Presentation is loading. Please wait.

Presentation is loading. Please wait.

FY 2019 Proposed Budget Hall County Board of Commissioners

Similar presentations


Presentation on theme: "FY 2019 Proposed Budget Hall County Board of Commissioners"— Presentation transcript:

1 FY 2019 Proposed Budget Hall County Board of Commissioners
June 21, :00 PM

2 Highlights 2017 Service Delivery Agreement Base-level Operations
Established 3 new tax districts Base-level Operations Total Positions: 1,716 New positions for FY 2019: 14 (full time equivalents) Compensation and Benefits 5% Salary increase: $4.3 million 2% Retirement match increase: $1.5 million Capital Investment FY19 Capital Budget: $58.4 million 5-Year Capital Improvement Plan: $284.2 million

3 Capital Improvement Plan
Road improvements Sewer system improvements Building Improvements Vehicles – countywide Heavy equipment Re-open Murrayville Park Sheriff records management software Ambulance Replacement Emergency management cardiac monitors/defibrillators, radios and technology upgrades Main Library renovations Technology/software to increase efficiency and capacity

4 Total All Funds FY 2019 $266,265,397

5 2017 Service Delivery Agreement
General Fund Emergency Services Development Services Parks & Leisure Services Adopted by Hall County BOC and 7 of 8 municipalities

6 Operating Funds FUND FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE
General Fund $ ,149,569 $ ,998,188 -6.02% Fire Services Fund 24,122,626 26,566,469 10.13% Emergency Services Fund - 9,069,401 100.00% Development Services Fund 5,824,201 Parks & Leisure Services Fund 2,993,611 E-911 Fund 4,369,604 4,249,736 -2.74% Parks & Marina Fund 702,201 761,436 8.44% Grants Fund 3,112,347 7,364,531 136.62% Street Lighting Fund 957,308 988,784 3.29% Restricted Funds 3,455,740 3,873,907 12.10% Allen Creek Soccer Complex Fund 263,564 268,390 1.83% Law Library Fund 98,716 96,475 -2.27% Group Insurance Fund 19,452,556 20,189,986 3.79% Risk Management Fund 3,420,301 3,551,186 3.83% Hall County Clinic / Pharmacy Fund 4,739,600 4,971,100 4.88% Fleet Maintenance Fund 1,332,030 1,285,330 -3.51% Landfill Fund 8,678,872 11,233,409 29.43% Water & Sewer Fund 6,260,806 8,555,307 36.65% TOTAL: $ ,115,840 $ ,841,447 13.50%

7 Capital Funds FUND FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE
SPLOST VI Fund $ ,027,050 $ ,240,659 -39.65% SPLOST VII Fund 44,633,991 43,846,921 -1.76% Impact Fees Fund 675,514 1,330,000 96.89% State Roads Fund 1,632,000 2,781,370 70.43% Capital Projects Fund 3,952,315 6,225,000 57.50% TOTAL: $ ,920,870 $ ,423,950 0.87%

8 2018 Proposed Millage Rates
FUND MILLAGE RATE General Fund 5.360 Fire Services Fund - Unincorporated 2.650 - Incorporated 4.080 Emergency Services Fund 0.571 Development Services Fund 1.005 Parks & Leisure Services Fund 0.364

9 General Fund Revenue REVENUE SOURCE FY18 ADOPTED BUDGET
FY19 PROPOSED BUDGET % CHANGE Property Taxes $ ,873,777 $ ,697,436 -10.81% Commissions 3,369,210 3,392,163 0.68% Other Taxes 30,043,048 33,720,640 12.24% Penalties / Interest 637,000 506,000 -20.57% Licenses & Permits 3,247,428 3,434,623 5.76% Charges for Services 10,990,058 6,376,423 -41.98% Fines & Forfeitures 3,994,731 4,622,592 15.72% Intergovernmental 1,076,667 771,711 -28.32% Miscellaneous 267,650 201,600 -24.68% Other Financing 650,000 275,000 -57.69% TOTAL: $ ,149,569 $ ,998,188 -6.02%

10 General Fund Expenditures
EXPENDITURE FUNCTION FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE General Government $ ,564,551 $ ,163,506 18.72% Public Safety 45,498,229 40,169,775 -11.71% Public Works 4,860,027 977,134 -79.89% Health & Welfare 2,624,520 2,560,370 -2.44% Judicial 17,383,050 18,702,385 7.59% Agencies 815,113 1,087,035 33.36% Housing & Development 1,593,829 843,013 -47.11% Recreation & Culture 4,810,250 2,494,970 -48.13% TOTAL: $ ,149,569 $ ,998,188 -6.02%

11 General Fund Expenditures
CATEGORY FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE Salaries & Benefits $ ,021,059 $ ,845,837 -9.96% Supplies & Materials 5,142,509 3,962,863 -22.94% Travel & Training 500,888 415,598 -17.03% Service & Charges 14,636,809 12,979,184 -11.33% Awards & Allocations 4,103,424 4,468,334 8.89% Miscellaneous 3,043,988 3,177,178 4.38% Transfers Out 2,425,486 5,294,242 118.28% Debt Service Interest 78,687 126,005 60.13% Debt Service Principal 196,719 728,947 270.55% TOTAL: $ ,149,569 $ ,998,188 -6.02%

12 FY 2018 Population to General Fund Revenues & Expenditures

13 Fire Services Fund Expenditures
EXPENDITURE CATEGORY FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE Salaries & Benefits $ ,599,014 $ ,040,075 7.35% Supplies & Materials 1,178,445 1,395,218 18.39% Travel & Training 60,215 69,350 15.17% Service & Charges 2,098,358 2,678,221 27.63% Miscellaneous 334,119 383,605 14.81% Transfers Out 852,475 1,000,000 17.31% TOTAL: $ ,122,626 $ ,566,469 10.13%

14 Emergency Services Fund Expenditures
EXPENDITURE CATEGORY FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE Salaries & Benefits $ $ ,931,259 100.00% Supplies & Materials - 645,350 Travel & Training 79,000 Service & Charges 872,366 Miscellaneous 63,125 Transfers Out 425,000 Debt Service Principal 53,301 TOTAL: $ $ ,069,401

15 Development Services Fund Expenditures
EXPENDITURE CATEGORY FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE Salaries & Benefits $ $ ,380,532 100.00% Supplies & Materials - 518,903 Travel & Training 9,155 Service & Charges 787,676 Miscellaneous 127,935 TOTAL: $ $ ,824,201

16 Parks & Leisure Services Fund Expenditures
EXPENDITURE CATEGORY FY18 ADOPTED BUDGET FY19 PROPOSED BUDGET % CHANGE Salaries & Benefits $ $ ,908,872 100.00% Service & Charges - 773,955 Travel & Training 8,000 Supplies & Materials 244,439 Miscellaneous 58,345 TOTAL: $ $ ,993,611

17 E-911 Fund Expenditures EXPENDITURE CATEGORY FY18 ADOPTED BUDGET
FY19 PROPOSED BUDGET % CHANGE Salaries & Benefits $ ,162,851 $ ,260,316 3.08% Service & Charges 809,502 803,413 -0.75% Travel & Training 21,960 0.00% Supplies & Materials 72,182 60,397 -16.33% Awards & Allocations 144,402 100,000 -30.75% Miscellaneous 1,930 3,650 89.12% TOTAL: $ ,212,827 $ ,249,736 0.88%

18 Conclusion The Fiscal Year 2019 Budget and 2018 millage rates will be adopted on Thursday June 28th at 6:00 PM. Presented by: Zachary T. Propes, CPA Director of Financial Services

19 Public Hearing

20 Net Tax Digest Value Compared to Consumer Price Index
15% decline in tax digest from 2009 to 2013


Download ppt "FY 2019 Proposed Budget Hall County Board of Commissioners"

Similar presentations


Ads by Google