Budget Summary for Public Hearing April 25, 2017

Similar documents
Prince George County Budget

Prince George County Budget

BOOK 22 PAGE 1 FEBRUARY 18, :00 PM

TOTAL GENERAL FUND REVENUES

TOTAL GENERAL FUND REVENUES

FY 2017 Budget Public Hearing

CAPITAL PROJECTS FUNDS

City of Alameda Mid Cycle Update to Operating and Capital Budget Fiscal Years and

FISCAL YEAR 2018 Budget Public Hearing. W. Kevin Massengill County Administrator April 18, 2017

COUNTY OF PRINCE GEORGE, VIRGINIA

FY OPERATING BUDGET AND SIX-YEAR CAPITAL IMPROVEMENT PROGRAM

FY BUDGET PRESENTATION

ARLINGTON COUNTY, VIRGINIA

FISCAL YEAR ADOPTED DETAILED BUDGET May 25, 2016

City Manager Overview. City Council Work Session March 26, 2019

Proposed FY 2013 Budget. Chamber of Commerce Government Affairs Committee March 14, 2012

FY 08/09 ADOPTED GENERAL FUND REVENUES $224,391,325

SECTION 6: CAPITAL IMPROVEMENT DETAIL

FUND DESCRIPTIONS FY 2015 PROPOSED BUDGET SUMMARY

Levy Lid Lift or Metropolitan Park District

Queen Creek Annual Budget Organizational Structure

Frank A. Pleva, County Administrator. Mr. Bellows called the meeting to order at 5:30 p.m.

POLK COUNTY BOARD OF COUNTY COMMISSIONERS PUBLIC HEARING ON BUDGET AGENDA

City of Pembroke Budget Prepared by LeeAnn McIntyre, Treasurer/Deputy Clerk

FY 2014 BUDGET AND PUBLIC HEARING. Frederick County, Virginia

FUND DESCRIPTIONS FY 2016 PROPOSED BUDGET SUMMARY

County of Gloucester Virginia

2017 AMENDED 2018 BUDGET JULY 6, 2017

Delivering Tangible Results in an Evolving Landscape

TABLE OF CONTENTS CAPITAL BUDGET

Preparing for the FY2017 Budget: Five-Year Plan, Must-Do Items, and Unmet Needs. Michelle A. Casciato Office of Management & Budget December 1, 2015

ESSEX COUNTY, VIRGINIA, ADOPTED BUDGET FISCAL YEAR

Budget Summary. FY17 Total County Revenue Sources. Misc 1.1% Federal 5.2% Gen Prop Taxes 40.3% $2,037,947,949

SPLOST Update. March 24, Lula. Gillsville

COUNTY OF PRINCE GEORGE, VIRGINIA

Town Of Lake Lure Annual Budget Public Hearing and Presentation to Town Council June 13, 2017

REPORT. Third Quarter Fiscal Year Prince William County, Virginia

Town of Hudson, North Carolina Annual Budget Fiscal Year

2 February 5-6, 2016

FUND DESCRIPTIONS FY 2018 PROPOSED BUDGET SUMMARY

CITY OF CHESAPEAKE ORGANIZATION

NOTICE TO TAXPAYERS. The Notice to Taxpayers is available online at or by calling (888)

FY 2018 Stockton University Operational & Capital Report as of May 31, 2018

PUBLIC FACILITIES ELEMENT

Fort Collins Strategic Planning & Budget Process

Proposed Operating Budget

Revenue Account Codes for FY Reporting Account Code

CITY OF TARPON SPRINGS, FLORIDA FISCAL YEAR 2017 BUDGET PRESENTATION WORK SESSION 7/26/16

Budget Public Hearing 6/16/2015

Summary of Changes to FY18 Proposed Budget

Revenue Overview. FY 2018 Proposed Budget

City Manager s Proposed Budget FY 2019

First Public Budget Hearing. September 11, 2015

FY2019 Budget Overview

Overall Expenditure Summary

OVERVIEW. Note: This section provides an overview of the detailed CIP Budget Manual.

City of Mercer Island CITY S FINANCIAL CHALLENGES: OPERATING BUDGET (PART II)

EXECUTIVE SUMMARY THE FY09 ADOPTED AND FY10 APPROVED TO THE FY08 AMENDED BUDGETS BALANCING SUMMARY

Fiscal Year Proposed Budget

JACKSON COUNTY, MISSOURI Combining Balance Sheet Nonmajor Governmental Funds December 31, 2014

CITY OF CHESAPEAKE ORGANIZATION

COUNTY OF DINWIDDIE, VIRGINIA REVENUE ANALYSIS BY FUND

MADISON COUNTY, ILLINOIS Annual Budget Fiscal Year 2009 December 1, 2008 to November 30, 2009

COUNTY OF AUGUSTA, VIRGINIA BUDGET

CITY OF ELKO FY 2018/2019 TENTATIVE BUDGET

City of DeSoto. Memo. Date: VVednesday, August11, 2011 ~~ Dr. Tarron Richardson, City Manager t/ To: Eden a Atmore, Assistant Director of Finance

QUARTERLY FINANCIAL REPORT

Highlights from the Proposed Budget Fiscal Year

Fiscal Year 2015/16 Proposed Budget Overview CITY OF NEW SMYRNA BEACH - JUNE 26, 2015

GENERAL FUND REVENUES AND EXPENDITURES FY Through March % of Budget Year

Presentation of the. FY 2019 Strategic Operating Plan. May 8, 2018

Overview of Public Schools CIP

March 1, Honorable Commissioners Jefferson County, West Virginia

2018 Operating Budget Schedule "A" Description Revenues Expenses 2018 Budget

Georgetown County Capital Improvement Plan Revenue Projections 2018 Update (October 9, 2018)

City of Allen FY 2019 Pay Plan Effective: October 13, 2018

Summary of Changes to the Recommended Budget

COLUMBIA COUNTY BOARD OF COUNTY COMMISSIONERS FINAL BUDGET FISCAL YEAR PREPARED BY BEN SCOTT COUNTY MANAGER

FISCAL YEAR BUDGET vs ACTUAL VARIANCE ANALYSIS QUARTER ENDING JUN 30, 2012

CITY OF SHERIDAN Budget for FY 2015

POLK COUNTY BOARD OF COUNTY COMMISSIONERS PUBLIC HEARING ON BUDGET AGENDA

Neal Oldemeyer, Public Works Department, presented the Fiscal Year 2013 departmental budget and stood for questions.

Carroll County Maryland. Community Investment Plan Request Fiscal Years

Peer Jurisdiction Budget Comparison. City of Santa Cruz Council Ad-Hoc Budget Committee June 7, 2018

GENERAL FUND EXPENDITURES

2019 THREE YEAR OPERATING PLAN APPROVED BY COUNCIL DECEMBER 10, 2018

BUDGET ORDINANCE NO. O Part I Operation of County Government

F Y B U D G E T P R E S E N T A T I O N T O T H E P U B L I C

City of Roanoke Annual Budget FY

Kenton County Fiscal Court. Summary. Summary

Proposed FY17 Budget 1

Essex County FY 2017 Proposed Budget MARCH 2016

So what did we accomplish in the FY17 budget?

Capital Improvement Plan USD#497 Lawrence Public Schools January 14, 2019

Presentation of the FY15-16 Recommended Budget

City of Granger - Adopted FY 2017/2018 Budget

Madison County Government Fund Descriptions and Revenue Sources

Capital Projects Ordinances (CPO)

County Manager s FY 2017 Proposed Budget. Overview for the Public Hearing On Tax and Fee Rates

Public Schools of the Tarrytowns

Transcription:

Budget Summary for Public Hearing April 25, 2017 1

GENERAL FUND BUDGET PROPOSED $52,983,030 ($762,240, 1.46% Increase over FY2017) TOTAL ALL FUNDS BUDGET PROPOSED $113,650,448 ($1,815,884, 1.63% Increase over FY2017) 2

3

General Fund As Proposed 4

General Fund Proposal Included Revenues No Tax Increases Tax Rate* Real Estate $0.86 Personal Property $4.25 Machinery & Tools $1.50 Mobile Homes/Tangible PP $0.86 No Use of Fund Balance *Per $100 of assessed value; all rates are the same as FY2017 rates Public Hearing Held & Tax Rates Adopted April 11, 2017 5

General Fund Proposal Included Expenditures Personnel New Case Worker Social Services (partially state reimbursable) Funding for Planner I CDCC Removal of Funding for Project Management Specialist County Admin Reclassification HR Specialist to Supervisor 5% Increase for Health Insurance Place Holder until renewal amount known New Career Development Program for Fire/EMS Continuation for Career Development for Police Department 6

General Fund Proposal Included Expenditures School Funding AS PROPOSED In accordance with MOU - $15,813,565 ($236,315 Increase from FY2017)* Reduced Contributions for Riverside Regional Jail & Crater Youth Care Commission - $277,487*** (decrease from FY2017) *Updates to State Sales Tax Revenues have since increased the planned transfer; more information follows ***Crater Youth Care Commission amount will be changed by $3,115; more information follows 7

General Fund Proposal Included Expenditures Debt Service As Proposed General Fund Transfer for Debt = $7,542,095 County = $3,426,261* School = $4,115,834 Non-General Debt Utility = $523,731 Economic Development = $386,279 Storm Water = $441,804 *Updates following Spring 2017 Debt Closing will reduce County Debt by $319,000 8

General Fund Proposal Included Expenditures $10M in new debt was issued in Spring 2017 for FY2017 Capital Projects Including: Public Safety Radio Project (Phase I) Broadband Expansion Police Vehicles Parks & Recreation Paving Projects Scott Park Improvements (Irrigation; Electrical; Fencing) Central Wellness Center Improvements (Asbestos Removal & Pipes) New Route 10 Fire Station RCJA Roof Refurbish Harrison Elementary Window Replacement Appomattox River Canoe Launch JEJ Moore Middle School Athletic Complex Improvements (Bleacher Covers & Concrete Work) Payments will begin in FY2018 9

General Fund Proposal Included Expenditures Equipment & Vehicles Garage Lift & Alignment Machine Clerk of Court High Density Roller Shelving Information Technology Server Virtualization at ECC MCT Replacement for PD Munis Upgrade Firewall Updates Laserfiche Upgrade DSS 4 Vehicles 2 Sheriff 1 General Pool 1 Parks & Recreation 10

Other Funds Community Corrections New Full-Time Pretrial Officer Elimination of Part-Time Pretrial Officer Economic Development Fully funded by Meals Tax & Pays debt service for Crosspointe Improvements Tourism Supported by Lodging Tax 7.5% Contribution to Regional Heritage Center PART & Chamber of Commerce funding to be determined Pays debt service for Exit 45 Water System 11

Utility Fund - Proposed Self-Supporting Enterprise Fund Rate Increase Proposed New Revenue $731,200 Water 10% - $160,000 Sewer 20% - $571,200 Increases needed to maintain existing infrastructure and systems Residential homes using an average of 5,000 gallons per month will see around a $11 monthly increase Public Hearing Held & Utility Rates Adopted April 11, 2017 12

Utility Fund Self-Supporting Enterprise Fund $1,467,196 Increase over FY 17 to cover Capital Project expenditures of $1.3Million $500,000 Increase in purchased services Hopewell sewer rate increase Planned Use of $909,000 Utilities Fund Balance 13

Capital Projects Debt Issuance 2018* Police Vehicles Public Safety Radio System Phase II Boiler for Central Wellness Center Voting Equipment Crosspointe Utility Study Fuel Station Replacement Code Compliance Software *Planned Bond Issuance Spring 2018; Board will consider projects individually for approval and appropriation during FY2018. 14

Budget Board Consideration Since the Budget was Proposed 3 Board Budget Work Sessions March 8 March 20 April 5 Public Hearings and Adoption of Tax & Utility Rates held on April 11 Discussion of budget revisions at Board Retreat April 13 15

Budget Changes Since Proposal - Revenues Proposed Budget Total - GENERAL FUND $ 52,983,030.00 # Description Change Amount 1 State Sales & Use Tax 201,123.00 2 Social Services; CSA At Risk Youth 25,132.00 Total Revenue Changes 226,255.00 Revised Total Budget $ 53,209,285.00 16

Budget Changes Since Proposal - Expenditures Proposed Budget Total - GENERAL FUND $ 52,983,030.00 # Description Change Amount 1 Technical Corrections VRS/GTL Co Atty & Fire/EMS 48,210.00 2 Crater Youth Care Commission - Final Request 3,115.00 3 Transfer to Schools - MOU Revision Increased Sales Tax Revenue 86,684.00 4 5 Transfer to Debt Service - Revised Upon Closing of Spring 2017 Debt Issuance Health Insurance Increase - Final Renewal (7.68% Increase) (319,000.00) 30,000.00 17

Budget Changes Since Proposal - Expenditures Proposed Budget Total - GENERAL FUND $ 52,983,030.00 # Description Change Amount Increase for CSA Private Student Placements & 6 Foster Care 40,000.00 7 Other Department Requests / Needs Identified 16,968.00 Board Change for Commonwealth's Attorney 8 Renovation 17,000.00 9 Board Change Increase to General Fund Contingency 303,278.00 Total Expenditure Changes 226,255.00 Revised Total General Fund Budget $ 53,209,285.00 Change from FY2017 $ 988,495.00 1.89% 18

Budget Changes Since Proposal Total All Funds Proposed Budget Total - TOTAL ALL FUNDS $ 113,650,488.00 Growth - General Fund 226,255.00 Total Changes 226,255.00 Revised Total Budget - All Funds $ 113,876,743.00 Net of Transfers Change from FY2017 $ 2,042,139.00 1.83% 19

Budget Adoption Adoption is being considered on May 9, 2017 with changes as noted Additional Revenue revisions may be required (Social Services & Compensation Board Shared Costs) 20

21