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AUGUST 14 2012 BUDGET WORKSHOP NO. 5 12-13 FISCAL YEAR PRELIMINARY BUDGET Innovation will serve to keep the plan in the forefront of all that we do. Our.

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Presentation on theme: "AUGUST 14 2012 BUDGET WORKSHOP NO. 5 12-13 FISCAL YEAR PRELIMINARY BUDGET Innovation will serve to keep the plan in the forefront of all that we do. Our."— Presentation transcript:

1 AUGUST 14 2012 BUDGET WORKSHOP NO. 5 12-13 FISCAL YEAR PRELIMINARY BUDGET Innovation will serve to keep the plan in the forefront of all that we do. Our actions should always be advancing the Plan. Operation Innovation

2 Workshop Schedule Schedule of FY 12-13 Council Work Sessions:  June 7- Budget Format Workshop*  June 26- Capital Projects & Replacement/Renewal Fund Workshop*  July 10- General Fund (and smaller ancillary funds) Workshop**  July 24- Enterprise Fund Workshop (Electric, Telecommunications, Water/Sewer, Sanitation, Golf & Airport)*  August 14-Preliminary Budget Presentation Workshop*  September 4 th - 1 st 5:05 PM Reading Tentative Budget (Public Hearing)  September 18 th - 2 nd 5:05 PM Reading Final Budget (Public Hearing) *11:00 Council Lunch *11:30-1:30 Work Session (Council Chambers) ** 3:00 pm Work Session (Council Chambers)

3 FY 12-13 Proposed Budget Information  Council has conducted 4 workshops covering the following:  Budget Format  Capital Projects/Replacement & Renewals  General Fund & Ancillary Funds  Enterprise Funds  All Council changes have been incorporated into the budget document.

4 FY 12-13 Proposed Budget Information  The FY12-13 Budget is balanced at the roll-back rate of 6.1502.  There are no rate or fee increases projected for any of the enterprises.  There are no raises budgeted.  Health Insurance rates rose by 2%. The City has implemented a wellness incentive that will guarantee a premium rate hold for those employees who participate.  The City has absorbed the increases in pension contributions.  The General Fund reserve for cash balance forward is fully funded at the 20% level.  All of the Enterprise funds are balanced revenues to expenditures, with the exception of the Golf fund. Golf receives a transfer from the General Fund.

5 FY 12-13 Proposed Budget Information  Savings from the Bond Debt refinancing have been incorporated into the budget.  Interfund transfers have been adjusted accordingly to balance the budget.  A blend of the 3% & 10% reduction options have been incorporated into the budget.  Savings from the VSIP have been incorporated into the budget.  Every effort has been made to provide and open and transparent document.  The budget document will be submitted for the GFOA Award this year.

6 7 Strategies Progress for FY 12-13 Budget 1. Blueprint to Fiscal Sustainability (ongoing) 2. 3% & 10% budget reduction submittals (completed) 3. 911 Communications Consolidation (ongoing) 4. Pension Reform (ongoing) 5. Debt Refinancing (completed) 6. Interfund Transfers (ongoing) 7. Voluntary Separation Incentive Program (completed)

7 What’s Next? Permanent Solutions:  911consolidation (Fire Only) ~$470K  Pension Reform (TBD)  Blueprint Committees (TBD) Temporary Fixes:  Transfer of $2.6M from 1/8 Mil Police & Fire Fund  800 Mhz payment made from Renewal & Replacement Fund (~$300K)  OPD expenses moved to Police Trust & Agency Fund (~600,000)

8 General Fund Balancing Strategies CASH BALANCE FORWARD (Estimated) $ 16,500,000 RESERVES Revenues$48,609,077 Reserve For Fund Balance $ 12,942,139 Transfers In $ 13,946,207 Reserve For Contingencies $ 1,110,128 $ 62,555,284 Reserve For Fire Grant Match $ 96,238 Reserve For Affordable Housing $ 557,677 Expenditures $ 61,095,937 Reserve For Tree Mitigation $ 115,351 Transfers Out $ 3,739,756 Reserve For Discovery Science Center $ 20,000 $ 64,835,693 Reserve For Salaries/OT/Retire/VSIP $ 458,467 Building Fund $ 1,200,000 $ 16,500,000 Budget Gap $ (2,280,409) Reserve Deficit $ 0 DEFICIT $ 0TOTAL DEFICIT$(2,280,409) STRATEGIES PERMANENT OPTIONSAMOUNTPRIORITYTEMPORARY OPTIONSAMOUNTPRIORITY Comm Tech Consolidation (Fire Only) $ 476,973 Delay Fire Station $ 1,000,000 Reduce Reserves to 19% $ 647,107 800 MHz Payment Transfer $ 300,000 Reduce Reserves to 18% $ 1,294,214 Enterprise Funds Transfers $ 2,280,409 OPD Reductions $ 700,000Furloughs $ 1,800,000 Insurance Changes $ 360,000 Lay Offs $ 1,000,000 Pay Cuts $ 1,500,000

9 Total Deficit From July 10th G/F Workshop (2,280,409) Strategies to Reduce Deficit OPD Reductions 366,278 800 MHz Payment Transfer 303,243 Delay Fire Station 1,680,251 Decrease in CST Revenue (116,202) Miscellaneous Corrections 46,839 Current Deficit - *Miscellaneous Corrections include: Correction to Council Health Ins 19,911 Salary Increase - City Clerk Employee (8,765) Reinstate Rec & Park VSIP Position (49,480) Increase to Risk/insurance Allocation (17,700) Increase in Golf Transfer (68,294) Change in Reserves 171,167 46,839

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