1245 ORDINANCE NO. 1245
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
SOUTHLAKE, TEXAS, APPROVING REVISED BUDGET FIGURES
FOR FISCAL YEAR 2021 ; APPROVING AND ADOPTING THE
BUDGET FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2021 ,
AND TERMINATING SEPTEMBER 30, 2022, 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 2020 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, 2021, and ending September 30, 2022, (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 21, 2021, 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 SOUTH LAKE, TEXAS:
Section 1. That all 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 2021 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, 2021 and ending
September 30, 2022; 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 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 day of
b2r , 2021.
�•% N LAKF ., Jo n Huff ayor
ATTEST: 0�'•• ••;<<`
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Amy ley
City Secretary **
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PASSED AND APPROVED ON second reading this all- day of
`liter NA9 , 2021.
ATTEST: ��`���H Lql iii�� u an, Mayor
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City ecretary .
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APPROVED AS TO FORM: '�1,�iiiii***�`��``
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City Attorney
Date: ZI 21
Adopted: 611 2L 12l
Effective: 1011 I2t
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
EXPENDITURES BY FUND/CATEGORY
2021 2021 2022 $Increase/ %Increase/
2020 Adopted Amended Proposed (Decrease) -Decrease
FUND Actual Budget Bu et Budget Adopted Adopted
General Fund
Personnel 27,803,574 30,635,353 29,948,838 31,516,388 881,035 2.9%
Operations 10,653,507 11,758,551 12,280,901 12,273,340 514,789 4.4%
Capital Outlay 24 580 120.000 140.211 0 (120,000) -100.0%
Total 38,481,661 42,513,904 42,369,950 43,789,728 1,275,824 3.0%
Utility Fund
Personnel 2,461,155 2,840,803 2,840,803 2,658,976 (181,827) -6.4%
Operations 17,060,515 19,066,191 19,184,191 20,546,655 1,480,464 7.8%
Capital Outlay 141,037 0 0 0 (0) -33.3%
Debt Service 4.186.761 3.898,426 3,898.426 3.329.147 (569.279) -14.6%
Total 23,849,468 25,805,420 25,923,420 26,534,778 729,358 2.8%
Stormwater District
Personnel 299,387 328,389 332,389 355,882 27,493 8.4%
Operations 324,581 300,946 296,946 325,126 24,180 8.0%
Capital Outlay Q Q Q Q Q 0.0%
Total 623,968 629,335 629,335 681,008 51,673 8.2%
Debt Service Fund
Debt Service 7,733,711 7.639.421 7.639.421 5.346.132 (2,293,289) -30.0%
Total 7,733,711 7,639,421 7,639,421 5,346,132 (2,293,289) -30.0%
Special Revenue-
Reforestation Fund
Operations 38,548 25,000 25,000 0 (25.000) -100.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 38.548 25.000 25,000 0 (25,000) -100.0%
Facility Maintenance
Operations 0 62,500 62,500 0 (62,500) -100.0%
Capital Outlay 0 595.510 595 510 308 237 (287,273) -48.2%
Total 0 658,010 658,010 308,237 (349,773) -53.2%
Special Revenue-
Park Dedication
Operations 0 0 0 0 0 0.0%
Capital Outlay 0 Q Q Q Q 0.0%
Total 0 0 0 0 0 0.0%
Special Revenue-
Parks and Recreation
Operations 16,749 72,500 25.000 72,500 0 0.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 16,749 72,500 25.000 72,500 0 0.0%
Special Revenue-
Library Donation Fund
Operations 2,984 8,000 5,000 8,000 0 0.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 2,984 8,000 5,000 8,000 0 0.0%
TIF Fund
Personnel 201,311 265,953 265,953 275,632 9,679 3.6%
Operations 7,920,352 7,694,900 7,008,044 7,363,423 (331,477) -4.3%
Capital Outlay 595.991 2.486,530 2.486.530 1.415.000 (1.071.530) -43.1%
Total 8,717,654 10,447,383 9,760,527 9,054,055 (1,393,328) -13.3%
Crime Control District Fund
Personnel 1,039,106 1,144,884 1,144,884 1,171,691 26,807 2.3%
Operations 439,756 177,146 177,146 576,814 399,668 225.6%
Capital Outlay Q 420.000 143.309 66.000 (355.000) 100.0%
Total 1,478,862 1,742,030 1,465,339 1,813,505 71,475 4.1%
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
EXPENDITURES BY FUND/CATEGORY
2021 2021 2022 $Increase/ %Increase/
2020 Adopted Amended Proposed (Decrease) -Decrease
FUND ASALkli MQ81 1 et Budget Adopted Adopted
SPDC Fund
Personnel 248,352 257,508 257,508 278,743 21,235 8.2%
Operations 1,142,888 1,258,980 1,262,180 1,366,480 107,500 8.5%
Capital Outlay 39,761 45,200 45,200 190,200 145,000 320.8%
Debt Service 2.823,572 2.821.224 2.821.224 2.802.796 (18.428) -0.7%
Total 4,254,573 4,382,912 4,386,112 4,638,219 255,307 5.8%
Strategic Initiative Fund
Capital Outlay 207.167 150.000 150.000 643.462 493.462 329.0%
Total 207,167 150,000 150,000 643,462 493,462 329.0%
Vehicle Replacement
Capital Outlay 1.511.828 2,233,000 2.233.000 2,077.000 (156.000). -7.0%
Total 1,511,828 2,233,000 2,233,000 2,077.000 (156,000) -7.0%
Hotel Occupancy Fund
Personnel 194,613 219,723 219,223 230,811 11,088 5.0%
Operations 446,491 627,189 627,689 629,939 2,750 0.4%
Capital Outlay 0 Q Q 30.000 30.000 299999900.0%
Total 641,104 846,912 846,912 890,750 43,838 5.2%
Court Security Fund
Personnel 23,639 47,021 47,021 58,145 11,124 23.7%
Operations 6,382 12,220 12,220 14,290 2,070 16.9%
Capital Outlay Q Q Q Q Q 0.0%
Total 30,021 59,241 59,241 72,435 13,194 22.3%
Court Technology Fund
Operations 157,584 37,830 37,830 8,830 (29,000) -76.7%
Capital Outlay Q Q 0 Q Q 0.0%
Total 157,584 37,830 37,830 8,830 (29,000) -76.7%
Recycling Fund
Operations 3.000 3.000 5 600 5 600 2 600 86.7%
Total 3.000 3,000 5,600 5.600 2.600 86.7%
Red Light Camera Fund
Personnel 0 0 0 0 0 0.0%
Operations 60.264 157,705 157.705 128.705 (29,000) -18.4%
Capital Outlay 0 0 0 0 0 0.0%
Total 60,264 157,705 157,705 128,705 (29,000) -18.4%
Public Art Fund
Operations 52,788 68,100 68,100 68,100 0 0.0%
Capital 0 0 0 0 0 0.0%
Total 52,788 68,100 68,100 68,100 0 0.0%
Commercial Vehicle Enforcement Fug
Personnel 136,578 145,226 145,226 148,944 3,718 2.6%
Operations 12,098 8,148 8,148 8,151 3 0.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 148,676 153,374 153,374 157,095 3,721 2.4%
CEDC Fund
Personnel 1,813,267 2,606,214 2,606,214 2,729,159 122,945 4.7%
Operations 1,321,199 1,584,147 1,513,808 1,640,580 56,433 3.6%
Capital Outlay 0 0 0 0 0 0.0%
Debt Service 2.447.406 2.436.806 2.436.806 2.451.056 14250 0.6%
Total 5,581,872 6,627,167 6,556,828 6,820,795 193,628 2.9%
CEDC REPLACEMENT
Capital 0 0 0 135.171 135.171 1351709900.0%
Total 0 0 0 135,171 135,171 1351709900.0%
Economic Investment Fund
Operations 86,215 50,000 867,500 232,500 182,500 365.0%
Capital 0 0 0 0 0 0.0%
Total 86,215 50,000 867,500 232,500 182,500 365.0%
Technology Infrastructure and Security Fund
Operations 490,249 400,000 400,000 1,025,000 625,000 156.2%
Capital 570.789 405.000 405.000 383.250 (21,750) -5.4%
Total 1,061,038 805,000 805,000 1,408,250 603,250 74.9%
GRAND TOTAL ALL FUNDS 94,739,735 105,115,244 104,828,204 104,894,856 (220,389) -0.2%
EXPENDITURE CATEGORY
Personnel 34,220,982 38,491,074 37,808,059 39,424,371 933,297 2.4%
Operations 40,236,150 43,373,053 44,025,508 46,294,033 2,920,980 6.7%
Capital Outlay 3,091,153 6,455,240 6,198,760 5,247,320 (1,207,920) -18.7%
Debt Service 17.191.450 16.795.877 16.795.877 13,929.131 12.866.7461 -17.1%
GRAND TOTAL ALL FUNDS 94,739,735 105,115,244 104,828,204 104,894,856 (220,389) -0.2%
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
EXPENDITURES BY FUND/DIVISION/CATEGORY
2021 2021 2022 $ Increase/ %Increase/
2020 Adopted Amended Proposed (Decrease) -Decrease
GENERAL FUND Actual Budget Budget Budget Adopted Adopted
City Secretary/Mayor/Council
Personnel 385,448 395,649 409,649 428,534 32,885 8.3%
Operations 87,142 150,617 150,617 150,617 0 0.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 472,590 546,266 560,266 579,151 32,885 6.0%
Human Resources
Personnel 590,715 636,960 640,960 671,946 34,986 5.5%
Operations 187,236 226,681 237,181 226,681 0 0.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 777,951 863,641 878,141 898,627 34,986 4.1%
City Manager's Office
Personnel 924,327 1,021,392 898,392 994,011 (27,381) -2.7%
Operations 32,302 49,603 48,522 45,403 (4,200) -8.5%
Capital Outlay 0 0 0 0 0 0.0%
Total 956,629 1,070,995 946,914 1,039,414 (31,581) -2.9%
Support Services
Personnel 727,077 735,576 738,377 784,032 48,456 6.6%
Operations 1,156,328 1,235,059 1,411,959 1,260,059 25,000 2.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,883,405 1,970,635 2,150,336 2,044,091 73,456 3.7%
Communications
Personnel 354,875 390,644 393,644 431,806 41,162 10.5%
Operations 85,774 113,652 109,297 124,251 10,599 9.3%
Capital Outlay 0 0 0 0 0 0.0%
Total 440,649 504,296 502,941 556,057 51,761 10.3%
Information Technology
Personnel 928,361 1,041,591 1,036,671 1,112,928 71,337 6.8%
Operations 1,785,541 1,931,152 1,928,873 2,065,352 134,200 6.9%
Capital Outlay 24,580 0 8,279 _ DI -100.0%
Total 2,738,482 2,972,743 2,973,823 3,178,280 205,537 6.9%
Finance
Personnel 1,001,083 1,099,305 1,102,605 1,138,239 38,934 3.5%
Operations 362,886 431,615 431,315 439,915 8,300 1.9%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,363,969 1,530,920 1,533,920 1,578,154 47,234 3.1%
Municipal Court
Personnel 634,855 659,290 661,490 694,130 34,840 5.3%
Operations 66,786 112,690 112,690 103,090 (9,600) -8.5%
Capital Outlay 0 0 0 0 0 0.0%
Total 701,641 771,980 774,180 797,220 25,240 3.3%
Teen Court
Personnel 141,656 154,678 146,678 154,595 (83) -0.1%
Operations 9,089 14,731 14,731 14,731 0 0.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 150,745 169,409 161,409 169,326 (83) 0.0%
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
EXPENDITURES BY FUND/DIVISION/CATEGORY
2021 2021 2022 $Increase/ % Increase/
2020 Adopted Amended Proposed (Decrease) -Decrease
GENERAL FUND Actual Budget Budget Budget Adopted Adopted
Fire Services
Personnel 8,425,767 8,984,188 9,264,188 9,128,150 143,962 1.6%
Operations 726,625 764,684 774,335 773,084 8,400 1.1%
Capital Outlay 0 0 0 0 0 0.0%
Total 9,152,392 9,748,872 10,038,523 9,901,234 152,362 1.6%
Police Services
Personnel 5,747,688 6,722,508 6,374,258 6,898,437 175,929 2.6%
Operations 631,757 720,387 785,387 723,431 3,044 0.4%
Capital Outlay 0 0 0 0 0 0.0%
Total 6,379,445 7,442,895 7,159,645 7,621,868 178,973 2.4%
Public Safety Support
Personnel 0 0 0 0 0 0.0%
Operations 1,438,994 1,512,464 1,565,214 1,529,464 17,000 1.1%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,438,994 1,512,464 1,565,214 1,529,464 17,000 1.1%
Building Inspection
Personnel 1,022,578 1,090,438 1,084,438 1,049,865 (40,573) -3.7%
Operations 73,904 120,745 120,745 120,741 (4) 0.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,096,482 1,211,183 1,205,183 1,170,606 (40,577) -3.4%
Streets/Drainage
Personnel 535,703 641,722 542,723 617,188 (24,534) -3.8%
Operations 844,456 512,125 556,125 511,405 (720) -0.1%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,380,159 1,153,847 1,098,848 1,128,593 (25,254) -2.2%
Facility Maintenance
Personnel 488,254 518,765 506,765 517,811 (954) -0.2%
Operations 1,160,263 1,191,411 1,391,411 1,251,411 60,000 5.0%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,648,517 1,710,176 1,898,176 1,769,222 59,046 3.5%
Public Works Administration
Personnel 1,317,175 1,183,354 1,128,954 1,418,681 235,327 19.9%
Operations 202,082 612,279 732,579 622,419 10,140 1.7%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,519,257 1,795,633 1,861,533 2,041,100 245,467 13.7%
Planning
Personnel 999,820 1,064,250 1,071,250 1,120,040 55,790 5.2%
Operations 35,797 54,608 54,608 55,770 1,162 2.1%
Capital Outlay 0 0 0 0 0 0.0%
Total 1,035,617 1,118,858 1,125,858 1,175,810 56,952 5.1%
Economic Development
Personnel 99,659 199,829 148,829 190,068 (9,761) -4.9%
Operations 50,370 61,577 60,377 67,927 6,350 10.3%
Capital Outlay 0 0 0 0 0 0.0%
Total 150,029 261,406 209,206 257,995 (3,411) -1.3%
Community Services
Personnel 714,536 1,067,468 852,221 995,512 (71,956) -6.7%
Operations 196,288 355,975 318,483 366,319 10,344 2.9%
Capital Outlay 0 0 0 0 0 0.0%
Total 910,824 1,423,443 1,170,704 1,361,831 (61,612) -4.3%
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
EXPENDITURES BY FUND/DIVISION/CATEGORY
2021 2021 2022 $Increase/ %Increase/
2020 Adopted Amended Proposed (Decrease) -Decrease
GENERAL FUND Actual Budget Budget Budget Adopted Adopted
Parks and Recreation
Personnel 2,150,164 2,399,336 2,310,336 2,504,766 105,430 4.4%
Operations 1,327,782 1,493,396 1,383,352 1,581,470 88,074 5.9%
Capital Outlay 0 0 11,932 0 0 0.0%
Total 3,477,946 3,892,732 3,705,620 4,086,236 193,504 5.0%
Library Services
Personnel 613,833 628,410 636,410 665,649 37,239 5.9%
Operations 192,105 93,100 93,100 239,800 146,700 157.6%
Capital Outlay 0 120.000 120.000 0 (120,0001 -100.0%
Total 805,938 841,510 849,510 905,449 63,939 7.6%
TOTAL GENERAL FUND 38,481,661 42,513,904 42,369,950 43,789,728 1,275,824 3.0%
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
EXPENDITURES BY FUND/DIVISION/CATEGORY
2021 2021 2022 $Increase/ %Increase/
2020 Adopted Amended Proposed (Decrease) -Decrease
AGtual EiKlot Sudoet Sudoet Adopted Adopted
UTILITY FUND
Utility Bdlino
Personnel 457,491 462,020 462,020 482,342 20,322 4.4%
Operations 143,443 160,350 159,550 158,876 (1,474) -0.9%
Capital Outlay Q Q Q Q Q 0.0%
Total 600,934 622,370 621,570 641,218 18,848 3.0%
Water Utilities
Personnel 1,470,030 1,810,055 1.810,055 1,593,559 (216,496) -12.0%
Operations 10,119,979 11,536,875 11,536,875 12,741,713 1204,838 10.4%
Capital Outlay 130.159 Q Q Q Q 0.0%
Total 11,720,168 13,346,930 13,346,930 14,335,272 988,342 7.4%
Wastewater Utilities
Personnel 533,634 568,728 568,728 583,075 14,347 2.5%
Operations 4,947,675 5,513,766 5,513,766 5,668,466 154,700 2.8%
Capital Outlay 10 878 Q Q Q 1Q1 -100.0%
Total 5.492,187 6,082,494 6,082,494 6,251,541 169,047 2.8%
Sanitation
Operations 1.0111,18 1,855 200 1,974,000 1.977.600 122.400 6.6%
Total 1,849,418 1,855,200 1,974,000 1,977,600 122,400 6.6%
Non-Departmentalized
Debt Service 4.186.761 3.898.426 3.898.420 3 329 147 (569 2791 -14.6%
Total 4,186,761 3,898,426 3,898,426 3,329,147 (569,279) -14.6%
TOTAL UTILITY FUND 23,849,468 25,805,420 25,923,420 26,534,778 729,358 2.8%
STORM WATER DISTRICT
Personnel 299,387 328,389 332,389 355,882 27.493 8.4%
Operations 324,581 300.946 296,946 325,126 24,180 8.0%
Capital Outlay Q Q Q Q Q 0.0%
Total 623,968 629,335 629,335 681,008 51,673 82%
DEBT SERVICE FUND
Principal 6,506,675 6,766,201 6,766,201 4,675,306 (2,090,895) -30.9%
Interest 1,216,124 853,720 853,720 651.326 (202,394) -23.7%
Administrative Expenses 10.91Z 19,500 19.500 19.500 Q 0.0%
Total 7,733,711 7,639,421 7,639,421 5,346,132 (2,293289) -30.0%
SPECIAL REVENUE
REFORESTATION FUND
Operations 38,548 25,000 25,000 0 (25,000) -100.0%
Capital Outlay Q Q Q Q Q 0.0%
Total 38,548 25,000 25,000 0 (25,000) -100.0%
FACILITY MAINTENANCE
Operations 0 62,500 62,500 0 (62,500) -100.0%
Capital Outlay Q 595 510 595 510 308.237 987 273) -48.2%
Total 0 658,010 658,010 308,237 (349,773) -53.2%
SPECIAL REVENUE
PARK DEDICATION FUND
Operations 0 0 0 0 0 0.0%
Capital Outlay 0 0 0 Q Q 0.0%
Total 0 0 0 0 0 0.0%
SPECIAL REVENUE
PARK AND RECREATION
Operations 16,749 72,500 25,000 72,500 0 0.0%
Capital Outlay Q Q Q Q Q 0.0%
Total 16,749 72,500 25,000 72,500 0 0.0%
SPECIAL REVENUE
LIBRARY DONATION FUND
Operations 2,984 8,000 5,000 8,000 0 0.0%
Capital Outlay Q Q Q Q Q 0.0%
Total 2,984 8,000 5,000 8,000 0 0.0%
TIF FUND
Personnel 201,311 265,953 265,953 275,632 9,679 3.6%
Operations 7,920,352 7,694,900 7,008,044 7.363,423 (331,477) -4.3%
Capital Outlay 595 991 2.486 53Q 2.486.530 1.415.000 (1.071.5301 -43.1%
Total 8.717,654 10,447,383 9,760,527 9,054,055 (1,393,328) -13.3%
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
EXPENDITURES BY FUND/DIVISION/CATEGORY
2021 2021 2022 $Increase/ %Increase)
2020 Adopted Amended Proposed (Decrease) -Decrease
gOt 8I Budoet Budget Badge1 Adooted Adopted
CRIME CONTROL DISTRICT FUND
Personnel 1,039,106 1,144,884 1,144,884 1,171,691 26,807 2.3%
Operations 439,756 177,146 177,146 576,814 399,668 225.6%
Capital Outlay 4 420.000 143.309 65.000 (355.0001 -84.5%
Total 1,478,862 1,742,030 1,465,339 1,813,505 71,475 41%
SPDC FUND
Personnel 248,352 257,508 257,508 278,743 21,235 82%
Operations 8 Maintenance 1,142,888 1,258,980 1,262,180 1,366.480 107,500 8.5%
Capital Outlay 39,761 45.200 45,200 190,200 145,000 320.8%
Debt Service 2 823.572 2,821.224 2.821.224 2 802.796 (18.428) -0.7%
Total 4,254,573 4,382,912 4,386,112 4,638,219 255,307 5.8%
STRATEGIC INITIATIVE FUND
Capital Outlay 207.167 150.000 150.000 643 462 493,462 329.0%
Total 207,167 150.000 150,000 643,462 493,462 329.0%
VEHICLE REPLACEMENT
Capital 1 511.828 2,233.00Q 2233 000 2,077 000 (156.0001 -7.0%
Total 1,511,828 2,233,000 2,233,000 2,077.000 (156,000) -7.0%
HOTEL OCCUPANCY FUND
Personnel 194,613 219,723 219,223 230,811 11,088 5.0%
Operations 446,491 627,189 627,689 629,939 2,750 0.4%
Capital Q 4 0 30.000 30000 299999900.0%
Total 641,104 846,912 846,912 890,750 43,838 5.2%
COURT SECURITY FUND
Personnel 23,639 47,021 47,021 58,145 11,124 23.7%
Operations 6,382 12,220 12,220 14,290 2,070 16.9%
Capital Outlay Q Q Q 4 0 0.0%
Total 30,021 59,241 59,241 72,435 13,194 22.3%
COURT TECHNOLOGY FUND
Operations 157,584 37,830 37,830 8,830 (29,000) -76.7%
Capital Outlay 4 Q Q Q 0 0.0%
Total 157,584 37,830 37,830 8,830 (29,000) -76.7%
RECYCLING FUND
Operations 3000 3.444 5.60Q 5.600 2,600 86.7%
Total 3,000 3,000 5,600 5,600 2,600 86.7%
RED LIGHT CAMERA FUND
Personnel 0 0 0 0 0 0.0%
Operations 60.264 157,705 157,705 128.705 (29,000) -18.4%
Capital Outlay 0 4 Q Q 0 0.0%
Total 60,264 157,705 157,705 128.705 (29,000) -18.4%
PUBLIC ART FUND
Operations 52,788 68,100 68,100 68,100 0 0.0%
Capital 4 4 Q Q 0 0.0%
Total 52,788 68,100 68,100 68,100 0 0.0%
COMMVERICAL VEHICLE ENFORCEMENT
Personnel 136,578 145,226 145,226 148,944 3,718 2.6%
Operations 12,098 8,148 8,148 8,151 3 0.0%
Capital Outlay Q Q Q Q 0 0.0%
Total 148,676 153.374 153,374 157,095 3,721 2.4%
CFDC FUND
Personnel 1,813,267 2,606,214 2,606,214 2,729,159 122,945 4.7%
Operations 8 Maintenance 1,321,199 1,584,147 1,513,808 1,640,580 56,433 3.6%
Capital Outlay 0 0 0 0 0 0.0%
Debt Service 2 447 406 2 436 80Q 2.436.806 2.451.056 14 25Q 0.6%
Total 5,581.872 6,627,167 6,556,828 6,820,795 193,628 2.9%
CEDC REPLACEMENT
Capital 4 4 4 135 171 135 171 1351709900.0%
Total 0 0 0 135,171 135,171 1351709900.0%
ECONOMIC INVESTMENT FUND
Operations 86,215 50,000 867.500 232,500 182,500 365.0%
Capital 4 0 0 4 0 0.0%
Total 86,215 50,000 867,500 232,500 182,500 365.0%
Technoloav Infrastructure and Security Fund
Operations 490,249 400.000 400,000 1,025,000 625,000 156.2%
Capital 570,789 405.000 405 000 383.250 (21.7501 -5.4%
Total 1,061,038 805,000 805.000 1,408,250 603,250 74.9%
GRAND TOTAL-ALL FUNDS 94,739,735 105,115,244 104,828,204 104,894,856 (220,389) -0.2%
PROPOSED BUDGET 2022
ALL FUNDS SUMMARY
Specie Specie Technology
Special Revenue Revenue Specie Storm Elveaglc Facility Inhrtruckre/ Economic Commercial Hotel Court Coun Red Light
Omani U9hry Debt Service Revenue Perk Perkal Revenue TIFOpreeng Crime Conbol Vehicle Walk Inl$e9ve Maintenance Security Inveaenent Vehicle Occupancy Security Technology Carnets Publk An Recycling
Bog Egad bud Mumma lAgilaWgn Bmi8022 LIW913t E90d IA61212tF2221 Bpleolggl 0121391 Eund Emma bud E9gd En2B30386l Eklpd E00a Bing E9p4 E9nd Emil CEDCFunk BPUC FkMa WI
ProtecIed Revenues S49.563.909 832.608,200 15.4015/5 S5,080 S92.100 S47.100 84070 S10.084280 S2.004.275 S118.000 S1.572.600 89500 S23,000 S436,000 S10,000 S25,300 S068.255 S24.300 S25.425 81200 85.000 86,125 S8,008,250 S8.304.424 1120245.065
Prolecled Expend.... 143,782,728 626,534,7/8 S5,346,132 80 80 $/2,500 $8.000 S9,054,055 S1,813,505 82,071,000 S681008 $643.462 S308,23/ S1408,250 5232,500 6157095 S800,750 S/2435 S8.830 $128.705 S68,100 95600 S6,955,966 14638218 S104,894,856
164Rwen0m /1.12.4.31 Waal deli ■m IIIil10 O76AM OMB *L 21.4 111f2 OL16IIm0 Ir1i1i faliii121 Oif77n Maga MUM 7II2L 1 iIISOS 21L1 1 VWO =UM O412111 II26 ILINL I arum 116ee1110
Tote Other Sorcee(Uses) (55425,577) (S9,432.328) S173,859 10 (S480,000) S0 S0 S0 (510801/1) 51500,000 (8236,163) (S2,200000) $1,000,000 $500,000 $150,000 S150,000 (5183.968) S0 10 (S100.000) 845,238 80 (8358.188/ ($4.332,101) (320,308.0001
E252,21o,ll and I/Sorr or
Wading Captal 9/30/20 110663,859 S24,310,110 13055035 520,227 11531520 1148957 S10,373 S5,081507 14884528 56.300,/83 81,239,793 67,543073 89,171,58E S/.1/4640 52817219 S81,359 $1,1/2,414 S393255 $278,915 $550222 $338,918 $70,895 811.868,851 S12.751,588 8111,851,225
EMOmatad Fund 8elencv
Working Ca8148 890Q1 111.012.482 120,080264 13284.337 $26.307 $1,147120 $121,667 11A43 61.011,721 83.116.126 16,141.7611 S1,2174,622 84.706,111 18.112,3411 68,222,320 12/44.719 1010.6151 $1/16181 1346,Q0 1201.610 1002,717 $121881 171A20 813212/66 812.016,612 6106.89}34
GENERAL FUND
2022 Proposed and 2021 Revised Budget
0319 PM
09e1421
$Increase/ $Increase(
2020 2021 2021 (Decrease) %increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Ad Valorem Taxes $25,072,864 $25,581,525 525,581,525 $0 0.0% $26,662,376 $1,080,851 4.2%
Sales Tax 15,660,985 14,312,000 16,166.000 1,854,000 13.0% 16,405,450 2,093,450 14.6%
Franchise Taxes 2,811,573 2,891,360 2.736.841 (154,519) -5.3% 2,825,446 (65,914) -2.3%
Fines 822,853 855,000 853.000 (2,000) -0.2% 853,500 (1,500) -0.2%
Charges for Services 906,021 999,930 925,632 (74,298) -7.4% 1,192,337 192,407 19.2%
Permits/Fees 2,342,611 1,264,100 1,214,100 (50,000) -4.0% 1.202,100 (62,000) -4.9%
Miscellaneous 702,006 345,000 373,900 28,900 8.4% 345,000 0 0.0%
Interest Income 265,381 185.000 74 000 (111,0031 -60.0% 77,700 j107,300) -58.0%
Total Revenues $48,584,294 $46,433,915 $47,924,998 $1,491,083 3.2% $49,563,909 $3,129,994 6.7%
EXPENDITURES
City Secretary $472,590 $546,266 $560,266 $14,000 2.6% $579,151 $32,885 6.0%
Human Resources 777,951 863,641 5878,141 14,500 1.7% 898,627 34,986 4.1%
City Manager 956,629 1,070,995 946,914 (124,081) -11.6% 1,039,414 (31,581) -2.9%
Information Technology 2,738,482 2,972,743 2,973,823 1,080 0.0% 3,178,280 205,537 6.9%
Communications 440,649 504,296 502,941 (1,355) -0.3% 556.057 51,761 10.3%
Support Services 1,883,405 1,970,635 2.150.336 179.701 9.1% 2,044,091 737�56 3.7%
General Gov.Total 7 7 $7,928.576 $8,012,421 =,4> 1.1% $8,295,620 $367.044 4.6%
Finance 1,363,969 1,530.920 1,533,920 3,000 0.2% 1,578.154 47,234 3.1%
Municipal Court 701,641 771,980 774,180 2,200 0.3% 797.220 25,240 3.3%
Teen Court 150,745 169,409 161,409 (8.0001 -4.7% 169,326 j$31 0.0%
Finance Total 62,216,355 $2,472,309 $2,469,509 1 -0.1% $2,544,700 $72.391 2.9%
Fire 9,152,392 9,748,872 10,038,523 289,651 3.0% 9,901.234 152,362 1.6%
Police 6,379,445 7,442,895 7.159.645 (283,250) -3.8% 7.621,868 178,973 2.4%
Public Safety Support 1,438,994 1.512,464 1,565,214 52,750 3.5% 1,529,464 17000 1.1%
Public Safety Total $16,970,831 $18,704,231 $18,763,382 $59.151 0.3% $19,052,566 $348.335 1.9%
Streets/Drainage 1,380,159 1,153,847 1,098,848 (54,999) -4.8% 1,128,593 (25,254) -2.2%
Facility Maintenance 1,648,517 1,710.176 1.898.176 188,000 11.0% 1.769,222 59,046 3.5%
Public Works Admin 1,519,257 1,795,633 1,861,533 65y00 3.7% 2.041,100 245,467 13.7%
Public Works Total $4,547,933 $4,659,656 $4,858,557 $198.901 4.3% 64,938,915 $279.259 6.0%
Building Inspections 1,096,482 1,211,183 1.205,183 (6,000) -0.5% 1,170,606 (40,577) -3.4%
Planning 1,035,617 1,118,858 1,125,858 7 000 0.6% 1,175,810 56�52 5.1%
Planning and Dev Total $2.132,099 $2,330,041 $2,331,041 $1,000 0.0% $2,346,416 $16,375 0.7%
Economic Development 150.029 261 406 209.206 (52,200) -20.0% 257,995 0,4111 -1.3%
Economic Dev.Total $150.029 $261,406 $209,206 ($52,2001 -20.0% $257,995 (53.4111 -1.3%
Community Services 910,824 1,423,443 1.170,704 (252,739) -17.8% 1.361.831 (61,612) -4.3%
Parks and Recreation 3,477,946 3,892,732 3.705.620 (187,112) -4.8% 4,086,236 193,504 5.0%
Library Services 805.938 841 510 849,510 8800 1.0% 905 449 63.939 7.6%
Community Svcs.Total $5,194,708 $6,157,685 $5,725,834 ($431.8511 -7.0% $6,353,516 $195,831 3.2%
Total Expenditures $38,481,661 $42,513,904 $42,369,950 ($143,954) -0.3% $43,789,728 $1,275,824 3.0%
Net Revenues $10,102,633 $3,920.011 $5.555.046 $1,635,037 $5,774.181 $1,854,17Q
Lease Proceeds SO $0 SO $0 SO
Transfers In 1,995.006 1,980,992 2,109 442 128,450 2,174,423
Transfers Out 010,650,0001 05,790,0001 ($11,050,0001 (5,260,000) ($7,600.000)
Total Other Sources(Uses) 168.654.9941 ($3.809.008) 168.940.5581 ($5.131.5501 ($5.425.5771
Beginning Fund Balance $12.601.730 $14,049,369 $14.049,369 $10,663.859
Residual Equity Transfer $0 S0 S0
Ending Fund Balance $14,049.369 $14,160.372 ;10.663.859 ;11,012.462
Fund balance percentage 36.51% 33.31% 25.17% 25.15%
GENERAL FUND
Strategic Initiative Fund
2022 Proposed and 2021 Revised Budget
0319 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 21322 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Interest 4444 841 35 000 9 000 (26,0001 -74.3% 9 500 125,5001 -72.9%
Total Revenues $44,841 $35,000 $9000 ($26,000) 0.0% $9,500 ($25,500) -729%
EXPENDITURES
Infrastructure Maintenance $0 $0 $0 SO 0.0% $0 0 0.0%
Community Enhancement 160,594 150,000 150,000 0 0.0% 200,000 50,000 33.3%
Technology Infrastructure 0 0 0 0 0.0% 0 0 0.0%
Capital Acquisition 46,573 0 0 0 0.0% 443,462 443,462 4434619900.0%
Total Expenditures $207,167 $150,000 $150,000 $0 0.0% $643,462 $493,462 329.0%
Net Revenues (S162.3261 ($115.0001 ($141A001 ($26,000) 1. ($518.9621
Transfer from other funds $7,350,000 $4,990,000 $8,750,000 $5,800,000
Transfer to other funds (7,200,0001 (5,500,0001 (5,625,000) (8.000,000)
Total Other sources/(uesel $150000 ($510,000)
Beginning Fund Balance $4,571,399 $4,559,073 $4,559,073 $7,543,073
Ending Fund Balance 94.559.074 $3.934.073 $7.543.073 $4
GENERAL FUND
Facility Maintenance
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Interest 90799 50 000 21.800 J28200) -56.4% 23,000 (27,0001 -54.0%
Total Revenues $90,799 $50,000 Snags ($28,200) 0.0% S?3,000 ($27,060) -54.0%
EXPENDITURES
Operations $0 $62.500 $62,500 SO 0.0% $0 (62,500) -100.0%
Capital 0 595.510 595.510 0 0.0% 308,237 (287,273) -48.2%
Total Expenditures $0 $658,010 $653,010 $0 0.0% $308,237 ($349,773) -53.2%
Net Revenues S222111 ($608.0101 0031.2101 ($28 200) jam, 371 S322.771
Transfer from other funds S1,500,000 $1,000,000 $1,000,000 S1,000,000
Transfer to other funds ($01 Imo) 1 01 J$0)
Total OtherSourcea/(Uaee) S1„100,000 $1,000,000 $1.000,000 $1000,000
Beginning Fund Balance $7,222.997 $8,813,796 $8,813,796 $9,177,586
Ending Fund Balance =UM§ $9205 7
GENERAL FUND
Economic Investment Fund
2022 Proposed and 2021 Revised Budget
03:19 PM
09/1M21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Interest 28.776 30,000 9.500 j20,500) -68.3% 10,000 (20.000) -66.7%
Total Revenues $28,776 $30,000 $9,500 ($20,500) 0.0% $10,000 ($20,000) -66.7%
EXPENDITURES
Operations 586.215 S50.000 $867,500 5817.500 1635.0% $232.500 182.500 365.0%
Capital 0 0) 0 0 0.0% 0 0 0.0%
Total Expenditures $86,215 $50,000 $867,500 $817,500 1635.0% $232,500 $182,500 365.0%
Net Revenues ($57.439) ($20 000) 4858.0001 ($fl380401 ($222.5001 ($202.5001
Transfer from other funds S 1 150.000 S150.000 $150,000 5150.000
Transfer to other funds L1 dal taQ1 ($0)
Total Other Sources/(Uses) $1 `] 0 000 $150.000 5150.000 11.50911
Beginning Fund Balance $2,432,718 $3,525.279 $3,525,279 S2,817.279
Ending Fund Balance Stailaa $3 655.27$ 51817 279 2 744 77$
GENERAL FUND
Technology Infrastructure and Security Fund
2022 Proposed and 2021 Revised Budget
0319 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Miscellaneous 541,611 420,000 420,000 0 0.0% 420,000 0 0.0%
Interest 49.793 35.000 15.000 (20,000) -57.1% 16.000 (19,000) -54.3%
Total Revenues $591,404 $455,000 $435,030 ($20,000) 0.0% $436,000 ($19,000) -4.2%
EXPENDITURES
Customer Enhancements 18,188 0 0 0 0.0% 0 0 0.0%
Information Security 0 0 0 0 0.0% 100,000 100,000 999999900.0%
Business Continuity 472,061 400,000 400,000 0 0.0% 925,000 525,000 131.3%
Security Equipment and Infrastructure 0 0 0 0 0.0% 383,250 383,250 3832499900.0%
Technology Infrastructure 570,789 405,000 405.000 0 0.0% Q (405,000) -100.0%
Total Expenditures $1,061,038 $805,000 $805,000 $0 0.0% 1,408,250 $503,250 62.5%
Net Revenues ($469.634) 050.000) !1370- 1 (520.000) 4922.25Q1 (S622.25Q1
Transfer from other funds $3,500,000 $1,500,000 $1,500,000 $500,000
Transfer to other funds - - - -
Total Other Sources/(Uses) 3.500.000 ULM.= Wain MEMO
Beginning Fund Balance $3,014,274 $6,044,640 $6,044,640 $7,174,640
Ending Fund Balance $6.044.64Q $7.194.640 Siladi0 $6.702.3$Q
UTILITY FUND
2022 Proposed and 2021 Revised Budget
03.19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Miscellaneous $166,794 $94,500 572,500 ($22,000) 0.0% $84,500 ($10,000) 0.0%
Interest Income 272,581 125,000 45,000 (80,000) -64.0% 47,500 (77,500) -62.0%
Water Sales-residential 16,100,190 14,995,100 16,203,841 1,208,741 8.1% 16,378,300 1,383,200 9.2%
Water Sates-commercial 4,711,513 4,520,400 4,709,900 189,500 4.2% 4,804,100 283,700 6.3%
Sewer Sales 8,456,203 8,250,000 8,351,000 101,000 1.2% 8,410.000 160,000 1.9%
Sanitation Sales 2,428,588 2,413,000 2,440.000 27,000 1.1% 2.483,000 70,000 2.9%
Other utility charges 408.055 395.800 280,800 015.000) -29.1% 400.800 5,000 1.3%
Total Revenues $32,543,924 $30,793,800 $32,103,041 $1,309,241 4.3% $32,608,200 $1,814,400 5.9%
EXPENSES
Debt Service 4,186,761 3,898,426 3,898.426 0 0.0% 3,329,147 (569,279) -14.6%
Utility Billing 600,934 622,370 621,570 (800) -0.1% 641218 18,848 3.0%
Water 11,720,168 13,346,930 13,346,930 0 0.0% 14,335,272 988,342 7.4%
Wastewater 5,492,187 6,082,494 6,082,494 (0) 0.0% 6,251,541 169,047 2.8%
Sanitation 1,849,418 1,855.200 1,974,000 118.800 6.4% 1,977.600 122.400 6.6%
Total Expenses $23,849,468 $25,805,420 $25,923,420 $118,000 0.5% $26,534,778 $729,358 2.8%
Net Revenues arataaifi WM= e6 179 621 %1 191 241 $6.073.42 $108.5042
Transfers In $0 $0 SO SO
Transfers Out 11,234,9451 (2,331,7521 j2,384,122) 52370 j9,432,328)
Total Other Sources(Uses) ($1.234.9451 ($2.3317521 f$2384.1221 49 4323281
Beginning working capital $13,064,160 $20,523,671 $20,523,671 $24,319,170
Ending fund balance S20.523.671 U3.180.292 j24.319.17Q 820.960.
No.of days working capital 314 328 342 288
STORM WATER UTILITY DISTRICT
2022 Proposed and 2021 Revised Budget
0319 PM
09/10/21
$Increase/ S Increase/
2020 2021 2021 (Decrease) 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decease Proposed Adopted -Decrease
REVENUES
Stormwater-residential $911,560 $911,000 $911,000 $0 0.0% SO13.000 $2,000 0.2%
Stormwater-commercial 648,735 653,800 653,800 0 0.0% 657 500 3,700 0.6%
Interest 17218 11 000 2 000 (9.000) -81.8% 2 100 (8,900) -80.9%
Total Revenues $1,577,513 $1,575,800 $1,566,800 ($9,000) -0.6% $1.572,600 ($3,200) -0.2%
EXPENDITURES
Personnel $299,387 $328,389 $332,389 $4,000 1.2% $355,882 $27,493 8.4%
Operations $324,581 $300,946 $296,946 (4,000) -1.3% $325,126 24,180 8.0%
Capital $Q 5o V 0 0 $q Q 0.0%
Total Expenditures $623,968 $629,335 $629,335 $0 0.0% $681,008 $51,673 8.2%
Net Revenues $951545 $946,465 , ,q65 (S9.0001 SKIM ($54.8731
Transfers Out (1.067.045) (1.487 641i (1_487.281) ($360) (236,763) (1,250,878)
Proceeds from C.O.Sale 0 0 Q
Total Other Sources(Uses) ($1 067 0451 ($1 487.6411 ($1.487.2811 f sN
Beginning Fund Balance $1,903,109 $1,789,609 Si 789.609 51,239,793
Ending Fund Balance ilaiMil $1 2484..13 $1,239793 Milian
DEBT SERVICE FUND
2022 Proposed and 2021 Revised Budget
03,19 PM
0911421
$Increase/ S Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Ad Valorem Taxes S6,154,505 $5.878,283 $5,878,283 $0 0.0% $5,395,275 ($483,008) -8.2%
Miscellaneous Income S0 SO SO $0 0.0% $0 $0 0.0%
Interest Income 77,486 55,000 MIL 149,0001 -89.1% 6.300 (48.700) -88.5%
Total Revenues $6,231,991 $5,933,283 f6,M{,= ($49,000) -0.8% $5,401,575 ($531,708) -9.0%
EXPENDITURES
Principal $6,506,675 $6,766,201 $6,766,201 SO 0.0% $4.675.306 ($2,090,895) -30.9%
Interest $1,216,124 $853,720 $853,720 0 0.0% $651,326 (202,394) -23.7%
Admin.Expenses $10,912 $19.500 $19.500 0 0.0% S19,500 Q 0.0%
Total Expenditures $7,733,711 $7,639,421 $7,639,421 $0 0.0% $5,346,132 ($2,293,289) -30.0%
Net Revenues f$1 501 7211) ($1.706.138) 01 745 1381 1$49.000) $55.143 $1 761 581
Transfers In 174,243 174,609 174,609 0 173,859
Transfer Out 0 0 4 0
Total other Sources/(Dees) $174.2,0 117..4Sda 112.4AIXI $173.85g
Beginning Fund Balance S5,963,041 $4,635,564 $4,635,564 $3,055,035
Ending Fund Balance $4.S0A.24 $3,1(34.434 Ii3.115L035 $3.2 4.337
SPECIAL REVENUE FUND
Reforestation
2022 Proposed and 2021 Revised Budget
0319 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease PrOpOSed Adopted -Decrease
REVENUES
Permits/Fees $10,017 $5,000 $10,000 $5,000 100.0% $5,000 $0 0.0%
Miscellaneous 0 0 0 (0) -100.0% 0 0 0.0%
Interest 651 500 75 1425) -85.0% 80 14201 -84.0%
Total Revenues $10,668 $5,500 $10,075 $4,575 832% $5,080 ($420) -7.6%
EXPENDITURES
Parks and Recreation $0 $0 $0 $0 0.0% $0 0 0.0%
Reforestation 38,548 25 000 25,000 0 0.0% 0 (25,000) -100.0%
Capital 0 0 0 0 0.0% 0 0 0.0%
Total Expenditures $38,548 $25,000 S25,000 $0 0.0% $0 ($25,000) -100.0%
Net Revenues f$27 880) ($19.5001 514.9251 $4.575 sum $24,580
Transfer to other funds SO $2
Tots Other Sources/(Uses) $0 $Q ;Q ;Q
Beginning Fund Balance $63,032 $35,152 $35,152 $20,227
Ending Fund Balance S.1112 575.652 120222 si07
SPECIAL REVENUE FUND
Library Donations
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
S Increase/ S Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Donations $4,653 $4,000 $4.000 $0 0.0% $4,000 $0 0.0%
Interest 126 12 50 (751 -60.0% 70 (55) -44.0%
Total Revenues $4,779 $4.125 $4,050 ($75) -1.8% $4,070 ($55) -1.3%
EXPENDITURES
Special Projects $2,984 $8,000 $5,000 ($3,000) -37.5% $8,000 0 0.0%
Library supplies 0 0 0 0 0.0% 0 0 0.0%
Capital 0 0 Q 0 0.0% 0 0 0.0%
Total Expenditures $2,984 $8,000 $5,000 ($3,000) -38% $8,000 $0 0.0%
Net Revenues 10.795 ($3.8251 fa S2 m5 AIM =1
Transfer to other funds SO SO O SO
Total Other Sources/(Uses) EQ N0 El 162
Beginning Fund Balance S9.528 Si) 323 S11,323 S10,373
Ending Fund Balance $11.323 $7.448 S10.371 Saila
SPECIAL REVENUE FUND
Park Dedication
2022 Proposed and 2021 Revised Budget
03 19 PM
09/14,21
S increase/ S Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Permits/Fees $563,559 S90 000 $277,000 S187,000 207.8% $90,000 $0 0,0%
Miscellaneous 0 0 0 0 0.0% 0 0 0.0%
Interest 15,305 5 000 11 900 j3,1001 -62.0% 2 100 12,9001 -58 0%
Total Revenues $578,864 $95,000 $278,900 $183,900 193.6% $92,100 ($2,900) -3.1%
EXPENDITURES
Parks and Recreation $0 $0 S0 $0 0.0% S0 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 $578,664 95 Q00 $7 , 44 $1.83.900 122.1011 j$2.9001
Transfer from other funds SO SO SO S0
Transfer to other funds (S370,000) SO SO (S480 000)
Total Other Sources/(Uses) 1$370.000( $Q $Si j$480.0001
Beginning Fund Balance $1,043,756 Si 252,620 $1,252,620 S1,531,520
Ending Fund Balance $1.252.62Q $1.347.62Q $1.531.520 $1.143.62Q
SPECIAL REVENUE FUND
Park and Recreation
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Donations/Sponsorships $15,424 $31.000 $12,000 ($19,000) -61.3% $46,500 $15,500 50.0%
Miscellaneous 0 0 0 0 0.0% 0 0 0.0%
Interest 2 040 1 250 500 (750) -60.0% gra (650) -52.0%
Total Revenues $17,464 $32,250 $12,500 ($19,750) -61.2% $47,111, $14,850 46.0%
EXPENDITURES
Parks and Recreation $16,749 $72.500 $25,000 ($47,500) -65.5% $72,500 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 $16,749 $72,500 $25,000 ($47,500) -65.5% $72,500 $0 0.0%
Net Revenues $715 L440250) (S12500 $27.75Q =SIM 1111121
Transfer from other funds SO Su SO $0
Transfer to other funds S0 SO SO .
Total Other Sources/(Uses) $Q $Q fig 10
Beginning Fund Balance S158.742 S159 457 S159.457 $146,957
Ending Fund Balance $159.457 $1,A217 $146.957 t121 7
TIF OPERATING FUND
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Ad Valorem $10,753,022 $9,955,195 $9,818,337 ($136,858) -1.4% $10,080,279 $125,084 1.3%
Interest Income $38,551 $9,000 $3,800 ($5,200) -57 8% $3,990 ($5,010) -55.7%
Total Revenues $10,791,573 $9,964,195 $9,822,137 ($142,058) -1.4% $10,084,269 $120,074 1.2%
EXPENDITURES
Personnel $201,311 $265,953 $265 953 $0 0.0% $275,632 $9,679 3.6%
Operations $7,920,352 $7,694,900 $7.008,044 (686,856) -8.9% $7,363.423 (331,477) -4.3%
Capital $595,991 $2,486,530 $2,486,530 0 0 0% $1,415,000 (1,071,530) -43.1%
Total Expenditures $8,717,654 $10,447,383 $9,760,527 ($686,856) -6.6% $9,054,055 ($1,393,328) -13.3%
Net Revenues $2,0 3,919 J$483.1881 561.610 S544.798 $1.030.214 $1.513.402
Transfers Out-General Fund 0 0 0 0
Transfers Out-Debt Service 0 0 0 0
Total Other Sources(Uses) 1.Q IQ $2
Beginning Fund Balance $2,925,978 $4,999,897 $4.999,897 $5 061 507
Prior period adjustment
Ending Fund Balance S4.999.897 $4,516 709 $5.061.507 $S 091.721
CRIME CONTROL DISTRICT FUND
2022 Proposed and 2021 Revised Budget
0319 PM
09114/21
$Increase/ S Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Sales Tax $1,921,480 $1,749,330 $1.970.000 $220,670 12.6% $1.999,550 $250,220 14.3%
Miscellaneous Income $0 $0 S0 $0 0.0% SO ($0) 0.0%
Interest Income $50.708 $38,000 $4500 j$33,5001 -88.2% $4,725 j$332751 -87.6%
Total Revenues $1,972,188 $1,787,330 $1,974,500 $187,170 10.5% $2,004,275 $216,945 12.1%
EXPENDrrURES
Personnel $1,039,106 $1,144,884 $1,144,884 $0 0.0% $1,171,691 $26,807 2.3%
Operations $439,756 $177,146 $177.146 0 0.0% $576.814 399,668 225.6%
Capital $ $420,000 $143,309 1276,6911 -65.9% $65,000 1355,0001 -84.5%
Total Expenditures $1,478,862 $1,742,030 $1,465,339 ($276,691) -15.9% $1,813,505 $71,475 4.1%
Net Revenues $493.34 85.1QQ $509.161, aaill. $190.77Q $145"470
Transfers In-SPDC $0 $0 SO SO
Transfer out-Crime Control CIP ($400,000) $0 SO ($1,000.000)
Transfers Out-General Fund 179,0401 (71,4931 j71,493) (80.171)
Total Other Sources(Uses) ($479.040) (571-493) 1571.4931 151.080.1711
Beginning Fund Balance S4.432.572 $4,446,858 $4.446.858 $4,884,526
Ending Fund Balance $4.446.85g $1.$21fili $3.995.12§
SPDC - OPERATING FUND
Parks/Recreation
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Sales Tax $7,908,601 $7,120,000 $8,020,000 $900,000 12.6% $8,140,300 $1,020,300 14.3%
Rental Income 115,368 153,824 153,824 0 0.0% 153,824 0 0.0%
Interest 96.206 60.000 8 000 (52,000) -86.7% 8 400 (51,600) -86.0%
Total Revenues $8,120,175 $7,333,824 $8,181,824 $848,000 11.6% 58,302,524 $968,700 13.2%
EXPENDITURES
Personnel $248,352 $257,508 $257,508 $0 0.00/ $278,743 $21,235 8.2%
Operations $1,142,888 $1,258,980 $1,262,180 3,200 0.3% $1,366,480 107,500 8.5%
Capital $39,761 $45,200 $45,200 0 0.0% $190,200 145,000 320.8%
Total Expenditures $1,431,001 $1,561,688 $1,564,888 $3,200 0.2% $1,835,423 5273,735 17.5%
Net Revenues 56.689.174 $5,772.136 $6.818.936 MIMI 88.467.101 $694.965
Transfers Out (7 113.484) (5,108,577) (5.142,497) S33 920 (7,128,897) 2.020,320
Proceeds from C.O.Sale 0 0 0 0
Total Other Sources(Uses) 47.113.4841 ($5.108.577) (85.142.4971 157.128.8971
Beginning Fund Balance $9,805,326 $9,381,016 $9,381,016 $10,855,455
Ending Fund Balance $9.381.016 $10.044.575 $10.855.455 ;10.193.659
SPDC - DEBT SERVICE FUND
Parks/Recreation
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Interest Income $24.382 $17,000 $1,800 ($15.2001 -89.4% $1,9O0 ($15.1001 -88.8%
Total Revenues $24,382 $17,000 $1,800 ($15,200) -89.4% $1,900 ($15,100) -88.8%
EXPENDITURES
Principal $2,050,000 $2,165,000 $2.165.000 $0 0.0% 92,272,000 $107,000 4.9%
Interest 768,270 650,224 650.224 0 0.0% 524.796 (125,428) -19.3%
Admin.Expenses 5.302 6 000 6 000 0 0.0% 6.000 Q 0.0%
Total Expenditures $2,823,572 $2,821,224 $2,821,224 $0 0.0% $2,802,796 ($18,428) -0.7%
Net Revenues (12 799 190) ($2.804 2241 ($2819.4241 $Q gliZaKaaftl ($18 4281
Bond Proceeds $0 $0 $0 $0
Transfers In $2,818,269 $2.815,224 $2 815 224 0 izzasisk
Total Other Sources(Uses) Ro R1R 26$ i2 815 224 $7 815.2243
Beginning Fund Balance $1,881,254 $1,900,333 $1,900.333 $1,$%133
Ending Fund Balance $L30 333 $1 911 333 $1 896 133 alaillii
SPECIAL REVENUE FUND
Court Technology
2022 Proposed and 2021 Revised Budget
03 19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Fines and forfeitures $27,294 $21,500 $21.500 $0 0.0% $24.125 $2,625 12.2%
Interest 4 721 3 000 1 000 (2,000) -66.7% 1.300 (1,700) -56.7%
Total Revenues $32,015 $24,500 $22,500 ($2,000) -8.2% $25,425 $925 3.8%
EXPENDITURES
Personnel $0 $0 $0 SO 0.0% SO 0 0.0%
Operations 157,584 37,830 37,830 0 0.0% 8,830 (29,000) -76.7%
Capital 0 0 0 0 0.0% 0 0 0.0%
Total Expenditures $157,584 $37,830 $37,830 $0 0.0% $8,830 ($29,000) -76.7%
Net Revenues 1$125.5691 (S13.3301 f$15.3301 1$2.0001 $16.595 $29.925
Transfer to other funds $ S
Total Other Sources/(Uses) $,Q $Q $Q $Q
Beginning Fund Balance $417,814 $292,245 $292,245 $276,915
Ending Fund Balance $292.24$ $278.915 $276.915 $293.51Q
SPECIAL REVENUE FUND
Court Security
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase 2022 (Decrease) %Increase!
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Fines and forfeitures $26,860 $20,500 S20.500 $0 0.0% $23.000 $2,500 12.2%
Interest 5,228 3,000 1,000 (2,000) -66.7 1300 (1,700) -56.7%
Total Revenues $32,088 $23,500 $21,500 ($2,000) -8.5% $24,300 $800 3.4%
EXPENDITURES
Personnel $23,639 $47,021 $47,021 $0 0.0% $58,145 11,124 23.7%
Operations 6,382 12,220 12,220 0 0.0% 14,290 2.070 16.9%
Capital 0 Q 0 (0,1 -100.0% 0 0 0.0%
Total Expenditures $30,021 $59,241 $59,241 ($0) 0.0% $72,435 $13,194 22.3%
Net Revenues ,$2,21.2 1$35.7411 ($37.741) ($2.0001 ($48.135) ($12.3941
Transfer to other funds R0 50 50
Total Other Sources/(Uses) El $0 $Q $Q
Beginning Fund Balance $429,429 $431,496 $431,496 $393.755
Ending Fund Balance $431.49f $395 755 $393355 $ fr.620
SPECIAL REVENUE FUND
Commercial Vehicle Enforcement
2022 Proposed and 2021 Revised Budget
0319 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Fines and forfeitures $23,724 $25,000 $15,000 ($10,000) -40.0% $25,000 $0 0.0%
Interest 992 700 200 (500) -71.4% 300 (400). -57.1%
Total Revenues $24,716 $25,700 $15,200 ($10,500) -40.9% $25,300 ($400) -1.6%
EXPENDITURES
Personnel $136,578 $145,226 $145,226 $0 0.0% $148,944 3,718 2.6%
Operations 12,098 8,148 8,148 0 0.0% 8,151 3 0.0%
Capital 0 0 0 0 0.0% 0 0 0.0%
Total Expenditures $148,676 $153,374 $153,374 $0 0.0% $157,095 $3,721 2.4%
Net Revenues ($123.9601 ($127.674) J$138.1741 ($10.5001 ($131.7951 ($4.1211
Transfer from other funds $150,000 $150.000 $150,000 0 $150,000
Total Other Sources/(Uses) $150.000 $150.000 $150.000 $150.000
Beginning Fund Balance $43,493 $69,533 $69,533 $81,359
Ending Fund Balance $69.533 $91.859 SSt•359 $99.564
SPECIAL REVENUE FUND
Hotel Occupancy
2022 Proposed and 2021 Revised Budget
03'.19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Taxes $742,620 $390,320 $813,700 $423,380 108.5% $963,855 $573,535 146.9%
Interest 19.293 12.000 4.000 (8,000) -66.7% 4400 17,600) -63.3°/
Total Revenues $761,913 $402,320 $817,700 $415,380 103.2% $968,255 S565,935 140.7%
EXPENDITURES
Personnel $194,613 $219,723 $219,223 ($500) -0.2% $230,811 11,088 5.0%
Operations 446,491 627,189 627,689 500 0.1% 629,939 2,750 0.4%
Capital 0 0 0 0 0.0% 30.000 30.000 299999900.0%
Total Expenditures $641,104 $846,912 S846,912 $0 0.0% $890,750 $43,838 5.2%
Net Revenues $120.809 ($444.5921 L=21 $415.38Q =WA $522.097
Transfer to other funds j$26,089) (16,093) 432.7091 (183.968)
Total Other Sources/(Uses) (526.0891 ($16 093) 1
Beginning Fund Balance $1.739,615 $1,834,335 $1,834,335 $1,772,414
Ending Fund Balance 51.834.= $1.373.65Q $1 772414
GENERAL FUND
Recycling
2022 Proposed and 2021 Revised Budget
03 19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase, 2022 (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 1142 500 100 (400) -80.0% 125 1 1 -75.0%
Total Revenues $7,142 $6,500 $6,100 ($400) -6.2% $6,125 ($375) -5.8%
EXPENDITURES
Special Projects $3,000 $3,000 $5,600 $2,600 86.7% $5,600 2,600 86.7%
Recycling Supplies 0 0 0 0 0.0% 0 0 0.0%
Capital 0 0 0 0 0.0% 0 0 0.0%
Total Expenditures $3,000 $3,000 $5,600 $2,600 86.7% $5,600 $2,600 86.7%
Net Revenues $1142 fa1522 15QQ ($3.0001 tb.525 ($2.975)
Transfer to other funds $ S0
Total Other Sources/(Uses) $Q $0 SD $Q
Beginning Fund Balance $66,253 $70,395 $70,395 $70,895
Ending Fund Balance $ZQ,325 $73.8 5 $70.895 $71.42Q
Red Light Camera Fund
2022 Proposed and 2021 Revised Budget
03 19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Fines and forfeitures $1,428 $0 $0 $0 0% SO $0 0.0%
Interest Income 9.137 5.000 1.100 {$3.9001 -78% t24Q 1$3.8001 -76.0%
Total Revenues $10,565 $5,000 $1,100 ($3,900) $1,200 $0
EXPENDITURE$
Personnel $0 $0 $0 0 0% $0 0 0.0%
Operations 60,264 157,705 157,705 0 0% 128,705 (29,000) -18.4%
Capital - 0 0 0 0% 0 0 0.0%
Total Expenditures $60,264 $157,705 $157,705 $0 0% $128,705 ($29,000) -18.4%
Net Revenues ($49.6991 ($1523051 (S156-6051 (S3.9001 (S12750.51 $25,2Q12
Transfers In- $0 0 0 0 $0
Transfers Out- 0 0 Q Q (100.0001 ($100,000)
Total Other Sources(Uses) SQ $Q IQ sQ (S1OQ,QQQI
Beginning Fund Balance $756,526 $706,827 $706,827 S550,222
Q 0 Q Q
Ending Fund Balance $706.827 $554.122 1
Public Art
2022 Proposed and 2021 Revised Budget
03:19 PM
09114/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) )Increas/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted Decreasr Proposed Adopted -Decrease
REVENUES
Miscellaneous $10 $0 $0 $0 0.0% SO $0 0.0%
Interest Income $7,605 $8.500 ifLail ($2.3001 -27.1% 55.000 ($3,500) -41_2%
Total Revenues $7,615 $8,500 $6,200 ($2,300) $5,0 D $0
EXPENDITURES
Operations $52,788 $68,100 $68,100 $0 0.0% $68.100 $0 0.0%
Capital $4 $0 $4 4 0.0% $4 0 0.0%
Total Expenditures $52,788 $68,100 $68,100 $0 0.0% $68,100 $0 0.0%
Net Revenues ($45.173) ($59.6001 ($51.9001 ($2.3001 ($63.100) ($3.500)
Transfers In-Hotel $0 0 0 0 145,238 $145,238
Transfers Out- 1100.0001 (100.000) (100.0001 4 (100.000) $0
Total Other Sources(Uses) ($100,0001 ($100.0001 ($100.000) IQ $45 23$
Beginning Fund Balance $645.991 $500,818 $500,818 $338,918
0 0 0 0
Ending Fund Balance $500.818 $.34.1.218 $338.914 1,171,0,51
CEDC - OPERATING FUND
Parks/Recreation
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2222 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Sales Tax $5,858,223 $5,254,816 $5,930,500 $675,684 12 9 S6.006,255 $751,439 14.3%
Charges for Services 2,002,651 2,308,918 2,336,855 27,937 12% 2,885.854 576,936 25.0%
Interest 96.146 68.000 j,QQQ (56,000) -82,4% 12,600 (55.400), -81.5%
Total Revenues $7,957,020 $7,631,734 $8,279,355 $647,621 8.5% $8,904,709 $1,272,975 16.7%
EXPENDITURES
Personnel $1,813,267 S2.606.214 $2,606,214 $0 0.0% $2,729,159 $122,945 4.7%
Operations $1,321,199 $1,584,147 $1,513,808 (70,339) -4.4% $1,640,580 56,433 3.6%
Capital $ ;Q 0 0.0% lg Q 0.0%
Total Expenditures $3,134,466 $4,190,361 S4,126,622 ($70,339) -1.7% $4,369,739 $179,378 4.3%
Net Revenues ;4,822.554 ;3.441.373 )717.96Q Mai= 31.093.597
Transfers Out (296,917) (305,269) (331,174) S25.905 (356,188) 50,919
Transfer out-Replacement Fund (160,000) (160,000) (160,000) SO (160,000) 0
Transfer Debt Service (2.429.9061 (2,436,806) 12.436.8061 SO (2.451.0561 14.250
Total Other Sources(Uses) ($2.886 8231 1E2.902.07% amuse )25.905 few 67.2441 $65.16Q
Beginning Fund Balance $7,612,917 S9,548,648 $9,548,648 $10,780,001
Ending Fund Balance 59.548.648, )10.087.946 519.7IW1
CEDC - REPLACEMENT FUND
Parks/Recreation
2022 Proposed and 2021 Revised Budget
0319 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Interest 1 101 0 500 500 4999900.0% 500 4999900.0%
Total Revenues $1,101 $0 $500 $500 0.0% $500 $500 4999900.0%
EXPENDITURES
Operations $0 $0 $0 $0 0.0% $0 0 0.0%
Capital 0 0 0 0 0.0% 135.171 135,171 1351709900.0%
Total Expenditures $0 $0 $0 $0 0.0% $135,171 $135,171 675854950.0%
Net Revenues $1.101 j$,Q,l $OQQ $OQQ 0134671‘ f$134.6711
Transfer from other funds $160,000 $160,000 $160,000 $160,000
Transfer to other funds ($0) ($01 ($0) ($01.
Total Other Sources/(Uses) 5160.000 $160.000 $160.000 5150-040
Beginning Fund Balance $0 $161,101 $161,101 $321,601
Ending Fund Balance $161 101 $321 101 t 21 601 MUM
CEDC - DEBT SERVICE FUND
Parks/Recreation
2022 Proposed and 2021 Revised Budget
03:19 PM
09/14@1
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase! 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Interest Income $9.036 $5 000 $1.000 ($4.0001 -80.0% $1.050 1$3.9501 -79.0%
Total Revenues 99,036 $5,000 $1,000 ($4,000) -80.0% S1,050 (53,950) -79.0%
EXPENDITURES
Principal $1.340.000 1,410,000 $1,410,000 $0 0.0% 81,475,000 $65,000 4.6%
Interest 1,102,406 1,018,806 1,018,806 0 0.0% 968,056 (50,750) -5.0%
Admin.Expenses 5 000 8 000 8,000 0 0.0% Mg Q 0.0%
Total Expenditures $2,447,406 $2,436,806 $2,438,806 S0 0.0% $2,45t,8 $14,250 0.6%
Net Revenues ($2 438,3201 ($241.8061 agAilfillin ;Q 42.450.0061 $.14.2 Q
Bond Proceeds $0 $0 $0 $0
Transfers In $2.429.906 $2.436.806 $2.436.806 0 $2.451 056
Total Other Sources(Uses) $2,422.20 $2. r5ir�N6
Beginning Fund Balance $674.71 i $566 249 $566,249 $567.249
Ending Fund Balance 5662Q9 5571-249 SWUM 16111241
VEHICLE REPLACEMENT
2022 Proposed and 2021 Revised Budget
03.19 PM
09/14/21
$Increase/ $Increase/
2020 2021 2021 (Decrease) Increase 2022 (Decrease) %Increase/
Actual Adopted Amended Adopted Decrease Proposed Adopted -Decrease
REVENUES
Miscellaneous $3,988 $60,000 $0 ($60,000) -100.0% $60,000 $0 0.0%
Interest Income $87,574 $58,000 $64,000 $6.000 10.3% $58,000 $0 0.0%
Total Revenues $91,562 $118,000 $64,000 ($54,000) $118,000 ' $0
EXPENDITURES
Capital $1,511.828 $2,233.000 $2.233.000 0 0.0% $2.077,000 (156,000) -7.0%
Total Expenditures $1,511,828 $2,233,000 $2,233,000 $0 0.0°% $2,077,000 ($156,000) -7.0%
Net Revenues f$1.420.2661 j$2.115.0001 ($2,169,0001 1$54,000). ($1,959,0001 $156.000
Transfers In-General Fund $2,000,000 500,000 2,000,000 1,500,000 1.500.000 $1,000,000
Transfers Out-Debt Service 0 0 0 0 0 $0
Total Other Sources(Uses) $2.000.000 $500.000 $2,000.000 $1 $1.500,000 lg
Beginning Fund Balance $5,890,029 $6,469,763 $6,469,763 $6.300.763
Ending Fund Balance $6.469.763 $4,854.763 $6.300.763 $5.841.763
ALL FUNDS SUMMARY
2022 Proposed and 2021 Revised Budget
0319 PM
09/1U11
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2022 (Decrease) %Increase/
Actual Adopted Avarmeded Adopted -Decrease Proposed Adopted -Decrease
REVENUES
Ad Valorem Taxes $31,227,369 931.459.808 $31,459,808 $0 0.0% 932,057,651 $597,843 1,9%
Sales Tax 31,349.289 28,436,146 32,086,500 3,650,354 12.8% 32,551,555 4.115,409 14.5%
Hotel Tax 742.620 390,320 813,700 423.380 108 5% 963,855 573,535 146.9%
Franchise Fees 2,811,573 2,891,360 2,736,841 (154,519) -5.3% 2,825,446 (65,914) -2.3%
Fines 902,159 922.000 910,000 (12,000) -13% 925,625 3,625 04%
Charges for Services 2,908,672 3,308,848 3,262,487 (46,361) -1 4% 4,078,191 769,343 23 3%
Rental Income 115,368 153,824 153,824 0 0.0% 153,824 0 0,0%
Permits/Fees 2,916,187 1,359,100 1,501,160 142,000 10.4% 1,297,100 (62,000) -4.6%
Miscellaneous 1,440,486 960,500 888,400 (72,100) -7 5% 966,000 5,500 0.6%
Water Sales-residential 16,100,190 14,995.100 16,203,841 1,208,741 8.1% 16,378,300 1,383,200 9.2%
Water Sales-commercial 4,711,513 4,520,400 4,709,900 189,500 42% 4,804,100 283.700 6.3%
Stormwater-residential 911,560 911.000 911,000 0 00% 913,000 2,000 0.2%
Stormwater-commercial 648,735 653,800 653,800 0 0.0% 657,500 3,700 06%
Wastewater Sales 8,456,203 8,250,000 8,351,000 101,000 1.2% 8.410,000 160,000 1.9%
Sanitation Sales 2,428,588 2,413,000 2,440,000 27.000 1 1% 2,483,000 70,000 2.9%
Other Utility Charges 408,055 395,800 280,800 (115,000) -29.1% 400,800 5,000 1.3%
TIF Dstnct 10,753,022 9,955,195 9,818,337 (136,858) -1.4% 10,080,279 125,084 1.3%
Interest Income 1 316 819 820.575 294.025 1526,5501 -64,2% 299.740 1520 8351 -63.5%
Total Revenues 6120.148.408 $112 796.779 8117.475.363 $4 678.587 4.1% 11111211116 $7.449.189 6.6%
EXPENDITURES
City Secretary $472,590 $546,266 5560.266 $14,000 2.6% $579,151 $32,885 6 0%
Human Resources 777,951 863.641 878 141 14,500 1.7% 898,627 34,986 4.1%
City Manager 956,629 1,070,995 946.914 (124,081) -11.6% 1,039,414 -31,581 -2.9%
Information Technology 3.799,520 3,777,743 3.778.823 1,080 0.0% 4,586,530 808,787 21.4%
Communications 440,649 504,296 502,941 (1,355) -0.3% 556,057 51,761 10.3%
Support Services 1.883 405 1 970 635 2 150 336 179.701 9 1% 2.044.091 73 456 3.7%
General Gov Total $8.330.744 $8.733,576 $8,817,421 WM§ 1.o% MALL& $970.294 11.1%
Finance 1,363,969 1,530,920 1,533,920 3,000 0.2% 1,578,154 47,234 3.1%
Municipal Court 701,641 771.980 774,180 2,200 0.3% 797,220 25.240 3.3%
Teen Court 150.745 169 409 161 409 18.0➢121 -4.7% 169 129 (83) 0 0%
Finance Total 12216.3ti6 $2,472,309 $2.469.509 J -0.1% $2,544,700 $72,391 29%
Fire 9,152,392 9.748,872 10,038,523 289,651 30% 9,901,234 152,362 16%
Police 6,379445 7,442,895 7,159.645 (283,250) -3.8% 7,621,868 178,973 24%
Public Safety Support 1 438 994 1.512 464 1 5E.5214 5215Q 3.5% 1.529.464 17,000 1 1%
Public Safety Total $16.970.831 $18.704.231 $ $59.151 0.3% raigniff tW). 1.9%
Streets/Drainage 1,380,159 1,153.847 1,098,848 (54,999) -48% 1,128,593 (25,254) -2.2%
Public Works Admin 1,519,257 1,795,633 1,861,533 65,900 3.7% Z041,100 245,467 13.7%
Facility Maintenance 1,6413,517 1,710,176 1,898,176 188,000 11.0% 1,769,222 59,046 3.5%
Utility Billing 603,934 625,370 627,170 1,800 0.3% 646,818 21,448 3.4%
Water 11,720,168 13,346,930 13.346,930 0 0.0% 14,335,272 988,342 7.4%
Wastewater 5,492,187 6,082,494 6,082,494 (0) 0.0% 6,251,541 169,047 2.8%
Sanitation 1 849.419 1 855-200 1.974.Q912 J 18 800 6.4% 1.977.800 122 400 6.6%
Public Works Total 11)4213.640 926.569.650 326.889.151 $319.501 1296 $28.150.144 91,580.496 5.9%
Budding Inspections 1,096,482 1211.183 1.205.183 (6,000) -0.5% 1,170,606 (40.577) -3.4%
Planning 1 035 617 1 118 858 1 125 858 7.444 0.6% 1 175.81Q 56,952 5 1%
Planning and Dev Total $2.1132 099 $2.330.041 $2331.041 $1.000 0.0% WAIN $16.375 0.7%
Economic Development 150 079 761 409 2Q9.706 152 2001 -20.0% 251.295 134111 -1 3%
Economic Div.Total $150.029 $261,406 $209.206 J$52.2001 -20.0% $I$(A ($3.411) -1.3%
Community Services 910,824 1,423,443 1,170,704 (252,739) -17.8% 1.361,831 (61.612) -4.3%
Parks and Recreation 4.964,244 5,551,920 5,320,508 (231,412) -4 2% 5.994,159 442,239 8.0%
Library Services 808.922 949 510 954 510 5.10Q 0 6% 913.449 63 939 7.5%
Community Svcs.Total AMAIN $7.824.873 ILMCLZaa ($479"1671 -6.1% AMIN 444.566 5.7%,
gxPENDnTUREs.cont
TIF District 8,717,654 10,447,383 9,760,527 (686,856) 100.0% 9,054,055 (1,393,328) -13.3%
Crime Control District 1,478,862 1,742,030 1,465,339 (276,691) -15.9% 1,813,5/35 71,475 4.1%
Vehicle Replacement 1,511,828 2,233,000 2,233,000 0 0 0% 2,077,000 (156,000) -7.0%
Court Security 30,021 59,241 59.241 (0) 0.0% 72,435 13,194 22.3%
Court Technology 157,584 37.830 37,830 0 0.0% 8,830 (29,000) -76.7%
ALL FUNDS SUMMARY
2022 Proposed and 2021 Revised Budget
09"19 PM
09/14121
$Increase/ $Increase/
2020 2021 2021 (Decrease) %Increase/ 2922 (Decrease) %Increase/
Actual Adopted Aeswi/d Adopted -Decrease Proposed Adopted -Decrease
Stormwater Utility District 623,968 629,335 629,335 0 0.0% 681,008 51,673 82%
Strategic Initiative 207.167 150,000 150,000 0 0 0% 84$.M2 493,462 329.0%
Hotel Occupancy Tax 641,104 846,912 846,912 0 0.0% 890,750 43,838 52%
Public Art 52,788 68.100 68,100 0 0.0% 68.100 0 0.0%
Red Light Camera 60,264 157,705 157,705 0 0.0% 128.705 (29,000) -18.4%
Facility Maintenance - 658,010 658,010 0 0.0% 308.237 (349,773) -53.2%
Commercial Vehicle Enforcement 148,676 153,374 153,374 0 0.0% 157,095 3321 2.4%
Economic Investmest 86,215 50,000 867,500 817,500 1635.0% 232,500 182,500 365.0%
Community Enhancment Dev Corp 3,134,466 4,190,361 4,120,022 (70,339) -17% 4,504.910 314,549 7.5%
Debt Service 17 191.45Q 16.795,877 16 795 877 Q 0.0% 13 929 131 (2,966 7461 -17.1%
Total Expenditures 694.739.735 6105.115.244 Inianaki fS216,7011 -0.2% 5104.894.856 4220.3691 -0.2%
Net Revenues t26408.673 ta.R8]S.12 112.1117.111 54.965.627 115.351 11Q
Bond/Insurance Proceeds $0 $0 $0 $0 $0 $0
Transfers In $23,227,424 $15,857,631 00 $21,246,081.00 $5,388,450 S17,001,37176 $1,143,741
Transfers Out ($31 127 4261 1823-307 6311 $28 R21 0821 ($5 513 451) (937 309 3791 .114 001 7411
Total Other Source.(Uses) S7 9 1 r1n21 (57.450 0001 ell_ 0811 f$125.0011 It20 308 0001 ($12 858 0001
Net<h.1qs in wm components $0 S0 $0 S0
Beginning Fund Balance $89,270,396 5106,779,067 6108,779,067 $111,851,225
Prior Period Adjustment SO $0 $0 $0
Residual Equity Transfer SQ SQ SQ $Q
Ending Fund Balance S106.779.067 S107.010.594 ;111.351,22§ 5106.ffik334
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Mobility
North White Chapel Additional funding is requested to widen White Chapel Boulevard from Emerald Boulevard to Highland Street.White Chapel Boulevard will
be widened to the ultimate 4-lane divided section and will include grading,drainage,public and franchise utilities,retaining and screening
Boulevard-Emerald to walls.paving,landscape,imgation and electric.The County participation for this project is$2.1 million.included in prior funding.The
Highland County will reimburse the City as paving efforts are completed.
2022-01c General $23.185,000 $500 000 SO S0 S0 $0 $0 $23,685,000
Fund
Sidewalks in Southlake are guided by a master plan that includes recommendations for sidewalk and trail segments across the City.
Using the master plan as a guide.sidewalks ultimately get built one of four ways: 1. As an element of City road or park project,2.As part
of private construction projects;3. Through neighborhood retrofits;and,4. Through the citywide pathway program which identifies infill
Citywide Pathway sidewalk construction opportunities based on a pnontized project list that considers available right of way.construction feasibility,proximity
Improvements to schools and parks and potential connections between neighborhoods and other uses.
Funding requested in the capital budget supports the Citywide Pathway program and funds for right of way acquisition,engineering design,
and construction of sidewalks at various locations throughout the City
2022-02 General $4,576,000 $200,000 $200,000 $200,000 $200,000 $200,000. $200,000 $5,776,000
Fund
Street Rehabilitation •Funding is requested to continue the Citywide pavement rehabilitation program.This program is based on an annual condition assessment
Required by Pavement•conducted by a third party.This assessment feeds the City's Pavement Quality Index(POI),which is the foundation for prioritizing
Management pavement rehabilitation projects.The PQI is also an essential element of the City's annual financial audit.
Application(PMA)
2022-03 General $15,854.000 $1,415,000 $1,434.000 $1,505.000 $1.581,000 $1660.000 $1,743,000 $25,192,000
F,.nd
Street Rehabilitation Funding is requested to continue the rehabilitation of asphalt streets in partnership with Tarrant County.Tarrant County provides labor and
Participation Program equipment to rehabilitate the sub grade for several selected asphalt roads eachyear while Citycrews mill
(Joint Project with o g p pave,stripe,and install curbing.
99/o of respondents to the most recent Citizen Survey listed maintaining local streets and roads as important.
Tarrant County)
2022-04 General $3.550,000 $368,000 $386,000 $406,000 $426,000 $447.000 $470,000 $6,053,000
Fund
North White Chapel Funding is requested for the reconstruction of the roadway on North White Chapel between Emerald Boulevard and FM 1709.The
Boulevard-Emerald to roadway condition has an estimated Pavement Quality Index(PQI)of 59-64 and will need a pavement rehabilitation.The PQI values are
FM 1709 rough estimation of the pavement's condition.
2022-05 General SC $200,000 $1,000,000 SO $0 $0 $0 $1.200,000
Fund
FM 1709 Deceleration Funding is requested to design and construct deceleration lanes along East Southlake Boulevard at Byron Nelson Parkway and West
Lanes at Byron Nelson Southlake Boulevard at Southridge Lakes Parkway.This project includes landscaping modifications. Will seek potential funding
and Southridge Lakes partnership with the North Central Texas Council of Governments(NCTCOG).
2022-06 General $1.000.000 $200.000 $0 $0 $0 $0 $0 $1.200.000
Fund
FM 1938 at West Funding is requested for right of way,new traffic signal.right turn lane,and other paving improvements to improve the alignment of this
Continental Boulevard intersection based on recommendations of a engineering study of this intersection. Drainage improvements will also be included with this
project,specifically the improvement of Critical Drainage Structure#18. These improvements will help alleviate current traffic backups
Intersection during peak hours on west-bound West Continental Boulevard at FM 1938. In addition,the project will also include landscape and
Improvements irrigation improvements
2022-07c General $900 000 $400 000 S2 000 000 50 SO SO $0 $3,300,000
Fund
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Storm Water
2022-07c Utility $0 S0 $800 000 $0 $0 SO S0 $800 000
System
Total $900,000 $400,000 $2,800,000 $0 $0 $0 $0 $4,100,000
1
Corridor Safety Funding is requested to evaluate and improve upon existing mobility system within the City to provide enhanced safety for motorists and
Improvements pedestrians along FM 1709 and other City Corridors.
i
Red Light
2022-08 Camera S0 $100.000 $0 $0 $0 $0 SO $100 000
Fund
Funding is planned for traffic improvements including new medians,new turn lanes and lane realignments,new pavement markings and
North Carroll Avenue improved intersections This project will improve traffic flow in the North Carroll Avenue corridor between Southlake Boulevard and State
Corridor Highway 114 and enhance pedestrian safety.
General
2022-09 Fund SO SO $720,000 SO SO SO SO S;20 100
State Street& Funding is planned for traffic improvements including a curbed island and new pavement markings at the intersection of State Street and
Frontage Road- State Highway 114.The improvements are based on the recommendation of a traffic study.This project will improve access at the
Intersection intersection and enhance pedestrian safety
2022-10 General SO S0 $160 000 SC S0 $0 $0 $160 000
Fund
Funding is requested for the design and construction of the improvements at Kirkwood Boulevard and West Dove Road intersection.
Kirkwood Boulevard Funding is also requested to complete the fourth leg of the intersection at Kirkwood Boulevard and Dove Road,improve pedestrian
facilities,replace street lights and install landscaping enhancements along the Kirkwood Boulevard corridor from State Highway 114 to
Intersection Dove Road.
Improvements and
Urban Enhancements Note.Enhancements along Kirkwood Boulevard from Stockton Drive to Tyler Street were included in the completed Kirkwood Boulevard
Widening Project recently completed.
2022-11 General $2.300 000 $500,000 $0 $0 SC S0 $0 $2,800,000
Fund
Creekside Drive Funding is requested for grading to facilitate drainage and to replace drainage structures on Creekside Drive. The roadway has significant
Drainage surface damage,requiring reconstruction which will take place upon completion of the drainage structures.Drainage work will improve
Improvements stormwater drainage ditches along both sides of the street as well as creek crossings and reconstruction of driveways and culverts.
2022-12c General $400,000 $450 000 SO SO $0 SC SO S850 000
Fund
Storm Water
2022-12c Utility $450.000 $50.000 SO SO SC SC SC S500 J00
System
Total S850,000 $500,000 $0 $0 $0 $0 $0 $1,350,000
FM 1709 and Pearson Funding is requested for the engineering design,right-of-way acquisition,and construction of the intersection improvements at East
Lane Intersection Southlake Boulevard and Pearson Lane/Union Church Road.This will be a joint project with the City of Keller who will share 25%of the
Improvements costs of the project. The proposed funding plan is reflective of the City of Southlake's 75%project share.
General SO $840.000 $1.215.000 SO SO SO SO S2.055.000
Fund
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Roadway
2022-13c Impact Fee $0 $120,000 $0 $0 $0 $0 $0 $120,000
Fund
Storm Water
2022-13c Utility $0 $0 $140,000 $0 $0 $0 SO $140.000
System
Total $0 $960,000 $1,355,000 $0 S0 $0 $0 $2,315,000
City Roadway Fundingis requested for right-of-way,new traffic si nal right turn lane and other pavingimprovements to improve alignment of this
Intersection Capacity q g g p p g
intersections based on recommendations of preliminary engineering study of this intersection.
Improvements
Roadway
2022-14 Impact Fee Si 100 000 $200,000 $210,000 $220,000 $232,000 $245,000 $255,000 $2,462,000
IFund ;
Mustang Court
Industrial Area Access Funding is requested for study and design related to access improvements for the Mustang Court Industrial Area
Improvements
2022-15 General $0 $50,000 SO SO SO SO SO $50.000
Fund
Shady Oaks Drive and Funding is planned for the engineering design and construction of the intersection improvements at Shady Oaks Drive and West Highland
West Highland intersection.The intersection is currently experiencing a"D"Level of service during morning peak times.This intersection was identified as
Intersection needing improvement in the Citywide Intersection Analysis conducted in 2017.
Improvements
2022-16c General S0 $0 $160,000 $350,000 $600,000 $0 $0 $1,110,000
Fund
Roadway
2022-16c Impact Fee $0 $140,000 $0 $0 $0 S0 $0 $140,000
Fund
Total $0 5140,000 $160,000 $350,000 $600,000 $0 $0 $1,250,000
Continental Boulevard Fundingis planned for right of wa engineering design.construction,art and landscaping of a planned roundabout at the Continental
and South Peytonville g y' g g g p g
Boulevard and South Peytonville Avenue intersection.Drainage improvements will also be included with this project.specifically the
Avenue Intersection improvement of Critical Drainage Structure#19.
Improvements
2022-17c General $0 $0 $250,000 $1,040,000 SO $0 $0 $1,290,000
Fund
2022-17c Utility Fund $0 $0 $0 $200,000 $0 $0 $0 $200,000
Roadway
2022-17c Impact Fee $200,000 $500.000 $200.000 $760,000 $0 $0 $0 $1,660,000
Fund
Storm Water
2022-17c Utility SO $0 $150,000 $250,000 $0 $0 $0 $400,000
System
Total $200.000 $500,000 9600,000 $2,250,000 $0 SO $0 $3,550,000
Brumlow Avenue
Widening and Bike
Lane construction Funding is planned for the future widening of Brumlow Avenue from Continental Boulevard to State Highway 26 to its ultimate pavement
from Continental section(four lanes divided).Bike lanes will also be constructed to facilitate connectivity to the Cotton Belt Trail.
•Boulevard to State
Highway 26
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
2022-18 General $0 $0 $750,000 $2.250,000 $5,000.000 $0 $0 $8.000.000
Fund
South Village Center Funding is planned for engineering design and construction of a two-lane undivided connector.as identified on the City's Mobility&
Roadway Connector Thoroughfare Master Plan,to allow Georgetown Park and future developments vehicular access to the traffic signal at Nolen Drive and
from Kimball Avenue East Southlake Boulevard.
to Nolen Drive
2022-19 General $500,000 $0 $525,000 $575,000 $800,000 $800.000 $0 $3,200,000
Fund
Kirkwood Boulevard
Connector from Funding is planned for right of way,engineering design and construction of a connector for Kirkwood Boulevard from the Carillon Phase 5
Carillon Phase 5 terminus to the Highland Street and Kirkwood Boulevard intersection.This project will require the construction of a bridge across the flood
Terminus to the plain.
Highland I Kirkwood
Intersection
2022-20 General $0 S0 S0 $0 $0 $0 $9,750,000 $9,750,000
Fund
South Carroll Avenue Funding is planned for the widening of Carroll Avenue from Breeze Way to just south of East Southlake Boulevard(adjacent to the Shops
Widening from Breeze of Southlake)to its ultimate pavement section of a four-lane divided road.
Way to FM 1709
G2022-21 enderal S0 S0 SO S0 SO $0 $9,250,000 $9,250,000
Fu
South Village Center
Roadway Connector Funding is planned for design and construction of the remainder of the Village Center Connector from the west property line of Kimball
from west property line Oaks to Southwood Way.
of Kimball Oaks to
Southwood Way
2022-22 General S0 S0 SO Sn S0 $0 $5,000.000 $5.000,000
Fund
Mobility Total $54,015,000 $6,233,000 $10,300,000 $7,756,000 $8,839,000 $3,352,000 $26,668,000 $117,163,000
Water
The American Water Infrastructure Act(AWIA)requires community water systems serving more than 3,300 people to develop or update
Water and Wastewater risk assessments and emergency response plans(ERPs) The law specifies the components that the risk assessments and ERPs must
System Risk and address.and establishes deadlines by which water systems must certify to the Environmental Protection Agency(EPA)the completion of
the risk assessment and ERP. Southlake's risk assessment and ERP will be complete no later than December 2021..in accordance with
Resiliency the law.This requested funding is to support initial engineering service requirements to meet these standards.Future projects will be
Improvements(AWIA/ identified and programmed as part of future capital projects or operational funds. In addition.the 87th State of Texas
SB3) p g p p j p Legislature passed
SB3 which overlays requirements on water utilities related to emergency preparedness and planning. This request will establish a fund to
address the most critical items as prioritized by both AWIA and SB3 requirements.
2022-23 -Jnd S0 S 50 000 S0 S0 $0 S0 $0 $750.000
Funding is requested for the Colleyville/Southlake emergency water distribution system interconnection located in the west parkway of
Interconnection with Pleasant Run.The interconnection is to be used for emergency purposes only and will be activated if either Colleyville or Southlake cannot
City of Colleyville provide water to its respective community as normally expected.This project is funded 90%by Colleyville for design and 50%by
Colleyville participation for construction
2022-24 Utility Fund $313.000 $100.000 SO SO S0 S0 SO S413 000
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Funding is requested to install chlorine residual control systems in the City's three existing groundwater storage reservoirs(GSRs)located
Water Quality at the Pump Stations.This item is a recommendation of the Freese&Nichols Water Quality Evaluation from July 2017.Southlake
Improvements-Install purchases its drinking water from the City of Fort Worth and is at the outreach of its distribution system.It is the responsibility of the City of
Residual Control Southlake,as the water purveyor.to maintain drinking water quality throughout the distribution system to all of Southlake's customers.
Systems in the City's Installing these control systems will allow the City to sample,monitor,and dose disinfectant to enhance drinking water quality in the event
Ground Storage of an emergency or during periods of low demand.This will ensure public health and emergency preparedness,mitigate emergency
Reservoirs(3) flushing and unnecessary water loss.Maintaining water quality positively impacts resident health and ensures the City maintains its
"Superior"water rating by the Texas Commission on Environmental Quality(TCEQ)
Utility Fund $2.100.000 $500.000 $550,000 $1.150.000 SO $0 $0 $4,300.000
Shady Oaks 12-inch Funding is requested for the construction and right-of-way acquisition of a 12-inch water line along Shady Oaks Drive from Highland Street
Water and 8-inch to West Dove Road and an 8-inch sewer line along Shady Oaks Drive from Highland Street to Fox Glen.This project received prior
Sewer Lines(Phase I) funding from the FY 2009 sewer impact fees and FY 2017 Utility Fund.
2022-26c Utility Fund $1.500,000 $278,000 SO SO SO SO $0 $1,778,000
Sanitary
2022-26c Sewer $300,000 $222,000 $0 SO SO $0 $0 $522,000
Impact Fee
Total $1,800,000 $500,000 $0 $0 $0 $0 $0 $2,300,000
Waterline and
Drainage Funding is requested for the engineering design and construction of drainage improvements near the intersection of North Peytonville
Improvements at North Avenue and Raven Bend Court.Significant runoff across this intersection creates a safety hazard during high-intensity rain events.Project
Peytonville Avenue also includes installation of 12-inch waterline.
near the intersection
with Raven Bend
2022-27c Water $0 $200,000 $0 $0 SO SO S0 $200,000
Impact Fee
Storm Water
2022-27c Utility $500,000 $50,000 $0 $0 $0 $0 $0 $550,000
System
Total $500,000 $250,000 $0 $0 $0 $0 $0 $750,000
12-inch Water line
along East Highland
Street from North
Carroll Avenue to
North Kimball Avenue Funding is planned for right of way,engineering design and construction of a 12-inch water line along East Highland Street from North
Carroll Avenue to North Kimball Avenue to replace existing 6-inch water line segments Upsizing this line will improve service to the local
[Previously named residents.This project has been identified as a project in the Southlake 2030 Water Master Plan.
"Upsize existing 6-inch
to 12-inch Water line
along East Highland
from Blythe Lane to N.
Kimball Avenue"]
2022-28c Utility Fund $0 $0 $1,550,000 $0 S0 SO, $0 $1.550,000
2022-28c Water $0 $0 $552,000 $0 $0 $0 $0 $552,000
Impact Fee
Total $0 $0 $2,102,000 $0 $0 $0 $0 $2,102,000
Water System
Improvements--5.0 Funding is requested for the engineering design and construction of a 5.0 million gallon ground storage tank and pump at T.W.King Pump
MG Ground Storage Station#2.The completion of this project will increase water flow and pressure to the north and east portions of the City.Inflationary and
Consumer Price Index increases have been added to the funding request to account for cost growth since the 2012 Water System
Tank#2 at T.W.King Analysis cost estimate.
Pump Station#2
2022-29c Water SO $300 000 S0 S0 SO SO SO $300 000
Impact Fee
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Storm Water
2022-29c Utility $150,000 $0 $25,000 $200,000 $0 $0 $0 $375,000
System
2022-29c Utility Fund $0 $0 $1,200,000 $1.500,000 $0 $0 $0 $2,700,000
Total $150,000 $300,000 $1,225,000 $1,700,000 $0 $0 $0 $3,375,000
System Capacity Funding provides staff and Council with resources to reimburse developers for the oversizing of water lines to meet the requirements of the
Improvements(Water)-Southlake 2030 Water Master Plan in cases where the developer is not required to provide the ultimate size of the line to serve proposed
Future Projects developments.
2022-30 Water $775,000 $105,000 $110,000 $115,000 $122,000 $128.000 $135,000 $1,490,000
Impact Fee
12"Water Line along
Union Church/ Funding is planned for engineering design,right-of-way,and construction of a 12-inch water line along Union Church and Pearson Lane
Pearson from FM 1938 from FM 1938 to FM 1709
to FM 1709
2022-31 ✓ater S700 000 $0 $1,100.000. $0 SO $0 $0 $1,800,000
Impact Fee
12-inch Water line
along Shady Oaks I Funding is planned for right-of-way,engineering design,and construction of a 12-inch water line along Shady Oaks Drive from Fox Glen to
Drive from Fox Glen to West Dove Road.This project follows the 12-inch water line project paralleling Shady Oaks from Highland Street to Fox Glen(Phase I)
West Dove Road Phase II is the continuation to the north from Fox Glen to West Dove Road.
(Phase II)
2022-32 Utility Fund SO SO $400 000 $450,000 $650,000 $0 $0 $1,500,000
12-inch Water line
along Randol Mill Funding is planned for right of way.engineering design and construction to upsize an existing 8-inch water line to 12-inch along Randol Mill
Avenue from Morgan Avenue from Morgan Road to Dove Road.
Road to Dove Road
2022-33 Utlty Lind SO $0 $350,000 $1,500,000 $0 $0 $0 $1,850,000
Funding is planned for right-of-way,engineering design and construction of an 8-inch water line to connect the dead-end water lines
8-inch Water line along located at Brooks Court and East Bob Jones Road This project will create a looped water system,improving water quality and fire
Bob Jones Road to protection within this region.This item was not part of Southlake 2030,but later identified in the Water Quality
Walnut Brooks and
g Study produced by Freese
and Nichols,Inc.
2022-34 Utility Fund $0 $0 $300,000 $600,000 $900,000 $01 $0 $1,800,000
8-inch Water line from Funding is planned for right-of-way,engineering design,and construction of an 8-inch water line to connect the dead-end water lines
Walnut Grove terminus located at Walnut Grove and the Bob Jones Dog Park.This project will create a looped water system,improving water quality and fire
to E.Bob Jones Dog protection within this region.This item was not part of Southlake 2030 but later identified in the Water Quality Study produced by Freese
Park and Nichols,Inc.
2022-35 Utility Fund SO $0 $500.000 $700.000 $700,000 SO $0 $1.900,000
12-inch Water line
along North
Peytonville from Funding is planned for right-of-way.engineering design and construction of a 12-inch water line along North Peytonville from Concho Court
Concho Court to to Southridge Lakes Parkway to increase capacity in this region and to compensate for development and growth.
Southridge Lakes
Parkway
2022-36 Utility Fund SO SO $01 $0 $65,000 $550,000 $0 $615.000
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Repainting of the Funding is planned to repaint the Florence Elevated Storage Tank.The paint on the water tower is from the original construction in 2005,
Florence Elevated with an expected life of 20 years.Though inspections have identified minor deterioration on the interior.these issues can be addressed
Storage Tank individually. The interior and exterior coatings are still in good shape
2022-37 Utility Fund S0 S0 $0 $0 $400.000 $1.050.000 $0 $1.450,000
12-inch Water line
along East Continental Funding is planned for right of way,engineering design,and construction of a 12-inch water line along East Continental Boulevard to
Boulevard to Breeze Breeze Way
Way
2022-38 utility Fund S0 $0 $0 $0 $100,000 $800,000 $0 $900 000
Repainting of the Dove Funding is planned to repaint the Dove Elevated Storage Tank.The paint on the water tower was applied in 2006
Elevated Storage Tank
2022-39 Utility Fund $0 SO SO $0 $0 $400,000 $1,125,000 $1,525,000
Repainting of the
Bicentennial Park Funding is planned to repaint the Bicentennial Park Elevated Storage Tank.The paint on the water tower was applied in 2007
Storage Tank
2022-40 Utility Fund SO SO $0 SO $0 $400,000 $1,200,000 $1,600.000
Water Total $6,338,000 $2,505,000 $6,637,000 $6,215,000 $2,937,000 $3,328,000 $2,460,00
Sewer
System Capacity Funding provides staff and Council with resources to reimburse developers for the oversizing of sanitary sewer lines to meet the
Improvements(Sewer) requirements of the Southlake 2030 Wastewater Master Plan in cases where the developer is not required to provide the ultimate size of
Future Projects the line to serve proposed developments
Sanitary
2022-41 Sewer $850 000 $75,000 $80,000 $85,000 $90,000 $95,000 $100,000 $1,375,000
Impact Fee
East Highland/Kimball Funding is requested for right-of-way,engineering design.and construction of a 8-inch sewer line along East Highland Street from
8-inch Sewer Line Stanhope Court to North Kimball Avenue.This line will provide sewer service availability to the local residents.
Sanitary
2022-85 Sewer SO 5100 000 S50 000 S131 000 50 SO SO $281 000
Impact Fee
Funding is planned for engineering design and construction to replace existing 12-inch,10-inch,and 8-inch interceptor lines with 15-inch
15-inch Sewer Line in and 10-inch lines in Basin N-12 and N-12a along Dove Creek south of State Highway 114.This sewer line crosses State Highway 114 to
Basin N-12 and N-12a serve the Milner Tract,Methodist Hospital.Summerplace,and Chapel Downs.
2022-42 Utility Fund $0 $0 $500,000 $500,000 $500,000 $0 $0 $1,500,000
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
8-inch Sewer line in Funding is planned for right-of-way,engineering design,and construction of an 8-inch sanitary sewer line to extend service for future
Basin N-18 along development west along Keystone Drive then south along White Chapel Boulevard. The proposed 8-inch sewer line will provide service to
White Chapel planned mixed-use developments along State Highway 114 in Basin N-18
Boulevard
2022-43 Utility Fund $0 $0 $150.000 $200,000 $300.000 $0 $0 $650,000
8-inch Sewer Line in Funding is planned for right-of-way.engineering design,and construction of an 8-inch sanitary sewer line to provide service to planned
Basin S-03 South of mixed-use developments along State Highway 114 and also provide service to properties in Basin S-03 currently on septic systems(Lake
SH 114 Wood Acres Subdivision).
2022-44 Uubty-,And S0 S0 S0 S0 SO $0 $550,000 $550.000
Sewer Total $850,000 $175,000 $780,000 $916,000 $890,000 $95,000 $650,000 $4,356,000
Stormwater
Sanitary Sewer Funding is requested to mitigate erosion at critical wastewater infrastructure.such as manholes and sewer mains,at drainage/creek
crossings.Re-stabilization of the embankment is necessary in order to provide proper protection/support of the infrastructure and prevent
Infrastructure Erosion a wastewater overflow.Such an event(wastewater overflow)would create a negative and unpleasant environmental impact to the
Protection stormwater system and aquatic life.
Storm Water
2022-45 Utility $0 $2,000,000 S0 S0 S0 $0 $0 $2,000,000
System
Gateway Lakes Park Funding is requested for the engineering and construction of drainage improvements in Gateway Lakes Park.One of the ponds in the
Drainage Gateway Lakes Park is in danger of breaching due to significant erosion near the embankment and immediately downstream.The
Improvements& engineering tasks will include a drainage study to design a spillway for the pond.gabion channel armoring downstream and the
Bridge Replacement replacement of two pedestrian bridges
Storm Water
2022-46c Utility $350,000 $450,000 SO S0 SO S0 $0 $800,000
System
Park
2022-46c Dedication $0 $250,000 S0 $0 S0 $0 $0 $250,000
Fund
Total $350,000 $700,000 $0 $0 $0 $0 $0 $1,050,000
Morgan Road Drainage Funding is requested to design and construct a drainage ditch.culvert and channel along Morgan Road.Due to the current slope and
design,Maintenance has been performed multiple times throughout the past years.Field and drainage investigation has been performed
Improvements to determine that the current system is best to be redesigned topreventpotential floodingdamages topublic andprivate property.
Y 9 9 P P rtY
Storm Water
2022-43 Utility S0 S50 000 $250 000 SO SO SO SO S300 000
System
Funding is requested for the implementation of recommendations from the storm water master plan focused on regional detention
Drainage Basin o ortunitie t
Enhancements pp s atstrategic locations around the City. The intent of this project is to allocate funds to purchase land or participate with
developers to incorporate regional detention into future open space
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Storm Water
2022-48 Utility $300,000 $50,000 $50,000 $50,000 $50,000 $50,000 $50,000 $600 000
System
1 �
System Capacity Funding provides staff and Council with resources to reimburse developers for the oversizing of storm water lines to meet the requirements
Improvements(Storm of the Southlake 2030 Water Master Plan in cases where the developer is not required to provide the ultimate size of the line to serve
Water)-Future proposed developments
Projects
Storm Water
2022-49 Utility $100,000 $50,000 $50,000 $50,000 $50,000 $50,000 $50,000 $400,000
System
Funding is planned for the design and construction of a new bridge along North White Chapel Boulevard over Kirkwood Creek Branch
The flood and feasibility studies for the permanent solution to span these branches are currently underway. This section of roadway
North White Chapel flooded in May 2015 due to heavy rainfall and overflow from Lake Grapevine and was closed for approximately seven weeks The road
Bridge Replacement at was overtopped most recently in September 2018 and underwent six months of repair before reopening.The roadway was also closed in
Kirkwood Branch/ March 2020 due to flooding.
South Kirkwood
Branch The proposed funding plan assumes full City of Southlake funding for the project.However.the City is exploring funding partnership
options that would lower the City's portion of funding.If those partnerships are successful,future funding plans will reflect only the City's
portion of the cost,showing a reduction from the current plan.
2022-50c Utility Fund $0 $01 $150,000 $600,000 $0 S0 $0 $750,000
Storm Water
2022-50c Utility $2.675,000 $0 $1.375,000 $1,500,000 $3,075,000 $0 $0 $8,625,000
System
Total $2,675,000 $0. $1,525,000 $2,100,000 $3,075,000 $0 $0 $9,375,000
Simmons Court
Drainage Funding is planned for the design and construction of gabions along Simmons Court in order to stop erosion and correct the exposure of
Improvements/Erosion City sanitary sewer lines.
Control
Storm Water
2022-51 Utility S400 000 $0 $50 000. S300.000 501 SO SO S750 000
System
Drainage
improvements at North Funding is planned for engineering,design and construction for the drainage improvements between 1330 North Peytonville to Post Oaks
Peytonville from 1330 Creek.Improvements include installation of storm water lines,box culverts and curb inlets.
North Peytonville to
Post Oaks Creek
Storm Water
2022-52 Utility $450 000 SO SO $0 $500,000 $800,000 $2,400,000 $4,150,000
System
Dove Creek at North Funding is planned for the design and construction of drainage improvements.The proposed improvements include the construction of five
10-foot x 7-foot box culverts,raise and replace the roadway,clear and grade the channel,and install channel stabilization consisting of
Carroll Avenue interlocking concrete blocks.
Storm Water
2022-53 Utility 50 SO $0 $0 $500,000 $500,000 $1 50 000 S1 750 000
System
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Big Bear 6 at East Funding is planned for the design and construction of drainage improvements The proposed improvements include the construction of
Continental Boulevard four additional 12-foot x 8-foot box culverts,raise and replace the roadway,and clear and grade the channel.
Storm Water
Su Utility SO SO SO 5125 000 $100 000 SO SO $225 000
System
Big Bear 8 at West Funding is planned for the design and construction of drainage improvements.The proposed improvements include the construction of six
Continental Boulevard additional 12-foot x 8-foot culverts,raise and replace the roadway,clear and grade the channel,and install channel stabilization.
Storm water
2022-55 Utility 50 SO $0 $250,000 $1,000,000 $0 $1,250,000
System
Funding is planned for the design and construction of drainage improvements at Dove Creek at East Dove Road.The proposed
Dove Creek at East improvements include the construction of fifteen 10-foot x 7-foot box culverts,raise and replace the roadway.clear and grade the channel.
Dove Road and install channel stabilization consisting of interlocking concrete blocks
Storm Water
2022-56 Utility SO $0 SO SO $0 $500,000 $2,000,000 $2,500,000
System
The purpose of this item is to provide for a minimum balance of$200,000 annually within the Southlake Parks Development Corporation
SPDC Matching Funds (SPDC)Capital Budget in support of the City's SPDC Matching Funds Program as per the recommendations of the Parks and Recreation
Board and SPDC.The current available funding is shown in the"Total Prior Funding"column.
2022-57 SPDC Fund $278 323 SO SO S0 S0 $0 $0 $278,323
Parks Land The purpose of this item is to establish a project fund to provide cash for the acquisition of land for open space and park use as per the
Acquisition adopted Southlake 2035 Parks,Recreation&Open Space Master Plan.
2022-58 SPDC Fund $0 $1.500.000 $0 $0 $0 SO $0 $1,500,000
Funding is requested for the design and development of a pickleball complex within Bicentennial Park as per the adopted Southlake 2035
Bicentennial Park Parks,Recreation&Open Space Master Plan. Scope includes:pickleball courts,fencing,lighting,pavilion/shade structures,benches,
tables,chairs,landscape.hardscape,imgation,trail connectivity and other park amenities.
2022-59 SPDC 6 and $0 $1,250,000 $0 $0 $0 $0 $0 $1,250,000
Funding Total Prior Beyond I
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Funding is requested for the design and development of Southlake Sports Complex improvements as per the adopted Southlake 2035
Parks,Recreation&Open Space Master Plan. Scope includes:synthetic turf at expanded large field,synthetic turf on baseball fields,
Southlake Sports demo of existing metal building,concession/restroom building,pavilions and shade structures,parks maintenance and storage building,
fully accessible playground,trail development and connectivity,fitness stations.batting cages,entry feature,field and common area
Complex improvements,parking,two park entrances,drop off zone.fencing,landscape&irrigation enhancements,public art,park amenities,the
inclusion of the current Public Works Service Center site as additional park and open space to include pickleball courts,sand volleyball
courts,drainage enhancements,pond and pond amenities.playground,trails,pavilion and shade structures,and park amenities.
2022-60 SPDC Fund $10,700,000 $1,250,000 $4,000,000 $2,750,000 $8,000,000 $0 $0 $26,700,000
Funding is planned for the design and development of improvements at Bob Jones Park as per the adopted Southlake 2035 Parks,
Recreation&Open Space Master Plan.The project scope includes improvements such as:park aesthetics;softball complex spectator
areas,restrooms and concession building;soccer complex restrooms and concession/park maintenance building;athletic fields:
Bob Jones Park equestrian area,shade structures;parking;landscaping;tree planting;irrigation:water elements at equestrian area and dog park:softball
Improvements complex playground;fencing;trail connectivity and marking;park and wayfinding signage;enhanced park entrances;park and parking lot
lighting;park amenities;park maintenance/storage building improvements,new pavilions/restrooms,public art,expanded trails,water
bottle refill stations,additional parking,pickleball courts.expansion of athletic fields,and conversion of grass athletic fields to synthetic turf
where appropriate.
2022-61 SPDC Fund S0 S0 S0 SO $0 $0 $28.000,000 $28,000,000
Liberty Park at Funding is planned for the design and development of improvements at Liberty Park at Sheltonwood as per the as per the adopted
Sheltonwood Southlake 2035 Parks.Recreation&Open Space Master Plan The project scope includes water well for pond,park amenities.
playground,expand parking,trail connectivity and improvements,volleyball court improvements.park and educational signage,expand
Improvements existing pond,exercise stations along trail,trail distance markers,and pedestrian corridor from parking to center of the park.
2022-62 SPDC Fund SO SO SO SO SO $0 $2,800,000 $2,800,000
North Park Funding is planned for the design and development of improvements at North Park as per the as per the adopted Southlake 2035 Parks.
Recreation&Open Space Master Plan The project scope includes:additional parking,potential fourth athletic field,trail connectivity and
Improvements distance markers,water bottle refill station.shade structure,additional public art.and park amenities.
2022-63 SPDC Fund 50 S0 S0 S0 $0 $0 $1,500,000 $1,500,0001
Koalaty Park Funding is planned for the design and development of improvements at Koalaty Park as per the adopted Southlake 2035 Parks.
Recreation&Open Space Master Plan. The project scope includes:park restroom,shade structures,seating areas,park amenities,
Improvements vehicle dropoff,decorative bollards and lighting where appropriate.and g glandscape improvements
2022-64 SPDC Fund S0 S0 S0 50 S0 SO 5925 000 5925 000
Funding is planned for the design and development of improvements at Central Park as per the adopted Southlake 2035 Parks.
Recreation&Open Space Master Plan. The city will work with the adjacent property owner(Shops of Southlake),and other stakeholders
Central Park on the development of a final concept plan that incorporates the recommended improvements.FY 2022 project scope includes:developing
concept plan through construction documents for park improvements to include a new arched central entrance,landscape and hardscape
Improvements improvements,potential interactive water component and public art. Additional improvements to be considered long term include an ice
skating nnk during the holiday season.allowing vendor kiosks,and the feasibility of a pedestrian bridge across FM 1709 to connect
Southlake Town Square to the Shops of Southlake.
2022-65 SPDC Fund $200,000 $0 $1,300,000 $0 S0 SO $0 $1,500,000
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Funding is planned for the design and development of improvements at Family Park within Southlake Town Square as per the adopted
Family Park Southlake 2035 Parks,Recreation&Open Space Master Plan. Current project scope includes'Complete park redevelopment,landscape,
hardscape.park amenities,fountain enhancements,bollards at Fountain Place and outdoor collaborative workspace.
2022-66c SPDC Fund SO $0 $0 $1,450,000 $1,450,000 SO $0 $2,900,000
Tax
2022-66c Increment $0 $0 $0 $1,450,000 $1,450,000 $0 $0 $2,900,000
Reinvestme
nt Zone#1
Total $0 $0 $0 $2,900,000 $2,900,000 $0 $0 $5,800,000
Funding is planned for the design and development of improvements at McPherson Park within Southlake Town Square as per the
adopted Southlake 2035 Parks,Recreation&Open Space Master Plan. This project would be driven by future Town Square development
adjacent to the Granite office building. Current project scope includes park redevelopment,reshaping pond to increase usable space,
McPherson Park promenade.gateway park entry features,hardscape path and seat wall around pond,terraced steps to the pond,great lawn,crushed
stone pathways,stronger connection to the hotel,water features,feature fountains in pond,sculptures,and enhanced parking and access
to the park.
2022-67c SPDC Fund SO SO SO SO SO $0 $2.250,000 $2,250,000
Tax
2022-67c Increment SO SO SO SO $0 $0 $2,250,000 $2,250,000
Reinvestme
nt Zone#1
Total $0 $0 $0 $0 $0 $0 $4,500,000 $4,500,000
Funding is planned for the design and development of improvements at Chesapeake Park as per the as per the adopted Southlake 2035
Chesapeake Park Parks.Recreation&Open Space Master Plan The project scope includes:park restroom,pavilion,tennis,pickleball and/or basketball
Improvements courts,trail connectivity,park signage,landscape improvements,playground shade structure,fence improvements,additional parking,
exercise stations,bike racks and other park amenities.
SPDC Fund SO SO SO SO SO $0 $2,600,000 $2,600,000
Lonesome Dove Park Funding is planned for improvements at Lonesome Dove Park as per the adopted Southlake 2035 Parks,Recreation&Open Space
Master Plan. The project scope includes.exercise stations,pedestrian bridge improvements,wayfinding and educational signage,and
Improvements park amenities.
2022-69 SPDC O and SO S0 S0 S0 S0 S0 S435 000 S435 000
Royal&Annie Smith Funding is planned for the design and development of improvements at Royal&Annie Smith Park as per the adopted Southlake 2035
Parks,Recreation 8 Open Space Master Plan. The project scope includes:passive uses such as frisbee golf or other,signage,trail
Park Improvements connectivepark restroom,water bottle refill station,and ty park amenities.
2022-70 SPDC Fund SO SO SO $0 SO $0 $530,000 $530,000
Carillon Parks
(Corporate Park,Lake Funding is planned for improvements at Carillon parks as per the adopted Southlake 2035 Parks.Recreation&Open Space Master Plan.
Park,The Preserve Project scope includes:trail signage,lighting and distance markers,park signage,water bottle refill stations,tree planting/irrigation,and
Park,Villa Park North park amenities.
&Villa Park South)
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
2022-71 SPDC Fund $0 $0 $0 $0 $0 $0 $450,000 $450.000
Noble Oaks Park Funding is planned for improvements at Noble Oaks Park as per the adopted Southlake 2035 Parks,Recreation&Open Space Master
Improvements Plan. The project scope includes:park and educational signage,additional park amenities and water bottle refill station
2022-72 SPDC Fund S0 SO SO SO SO $0 $85,000 $85,000
Oak Pointe Park Funding is planned for the design and development of improvements at Oak Pointe Park as per the adopted Southlake 2035 Parks.
Improvements Recreation&Open Space Master Plan. The project scope includes.trail expansion and connectivity and park amenities.
2022-73 SPDC Fund SO SO SO SO SO $0 $95 000 $95.000
Funding is planned for the design and development of improvements at The Cliffs Park the as per the adopted Southlake 2035 Parks,
The Cliffs Park Recreation&Open Space Master Plan The project scope includes:trail connectivity and distance markers,off street parking,pedestrian
Improvements crossing at White Chapel Blvd..water bottle refill station,tree planting,irrigation,gazebo.trail lighting,playground,park signage and park
amenities.
2022-74 SPDC Fund S0 $0 S0' SO S0 $0 $1,070,000 $1.070.000
Community
Enhancement
Public Art Master Plan The purpose of this item is to establish project fund to implement the Southlake 2035 Public Art Master Plan.
Implementation
2022-75 Public Art $425,000 $100,000 $100,000 $100,000 $100,000 $100.000 $100,000 $1,025,000
Fund
Funding is requested for the design and implementation of recommendations identified by the City of Southlake's ongoing Americans with
Americans with Disabilities Act(ADA)Transition Plan. Under Federal law,municipal governments are required to: provide accessibility to individuals with
Disabilities Act(ADA) disabilities:correct existing issues inside buildings,in public rights of way,and in public parks;and maintain ADA compliance annually for
Citywide existing infrastructure as well as facilities constructed with new development.This will be an annual program to maintain Federal ADA
Improvements compliance and to address ADA concerns identified in public buildings,along sidewalks,at intersections and in parks located within the
City. (Project incorporates the Pedestrian Safety Project funded in fiscal year 2017)
2022-76 ,General $400,000 $50,000 $50.000 $50,000 $50.000 $50,000 $50.000 $700.000
Fund
The purpose of this item is to establish a project fund for the construction of four entry features at key locations in the City as identified in
the Major Corridors Urban Design Plan.Priority locations include FM 1709 near the Southlake/Keller City limits,Brumlow Avenue near
City Entry Features Highway 26,FM 1938(north and south directions)near the city limits of Keller(south)and Westlake(north),and northbound Kimball
Avenue near the Southlake/Grapevine City limits(near the rail line). The entry portal signage will be similar in design as the signage
currently located on FM 1709 near the Gateway Drive Intersection,
2022-77 General S200.000 $0 $150.000 $150,000 $150,000 $150,000 $0 $800,000
Fund
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
The purpose of this item is to provide for a minimum balance of$50.000 annually within the Public Art Fund Budget in support of the City's
Public Art Matching Public Art Matching Funds Program as per the recommendations of the Southlake 2035 Public Art Master Plan The current available
Funds funding is shown in the"Total Prior Funding"column
2022 78 Public Art $50,000 SO SO $0 $0 SO SO $50 000
Fund
Community $1,075,000 $150,000 $300,000 $300,000 $300,000 $300,000 $150,000 $2,575,000
Enhancement Total
Facilities
Funding is requested for the architectural and engineering.design and construction of a Municipal Service Center and Public Safety
Training Tower. The Municipal Service Center will provide expanded facilities to support Utility Billing/Customer Service,Streets&
Drainage,Water.Wastewater.Environmental Services.and Traffic Divisions.An expanded Municipal Service Center is required to meet
the on-going demands of infrastructure maintenance and to house other divisions needing additional space. The project also includes
Municipal Service funding to construct a four-story Public Safety Training Tower with roof access and classroom to provide local training space.The Police
Center&Public Safety Department will use the facility for the following training and programs:use of force decision making,Less-Than-Lethal munitions,building
Training Tower Project searches/clearing,SWAT(tactical entry,buildingsearch/clearing,chemical munitions,etc.),active shooter,K-9 handling,hostage
9 ) 9, 9
negotiation,rappelling,and the DPS Youth and DPS Leadership academies.The facility would also provide the space for additional uses
for other City departments:the Fire Department will use the tower for single and multi-company live-fire training within the city limits and
Public Works for confined space training,for example.
2022-79c General $6.950.000 $12,000,000 $1,800,000 $0 $0 S0 $0 $20.750.000
Fund
2022-79c Utility Fund $1.950.000 $2,500.000 $2,000,000 $0 $0 $0 $0 $6.450,000
2022-79c CCPD Fund $0 $410.000 $3,290,000 $0 $0 $0 $0 $3.700.000
Total $8,900,000 $14,910,000 $7,090,000 $0 $0 $0 $0 $30,900,000
Champions Club The purpose of this item is to establish a project fund to complete outstanding issues associated with the completion of Champions Club.
Scope to address the following issues:installation of emergency facility generator.audio/visual.outside planter settling,HVAC,water
Finish-Out under the pool liner,pool liner staining,rust in pool water supply system,water intrusion into aerobics rooms,etc
2022-80 CEDC Fund $0 $1 000.000 S0 S0 S0 S0 $0 $1,000,000
Funding is requested for the design and construction of the relocation of the City's Emergency Operations Center(EOC)to the first level of
Emergency Operations DPS Headquarters. The current location poses operational challenges as well as barriers to other technical requirements and security
Center Relocation deficiencies identified in the Department of Defense,UFC 4-141-04 Unified Facilities Criteria. Relocation will support a more functional,
secure and operationally ready EOC
2022-81 CCPD F,,nd $400 000 $700,000 $1,130,000 $0 $0 $0 $0 $2,230,000
Bob Jones Nature The purpose of this item is set aside$600.000 pending final budget estimates to replace the barn at the Bob Jones Nature Center&
Center&Preserve Preserve. Scope will include the design.removal of existing bam,construction of a new barn to be utilized as a classroom/event space.
Barn HVAC,interior finish out,drainage.utilities,landscape,hardscape,electric/lighting,furniture.fixtures and equipment.
Park
2022-82 Dedication $370 000 $230 000 S0 $0 SO SO SO. $600.000
Fund
Funding Total Prior Beyond/
Project number Source Funding FY 2022 FY 2023 FY 2024 FY 2025 FY 2026 Unfunded Total
Library and Multi-Use The purpose of this item is to establish a project fund for a combined library and multi-use facility.An up to 60,000 square foot building will
Facility be constructed with space for the library and space for multi-purpose uses.
2022-83 General 3450.000 $0 $3,000,000 $8,000,000 $6,550,000 $15,000,000 $0 $33,000,000
Fund
Southlake Visitor The purpose of this item is to establish a project fund for the construction of a Visitor Information and Amenity Center that will include
Information and public restrooms to be located in Southlake Town Square.
Amenity Center
Hotel
202:84 Occupancy $1 000 000 $0 $200,000 $200,000 $200,000 $200,000 $0 $1,800,000
Tax Fund
Facilities Total $11,120,000 $16,840,000 $11,420,000 $8,200,000 $6,750,000 $15,200,000 $0 $69,530,000