881 (142.779) -10.0% 1.305.048 (117,6121 -8.3% General Gov.Total $4,998.466 55,660,377 $5,528,788 (5131.5891 -2.3% $5.597,624 ($62,7531 -1.1% Finance 1,125,894 1,231,600 1.217,113 (14,487) -1.2% 1,252,430 20,830 1.7% Municipal Court 586,020 673,877 673,877 0 0.0% 694,448 20,571 3.1% Teen Court 130,282 148.021 148.021 (Q( 0.0% 155,758 7737 5.2% Finance Total $1,842.196 $2,053,498 $2,039,011 414.4871 -0.7% $2,102.636 ,$,13.$ 2.4% Fire 7,550,369 7,629,218 7,722,513 93,295 1.2% 7.785,820 156,602 2.1% Police 5,869,672 5,860,540 5,898,521 37,981 0.6% 6,029,185 168,645 2.9% Public Safety Support 1,213,591 1.213.217 1,213.217 0 0.0% 1.301,711 88.494 7.3% Public Safety Total $14.633.632 $14,702.975 $14,834251 $131.276 0.9% $15,116.716 $413.741 2.8% Streets/Drainage 1,671,514 1,682,704 1,684,926 2,222 0.1% 1,806.889 124,185 7.4% Facility Maintenance 1,414,986 1,751,706 1,768,255 16,549 0.9% 1.691.866 (59,840) -3.4% Public Works Admin 1.113.227 1.287.502 1,287,476 (281 0.0% 1.394,261 106.759 8.3% Public Works Total $4,199.727 $4,721.912 $4.740.657 $18.745 0.4% $4,893,016 $171.104 3.6% Building Inspections 909,418 1,052,964 1,056.139 3,175 0.3% 1,087.902 34,938 3.3% Planning 850.398 966,175 954.375 (11,800) -1.2% 985.820 19645 2.0% Planning and Dev Total 51.759.816 $2,019,139 $2,010,514 ($8.6251 -0.4% $2.073.722 $54.583 2.7% Economic Development 240.017 230,965 230.965 Q 0.0% 230.656 (309) -0.1% Economic Dev.Total $240,017 $230.965 5230.965 $Q 0.0% $230,656 ($3491 -0.1% Community Services 836,889 1,157,814 1,171,639 13,825 1.2% 1,276.132 118,318 10.2% Parks and Recreation 4,256,613 4,269,231 4,236.336 (32,895) -0.8% 4,022,720 (246,511) -5.8% Library Services 662.136 613,299 637,049 23,750 3.9% 644,159 30.860 5.0% Community Svcs.Total $5.755.638 $6.040.344 $6,045,024 $4.68Q 0.1% $5,943.011 ($97.3331 -1.6% Total Expenditures $33,429,492 $35,429,210 $35,429,210 ($0) 0.0% $35,957,381 $528,171 1.5% Net Revenues $7,423.020 53.625.359 56,676.102 $3.050,743 $4,801424 51.177,065 Lease Proceeds $0 $0 $0 $0 $0 Transfers In 1,464,387 1,585,529 1,596,048 10,519 1,655,955 Transfers Out ($8,790.000) 34,990,0001 (510.490.0001 (5.500.000) (56,290,0001 Total Other Sources(Uses) (57.325.6131 ($3.404.4711 (58.893.9521 (55.489.4811 ($4.634.0451 Beginning Fund Balance $11,296,929 $11,394,336 $11,394,336 $9,176,486 Residual Equity Transfer $0 $0 $0 Ending Fund Balance $11.394.336 $11,615.224 $9.176,486 $1344,865 Fund balance percentage 34.08% 32.78% 25.90% 25.99% GENERAL FUND Strategic Initiative Fund 2016 Proposed and 2015 Revised Budget 10'.09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Interest 9.890 8.000 8.000 Q 0.0% 8,000 9 0.0% Total Revenues $9,890 $8,000 $8,000 $0 0.0% $8,000 $0 0.0% EXPENDITURES Infrastructure Maintenance $0 $0 $0 $0 0.0% $0 0 0.0% Community Enhancement 134,574 518,000 518,000 0 0.0% 390,000 (128,000) -24.7% Technology Infrastructure 193,940 0 0 0 0.0% 168,600 168,600 1685999900.0% Capital Acquisition 239.675 700.000 700,000 9 0.0% 457,307 (242,693) -34.7% Total Expenditures $568,189 $1,218,000 $1,218,000 $0 0.0% $1,015,907 ($202,093) -16.6% Net Revenues 0558.2991 41.210.0001 01.210.0001 30 41.007.9071 $202.093 Transfer from other funds $6,800,000 $4,400,000 $9,100,000 $5,100,000 Transfer to other funds (4.250.000) (7.420.000) (8.420,000) (8 000.000) Total Other Sources/(Uses) 12,550.000 03.020.0001 $680,490 42.900.0001 Beginning Fund Balance $5,988,905 $7,980,606 $7,980,606 $7,450,606 Ending Fund Balance 112.280.0111 LIM= ta,M&M $3.542699 GENERAL FUND Facility Maintenance 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Interest 3 783 55 000 3 000 (2,000) -40.0% 4 000 (1,000) -20.0% Total Revenues $3,783 $5,000 $3,000 ($2,000) 0.0% $4,000 ($1,000) -20.0% EXPENDITURES Operations $129,505 $130,000 $130,000 $0 0.0% $179,537 49,537 38.1% Capital 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $129,505 $130,000 $130,000 $0 0.0% $179,537 $49,537 38.1% Net Revenues ($125.7221 ($125,0001 ($127.0001 ($2,000) ($175.5371 `ems Transfer from other funds $600,000 $600,000 $1,500,000 $1,500,000 Transfer to other funds ($01 ($01 ($0) ($0) Total Other Sources/(Uses) $600000 $600,000 $1.500.440 $1 500000 Beginning Fund Balance $1,839,168 $2,313,446 $2,313,446 $3,686,446 Ending Fund Balance 52.313.44E 12.788.44Q $3,686,446 $5.010.909 GENERAL FUND Economic Investment Fund 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Interest 0 500 500 0 0.0% 500 0 0.0% Total Revenues $0 $500 $500 $0 0.0% $500 $0 0.0% EXPENDITURES Operations $0 $0 $0 $0 0.0% $0 0 0.0% Capital 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $0 $0 $0 $0 0.0% $0 $0 0.0% Net Revenues L101 500 =Q $0 SAN IQ Transfer from other funds $1,150,000 5150,000 $150,000 $150,000 Transfer to other funds i$J ($0) ($ 1 ail Total Other Sources/(Uses) $1.150.009 MS= $150.000 Beginning Fund Balance $450,000 $1,600,000 $1,600,000 $1,750,500 Ending Fund Balance $1600000 $1750.500 1U.M QQ $1891.040 UTILITY FUND 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Miscellaneous $178,427 $160,000 $160,000 $0 0.0% $160,000 $0 0.0% Interest Income 9,110 25,000 25,000 0 0.0% 25,000 0 0.0% Water Sales-residential 12,980,508 13,100,000 13,600,000 500,000 3.8% 14,004,460 904,460 6.9% Water Sales-commercial 3,320,125 3,500,000 3,100,000 (400,000) -11.4% 3,600,300 100,300 2.9% Sewer Sales 4,944,645 5,050,000 5,050,000 0 0.0% 5,008,000 (42,000) -0.8% Sanitation Sales 1,709,347 1,715,000 1,715,000 0 0.0% 1,745,000 30,000 1.7% Other utility charges 465.293 416.900 504.000 87.100 20.9% 394.000 (22.9001 -5.5% Total Revenues $23,607,455 $23,966,900 $24,154,000 $187,100 0.8% $24,936,760 $969,860 4.0% EXPENSES Debt Service 6,385,921 6,833,055 6,833,055 0 0.0% 6,912,080 79,025 1.2% Utility Billing 448,208 503,768 462,030 (41,738) -8.3% 501,468 (2,300) -0.5% Water 11,511,589 11,624,912 11,600,885 (24,027) -0.2% 11,675,053 50,141 0.4% Wastewater 2,280,146 2,731,590 2,482,490 (249,100) -9.1% 2,411,300 (320,290) -11.7% Sanitation 1.245.778 1.320.000 1,272,000 (48.0001 -3.6% 1.300.000 (20.000) -1.5% Total Expenses $21,871,642 $23,013,325 $22,650,460 ($362,865) -1.6% $22,799,901 ($213,424) -0.9% Net Revenues $1.735.813 1911125 575 $1 503.540 1541215 522 1 t& 9 11.113.214 Transfers In $0 $0 $0 $0 Developers Contributions $0 $50,000 $50,000 $50,000 Transfers Out (915.116) (960.676) 11.218.160) (1.849.470) Total Other Sources(Uses) ($915.1161 15910 676) ($1 168 160) 111.799.42M Beginning working capital $6,202,602 $7,023,299 $7,023,299 $7,358,679 Ending fund balance $7.023.299 57.066.198 $7.358.679 $7,696,062 No.of days working capital 117 112 119 123 STORM WATER UTILITY DISTRICT 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Stormwater-residential $832,610 $819,850 $851,100 $31,250 3.8% $866,500 $46,650 5.7% Stomlwatercommercial 529,555 527,600 537,200 9,600 1.8% 552,800 25,200 4.8% Interest 4 867 1.500 5 000 3 500 233.3% 5 000 3.500 233.3% Total Revenues $1,367,032 $1,348,950 $1,393,300 $44,350 3.3% $1,424,300 $75,350 5.6% EXPENDITURES Personnel $103,699 $114,927 $114,927 $0 0.0% $120,045 $5,118 4.5% Operations $293,386 $338,239 $338,239 0 0.0% $287,530 (50,709) -15.0% Capital IQ $166.450 $166,450 0 0.0% (166.450) -100.0% Total Expenditures $397,085 $619,616 $619,616 $0 0.0% $407,575 ($212,041) -34.2% Net Revenues $969.947 $72$.334 172104 $41.122 $1.016.725 $287.391 Transfers Out (897,996) (1,483,405) (1,485,179) $1,774 (1,721,510) 238,105 Proceeds from C.O.Sale 0 0 0 0 Total Other Sources(Uses) ($897.9961 ($1.483.405) ($1.485.179) ($1.721.5191 Beginning Fund Balance $2,470,201 $2,542,152 $2,542,152 $1,830,657 Ending Fund Balance $2,542.152 $1.788.081 $1.830.657 $1.125.877 DEBT SERVICE FUND 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Ad Valorem Taxes $6,732,167 $6,902,970 $6,902,970 $0 0.0% $5,882,470 ($1,020,500) -14.8% Miscellaneous Income $0 $0 $0 $0 0.0% $0 $0 0.0% Interest Income 103.364 20.000 20,000 0 0.0% 20.000 0 0.0% Total Revenues $6,835,531 $6,922,970 $6,922,970 $0 0.0% $5,902,470 ($1,020,500) -14.7% EXPENDITURES Principal $11,235,280 $12,639,311 $12,639,311 $0 0.0% $11,479,601 ($1,159,710) -9.2% Interest $3,448,881 $2,862,050 $2,862,050 0 0.0% $2,406,180 (455,870) -15.9% Admin.Expenses $5,658 $18,000 $18,000 0 0.0% $18,000 0 0.0% Total Expenditures $14,689,819 $15,519,361 $15,519,361 $0 0.0% $13,903,782 ($1,615,579) -10.4% Net Revenues ($7.854.2881 ($8.596.391) ($8.596.391) $0 ($8.001.3121 $595.079 Transfers In 7,501,772 7,471,015 7,471,015 5,965,203 Transfer Out 0 0 0 0 Total other Sources/(Uses) $7.501.772 $7.471.015 $7,471,016 $5,965,203 Beginning Fund Balance $10,830,404 $10,477,888 $10,477,888 $9,352,512 Ending Fund Balance $10.477.88a $9.352.512 $9.352=12 $7,316,403 SPECIAL REVENUE FUND Reforestation 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Permits/Fees $33,040 $5,000 $82,000 $77,000 1540.0% $5,000 $0 0.0% Miscellaneous 0 0 2,100 2,100 ########### 0 0 0.0% Interest 1339 500 150 (350) -70.0% 150 (350) -70.0% Total Revenues $34,379 $5,500 $84,250 $78,750 1431.8% $5,150 ($350) -6.4% EXPENDITURES Parks and Recreation $0 $0 $0 $0 0.0% $0 0 0.0% Reforestation 59,510 30,000 30,000 0 0.0% 70,000 40,000 133.3% Capital 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $59,510 $30,000 $30,000 $0 0.0% $70,000 $40,000 133.3% Net Revenues J$25.1311 1$24.500) $54250 $78.750 i$64.850) 1$40.3501 Transfer to other funds $ $0 N Total Other Sources/(Uses) SQ SQ SQ SQ Beginning Fund Balance $69,229 $44.098 $44,098 $98,348 Ending Fund Balance $44.091 $14.598 saa.ma 1319116 SPECIAL REVENUE FUND Bicentennial Concessions 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Permits/Fees $0 $0 $0 $0 0.0% $0 $0 0.0% Miscellaneous 0 0 0 0 0.0% 0 0 0.0% Interest 0 0 0 0 0.0% 0 0 0.0% Total Revenues $0 $0 $0 $0 0.0% $0 $0 0.0% EXPENDITURES Parks and Recreation $0 $0 $0 $0 0.0% $0 0 0.0% Park Improvements 0 0 0 0 0.0% 0 0 0.0% Land 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $0 $0 $0 $0 0.0% $0 $0 0.0% Net Revenues $Q $00 $00 $Q $00 $Q Bond proceeds $0 $0 $0 $0 Transfer to other funds PO $0 $0 $0 Total Other Sources/(Uses) $0 $00 $00 $00 Beginning Fund Balance $37,680 $37,680 $37,680 $37,680 Ending Fund Balance 13Z,1612 $37.680 $37__.._6$0 $37,680 SPECIAL REVENUE FUND Library Donations 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Donations $14,304 $8,000 $8,000 $0 0.0% $10,000 $2,000 25.0% Interest 0 50 25 (25) -50.0% 25 (1 -50.0% Total Revenues $14,304 $8,050 $8,025 ($25) -0.3% $10,025 $1,975 24.5% EXPENDITURES Special Projects $19,141 $8,000 $12,000 $4,000 50.0% $10,000 2,000 25.0% Library supplies 3,040 0 0 0 0.0% 0 0 0.0% Capital 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $22,181 $8,000 $12,000 $4,000 50% $10,000 $2,000 25.0% Net Revenues ($7.8771 $50 =MI ($40251 $25 1$251 Transfer to other funds $5 $5 5 $5 Total Other Sources/(Uses) $00 $00 $00 $0 Beginning Fund Balance $15,844 $7,967 $7,967 $3,992 Ending Fund Balance $7.967 Olta SAM SPECIAL REVENUE FUND Park Dedication 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Permits/Fees $151,890 $30,000 $215,000 $185,000 616.7% $30,000 $0 0.0% Miscellaneous 0 0 0 0 0.0% 0 0 0.0% Interest 0 250 250 0 0.0% 250 01 0.0% Total Revenues $151,890 $30,250 $215,250 $185,000 611.6% $30,250 $0 0.0% EXPENDITURES Parks and Recreation $0 $0 $0 $0 0.0% $0 0 0.0% Park Improvements 0 0 0 0 0.0% 80,000 80,000 0.0% Land 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $0 $0 $0 $0 0.0% $80,000 $80,000 0.0% Net Revenues 5151.890 EQ25Q $215,250 $185 000 ($49.7501 ($$110001 Transfer from other funds $0 $0 $0 $0 Transfer to other funds Q ($235,000) ($235,000) Total Other Sources/(Uses) $Q 13235.000) ($235,049) $Q Beginning Fund Balance $235,262 $387,152 $387,152 $367,402 Ending Fund Balance $387.15 $182.402 $367.402 $317.652 SPECIAL REVENUE FUND Park and Recreation 2016 Proposed and 2015 Revised Budget 10.09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Donations/Sponsorships $57,495 $0 $44,000 $44,000 439999900.0% $44,000 $44,000 439999900.0% Miscellaneous 0 0 0 0 0.0% 0 0 0.0% Interest 0 0 25 25 249900.0% 200 200 1999900.0% Total Revenues $57,495 $0 $44,025 $44,025 220124900.0% $44,200 $44,200 220999900.0% EXPENDITURES Parks and Recreation $0 $44.000 $44,000 $0 0.0% $81,000 37,000 0.0% Park Improvements 0 0 0 0 0.0% 0 0 0.0% Land 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $0 $44,000 $44,000 $0 0.0% $81,000 $37,000 0.0% Net Revenues $52.495 1$44.0001 $25 $44.025 ($35.800) 27.2QQ Transfer from other funds $0 $0 $0 $0 Transfer to other funds 20 20 20 20 Total Other Sources/(Uses) $0 $0 $0 $0 Beginning Fund Balance $39,968 $97,463 $97,463 $97,488 Ending Fund Balance 74 $53463 $97.488 $¢Q¢$e TIF OPERATING FUND 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Ad Valorem $7,246,638 $6,729,476 $7,324,928 $595,452 8.8% $7,600,823 $871,347 12.9% Interest Income $0 $1,000 $1,000 0.0% $1,000 0.0% Total Revenues $7,246,638 $6,730,476 $7,325,928 $595,452 8.8% $7,601,823 $871,347 12.9% EXPENDITURES Operations $3,834,118 $3303,170 $4,478.312 775.142 20.9% $4,358,190 655.020 17.7% Total Expenditures $3,834,118 $3,703,170 $4,478,312 $775,142 20.9% $4,358,190 $655,020 17.7% Net Revenues $3.412.52Q 53077306 $2,847,616 4179.6901 $3,243,633 $216.327 Transfers Out-General Fund - 0 0 0 Transfers Out-Debt Service (3,288.4651 (3,258,668) (3,258.668) (3,180,765) Total Other Sources(Uses) (3 288.4651 43.258.6681 ($3258.668) ($3,180,7661 Beginning Fund Balance $4,298,511 $4,422,566 $4,422,566 $4,011,514 Prior period adjustment Ending Fund Balance $4.422.566 $4.191.204 $4.011.514 $4074382 CRIME CONTROL DISTRICT FUND 2016 Proposed and 2015 Revised Budget 10:09 PM 0825115 $Increase/ $Increase/ 2014 2015 2015 (Decrease) 0,Increase' 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Sales Tax $6,516,603 $6,592,000 $7,300,000 $708,000 10.7% $1,667,500 ($4,924,500) -74.7% Miscellaneous Income $0 $0 $0 $0 0.0% $0 ($0) 0.0% Interest Income §0 $500 $500 §0 0.0% $500 $0 0.0% Total Revenues $6,516,603 $6,592,500 $7,300,500 $708,000 10.7% $1,668,000 ($4,924,500) -74.7% EXPENDITURES Personnel $441,650 $594,986 $554,986 ($40,000) -6.7% $556,702 ($38,284) -6.4% Operations $178,531 $111,054 $88,335 (22,719) -20.5% $300,358 189,304 170.5% Capital $0 $18,000 $33,550 15 550 86.4% $60,000 42 000 233.3% Total Expenditures $620,181 $724,040 $676,871 ($47,169) -6.5% $917,060 $193,020 26.7% Net Revenues ,55.896.47 ;5.868.460 $6,623,629 5755.16$ $750,940 ($5.117.520) Transfers In-SPDC $0 $0 $0 $0 Transfer out-Crime Control CIP ($1,000,000) $0 $0 ($1,200,000) Transfers Out-General Fund/Debt S (4,245.275) (4,281,600) (4,281,600) (2,656,6201 Total Other Sources(Uses) JS5.245.2751 J$4.281.600) ($4 281.600) f$3.856.620) Beginning Fund Balance $4,317,022 $4,968,169 $4,968,169 $7,310,198 Ending Fund Balance $4.968.16$ ,56.555929 $73101. $4.244.51$ SPDC - OPERATING FUND Parks/Recreation 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Sales Tax $6,571,837 $6,592,000 $7,300,000 $708,000 10.7% $6,670,000 $78,000 1.2% Rental Income 153,824 153,816 153,816 0 0.0% 153,816 0 0.0% Interest 8 945 7 500 7 500 0 0.0% 7 500 0 0.0% Total Revenues $6,734,606 $6,753,316 $7,461,316 $708,000 10.5% $6,831,316 $78,000 1.2% EXPENDITURES Personnel $101,543 $106,658 $106,658 $0 0.0% $190,946 $84,288 79.0% Operations $410,142 $682,600 $682,600 0 0.0% $789,600 107,000 15.7% Capital $135.798 $190,000 $190,000 0 0.0% $154,000 (36.000) -18.9% Total Expenditures $647,483 $979,258 $979,258 $0 0.0% $1,134,546 $155,288 15.9% Net Revenues $6.087.123 $5.774.058 $6.482.058 $708.000 $25.770 f$77.288 Transfers Out (5,968,311) (4,154,422) (4,154,422) $0 (6,158,767) 2,004,345 Proceeds from C.O.Sale 0 0 0 0 Total Other Sources(Uses) ($5.968.3111 ($4.154.4221 ($4.154 4221 ($6..,158,7671 Beginning Fund Balance $7,416,822 $7,535,634 $7,535,634 $9,863,270 Ending Fund Balance $7.535.634 $9.155.270 $9,863,270 9401 273 SPDC - DEBT SERVICE FUND Parks/Recreation 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Interest Income $6.166 $10.000 $6,000 ($4.000) -40.0% $6,000 ($4,000) -40.0% Total Revenues $6,166 $10,000 $6,000 ($4,000) -40.0% $6,000 ($4,000) -40.0% EXPENDITURES Principal $1,730,000 $1,850,000 $1,850,000 $0 0.0% $1,915,000 $65,000 3.5% Interest 1,264,586 1,034,289 1,034,289 0 0.0% 970,514 (63,775) -6.2% Admin.Expenses 1.378 1.500 2.500 1.000 66.7% 2.500 1.000 66.7% Total Expenditures $2,995,964 $2,885,789 $2,886,789 $1,000 0.0% $2,888,014 $2,225 0.1% Net Revenues (52.989.798) (52.875.789) (S2 880.789) $2,000 (52 882 014) 13225 Bond Proceeds $0 $0 $0 $0 Transfers In $3.085,598 $2,884,289 $2.884,289 0 $2,885,514 Total Other Sources(Uses) $ ,$2.884.289 S1884.289 12.885.514 Beginning Fund Balance $1,317,264 $1,413,064 $1,413,064 $1,416,564 Ending Fund Balance 11.413.064 51.421564 51.416.564 51.420.064 SPECIAL REVENUE FUND Court Technology 2016 Proposed and 2015 Revised Budget 1009 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Fines and forfeitures $48,132 $45,000 $43,200 ($1,800) -4.0% $43,200 ($1,800) -4.0% Interest 0 100 100 0 0.0% 100 0 0.0% Total Revenues $48,132 $45,100 $43,300 ($1,800) -4.0% $43,300 ($1,800) -4.0% EXPENDITURES Personnel $0 $0 $0 $0 0.0% $0 0 0.0% Operations 5,936 20,250 20,250 0 0.0% 9,000 (11,250) -55.6% Capital 6 267 15,000 15.000 0 0.0% 72.500 57.500 383.3% Total Expenditures $12,203 $35,250 $35,250 $0 0.0% $81,500 $46,250 131.2% Net Revenues $35.929 $9.850 $8.050 1$1.8001 1$38.2001, 1$48.0501 Transfer to other funds $S $0 Total Other Sources/(Uses) $Q $00 W0 Beginning Fund Balance $358,756 $394,685 $394,685 $402,735 Ending Fund Balance $394.685 $404.535 $402.735 $364.535 SPECIAL REVENUE FUND Court Security 2016 Proposed and 2015 Revised Budget 10:09 PM 0825/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Fines and forfeitures $35,867 $35,000 $32,500 ($2,500) -7.1% $32,500 ($2,500) -7.1% Interest 0 200 200 0 0.0% 200 0 0.0% Total Revenues $35,867 $35,200 $32,700 ($2,500) -7.1% $32,700 ($2,500) • -7.1% EXPENDITURES Personnel $32,533 $59,518 $59,518 $0 0.0% $58,434 (1,084) -1.8% Operations 2,442 14,120 14,120 0 0.0% 9,070 (5,050) -35.8% Capital 0 0 0 0 0.0% 18.000 18.000 179999900.0% Total Expenditures $34,975 $73,638 $73,638 $0 0.0% $85,504 $11,866 16.1% Net Revenues 11102 438.4381 (440 9381 42.500 $5(28041 414.3661 Transfer to other funds I0 LD Total Other Sources/(Uses) ,$0 S0 SQ S4 Beginning Fund Balance $464,979 $465,871 $465,871 $424,933 Ending Fund Balance $465.871 $427A33 $424,933 8372.129 ib SPECIAL REVENUE FUND Commercial Vehicle Enforcement 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Fines and forfeitures $102,944 $85,000 $85,000 $0 0.0% $85,000 $0 0.0% Interest 0 0 0 0 0.0% 0 0 0.0% Total Revenues $102,944 $85,000 $85,000 $0 0.0% $85,000 $0 0.0% EXPENDITURES Personnel $110,634 $116,312 $116,312 $0 0.0% $113,182 (3,130) -2.7% Operations 6,828 8,392 8,392 0 0.0% 10,019 1,627 19.4% Capital 0 0 0 0 0.0% 0 0 0.0% Total Expenditures $117,462 $124,704 $124,704 $0 0.0% $123,201 ($1,503) -1.2% Net Revenues j$14.5181 439.704) j$39.7041 S2 ($38201) $1.503 Transfer from other funds $40,000 $40,000 $40,000 $40,000 Total Other Sources/(Uses) $40.000 $40,000 $_4_0,044 $40.000 Beginning Fund Balance $26,062 $51,544 $51,544 $51,840 Ending Fund Balance $ j 5444 $1 84Q $51,$40 $53.639 SPECIAL REVENUE FUND Hotel Occupancy 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase, 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Taxes $948,971 $926,065 $957,588 $31,523 3.4% $1,013,824 $87,759 9.5% Interest 1,168 500 500 0 0.0% 500 0 0.0% Total Revenues $950,139 $926,565 $958,088 $31,523 3.4% $1,014,324 $87,759 9.5% EXPENDITURES Personnel $132,732 $196,508 $196,508 $0 0.0% $196,350 (158) -0.1% Operations 620,496 557,954 557,954 0 0.0% 481,471 (76,483) -13.7% Capital 0 0 0 (0) -100.0% 0 0 0.0% Total Expenditures $753,228 $754,462 $754,462 ($0) 0.0% $677,821 ($76,641) -10.2% Net Revenues $196.911 $172.103 i $31.523 $336.503 $164.400 Transfer to other funds ($173,820) ($376,048) ($382,038) ($392,723) Total Other Sources/(Uses) ($173.8201 ($376.048) ($382,038) ($3927231 Beginning Fund Balance $1,358,895 $1,381,986 $1,381,986 $1,203,575 Ending Fund Balance $1.381.986 $1.178.041 $1.203.575 $1.147.355 GENERAL FUND Recycling 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Recycling Recovery $6,000 $6,000 $6,000 $0 0.0% $6,000 $0 0.0% Interest 0 30 30 0 0.0% 30 0 0.0% Total Revenues $6,000 $6,030 $6,030 $0 0.0% $6,030 $0 0.0% EXPENDITURES Special Projects $0 $0 $0 $0 0.0% $0 0 0.0% Recycling Supplies 0 0 0 0 0.0% 0 0 0.0% Capital 0 0 0 0 0.0% 2 0 0.0% Total Expenditures $0 $0 $0 $0 0.0% $0 $0 0.0% Net Revenues $6.000 $6.030 $6.030 $4 $6.030 $Q Transfer to other funds $00 $00 30 $00 Total Other Sources/(Uses) Q $0 $4 $0 Beginning Fund Balance $28,647 $34,647 $34,647 $40,677 Ending Fund Balance $34.647 77 $40&Z7 $46.707 Red Light Camera Fund 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Fines and forfeitures $855,433 $910,062 $532,600 ($377,462) -41% $367,100 ($542,962) -60% Interest Income $D $200 200 $Q 0% $200 $11) 0% Total Revenues $855,433 $910,262 $532,800 ($377,462) $367,300 ($542,962) EXPENDITURES Personnel 52,411 55,690 55,690 0 0% 56,320 630 1% Operations 572,882 638,230 384,930 (253,300) -40% 300,840 (337,390) -53% Capital $7,872 $43,000 $43,000 0 0% $23,000 (20.000) -47% Total Expenditures $633,165 $736,920 $483,620 ($253,300) -34% $380,160 ($356,760) -48% Net Revenues $222.28 $173.342 tia 180 ($124.162) ($12,860) ($186.202) Transfers In- $0 0 0 0 $0 Transfers Out- L320,000) (200,000) (200.000) 0 0 $200,000 Total Other Sources(Uses) ($320.000) ($200.000) ($900.0001 $Q ,SQ Beginning Fund Balance $601,968 $504,236 $504,236 $353,416 0 0 0 0 Ending Fund Balance $504.236 $477.578 $353.41Q $340.556 Public Art 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) ,Increas, 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted Decrease Proposed Adopted -Decrease REVENUES Miscellaneous $0 $0 $0 $0 0.0% $0 $0 0.0% Interest Income $1 $300 $300 $Q 0.0% $300 $0 0.0% Total Revenues $0 $300 $300 $0 $300 $0 EXPENDITURES Operations $39,597 $50,500 $48,500 ($2,000) -4.0% $60,500 $10,000 19.8% Capital $0 $50.000 $25,000 (25.000) -50.0% $75,000 25.000 50.0% Total Expenditures $39,597 $100,500 $73,500 ($25,000) -24.9% $135,500 $35,000 34.8% Net Revenues 339.5971 3100.2001 $73.2001 $27.000 ($135.2001 ($35.0001 Transfers In-Hotel $137,226 138,985 143,713 4,729 152,149 $13,164 Transfers Out- 0 0 0 0 0 $0 Total Other Sources(Uses) $137.226 $138.985 $143.713 $Q $_15 149 Beginning Fund Balance $355,860 $453,489 $453,489 $524,002 0 0 0 0 Ending Fund Balance $453.489 $492.274 $524.002 $540.91 CEDC - OPERATING FUND Parks/Recreation 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) %Increase/ 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease REVENUES Sales Tax $0 $0 $0 $0 0.0% $5,002,500 $5,002,500 ########## Charges for Services 0 0 0 0 0.0% 470,480 470,480 ########## Interest 0 0 0 0 0.0% 1 200 1 200 ########## Total Revenues $0 $0 $0 $0 0.0% $5,474,180 $5,474,180 ########## EXPENDITURES Personnel $0 $0 $0 $0 0.0% $403,757 $403,757 ########## Operations $0 $0 $0 0 0.0% $687,145 687,145 ########## Capital �0 �0 I0 0 0.0% $57,500 57.500 ########## Total Expenditures $0 $0 $0 $0 0.0% $1,148,402 $1,148,402 ########## Net Revenues tQ SI 1eQ N0 $4.325371 SA,325.72a Transfers Out 0 0 0 SO 218,967 (218,967) Proceeds from C.O.Sale 0 0 0 0 Total Other Sources(Uses) 1.4 111 ;ZQ ,$218.967 Beginning Fund Balance $0 $0 $0 $0 Ending Fund Balance IQ IQ $Q $4.544.745 VEHICLE REPLACEMENT 2016 Proposed and 2015 Revised Budget 10:09 PM 08/25/15 $Increase/ $Increase/ 2014 2015 2015 (Decrease) )Increase 2016 (Decrease) %Increase/ Actual Adopted Amended Adopted Decrease Proposed Adopted -Decrease REVENUES Miscellaneous $99,109 $60,000 $70,000 $10,000 16.7% $75,000 $15,000 25.0% Interest Income $22,583 $2,000 $15,000 $13,000 650.0% $15,000 $13,000 650.0% Total Revenues $121,692 $62,000 $85,000 $23,000 $90,000 $28,000 EXPENDITURES Capital $694,876 $587,000 $587,000 0 0.0% $538,000 (49.000) -8.3% Total Expenditures $694,876 $587,000 $587,000 $0 0.0% $538,000 ($49,000) -8.3% Net Revenues I$573.1841 4525.000) J$502.000) $23.000 J$448.0001 $77.000 Transfers In-General Fund $800,000 400,000 1,200,000 800,000 1,000,000 $600,000 Transfers Out-Debt Service 0 0 0 0 0 $0 Total Other Sources(Uses) $800.000 $400.000 $1.200.000 $Q $1.000.000 Beginning Fund Balance $3,149,372 $3,376,188 $3,376,188 $4,074,188 Prior period adjustment Ending Fund Balance $3.376.188 $3.251.188 $4.074.188 $4.626.188 Description vroje.'a 0 .pect to Project Name Description TOW Fun 0 .2010 FY2017 FY2010 FY 2019 FY 2020 Beyard/ 701° FY 2018 Annual Impact Amt. RanPMican SPIN cling U.grded Cumulative mDperNng 011.55.41e e Neigh.. Ss' eariao Funding is requested b mean.deceleration lanes k4ei SPIN 86. FM 11090eceleraton along FM dog at Byron Nelson and Soumedge Lakes. PI n GF1 Lanes a Byron Nelson This prepl o a alsorequire the relocation d a Gey 20- $ - E 250,000 5 $00,000 8 - $ - $ - $ $ 750,000 E 250,000 $ - Mastern PTa er and Sou g 'nM.erfine the Sonmridge Lakes location,as well 2 010 as landscaping modicelions. Funding s requeslad b mmreet inpmvements ind1 rte Southake Marketplace plass located t the soothe.. comer of RA 109and Davis Boulevard.These improvements include closing two existing driveways into FM 11094 Sonmala Southake Al.elPsce along FM 1709,con9ruding tele $5-45111-y nvevr ys.M,deco 09lanes,relocating Mair Pian-5 GFR Martce¢ae NiBies,ntal.gesgnt on 11.41 1109 and conahuMrg $ 100000 s 330,000 8 • 8 - 8 - $ • 8 • E 10°000 $ 550000 $ M BatO men's ane median mo00 .Y2015 funding 1S+gna/2aion unity rd 49470MOOT adnnlsavecets.Ths un WNW s 9019 in order to provide batter public 1access 14.0 to Me shopping center Which currently has very limited access.This project is contingent upon an agreenhenl with Dunhill Partners and Walmer for ccel snaring. General funding...iced for ray-wide pavement recommended by the Pavement Managertent Application(PMA).an infrastructure management mlvsrea0gnaa by Stades.The Pavement Management System grades the sheets and Street 8050191 talion ...mends pavement.ablimgon and prions.the M.ility Requiretl by Paemerhl needs.The O20IO gene.tas a pavement quality reportMaster Plan- GF3 S.1.Managmono wmich lsgdd verified.The Paiemenl Duality Index goOO 99054,00 E 900,000 8 800,000 8 800000 S 800000 E 800,000 $ • 813954000 $1,50,000 $ - NL ygplc9on(PMA) 90mthmark for the City's roadway infrastructure is 7.8 106 Carentty the average mases.POI exceeds. threshold and is on average 8.2.In the 2013 Cozen Satisfaction Survey.99 percent of respondents listed ming brat streets and roads as important and 81 percent responded they are satisfied Witt the job the city .ing to maintain brad sheets. Funding is request.for the engbeaing design,right of way acquisition,Waning,and canskuMon of theweaning Kirkwood BouMeni of Kkbwwd Boulevard Boon Stockton Drive to Tyler Annual costs for ty Wxbnigfrau Stmt.This porton of me road is included In me0to010y M1015 GF4 Stockton Drives Tyler and Thoroughfare Master Plan.The CM.hes... E 330000 5 000.000 8 1]5000 $ $ 4 - 8 - S 1,215000 $2,250,000 Landscape and $ 6900 Mater Plan-SPIN at Street(Rf Companion the potion of Kirkw4 0 Boulevard frau T W 009 Rced /10Manace MTS-Tia 2 SA1) b Tyler street as a pudic stned.The widening of Kirkwood Boulevard will inaeaae mobility in ins nMMm portion ofthe City. Ganerad funding for rehabilitation of arterial Nreets'n Street Rehabilitation partnership win TeraM County.Sauthake funds the Mm lily GFS Pedictpetbn Prlgam cestetmabidsand Ta1mt Coun1YPmvidesabaaM Et800000 $ 150,04 8 150,000 $ 15000 $ 150000 $ 150,000 8 - 8 255000 .$2 .190,0 M 0 $ aster Pan•T€ (Joint Rgestwan equipment.This is an annual joint program.In be 2013 Oblecti. Taant County) Citizen Satisfaction Survey,99 pen.. respondentsd 106 chest maintain.)teal stress and readsa important. Funding is requested b repaint me SH 111 grade separated Midge structures al North White Chapel urban SPIN Boo...Dove Roast and Kimball Avenue.Them4.8. Mas G. bilges Wlbe repainted to match the lees.DFW 8 - $ 000000 8 • 8 r 8 - S - 8 • $ 000,000 $3,000,000 $ ter -0360]. SO 111&idges Repainting nector bridges,the Carroll Avenue bridge and the SH UD20an Al.05 114Texas Tum Around.The existing paint's the aigini paint and is rade l and peeling. • s requested b construct a sidewalk resin.) wall at.Hills Church propend adjacent to FM 1115.An part ofthis project,the City will also need to resonate.a Sudhake His Church large portion of the perking lot due b changes in grade of Mobaly SPIN GF7 sidewalk Ramming the de e dram.in order to be in mmpdace nwtn m 0 e Texas $ - $ 300,0 8 • 4 - S • $ - S • 3 3000 0 s 3,300000 $ - .ler Plan-art Wetl Arch'tedural Barriers Aad.Ths project will improve the M M4 es 4092 0 of the candor.l retaining wall vas not ducted i inn Ile FM 1709 sideman prgeq because it is outside of Me public right of way. Fundings requested for me arch..ual design, angio®ring and croshuctbn of a future new Municipal Parks. Service 51 /1.The City is mirmtN contracted0900900 will an Some'naesse onfl ahteclural firm to conduct a needs assessment for a 'n Wilding reset Municipal Service future Municipal Service Canter.Future funds are poACC GFB S ]00,000 $ 2.500,000 81250,00 E 1250,000 $ 8 - 8 - $ 5,100,00 $5,800,000 mantenance TBD /Cam SPIN 08 Center requested/or the development et a new Municipalantl nttmn sue muniy Service Cenar per the NW Master Plan.The current to increase inFacilites aiDM s inadequate and undasi:ed for various square Menge. MasterPan divisions Mng out of me facility including Strets& Drainage.Waley,Wateweter,and Emkmmenal Funding is requested ter the cash aso.ed with ma re4117. aina the DPS Wont facie0000..The 00 West sadiic noun originally cen moven in 2001,has seen significant founatoanarement nc has erased In dams amount 50077cfonsnekcandmamdna1 issues.In2012. Se City cf Mesita and foundation an move engine..do a ll study dme�a and me bundafi0n rrfinish.h The engincer suggastetlsthat the building ementesne Nanges nit replaced with finishes that are,"movement 1040 an mat.facility as ceilingre bathe grid win c drop inshes.A ent tiles salsa Ira as ceiling finishes.A uded to s.4b00,c was ec9045Aconducted04inFY he2013and AC concluded* me $33199.0, e or.. l0ationd 109 he pa. ars.The 41ler5 won during pectis VAC urns.a f1Set. aaamaeterioaf nor "... aeageme span.ce-up genHorhassae1615 0orer Pends, DPS rs nada splacen01la has mThe ball a2pO5444.000 a. Recreation P. Reconfiguration • esanaishandgagaemhestes wet.Theew gas$l3.nro leg Rerceen 4 (CCPD Fund n need d replacement b redo®the 4 - $ 30000 8 1 - •S � •Y � $ - 8 300000 $9100,000 anuax, $ - Space/Can SRN 06 pa ton) maintenance ocx.morsam inremisning thecae.heavy Curren) muniy Canwooden doors and also to improve furmionadtty.Bi-fdtlrreintename front Dors 411 aloe far Irina respohcetmes out of Inc Master Pan toon and alloy me dons to be manually opened in me $18,9000 n• t q a wms0opmc pova Iimre.The current wheh should re vdifficult to 0®hually open.me santma w� ery ein a eva a poutage and would negatively elle.OPS decrease la response tines.The increase m sae etmePcom.Reconfigure...ill several yrs currentlynnraining man ester bang Mee. Office of Traffic after Management and urematea the caanunitfn dining mom.The rewnlgur0 7.wind also.ctude;r0p9cement 81 bay doors facing Soulhake Boulevard,MAC units,the dayr0onWitc1eh,f4place ant ofM AC unts, replacement of Sefae.,backup generator,and an improvement to me inamr fn..as suggested by me engine Fundis)s requested bine engineering design and cons...Man approximate suety Imp icon.et, Impact consists 1,153n loner located in Tarn square m the McPherson Pa.SH .mainl0ance Design Toear Entry feature at 114 am.The Weyfinait10 0 Canm' 0 in fqundon costs and Master Plan 5010 Teen Square.]SH aim City staff and professional 0900.0is have developed $ - f 400.000 8 1 - $ - $ - $ - $ 400,%10 $6,900,000 andscape $ 2.000 /W N 18 114 concepts ter the entry feature.Funding will be used to SIg Sfystem S egineeadesgn Ila.01 selected tower concept.Th he base - remainder of the funding will.uses to crostru.the of the structure Tial tower.The tower will also be illuminated. Funding t regueabd kc the eginendng design.HMI d way ewu.12 m testing,and canWuon of the soul-hound lanes along North While Chapel Boulevard from SH 114 to.rOM property line ofCadlbn. Cmmudiw includes excavation,storm serer,and I.paving,avell as 5 meal lig.,10 meal and No...Chapel handling sgs,and and legation M the medians and ml GF11 9oulemrd Woanog right away arm.Per Me Carbon 380Agreement $ 2$0,000 $ - $ 800000 $ • 8 - S - $ • $ 1.0G,000 $8.0,0 00 $ - Ran-SRN 03 from SH 114 to Carl passed m August t],2010 as Resolution 10-014.Me MT9 Tial property fine d Carillon City is commuted to 100 percent padicipmon for the construcfion of he western 105nd lanes of North White apel Bou 02000 The8 wmact City all pay ual aw ccwt curlemO esrimebd x15485,18].The Dily is also committed to 50 percent padowhon for the gins..on of Me easlem laws d No...Chapel Boulward in an amount nd to exceed$320,692. NaIM1 WM1iIa Chapel Funding is request.br the engineadn9 design,right el Boulevard Widening way acqu.itiw,reeling,and opnstruWon to widen Nand M1gmlire nOlM1 P.".median la White oleo Bva.loom Imes divife ger minty GF12 ined(:m'llw to meddn from Gemara tot.NOM Whit Chapel®Dove $ 350.000 $ - $ s00000 6 OWc o S S £ - 4 1850000 $6500000 $ Mash 23 SRN RN DwaWM1He Chepd roundmM.Tn.smwMwitlen gm would complete e ing MT9 Master r2 Rwntlmout N.W.Chapel Bougmerd hon SH 114 to Dees Rend to its ultimate pregnant seg.. General funding is required for 0660 4ded umon of as daialka al vaolocations recommenby s via the Masts P.Pathways Pand approved by City Council as pat of the annualddmelk priorly IS.Providing Ciry+vide Pathway sidxalks lar pededdm safely by keeping log p df GF13 ImprovementsImprovementsCoy sireds a al ban identified s a clay-wide gap issue. 5 P170000 $ - 4 400 000 5 400 000 4 400 000 $ 400 000 $ - 5 5,775 000 8 6,500,000 $ - 532030 06-wide Eighty-swan percent d IspwdeMs d the 2013 Citizen Satisfaction Survey Is.providing pedem®n pathways a 4mporhm.Sixty-se percent respon0sl0ley are sahafind with Intro the City is doing to provide s.walks. Fu1Mirw a 10762 d laengineering r the design and wnDia sh of me imersdiw improvements at FM 180 and Pwrsw Lane.miss coil bee pine propel wen Me City d Keller per Mete.outlined b the inbdoral Mmiiry FM 1709 and Pearson egrenl.SouMbke sporton will include Wilily erw GF14 lane liner.. relocations da 20-inch w-almb0 e.Keller WI also be $ 490000 $ - $ - $ 500,000 $ 500,0 5 - $ - E 1490000 $6500,00 S - astir Rim-SPIN MT20-Der 911 Improvement responsible for utility rslorationa co their she dlho road 1 and for De M...acquisition.This project inclWs Me con.Mon of deceleration inns.MY urban design features for this entryway ail be considered for funding loom alernab fulling sources. Iona Rucker Funding.nquasbd formgineering design,purchase Connector from Pecan Bland,and condrudiwcomplete the 2ene Rucker Mmiiry GF15 Crook ces est to Road connector over the creek from the existing terminus S $ 80$ 500,0 $1,00.000 $ - E - $ 1,500,00Mager00,OD0 $6.500,000 S - Mager Plan-SPIN ig Tower Boulevard al Pecan Creek Caws...to Teas Boulevam. M Funding.requested lar the engoemng design and construction of a roadway connector acros he MCPhersgn Br." 5co sBranch drainage inprao emenle Th GF16 roadway connector glOw panted to FM 1809 and 5 6 - 8 - $ 500,000 $ - $ $ - Y 500000 56.500,00 S - SPIN 08 Rwdwry Cwnsb rtannect thearisting Kroger and TOyS Us shopping canters.P.cipalion by the MR.owners coil. required. Funding far Me design and mndrudiw d a roundabout Owtbereal Boulevard alContinental Bwbvani card Peylonvib.enue Annual co.for and Soul9Peylmv1lb imerb,scibn.The funding new.hdudw. drainage Mmiiry landscape antl S oat CFI AvenueInt 'w provemenh.Funding dos n$include burying d the E - S • $ - E - E 500,00 $1,00000 f 1]5000 $ 16]5.000 5 600000 5 5003 Malar Pan- 05001.•rant by 006/0Fu.s06110 n Me anwnl 4$185,00 aremqusted mamemmw MT3-Thr 2 (Roundabo. by Community Servos for he lwdsceping,irrigation, dechiwl work,and al far IM roundabout. • Fundng...Pad for right away,cow traffic signal sign,mast arnm6,rghlh4 lane,and p 0404y engineering alignment study dike in..tion ofFM Rd 1938 at Wag 19364 West Conroe.Boulevard The engines. Mmiiry SPINA, Cwfnadal 004160ard study win identify Matra fight of way needs in Oderb aster Plan"$ GF18 Inters.. design and wrrstnctfuture mprovarenbb handle the $ $ - $ - $ - $1,00,000 $ - 4 - S 1000,000 s 8,00.000 5 - 10 M og01vemenb cr..barb volumes ms FM 1938 drab he 3 911 connection to SH 114 06081 as haggis.current traffic backups during peak noun on vest bound Confiner. Boulevard at RA 1938. Funding is reques.b hall Weal lights along Me fire 5 mit length rite FM 1809 corridor.To need the American Asacblion d Slab Hghwey and Mmiiry SPIN 98, FM 17095ireel Twsp nodation Officials(PASHTO)standards,a meet SMalar Plan- GPM - 8 - S - 4 500,000 $1,00,000 $ - $ 1500,00 66,500,000 u4511 5 33000 GF18 Lighting Project light.requirnd every 20 feet w aid both es d the eo^ncry roes MT38-Ta 16.110. corridor.This request t for approdnalelY 280-40 fool 3 011 WI pats with high pressure sodium(HPS)lights and required foundation cond.. Funding a requested or the design and conahumon d a la1111, ctor connepenllel to FM 1709.The roadway counselor Milan.Bank Shed to tie Comm�erw Shadhas m er.ng traffic signal Ed FM 1709. This pro40 tect coil also include Me installation d a segment d an Minch wet..b bop the mg..Funding is needed for the pumas d the pieced property d 565 Mmiiry 5F5o Bank Sired Connector 0 01.,Srreeloprder lowmlmcl iha connecter $ 130000 5 - 8 - E - E 500,00 51,500000 5 1000,00 $ 3,130,000 5 5500.00 $ Malar Plan-SPIN 18 thrown this pawct i l.This prgenecessary baso. MT19-Ter Me DFA/Connecta pave.wo.ound FM 1809 awsa fon Bank Street.commuters would have to tum rght,heading ssbound and Men lam around in Grapevine to head wad into South.e This project .,cal lar business541160 n as 1 will prevem,8iding business. Street . Bank from relocabg due b nnecwwbbly. South Plage Center Medway Con.. Fading i requested lar design and construction d the GF21 from vast properly line remainder of the Village Gerdy Connector ham the wed $ - $ - $ - $ - f - f - $ 1,50000 $ 1,500000 S 6,50000 Y - SPIN 98 d 4211.20)Oabb properly line d KinbaKimballw Oaks to SOMwd Way. Sout .Wry Fu5Og.rbtl laa uesr the right way acquisition. South Mlge Center design and construct.da 2-lane undvtled Gwnedor Mobility GF22 Roadway Cannes. (3]-fort pevm suXew;60.1od C2U as genii.w the $ $ F - $ - S - $ - $ 850,00 $ 750,000 $6.500,000 $ sb'Pkin-SRN tit hem Kimball Air..to CH.M .6 Thoroughfare Master Plan)halloo MT18-Tier Nolen Olive Gswdwm P ous lar eccslq the traffic signal at 3 Nolen DelFM 170ve d FM 1]09. IOrtrwgm Bculevam Funding.requested lar the engineering design,and C1S0P5,6n cons.ction of a connectorlar Klrkv0ad Boulevard from 0,Pryla Cailbn PM1es$ .rbwod $ - 5 - $ - $ - $ - 5 5 5,00,00 f 5,00 30 $6.500,00 $ Malar n-SRN 63 GF23 ere Cad.PhesSler 0211 to the Xghlan Temins 13 the Ion This project will requkalhe wnmuntion da Hgeland l Kirkwood 4N 6201086 Menaotlpbin. MT]-Tier3 Intersection Bmmksv Avenue Funding.request.les the future widening d&umlow Motility Wo60 henPlan-SRN 4tl GF24 venue hammentnemelB 055nmtoSH36 to ib $ 00000 $ - $ - $ - S - $ - f J.00.00 S 4,10000 3 6.00,00 $ - MT1C-Tor 699 roibmhl Boulevard uttmale psanenlsecticn 14-lanestlividm). SH 26 Upon connection 98 45,6660.Boulevard to North Carroll NOM1 Cemdlvbenue Avenue,.vehicle trips along Nath Carroll Menue GF25 Witlenirg hen SH114 Aear the SH 114 intersection adincrsw Rani/m.0 S - S - $ - S - $ - S - S 1,00,00 $ 1.000.000 $6,50000 $ - SRN!! b HpM1lend Srnd The*.college atm.mom coreimmiond int*iny01vement may warranted 56 a nasal. Therefore,ih.mg.has been 5 d...in the CIP Bouts Caroll Avenue Funding isreq..lar the widening d Carroll Avenue MMmbiry GF26 Widening hen Breeze from Breese Way tolust south of FM 1109(adjacent to $ � $ - $ - $ - $ - $ - $ 2,00,030 5 2,00,000 5650000 $ - abrPbn-SRN 90 Way to FM 1]0 he Shops d SouMlake)to it uMmab pevemenl sedan MT13-Der 619 (4 lass divided/. This propel is recommended to be an improvement lo local traffic velums al the intersections of North Carrel NEW-5X110 Avenue and Mmbdl Avmu6w6M1 hardbound SH 114 GF28 Eastbound Ramp re 14 - 5 • S - $ - 5 • 5 - 5 3,00,00 5 3,0000 5 5,52000 $ - citywide Mr Revers. ...eastbound ound frwb9ecamps rood.t B Hing Iha ramps.traffic volumes from he two above menhwed mlemectims will be reduced 621664a10e6er61Fund: 619,360,00 $ 860,00 6 0,686,000 6 6,100,00 $6560,000 $6660,00 5 17,926,000 $66,660,000 f - $ 46600 Funding 6 requested for the rapanfng of Pearson Ground Sbfage Tank.S1)61 interior and Pearson Water SystemGST 02 aderia.The inlerbr d GST al ms begun to mPrwemenle- showsigns d pilling in the..and me exterior of GST uln Rep.mirg lmer1010l ae oxidized.Tnewisrng...sere me original walings tn.ware ilbd.the time Blank SRNP."‘"UFP."‘"Gmu' construct,n 19999 T.This kine inverse p.a.toll. $1000.000 $ .0 000 Y - $ - e • $ $ - Y 1.150,000 $ 160,000 $ -' NA X11 Ma,.Tank.and lye.,2...reing or...lank wlerbr ark the RP��'.." x$""d lank..gust FY 2016 funding is requested to cover Ground be aspens.a forthcoming change order m GST 02 Stooge Tank i2 Ito impmre he adherence dl.paintto the ad tank 64,(602.Tl.mange 11251 fa GST'1'00 ggmvedaby CII Cmnu1 on Mer.12,2015. ...Line(15-inch)b'Funang te rwuested.the engineering design and Basin N-12 am N-1211 cons..m to....misdn12imh,10-0.,mC (Crosses SH110b bin.Interceptor lines.,a 15-inch linear.alabch UF2 serve Milner Tract, linein Basil N-12 and N-12a slide Dove Creek Sol.d E $ 20,000 $1200,000 E - $ - $ • $ • $ 1,900,000 5 850,000 $ e SRN 13 Fore.Park Hosp., Hwy 1142.saner lineaosses SH114 lovave the Summerplece and Milner Tract,Forest Park Hospital,Summa Place and Chapel Daws) Chapel Downs. Funding s requested for Mearchidesign. engineering and constructiondafuture neer Munbipal Service Center.The Cily s mnmlN mMacled with an Some... Parks, arriatictural IS b conduct a needs assessment.a .Wilding Rmrealassessment. Alunidp.s1sno Mum Mu.ipal Segice Center.Future funds ere 'm ion 5 fie" LOS Center(General Funtl requested brlhedw.opmmldenew Munidwl $ 250000 $ - $1.250000 51250000 $ - $ - $ • $ 2,250200 $ 850,000 eed ntimie$due TBD: Space/Com SPIN. C11npanienI Sence Center per the 2030 Master Plan.The current eeee in mangy a fty is inadequate and under-rived for Me various ware footage. Fadlmee clivisbns operating gs inqml tithe faults inducing Streets 6 i MalerPbn Drainage,Water,WSewaler,and Enviranmenbl. Fundinuest.ter the engineering design a. w n.un7on d a sem.y perimeter lance,gale,and medway for Bice nannal Water Tamer.The sem.y NEW-Bicentennial perimeter brae vii.constructed to match ll.misting UF4 Water Tower PerinHer brae on Me nopre..1pre..line.This water tower sthe $ $ - $ 250200 $ - $ - $ - E - $ 250.000 $ 850000 $ - N/A SPIN07 Security Fane and m5 as that iscot so...........8... Rca.ay With the imprwemem0b Bicentennial Pork and the mile ofthe f arq,Me City anE.pabs maty more visitant°the park.This further bereaves the need la secure thew..Kiser from...by the pudic. • Water bin.WeleRine Imp Funding.request.b loop b.system from IHOP b System UF5 a..lmm lHOP to Bank She. 8 $ - $ 150,000 $ - $ - $ - E • $ 150,000 $ moo. f Master Nen.SRN 58 Bank Sire. X10 • 51.Watedine Imp Water LOS system home Bent Funding lerepuesadb0-op lM1ery.em lmm Bent W. $ $ - $ 150,000 $ - $ - $ - $ - $ 150,000 S 850.000 $ System TBD Wind lame b Own. Lane to Qnby Lena. Raster Plan- Lane Tier2-X11 Sin.Wetedine Imp W.m system from Fm G. Fundi uealed b bop Me..em lmm Foe Gan Sy..m LF] CwRlo Rw.naux CwRO Ravanum coon to CmnbyadeCmrt. $ $ - S 200,000 $ •� $ - 5 - $ - $ 200,000 E .0,000 $ Ma TBD CmRb Cmnlyn7de brPlan- cmrt i rerz-az u Famine.,..ted b reps.be noon elevated 1 UF8 Repainting dbe Mimo,.11wetook(EST).The Pe.on be valertorersMe $ $ $ 250200 $ $ $ - $ • $ 250000 $ 50,000 $ - N/A SRN XB Elevated Sla,e Tank aginal paint.w.painted on in 19.a.. beginning b ovdrse. 5inch waterline Imp Water Lig ry0 1 2 Bab Fendergoreuee..bopme syflnl noBan $ - $ 'M $ 300000 $ - $ - $ - $ - $ 300.000 $ 850,000 $ System SP1 Jones Road to Walnut Jones Re.to...Drivel Brooks Card. Mater Plan - Drive/Brooks coup Tier 2-014 ua,on w.edine Fa"4ig ismques.for con...of 12-nch dog.rkavod ...along along K"arced BoulevardOomarty Highland Wale Bou016041 00 knwn Sire.)from Carrel Aven.to Highland Slreal This UF10 eeEe.Hghlend prrgd scope h.chant,horn the Smblak02030 $ $ $ 200,000 $ � $ - $ - $ - $ 200000 $ 850000 $ MSystem SPIN 03 Snee0 h11"Nab Water Master plan due lobe com.udm dKd., as,plan 84 C'''''.'"u°' Highland • and ll.reconfiguration del.stre.stem T�er2-015 Highland AntrumUfabing b a..will improve service loll.local 12-inches l.Rine w.a done M1 Peybmdle Funding b requested bra 12 b.vatert'w along North System SRN XS UF11 $S Co ho Cou0 to PeylwvMe Avenue from Coe.°Cod b Smbmge $ $ - $ 100.000 $ - $ - $ S - f 000,000 $ 850000 $ Master Nen-$0 S hm9 Lakes Lakes Parkway02.611 Parkway Fuming a requested bra 12-in.Waterline along Shady bks 01116 fon Fm Glen b Wort Dove Road. 12-inch Walerline The project is a mmp0im tol2Jn.waterline a.ng Water ali along Soap Oaks Shady bks Iran Highland$1me110 Fox Glenn(Phase 0. UF12 Dare from For Glen to P5.2211 610010n2150900 to the north from Fox Glenn to $ - $ - $ .0.000 $ 600.000 $ - $ • $ - $ 1,000.000 $ 50000 § 5""rn SRN. RasierMan- West Pune Rod West Dob Road.This project is a Sudhlake 2030 Water Tier 2-818 (Pham Ip Maar Plan Ter 2...Please nate cost.s0m..S In be 2030 Was,System...yss have been adjusted to include engineering desgn....PK. water Sysbm Funding'a requested ter cons .d a 5.0 Mllbn .movements gal.wground.awe tank and comp al Pomp Station n. required to inareeseweb,.wad pressure b svman UF13 MG G,mnd Slaege $ - $ $ - E 3.000,000 S 3.000.000 $ - $ - $ 8000.000 § %0,000 E ALL Tank X2 a1 T W.Kung $6 north aneeesl gonion time coy.osis project nusalerPlan- Pump5lalbnX2 been pushed out duel.possibility of mandatory ier1-X4 rn�nmum of • per i.galion s.eduks 1.5 Milian Callbn Water EIw20 Sbres.TS"k Funding srequesbd brmecoantr EST donen 15 UF14 .be T.W.King Rod maim alien eMrvaled sbaga auk(ESM al Ina T.W. $ - $ - 0 - 8 - 5 1,000,000 §3.000.000 $ - $ 4000.000 f 50000 $ - aster Plary ALL Sd Kng 0054 Parry station properly at Ifi 2 Waterline along R 4d Mill Funding is Avenue/rpm for al2-n.vele..aloe Wye U 16 Mill enuefvn g Road to Rom Dave E - E Y • f - f - f 550,000 $ - E 550.000 $ S,OoO S aSYsIterMen- Tier NXS Reed Roanoke Dove Road TaX2 019 Road 12-in.Wat.ne er UF16 along East bmneebon l Funding is foral2-in.waterline East $ $ Y • $ - $ - $ 300,000 $ - $ 300,000 $ 50000 $ Syme" SRN 08 rd b Breese Con..al Bou.ard to Breeze Wry .rPlan- ...▪ a Tar 2-X221 0-'"W web e,nms- Funding is requested brine construction d an an. u$„ country from SH 114.0590 ne0511 11464 Rainforest corn. $ $ - $ - E - $ - $ 200,000 5 600,100 5 800000 $ 850200 $ - N/A TBD Ranbre.CmR bincrease sr..uwb mem ed.Funding is also needed for s.orol..onto. Funding s rapesbd for Project 4 tithe Waste Well Sewn 5,n.(„in.)o .eSMastarP l dllnC25UCanprehmeire Pan for Waste Water UFt Bey"N-.'Bate". m mdmelo m...newhbh toes D.e Men SYslem While Cnap. re des 11505 veal drop 5. TO rNe tem $ - $ $ $ • $ $ 200,000 f 400,000 $ 000,0 0 $ 50,000 $ TBD 6- Boulevard south along White Gapes service The Pm..6- TbrPlan- b.saner line.11 provide service b pmposea mixed- oa t.01 ma.areas along SH 114 in basin N-18 • Fundings request.ter Project of the Waste Wafer System Mab,Plan of me City's Comprehm.re Plan for Waste .51 .l. 10+whadbry seer line Mich ds smva for Sys.ip S.weLn°''''' nfuture development in the wam p .Baan N-12 $ $ - $ - $ - S - $ - $ 50,000 $ 550,000 $ 50,000 $ Radar Plan- Ton West Basin N-12 mdhd SH 114 and WealdCemdlA mw.Tire T512 K proposed 1 Oinch line MIl provide serviw la prmmed mxe1lLee areas along SH 114 in basin N-12 Funding s requested b,Project 6 del.Waste Water System Maser Plan of be City's Canpreneesive Pan for Waste Water Seva Line(82n.). a 10imn salary saner line which ebmds.rvice for UF20 Basin NA 2A South of future dw.opment in the edam portion.Bate.I. $ $ - $ - $ - $ - $ - $ 200.000 $ 200,000 $ 850,000 5 System SH 114 south d SH 114 The propos...020.1$$1 provide ' Master To2Ple TIID • to proposed mum-use areas along SH 114 and also serve erstmg.plb users in basin N-12A Subtotals Utility Fond: $1,260,000 $ 880,000 $0260,000 5 4,860,000 $4,002000 $4,260,000 8 1,200,000 $22,200,000 $ - Funding.requested for me engne.°men,,,girt d way aatuaition. sting.and0dine widening KOnr8o9Swleiad of KsAvcod Boulevard from St1ockton00100 Dive to Tyler Widening ham sired.This portion d then.0800 is irciuded in me MobilityM.A. 0101 l .. Stockton Dived Tyler ea pxoug1,1 Master Plan.The Cry et be acquiring $ - $ 200000 $ • $ • $ • $ - S - $ 200000 $ 200000 $ PIN Si Fund•;'. St.(General Fund the porton of Kirkwood Boulevard from T.W.tag Road MTS-Tar 2 Campenon) to Tyler Sed as a public street.ThewitleninOd Kirkwood Boulevard will increase rabllky 05000080 portion d the City. Subtotals Roadway Impact Fee Fund: $ - S 200000 $ - $ - E - $ - $ - $ 200000 S - Funds panicle sat and Council the ability to reimburse Syelsn Capacity developers Mlhe oversOin9...Ines to meet to WIFl npavenen5(W0er)-requirements d me.0115052030 Water Mash Plan 5 350000 $ 100000 8 100000 $ 100,000 8 100000 S 100000 $ - $ 850.000 $ 100,000 $ - 202-woe Furore Finials nes where 500 developer aend 1puiredto amide the ultimate size d the lined Serve the dneopmnt. Funding is requebtl f1rihe engine.1ign a. construction d replacement and upeizinA 4of m*sling ng 6-in.waterline along the entire length of Whispering 5,,55$Waterline La.and Whispering Dell Coon to n Minch waterline. The misting waterline is.and breaking and Continues 16102 Upsrsige alorg to be a rrentenance issue.Fortune neve bion repaired, $ S 800,000 S - $ • E - $ - S - S 600.000 5 700,000 $ - SPIN 23 $ '$''sg Canard but tee..watedlne needs m be replamd o avoid WWM1is$"ng Ddu Court conlinu.pdching d me wiat.ine.a road,T. wal.ine repl.ement is approximate. 1,3851innew fedeand the Whispering Dell Court ealetne replacnrenl is approximate.1,265 linear feel. FundinA is requeletl Mme en9 ir::::::a ng tlasign and '.of a 12'n.veted'ng IM1e nodM1sitle d Water �::::::171 . CM1 m$$$'d U' CM1urcM1 Roetl hen Water. the Siena SPIN WIF3 end Peamm Lenafram tort'Islorm and along Un'.Chwtl antl Pearson $ 100 800 $ .0,000 $ - 8 - $ - $ - 8 - 8 1,400,000 $1,400.000 $ Masb!Pon tlt 1 Rd 1930 to FM 1::In' Ven.cannecengomemstne lvxbrl retinaTa2616m d mule.thel Laneeeving Lana.Thellgeall Pleletnelnt mpfovingreladliry. 12M1walalne along'Ir''''' ntl ga reousled tar the en9g desgn ndyydaEestDRoatlfraunshfat2 ncM1 vsad'n9Eel Dove350080 100000 SYslemNeiNBF $$.$Per$d.... Rceed to EalesPan meant eoe.Thalne• $ 50.000 $ 3110,000 g - $ - E - $ - 8 - $ $1, § - Master Plan $ Estates aetletl to replace an meant 6-in.vabdine perms Water Fader Plan. Tia 2-620 NEW-12inA Fending a requested M the engineering and $$$$$'""'S''' construct.of a 12-in.waterline to enable the al WIFS Fenn RrePMectiwu dine explorer culvert cro.ngs at SH 26 for fuel hal E• m. S 650.000 8 - $ - E • $ - $ - 8 650.000 $2.350,000 $ N/A SPIN ere Impmvemena en enry(rebldeql on.Thin uel ar meacrXiwlin qe enndapewblefreatthe fuel SUMalals Water Impact Fee Fund: $1,100,000 $ 2,360,000 $ 1 $ 100,000 $ 100,000 $ 100,000 $ - $ 3,860,000 § ..ing is requested for the engineering design and eo.ruction to replace rens line from System Dove Estates F ce Maintoto the 1 Lco.aaome Dove Lill ale Wales Steer Line(12-inch)- Station witht2 in.and l5-n.sewer liras,The mode Wa SS Ft Been 11-13 eqdM1d slog&n.serer lase clues end $ - $ 600.000 $ - $ $ - $ - $ • 8 600,000 $ 500000 § b Pan-SIN e2 Bumnw Lena M1erssuKxienl caealYtocanvafmopdedlulurelbw. Tcr1 d. Theprap 02 12in.and1 p00iI seld tolls re n.riced lari ow mda cepeqiN and WII allay nastidetl Oorwtlwmdream. Fg0uag a requested for me ergine.ng design and construclion to replace an misting Frincn...sewer sewer line in Seumeesl Basin N-13 antl North Bas.hb le east Sewer Line(15inA of Carrell Avenue alae Emerald Cimb wit a 10-inchWaste Wa $''',0 seas line.The mo.I indole that mere is at enough ria 110-$'40)$'B BSIF2 O-13 tong Enemata wpnm'in gemat.e6-in.lines b convey future 5 - 5 .0,000 $ - s 8 - 8 - N - S ]00000 $1,310,000 $ - Masai Plat 1c,SPIN 112 oate P9or000 flowed!.b grant o basin O-13.The Ter1 113 molx0Se010inch and 15-inch lines winossOol en°ugh capacity to convey fame flow.Project 3 needs to be completed Prior b project 2 due to dovmstr.m cape* improvement needed Funds provide staff and Council me ability to reimburse developers...elating ofsewer line.°red SSIF3 hnpr°ve )66.6 066.0062 requ merle of file eq e Smleke2030We.aretxMasteMaster 5 350,000 $ 100,000 $ 100000 8 100000 $ 100000 5 100,000 $ • $ 850,000 5 1400000 $ - St-eau S$"00000t5 ,5,,in cares8ereee dxdoper isndbsl0 ...loam uaknea arsedthe line.... tlevebPmenl. Funding a rpuashd b replace approximately 2,120 feet d existing Minch sw.er line.M1 n 8-inch seas line l0 Bin.Bewf Line along Market Lap,lure and inn along Commerce dog Markel Loop an0 Stn., and terminate at the 05Isgg Bank Street SSIF4 iXsiglonsix row manholeswAlaln be red.This 5 250,000 E 310000 s $ $ - S - S - E 550000 s 1,100,000 § - 50111118 Cornmerca Street to s very 6e.antl holds solid...in me Ben$Steed LM s...miner�1_Th�are a M of bdlie n mis main and consequently,the rarer liner requires maintenance and cleaning on a weedy beds. Funding a requested b apbw an en.ng Bin.sxsr Sews Main((Minch) main that runs horn Eagle Bend Drive to Strathmore Upsbing to a 10iuch Drive under the Tmaran CNC...Creek wit a 10- SSIP5 ollCoe.CrSekwimal0- SSIFS Mom Eagle Bend Deal in.saner pip.T.saws line(300 fed of line)is 22 5 $ 3350. E - $ - $ - $ - S - E 300.000 $4.200.200 $ - 501009 shdhmwe Drive bel deep.d contains belles and is a ongoing across Tirmrt.Gotrnantenance .M the Wastmebr Division.The Carse Creek project will need to be bored and pidng a toesdon toning because i annul be open cul wlhn a creek. U.N.Sanitary Sewer Ir..Fee Fund: 5 $00,000 $ 2,000,000 $ 100,000 $ 100,000 $ 100,000 $ - $ - $ 3,000,00 $ - Funding a requested b rip,- a corrugated drainage pipe installed in 1972 with a box conn.to improve drainage flaw.The existng corrugated Pipe is cat.era n PI SWUS1 Dove Cr.ND. may lead to degradation of the sheet.The proposed $ 110,$00 $ 1,050000 $ - $ - $ - $ - $ - E 1160,000 $1,050,000 $ - Dan- 111 Creek Trial ry kavementsnclude 100-ag r..on augh the Teel Pn 5 con.u.on of egO B'x 5 box cohere,rein antl apiece the reed.,deer and grade me.annel,and n.11.nnel lining.1h upsham and downWeem. Iii Funding a rpuebd fete design antl construction d drainage mpr.enmma.The proposed improvements NEW-Sunnerplace nduderepleqng an exa.irg commatetl melzl pipe Ind sWUs2 Drainage is undersized Yim reinforced conte pipe.Thamaing $ - $ 70,000 $ - S - $ - $ - 5 - 5 70000 S 1,120000 $ - SPIN07 tam... plpa a Mara end structurally unsound and needs to be repl.ed.This is a companion projM to. 500101 Summephce Smiley Server(710,06. White 105 nend Funding b requested Mdedesgn end constructionda WChapel Road/ new Midge along North Woke Chapel Boulevard aver Storm weer SWU53 South Ki.. Kama.Cask Ban..11.section d roadway flooded 5 750,000 S 350,000 5 1,000,000 51,000,000 51,000000 $1,000,000 54000,000 §10,000,000 $14]0,000 $ SPIN e1 n Ma 2015 due a heavy mddall aro overflow from Lake Tc 2-pfi Chapel Road Grapevine and vies cased lx approximate.]metre Funding'A requested for the bridge replacement m South While Chapel al Bear Creek.This bridge qualifies Mr rerplacement under the Federal Bridge Replacement Program.Based on the results of a'smut mitgal., studucted by H9n and Associates,scour raneaaDon Mons have been completed in FY 2015. lend the life ofthe sbucture.However,Terra DepMmnt of Transpdehm(fi.01)dAdals Me Public 9308 Department and repressed smarms rd.the long term...tura!intim.athe • White Chapel bridge over Boar Creek.Thal have waive.the mating hedge drudure and found that it qualifies under the guNainm ofthe program for future SOWN Vsnae CM1apel replacement TM program pravbs funds f3 Bridge at Bear Creek rensta. cn Dasedm Me ldlaerg alF3al-$ $ - $ - $ • 5 - 5 - S 1200000 $ 1200000 $14]0000 $ - N/A SRN Replacement Mmpercent.Slate-10 percent Loral 10 percent.In 8 10bullm. . 9Ms conversation vdth representatives a Coffeyville, they have bnlativ.agreed Mai]hey oil remnme.to Mar Cad f3 conaieeMion to participate 50 percent in the Io.match.The City's Mobility antl Thoroughfare Ran in...While Chapel Boulevard in the vicinity of the Bear Creek rising as a 2-lane und'Nid.amide roma The badge replacement program allows for the bridge to replace the casing structure..a serener OaMc v.me may as the wising bridge and to allow passage of Me seam Bear Creek velar volumes the sting Midge.Currently,Me existing bridge only dears e volume cf water from les Man the 50year deOgn r.. Mom The Mies..propose designing the new bridge bather 100-year 933 water volume. Funding is request.for the design and construction of Dae Creek�North Imprrovemnts.Thm Tie proposed improver include the SInm water SWUSS Carroll keen. construction olive 10'x T box ulv.s,arse and E - 8 - $ - E - S • 8 r $ 1200,000 $ 12IN 00,000 S 1,4]0,000 $ - Ms rMae SPaJ replace the rcedrey.deer and grade the channel,and Tier 2-Yi staff channel stabilization consiging of inbrbckng com.e hocks. Funding is requsid tar the desgn and con9adion of ainage Storm miter SWUSB Big Bear fi a East improvements.The mead mpmveme...e Me $ $ 5 $ • S • $ - $ .0.200 $ 900,000 S 1,170.030 $ - M tar Plan-SPIN 09 Cameral Boulevard construction of fur additional 13 x8 bee cgN.s raise and repbm the..ver.and clear ab grade the Ter2A Manned. Funding s requested for Me design and construction of Big lag at Union construction The proposed improvements Storm v9er Chu. SRN SWUS7 ChuReedrest nclude the ction of four 12 x 10'bey culv.s E - $ - $ - 8 - 8 - E - $ 850,000 $ 550,000 $14]0000 $ - Master Man- Davis Davis BoulevaN raise and replace roadway,and clear a.grade the Tier 2-M Mnnd. Funding s requsled for the dsgn and construction of drainage Bigea at BBWeal meets.The Reposed imprwee erns nadthe a Mar wder SWUSB Continental Boulevard w Won of additional 12'x 8'Mx was,raise $ $ $ $ $ - E - 8 3,500.000 8 J.500000 $14]0000 $ - Pk.t0 '$ and replace the..val.clear and uses the channel, Tier 2-. and in9d0 channel stabilization. Funding is request.for drainage improvements el the South Kiswm,Branch at No.While Chapel Boulevard.The proposed improvements include the construction South KirkwoodCelia Of four 9 x9'mini .hod Celi (RBC), Storm water idng and repledng d meAswy dna deer ed grade SWUS9 Breech at North VvMXa S - s - s - S - S - $ - S .0000 $ 500.000 $1470000 $ - Master Plan-SPIN. Chapel Boca. Mnnat.Thspmjed8m..as ddeefion iandn Tier 2-Y] apron ad n.Thetg peek woad a bsadMr probMs downstr roadway There s elm need a tagger emcdac end a erreat nn10coed the 100-0.water surface elevation dwmatream. Fundings toques.for tlre dee.end onnaction M drainage improvements at Dove Creek at Est Dove Road.The Slam.er Dore Creek M East proposed irrpmvenenls include the construction tl _ SWUs10 Dore Road Meen 10'x T bee culverts,raise and replace the $ - $ S • $ - $ - S - $ 2.300030 $ 2,300.000 $14]0000 S - ler RN DO pg roadway,a MomgransthecM1amnand install channelchannelst..Nsation nsisOn9 d]Med«king mncreb N«a. Subtotals Storm Water MEW$Y9em Fund: $ 860,000 S 1p70.000 $1,000,003 $1,000000 $1,000000 51,000,000 515,150,000 531,480,000 S - F8.tng is requested for the coats asm®id with the smnfguralion Mg.DPS West Feel..The DPS W. Ridgy,originally mnstrudad in 2001,has seen egnirmnt foundation movement that has gaged a large enount of cosmetic and....nen.issues.In 2012, the City of soNhleke contact.an engne3m do a study of Meade and the foundation movement.The ngimmr suggested that the building finshs be No significant replaced with finishes that are,Trovement friendly-.such Manges to the drop In replacement lits rather thenang facility the lceiling h current solid ili11FV20s.Aneeds assessment t 00 s.89 . vas Min Mee conducted FY 2013 and concluded the (33,189 00. necessity of replacing the urrenl$NAG rooftop units Weser due to deterioration years during Meg.l5 yeaT 57215.00, 0eralte span d commercial MVAC units are 10-15 Sever years.1110 facility back-up generator hs mechanical 5240$00 and Recreating 0.029OPS Maass and need of replacement m veil.The bay gas 013,09300 Den CCPD, RemnfiBuanm doors are in need of replacement reduce the $1000000 $ 1,200,000 $ - $ - 8 - 8 - $ $ 2200on 000 $1,200,000 annually $ - Space/CSPIN YS InMonumentnishingMonument heavy Curren n,y wo.n doors and also M improve Mn.oml..BiJaamaintenance Facildire hart Mora will allay for faster re manly opens of the Mar Plan edit a.alley the doors a be manually opened in the 518,900.00 M 00 eventMa gamaevety poculttol.The uMly open pn i which Mould lmoden amsare very old to negatively lyeninthe significantly nlnsemes.outage and.Remntlivey efl«I OPS evenly r The WS Wad..ening rocmvAX response the see d Memmmunilynainmg anon seafter veral men5y berg utilized by the Onion of Trafficraw guration. Management and ultimately the camunit ammg ram.The ramnlgu.ion will also include awe.. cors tieing Southlake Boulevard,expansion of the m,replacement of HVAC units, replacement the facility's backup generator,and an improvement the rnlMor finshs s suggest.by the straddle Crime Control and Prevention District 1,000,000 0 1200.000 $ - S - $ • $ - $ • $ 2,200,000 0 - R1d: The Scuthbke 2030 Economic 09(890mam and Master Ran recome nds,'The C.shuts probe a gaffed cental ImMion for vistas Mat could be considered the Clyaconcierge desk.Visitors can stop byor mil and get customized Mom..and ons.This Increases the dogma.service EDT Smlhtake V08707 level considerably and begins seeing suMnke m. 200000 TBD MOT, Intarrelin Cnbr c3npe Co.-The plan also recommends It, $ 200,000 S 200.000 $ 200.000 $ 200,000 S 200,000 $ 200,000 $ 1.200,000 200000 TBD s' SPIN Ye pubin armor facilities end explains That-b TI addition to In13mein,ager amenities help make community popnlend1 and nmurage people b stay long er'The,purpose of the item is to mtabli.a project was 13 the construction ofa Maass Inform..Carder Thal wile include pubic re9moms b.lecated in Soulhlake Tom square. Subtotals Hotel Occupancy Tax Fund: $ 200,000 0 300.000 S 200,000 0 200,000 S 200,000 S 200,000 0 - $ 1,200,000 Ope.tiond impact includes all operating cods d Me posed this item ism 01aN'rsh a pigeon fund for facility Me design and Develop e^Id Pham 2 d The Mara operations) .tl 040 Mahe SONM1lake as per Me Southlake 2030 Palls,Recreation NI.in.antl 2030 Parks, d Open SpaatlCommun4y 00 sq. Maser Planinclude Phase NI.be nmmd Rec.atimd CEDCt The Mart-PM1a:2 3vdll beapproyimatety 81.000 m.e.and lndutle spans $ - $ 30.291.000 8 - 8 $ $ - $ • 830291000 $30,291 000 lej2x �mnSRN S] cont oil. /Community for ms,performance V.ing,gymnasium,indoor in 2018. Facilities PlTec p,MarkaecN.indoorarning anssrco indoor playground,pall M.brPlan- eaM learning d.amm,,ild watM1 and mu pury desermrm lar programsslpwiare mats � Tial Iddon The -1 00*be aidols wile Paid for addMe OEDC. Nb. Subtdal0 Cmnmu3Oy En3ancellle0 and $ - $ 36291,000 5 - 8 - $ - $ - 5 - 5 30,291,000 $2,2]0(30 Development Corporation Fund: Omign antl development d Bicentennial Palk Improvements(Final Pham)as per the adopt.2030 Southlake Parks,Recr®4on and Opal Spam/Commonly Facilities Ro mattes d 0 Parka, MasterPlan.Project scope includes.301.nev terns S Pad. B Imnial Pork !Adding,covered len.courts trail system completion, $ 502,000 f 3.000000 $3.500,000 $1,115,000 5 - $ • 5 - E 8.117000 $3,000,000 Annual $ 100.000 0.0 Spacer SRN e] Oevd•• " PM1ase3 sandv-0ell courts wished°dmciure,synthetic turf field Oymhn,Canis om . •• alm.nt inline hockey cast,held renovations,all rex Facilities sports lighting for the Imo op.Play tennis courts n.r M.Mr Plan the*rimer. • • SONh purposed this Nem"s to prattle fora mmmum Soul Make 203O Parti= Parks .+ balance of$20000 annually wt.Me SPDC C�Bal � d $PCI.' Ow.• ':SPDC Matching Funtls Butlget in appod of Citya SPDC Malching Funds $ 220.000 $ - 8 - 8 • $ $ - $ - $ 220000 $3000pa 000 8 - Open Sce Pt Pr.ram as per Me4 00ions of the Parks and Cam Fund 19.redion Board aSPDCP00.Meelabe funding shown / manM and in-1-Nal Nor Funding.column Facilities ...Nolan • Design and develop..cite S3Mlake Spots Conn..per Me ado..30NNeke 2030 Parks. Soulhleke SoNM'a, Recreation 8 Open Space/Community Facilities Mader 2030 Perks, P..Thee pct scone includes:Park mdroors all Ped* Sodhlake Spats pavl'ionsm gbld'g impwarerrK Pay,... g Rmrealimd SPE rDeveloppelop Cons, .is,mutiiWrpme matsfieltl imPrwemmK,synth. 8 - 5 - 8 - Y 885,000 $1,00,00 $1,0 p0,000 $ 6,400,000 s 9,325,000 83,00,000 1s § 130000 Open SP,0094 SB Cmpo- Improvements turf on large field,new Park entry Mature,park,, !Community Fumf eal8ies K,park amenities,landscape improvements. MesterPlan irrigation improvements with velarvolt,end expansion of the park mainimanpe Peados. Design and development of Me Bob Joico Nature Curler Soul.4: 8 Reserve Master Plan Ter One knprovarents aper 2030 Parks, RAM s BobNature the South.e 2030 Parks Reo.liB Open Spacer Recn.,d 5 Ce.r.E Center B Preserve Community Facilities Master Plan The prop*scope $ - $ - $ - $ • $ - $ - S /430000 3 7 430000 E 300on0 Oyret Annual $ 05,Open Space SRN 01 Co••d raKOsudmMm ^enl includes:I0ou0 d03gnate,outoutdoorg s !Community fundmd co33( ;J`. d.srmsdand decomposed gran... Facilites ,robpmenl,and awann.redordion. Mater Plan Design and dw°lmmmt d Me Bob Jones Nature Center Southlake Son BRasoe Maser Plan Tier Three Improvements as per 2030 Parks, Pad* Bob Jones Nature Ile South.°2O30 Par..Region d Open Space! Racedm d 5 Des Center B Preserve Community Facilities Master Plan.The propel snipe $ - $ - 5 $ $ - $ - 0 2680,00 8 2,480,000 S 3,00,000 OPeatng Canis S 2580 Open Space SRN St Copp Nature Treil Ekpansgn'Meals:ov.o.s.cturea signage,outdoor /Community Fon*,: classrooms,did end decomposed man.baits Far.. ..lopnenk bmNvalk and Ikebead parking- Maser Plan Design and devdmm.d'mprovemenis al Bob Jones Perk as per Me Smll.ke 2030 Packs Recreation 6 Open Space/Community Fadlilies Master Plan.The Soul.ke Rgeciscopebcrarea nwvpavilion/.drooaMloti field 2030 Parks, So Irk complex.t cep emants eimpoweld Park*O -mRwamm additionalyk'e ,new norommads. Racredm6 SP( Decd. Bob Jon.Pabrk bels muesman ar.'mprovements new north athletic $ - $ - 8 8 8 8 - 518,150.000 818,150.000 53.0000 Annual f 130.00 Coen Spare SPIN 61 Corpnrellai p amen field,conversion of one aMYlc field to 330 0 try,.turf, Operating Conks Community Fond parkin,improvements.park maidens^cefacilM Faothem imRwemenis,new entry road and entry feature la park Id..PMn and Me Bob Jones Nabre Center d Preserve, landscepefir gatim improvements,and playground improvements 000(0-.' Design and development of impmvmenls at NUM Pak 2030 Parka. Parka . North Port as per the SRSMYke 2030 Parks,Recn.ion 8 Open S 450 Annual R.redim8 SPDC]-•.:el... Spam/Community Facilites Master Plan.The Pmjed $ - Y - 5 - 8 $ - $ 1,450,00 $ 1, 800 5 3,00,00 5 1530 Open Space SRN 02 ,Pm/anents scope include,new pavilion,4th athletic field and trail Opeanng Costs :Community Fu connection to White Chapel Boulevard Facchliem Mmter Plan Design and development of the Bob Jan.Nature Center d Rave Mader Plan Ter Two kmrovme0 as Per Md $ e Sou..2030 Peas,Remedied Open Spam/ S^ulnlake M N Commun.Facilities Master Plan.The prop Sears 2030 Parks. P1rks: 6Presery dudes:new nature center complex(buidng courtyard, Manual Rareaon.5 5 DC slop muter mh030 20rc ssrmm educate.Ve1ards 8 - 4 - $ - $ $ $ - $1550000 $1550000 8 3,00,00 8 22500 Open Soave SRN of New BU lding space),renovated barn,mature playground,signets, OpeannCms Pandit Dwelmmml oma,dirt and decomposed h menhv robpnonoukloor ...edge drive, nearing, spaces lard Mm1er Plan ane landscape.anance Mice,parking,vaMmlar bndge. and Yndaepe. Oesgn.d development d improvements at Llbarty Sou, Park at She00nruod as per theS 3O Parks, 200 Perks Parks;. Libertyrkat Rsre9bnd Open Space/CommunityFaINIm Master MnuaRecredio6 P.The propel ampe'n<Yd. -cin ma $ q D.M. Shelionwo. $ - $ - $ - 8 - $ - 8 3,895,000 $ 3,895.000 E 3,00,00 5 35(30 Open Space SPIN52 Coy ImprovementsbmmrmnSpa Ce,room Aster well for Omlatn9 Closts !3300,8y • Fund Megaton,perk amenities sand volleyball,playground, nal parking,completion of tri Syde m,and Maar Plan °grade. Soulhiake SoulM1leke 2030 Parks, ...ereNoble Oaks Pak as per the Sad...erne.. Pah°• le Oaks Park 2030 Parks Retreat on d 0,Space/Community Mnual 050Recreation8 SPDC 4404 !macrame. IO Plan.The project sere ended.: $ - $ • $ - $ - $ - $ - $ 85.00 $ 85.00 E 3.00.000 Opeml n9 Canis f 180 Open Space SRN7O Fund conpldwn d trait System antl park amenities Facilities M.er PYn SoulMake Design and dwdapmml d...aenMal Omlaty Perk as per the South lake 2030 Parks,Recreation 8 200 Perk SPDCtt No°Yty Pak Open Spam/Community Facilites Mader Plan.The $ $ $ $ $ - $ - $ 2,025,000 $ 3,05,00 53,04,00 Annual Recreatimd_act kmrw'e^ents project acme nit,..pall restroom,shade amdur. Opamting Cods S 080/Com Space ".,,. spats fie4095/0g.nature trail.park amenities.vehicle Com0ies ,m off,and lands.,improvements. MFasaaeKPesla^ oulhlake Stiehll 0.i0S and devempmmd l improvements at Royal 030 Parks Annie SmM Park.per the SONNeke 2030 Pales, Recreation SRN SPOC12 Owalm" Rgdd AnniS'h R "on 8 Open Space Mader Plan The project $ $ - 5 - 5 8 - S - 5 595004 E 595.000 f 3,00.000 Annual $ 5000 Open Space 011 Park Improvements ecme includes:addtimal pater,.playground Opeat n9 Cmis /Commu^M r Facilitiesbsb.9dtlpe.ve uses and signage. Maser PYn Design and dwdopment d improvements al Soue ;Bath-.,. Chesapeake Park as per the Southlake 2030 Parks, 200300Parks. Pa . Recreation d Open Space Mader Plan.The nrgecl Recreation SRN SPOC13 yCllpnw 1le°bPark soopeia,.:new playground,peek.strmm.m.n, $ - 8 - $ - 3 8 5 - $ 2,590,00 $ 2580.000 $3,00,0Opem0 An^ua1tinCad $ 4002 OP..Space s11 Mnnis m courts.udamenities,s,perk amenities,i.jl !COMMUM Fund- well for int.., Facilities landscape np nano,and addxsnd Parking. Maser plan ................. Southlake Design and development d Kirkwml/Sabre Linear 2030 Parks, Park as per the Saumlake 2030 Pales Recreelion A Recreotm 8 Kirkwood/S.SPDCt1 fe Open Space/Community Faolla Master Plan The $ - $ - 4 - $ - S - $ - $ Q5.000 $ 125.000 $3,000,000 Annual $ SA00 Open Space SRN et Linear Park a includes',trail connectivity from No. Opemlin9 Crests Lprotect Neap r Community Fond While Chapel Bcuevad lit...od Bolbvard Facilities Mawr Plan Sodh Design anddev0lopmenl of improvements at The CIMS 2030705$, PaikPinks.Re:redionT . The Ss Park Open Spars C nN Fadlkm Mede Plan. he 755000Annual Recreation A s 0‘..?:." Improvements preyed scope includes:multipurpose spa.felit(0). $ $ - x - $ - $ - $ - 8 1155.000 $ 1. $3.030.000 Opaali'0 Cans $ 25500 Open SP..SRN let Cori. r CommuniN 1 unit landscape ilrproiemenls and screening.trail Facilities 104' ern 'rv.y park read alit laking antl pas amenities. Mawr Plan SoulPleke Soul Design and develepmart at improvements d Oak Pointe 2030 Parks, Pa PaS as per the South lake 2030 Pals,Recreation& An Recredm8 nual Dw eprwemenw Oak Pcinla Past oa OPO.Spe /CaanuM nFanlike Mesta Plan S The $ - $ - $ - $ - 8 - $ 53,500 $ 53000 $3000.000 0,,:ng Gas $ 1000 Open Se.SRNi2 Ce•.:, p9ecl scope includes:hail co.necteiy to White Chapel !Community Fund :,.. BoulwatlrWalnk Grua Elementary SMOoi. Facilities Mawr Plan Dagn and development o1Sadly Tum Parr as per the Southlale 2030 Perks.Record..&Open Spa./ Southlake Sod h COnmrniry Facilities Master Plea.Theprged scope 2030 Parks, SawtyTown Per, 2,300 00 d- Square safelyeducation An RmredmA 5 D 17 Development aenMes.P 5 9 Menpeel"on..aure, $ • $ - 5 8 - S - $ - $ 2.320000 $ 2320,000 $3000.000 OPeretin9Cals $ 125000 Open Spew TBD landscape and irrigalwn and Nonage.(Total prior r Camoen6y funding was 5525.000.CM Council approved Facilities ...ding$408,471 from the Safely Tom prated to Maser Plan Bicentennial Park Pham 10. ................"...."...C.P.."." $ 722,000 $ 3000,000 5 3500000 4 0000,000 6 1,000,000 $1,000,000 $65,193,500 $79,415,500 S 557000 Fund: ' ALL FONDS TOTAL General Fund 819,350.000 $ 6500.000 4,575000 5100,000 9 5,350,000 $4,850,000 $17,925,000 53,850.000 $ 48500 Utllty Fund $1,250,000 S 850000 5.250000 4650000 $4,000,000 $4,250,000 $ 1,750000 22200,000 $ Roadway...Fee Funk $ $ 200000 5 $ $ 200.000 5 Water Impact Fee $1,100000 $ 2350.000 100,000 100 000 $ 100,000 $ 100,000 $ • 3,550,000 $ Sanitary Sewer Impact Fee $ 000.000 $ 2000,000 100,000 100,000 $ 100,000 $ S 3.000,000 8 Slam Water 03100 System Fund $ 860.000 $ 1,470.000 1000000 1600,000 $1,000,000 $1,000,000 $15,150,000 21,180,000 $ Cann Control and Prevent.District Fund $1,000,000 $ 1200,000 - $ $ - $ - 2200,000 $ Hotel Occupancy Te a Fund $ 200,000 $ 200000 200,000 200,000 $ 200,000,$ 200,000 $ - 1,200,000 5 Community Enhancementand Development $ - $ 00291000 $ - $ - $ - $ $ - 5]11291,000 $32]0,000 Corporation Funk Southleke Parks Development Corporation $ 722,000 $ 3000,000 $3,500,000 $2000,000 $1,000,000 $1000000 $55193,500 $76,415500 $ 957,000 Grand Total All Fonda:$5,082,000 $ 18,061,000 $14,726,000 $13,350,000 $11,750,000 $11,400,000 $100,010,500 $224,688,500 $3,2734800