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HomeMy WebLinkAbout(1) 2019-2020 BUDGET MONTHLY REPORT JANUARY 2020 ' „,\N City of - '' *-'/':/i,/ ( \ )4, 4 ..,, ,,, ort rthur�� Teras 2019-2020 Budget Monthly Report January 2020 City of Port Arthur 2019 -2020 Budget Monthly Report January 31, 2020 Highlights: General Fund General Fund revenues are$51.2 million at January 31,2020 which is above the estimate by$2.6 million. Property tax collections are$11.5 million which is above the budgeted level by 19%and is primarily due to receipt of a settlement from a major industrial customer. Since property taxes are due at the end of January, last minute payments will be reflected in the February report. Industrial tax revenue is$30.9 million with substantially all payments received. Sales tax collections through January are 12%above last fiscal year and 14%above the budgeted level. Utility franchise fees,which are made up of electric, gas,telephone and cable categories are $170,000 above budget at this time and miscellaneous revenue including interest earnings and land sales have exceeded estimates by$207,000. Operating expenditures total $20.1 million at January 31, 2020 which is below the budgeted level by$1.8 million. There are 529 budgeted positions in the General Fund this Fiscal Year and there are currently 34 vacancies which is down from 36 last month. Budget amendments will be requested throughout the year as needed so that the amended budget column will closely reflect where we expect to be at the end of the year. Water Fund Water Fund revenues total $9.4 million at the end of January which is below the budgeted level. Water service charges received from industry exceeds budget estimates by $269,000. However, residential and commercial revenue is$487,000 under the expected amount at this time. Water Fund operating expenses total $6.4 million at January 31, 2020 and is below budget by $7,300. There are 120 budgeted positions in the Water Fund and 14 are vacant at this time. The Water Fund budget is balanced. However,year to date actual reflects a net expense over revenue of $213,000. Staff will continue to monitor the fund and work with the Water Department to develop cost cutting measures, if necessary,to bring expenses back in line with available revenues. Solid Waste Fund Solid Waste revenues total $2.7 million at the end of January which is below the estimate by $225,000. Commercial container fees are up from the previous year but are currently $84,000 below the budgeted amount and landfill dumping fees are currently below estimated levels by approximately$112,000. And Solid Waste operating expenses currently are over budget by approximately$254,000. However, it is expected that a new customer will bring additional revenues to the Landfill over the next two years which will alleviate the current deficit and allow sufficient funding for much needed improvements. Staff will keep the Council updated on this and other efforts to keep costs in line with available revenues. There are 48 budgeted positions in Solid Waste this fiscal year and 2 vacancies at this time. Pleasure Island Fund Pleasure Island revenues are $19,000 above the estimate at this time primarily due to RV park rentals. Operating expenses are$72,000 below the budgeted level which keeps expenses in line with available revenues. Capital Improvement Program This section includes street projects by district, drainage projects, general improvements by type,water utility projects, and Pleasure Island improvements. The total street program budget is $34.1 million, including$14.2 million for reconstruction and remediation budgeted in FY2020 which has not yet been allocated to specific projects. $10 million has been spent to date on the current listed street projects. $2.2 million of that has been spent this fiscal year leaving a balance of$24 million to complete the projects. A total of$12.8 million has been budgeted for drainage improvements which are primarily funded by FEMA mitigation grants and CDBG. $1 million has been spent to date, leaving a balance of$11.8 million to complete the projects. General Improvement projects include building renovations,technology upgrades,parks&recreation renovations,public works projects and the purchase of a Fire Vehicle. There is currently$8.9 million budgeted for these projects. Expenditures total $3.4 million spent to date,with $1.9 million spent this fiscal year and a balance remaining of$5.5 million. There is currently $65.8 million budgeted for Water Utility improvements,primarily for the construction of the Waste Water Treatment Plant. Certificates of Obligation which are expected to be issued in April 2020 and purchased by the Texas Water Development Board will provide funding for this project. Pleasure Island Improvements include a boat launch and parking lot repairs totaling$590,000 of which $443,000 will be paid for by a grant from the Texas Parks and Wildlife. Disaster Fund At this time the Hurricane Harvey Disaster Fund has total revenues of$27.2 million of which $2.1 million was received this fiscal year. Expenditures currently total $31.7 million which leaves a deficit of$4.6 million. However,pending reimbursements total $1.4 million which will reduce this deficit to $3.2 million. The City continues to make every effort to capture as much Federal assistance as possible. Property insurance claims remain outstanding. City of Port Arthur 2019 -2020 Budget Monthly Report January 31, 2020 Actual Actual Amended Y-T-D Y-T-D 17-18 18-19 Budget Actual Budget (Unaudited) 19-20 Thru Jan Thru Jan Variance General Fund Summary Revenues Taxes Property Taxes 12,316,713 12,476,941 13,240,000 11,452,694 9,603,387 1,849,307 Industrial District Payments 30,644,284 30,834,585 31,058,446 30,935,321 31,033,446 (98,125) Sales Tax 10,452,255 9,999,523 9,792,000 3,583,271 3,150,404 432,867 Other Taxes 9,190,955 9,241,698 9,570,000 1,781,573 1,578,919 202,654 Total Taxes 62,604,207 62,552,747 63,660,446 47,752,859 45,366,156 2,386,703 Licenses and Permits 841,860 533,616 441,200 271,271 147,048 124,223 Intergovernmental Revenue 58,228 147,116 122,115 36,053 40,700 (4,647) Charges for Services 355,557 439,325 372,800 133,416 124,232 9,184 Fines and Forfeitures 850,301 958,603 935,100 224,219 311,696 (87,477) Interest and Miscellaneous 1,283,617 979,821 820,900 480,249 273,620 206,629 Total Operating Revenues 65,993,770 65,611,228 66,352,561 48,898,067 46,263,452 2,634,615 Transfers and Other Revenues 7.091,869 7,091,718 7,048,995 2,349,665 2,349,660 5 Total Revenues 73.085,639 72,702,946 73,401,556 51,247,732 48,613,112 2,634,620 Expenditures Administration 1,447,224 1,640,851 1,994,868 685,859 657,328 28,531 City Secretary 1,313,215 1,725,393 1,632,662 468,462 530,536 (62,074) City Attorney 984,382 1,125,738 1,182,723 382,607 384,755 (2,148) Finance 2,186,880 2,167,950 2,259,129 667,248 736,116 (68,868) Information Technology 870,033 1,522,318 1,524,206 442,320 499,117 (56,797) Human Resources 644,759 617,197 776,797 191,877 252,671 (60,794) Development Services 4,852,202 5,426,488 6,230,456 1,840,634 2,037,387 (196,753) Civic Center 653,306 873,507 907,128 250,575 297,365 (46,790) Police 18,314,943 19,579,324 20,478,722 6,162,758 6,643,375 (480,617) Fire 13,538,450 14,050,511 14,289,227 4,846,366 4,827,897 18,469 Public Works 7,222,861 8,122,259 9,169,571 2,612,535 2,999,266 (386,731) Health and Welfare 1,399,065 1,455,515 1,595,660 471,060 519,852 (48,792) Parks and Recreation 2,253,854 2,589,168 3,134,713 672,113 1,028,951 (356,838) Library 951,435 1,229,391 1,486,280 418,888 485,505 (66,617) Total Operating Expenditures 56,632,609 62,125,610 66,662,142 20,113,302 21,900,119 (1,786,817) Transfers and Other Expenditures $11,510,853 $4,958,216 $11,908,870 3,954,918 3,954,918 - Total Expenditures - 68,143,462 67,083,826 78,571,012 24,068,220 25,855,037 (1,786,817) Net Current Activity 4,942,177 5,619,120 (5,169,456) 27,179,512 22,758,075 Unassigned Beginning Fund Balance 19.691.779 24,633,956 28,332,799 30,253,076 30,253,076 Unassigned Ending Fund Balance 24,633,956 . 30,253,076 23,163,343 57.432.588 53,011,151 City of Port Arthur 2019 - 2020 Budget Monthly Report January 31, 2020 Actual Actual Amended Y-T-D V-T-D 17-18 18-19 Budget Actual Budget (Unaudited) 19-20 Thru Jan Thru Jan Variance Water Fund Summary Revenues Water Service 11,237,669 12,159,359 13,400,000 4,186,698 4,466,667 (279,969) Water Service-Industry 3,992,756 5,010,731 4,409,000 1,738,981 1,469,667 269,314 Sewer Service 7,191,114 8,398,266 9,700,000 3,025,922 3,233,333 (207,411) Other Charges for Services 202,596 650,681 664,200 123,409 221,400 (97,991) Late Fees 494,418 541,125 550,000 178,146 183,333 (5,187) Interest and Miscellaneous 130,709 348,984 39,800 2,627 13,267 (10,640) Total Operating Revenues 23,249,262 27,109,146 28,763,000 9,255,783 9,587,667 (331,884) Transfers and Other Sources 4,305,408 410,000 410,000 136,667 136,667 0 Total Revenues 27,554,670 27,519,146 29,173,000 9,392,450 9,724,333 (331,883) Expenses 1251 Administration 1,356,781 1,373,434 1,168,786 458,894 380,329 78,565 1252 Water Purification 5,596,723 5,329,219 5,770,270 2,302,849 1,909,863 392,986 1253 Water Distribution 3,476,479 3,798,066 3,178,135 983,690 1,037,189 (53,499) 1254 Customer Service 1,194,613 1,618,939 1,470,320 381,260 . 480,826 (99,566) 1255 Waste Water Conveyance 4,002,064 5,023,993 4,747,419 1,306,989 1,551,776 (244,787) 1256 Wastewater Treatment 1,987,509 2,568,362 2,472,333 758,897 812,465 (53,568) 1260 Environmental Regulatory Services 441,856 514,328 672,161 192,970 220,411 (27.441) Total Operating Expenses 18,056,025 20,226,341 19,479,424 6,385,549 6,392,858 (7,309) Transfers and Other Uses 7,590,270 7,881,201 9,659,132 3,219,711 3,219,711 0 Total Expenses and Other Uses - 25,646,295 28,107,542 29,138,556 9,605,260 9,612,569 (7,309) Net Current Activity 1,908,375 (588,396) 34,444 (212,810) 111,764 Beginning Working Capital Balance (1,202,686) 705,689 618,040 117,293 117,293 Ending Working Capital Balance 705,689 117,293 652,484 (95,517) 229,057 (As Adjusted) City of Port Arthur 2019 - 2020 Budget Monthly Report January 31, 2020 Actual Actual Amended Y-T-D Y-T-D 17-18 18-19 Budget Actual Budget (Unaudited) 19-20 Thru Jan Thru Jan Variance Solid Waste Fund Summary Revenues Residential Service 4,158,037 4,112,128 4,200,000 1,369,505 1,400,000 (30,495) Commercial Containers 2,015,983 2,133,107 2,531,400 760,109 843,800 (83,691) Landfill Charges 2,335,938 1,395,483 1,500,000 388,161 500,000 (111,839) Municipal Landfill Contracts 310,758 232,289 280,000 89,578 93,333 (3,755) Late Fees 173,293 153,487 175,000 54,325 58,333 (4,008) Interest and Miscellaneous 696 43,545 - 8,921 - 8,921 Total Revenues 8,994,705 8,070,039 8,686,400 2,670,599 2,895,467 (224,868). Expenses 1271 Trash Collection 1,307,401 1,367,598 1,237,587 429,720 401,980 27,740 1272 Residential Collection 936,306 1,367,02] 1,219,650 456,857 395,482 61,375 1273 Container Service 678,516 807,921 664,198 248,879 216,415 32,464 1274 Landfill 2,126,943 2,879,897 2,323,318 884,162 767,397 116,765 1275 Administration 98,186 135,444 129,497 57,417 41,970 15,447 Total Operating Expenses 5,147,352 6,557,881 5,574,250 2,077,035 1,823,244 253,791 Transfers and Other Uses 3,039,070 2,857,534 3,052,684 1,017,561 1,017,561 (0) Total Expenses and Other Uses 8,186,422 9,415,415 8,626,934 - 3,094,596 2,840,805 253,791 Net Current Activity 808,283 (1,345,376) 59,466.- (423,997) 54,661 Beginning Working Capital Balance 1,777,927 2,586,210 1,960,485 1,240,834 1,240,834 Ending Working Capital Balance 2,586,210 1,240,834 2,019,951 816,837 1,295,495 Pleasure Island Summary Revenues Land Lease&Sales 594,134 547,242 579,234 187,427 193,076 (5,649) Dry Storage Rentals 29,026 24,873 30,000 8,533 10,000 (1,467) RV Park 285,407 248,176 240,000 108,807 80,000 28,807 Boat Slip Rentals 130,301 122,655 129,000 38,224 43,000 (4,776) Fuel Facility 4,343 3,669 3,000 2,955 1,000 1,955 Total Revenues 1,043,211 946,615 981,234 345,946 327,076 18,870 Expenses 1291 Administration 582,864 520,027 582,292 165,005 189,408 (24,403) 1292 RV Park 148,883 119,715 146,800 33,484 48,933 (15,449) 1293 Marina 144,007 404,283 60,150 30,161 20,050 10.111 1294 Parks 67,307 38,917 129,690 1,453 43,230 (41,777) Total Operating Expenses 943,061 1,082,942 918,932 230,103 301,622 (71,519) Transfers and Other Uses (65,444) 40,000 187.500 62.500 62.500 - Total Expenses and Other Uses _ 877,617 1,122,942 1.106,432 292,603 364,122 (71,519) Net Current Activity 165,594 (176,327) (125,198) 53,343 (37,046) Beginning Working Capital Balance 397.611 563,205 296.124 386.878 386.878 Ending Working Capital Balance 563,205 386,878 170,926 440,221 349,832 City of Port Arthur 2019 - 2020 Budget Monthly Report January 31, 2020 Total FY 19-20 Project To Total Revised Actual Y-T-D Date Project Estimated Thru 9/30/19 Actual Actual Balance Capital Improvement Fund Summary Project Cost (Unaudited) Thru Jan Thru 1/31/20 Remaining Street Improvements District 1 Nashville Street 7th-Proctor 913,290 148,388 506,902 655,290 .258,000 Bluebonnet Gulfway-19th 1,328,280 1,345,502 1,345,502 (17,222) Woodworth Blvd 7th St-Thomas Blvd. 1,186,728 1,186,998 1,186,998 (270) W.8th Street Foley-Joe Louis 1,254,267 1,099,558 154,709 1,254,267 - Lakeshore Drive Ph 1 4186-4300 Lakeshore 555,842 531,778 (1,123) 530,655 25,187 Lakeshore Drive Ph 2 12th Av-4186/4300-Stadium 723,536 14,500 14,500 709,036 5th Street Atlanta-Nashville 915,588 - - 915,588 6th Street Atlanta-Nashville 929,588 - - 929,588 12th Street 6th Ave-Woodworth 75,926 - - 75,926 24th Street Gulf Ave to Memorial 105,071 - - 105,071 9th Street Houston-Ft Worth 31,768 24,753 24.753 7,015 Marshall 10th-Gulfway 159,616 102,369 102.369 57,247 El Paso Ave Lakeshore-Howard 29,598 - - 29,598 3rd Avenue Gulfway-14th 350,000 - - 350,000 5th Ave.South Tremont-Broadway 200,000 - - 200,000 10.353.968 6.048.716 660,488 6.709.204 3.644,764 District 2 Williams Avenue Lakeshore-Procter 15,231 - - 15,231 15th Street Vera-Main 289,351 339;909 2,414 342,323 (52,972) Carolina Ave Gulfway-Dead End 919,281 68,910 423,882 492,792 426,489 Lakeshore Dr Lakeside-Williams 587,000 80,480 9,806 90,286 496,714 Lakeshore Dr Williams-Stadium 927,000 109,144 14,396 123,540 803,460 8th Street Williams-Duff 21,313 17,660 17,660 3,653 5th Street Stadium-Duff 40,519 96,916 96,916 (56,397) 6th Street Brazos-Duff Dr 51,612 69,687 69,687 (18,075) Williams Avenue 5th St-Lewis Dr 550,000 - - 550,000 3.401,307 782,706 450.498 1.233204 2,168,103 District 3 Ferndale Drive Highland Dr-S Park Dr 20,188 1,350 1,350 18,838 Northpark Drive W Park-Evergreen 21,420 1,350 1,350 20,070 Wilson Drive Evergreen-Highland 15,392 - - 15,392 Forest Drive Evergreen-Woodrow 344,500 103,991 3,150 107,141 237,359 8th Ave 32nd-Dead End 881,394 83,580 187,415 270,995 610,399 Sunken Court Ph 1/Wilson-Tyrrell 405,393 96,050 315,894 411,944 (6,551) Sunken Court Ph 2/Tyrrell-Twin City Hwy 729,887 55,486 55,486 674,401 38th Street Rachel-Lansing 10,175 8,716 8,716 1,459 Forest Dr Griffing-Evergreen 51,753 - - 51,753 42nd St 9th Ave-Wentworth 161,028 50,685 50,685 110,343 Evergreen Dr. North Park-Tyrrell 62,543 58,421 58,421 4,122 3rd Ave 32nd St-36th St - 67,512 67,512 (67,512) Memorial Bld(Feeder) 29th St-3I st St 100,000 - - 100,000 9th Ave 32nd St-36th St 450,000 - - 450,000 3253,673 527.141 506.459 L033,600 2220.073 District 4 Viterbo Road Spur 93-End 101,363 - - 101,363 Willow Avenue Maple-60th St 852,109 70,690 268,824 339,514 512,595 60th Street West Port Arthur-Canal 903,247 79,103 272,729 351,832 551,415 Cedar St 58th St to North End 88,142 53,650 53,650 34,492 64th St Garnet-W Port Arthur Rd 201,102 140,920 140,920 60,182 58th St Ray Ave to Cedar St 101,013 74,235 74,235 26,778 Pine Ave. 60th St.-Dead End 27,681 28,604 28,604 (923) Sharon Dr Cambridge-Queens 29,199 36,456 36,456 (7,257) Waco Ave Gulfway to Thomas Blvd 50,757 15,735 15,735 35,022 Lakeside Plaza H.O.Mills-Cashmere 320,000 - - 320,000 Beaumont Ave Gulfway-15th St 230,000 - - 230,000 2,904,613 499.393 541.553 1.040.946 1.863,667 Street Reconstruction Unallocated 10,000,000 - - - 10,000,000 Street Remediation Unallocated 4,200,000 - - - 4,200,000 Total Street Improvement Projects 34,113,561 7,857,956 2,158,998 10,016,954 24,096,607 City of Port Arthur 2019 - 2020 Budget Monthly Report January 31, 2020 Total FY 19-20 Project To Total Revised Actual Y-T-D Date Project Estimated Thru 9/30/19 Actual Actual Balance Captial Improvement Fund Summary Project Cost (Unaudited) Thru Jan Thru 1/31/20 Remaining Drainage Improvements Upsize Pipes 11&12th at 7th&Lakeshore 678,890 - - 678,890 Drainage System at El Vista 1,033,400 9,104 10,033 19,137 1,014,263 Drainage System at Port Acres 3,153,000 23,288 40,199 63,487 3,089,513 Lake Arthur Detention Pond 5,261,743 25,649 904,299 929,948 4,331,795 Drainage System at Golf Course 1,972,133 112 112 1,972,021 Drainage at Downtown Transit Facility 723,800 - - 723,800 Total Drainage Projects 12,822,966 58.153 954,531 1,012,684 11,810,282 General Improvements Information Technology. ERP Replacement 1.480,000 - - - 1,480,000 Cloud-based backups 108,000 - - - 108,000 Paper Digitization 540.000 - - - 540,000 2,128.000 - - - 2.128,000 Development Services 2545 Dallas-Building Renovations 2,978,000 1,421,069 972,639 2,393,708 584,292 Fire Replace Haz-Mat Rescue Vehicle 950.000 - 949.997 949,997 3 Public Works Replace Roof at Operations Center 100,000 - - - 100,000 Renovations to City Hall 462,000 - 1,326 1,326 460,674 Renovations to Electrical Building 200,000 - - - 200,000 762,000 - 1.326 1.326 760.674 Parks&Recreation Renovations - Renovations to Recreation Center 630,000 - - - 630,000 Mosely Pool 70,000 - - - 70,000 Renovations to Lakeview Pool Area 300,000 7,872 24,364 32,236 267,764 Eagles Park Walking Trail 30,000 30,000 Adams Park Soccer Complex 1,000,000 1,000,000 Barbara Jacket Park-Parking Lot Repairs 100,000 100,000 2.130.000 7.872 - 7,872 2,097.764 Total General Improvements 8,948,000 1,428,941 1,923,962 3,352,903 5,570,733 Water Utility Improvements Waste Water Treatment Plant Construction 60,560,000 - 60,560,000 Lift Stations 2,850,000 - 2,850,000 Water Tank Rehabilitation 1,750,000 3,575 3.575 1,746,425 Sabine Pass Collection Systems 600,000 - 600,000 Total Water Utility Improvements 65,760.000 - 3,575 3,575 65,756,425 Pleasure Island Imrovements Boat Launch/Parking Lot Repairs 590,000 - 590,000 Total Pleasure Island Improvements 590,000 - - - 590.000 City of Port Arthur 2019-2020 Budget Monthly Report January 31,2020 Actual Actual Actual 1'-T-D Actual 16-17 17-18 18-19 Actual FV 17-F1'20 (Unaudited) Thru Jan Total Disaster Fund Summary Revenues . • Federal/State Grants 6,092,224 6,407,776 1,200,483 1,462,546 15,163,029 Contributions-Donations 10,682 27,424 - - 38,106 Insurance Proceeds - 10,015,834 1,261,708 675,183 11,952,725 Lease Proceeds - 2,646 - - 2,646 Total Revenues 6,102,906 16,453,680 2,462,191 2,137,729 27,156,506 Expenditures Salaries and Benefits 3,694,644 790,262 4,487 36,438 4,525,831 Supplies and Materials 63,291 1,636,543 260,120 9,178 1,969,132 Maintenance 121,462 2,171,350 1,454,375 438,077 4,185,264 Contractual Services 1,082,631 14,882,112 1,607,738 417,590 17,990,071 Capital Outlay 1,140,878 1,224,982 619,103 57,656 3,042,619 Total Expenditures 6,102,906 20,705 249 3,945,823 958,939 31,712,917 Net Current Activity - (4,251,569) (1,483,632) 1,178,790 (4,556,411) Beginning Fund Balance - - (4,251,569) (5,735,201) Ending Fund Balance - (4,251,569) (5,735,201) (4,556,411) Summary by Cateaory Fmeroencv DebrisResponse Equipment Vehicles Facilities Contents Other DAC At Risk Total Revenues FEMA/State $ 13,747,235 S 1,290,463 $ - $ - $ 65,476 S - $ 59,855 $ - $ - $ 15,163,029 Insurance - - 1,237,897 3,324,837 1,980,668 4,457,337 951,986 - - 11,952,725 Lease Proceeds - - - - - - 2,646 - - 2,646 Donations - - - - 38,106 _ - 38,106 Total 13,747,235 1,290,463 1,237,897 3,324,837 2,046,144 4,457,337 I,052,593 - - 27,156,506 Expenditures Personnel - 2,911,379 36,438 - - - 4,487 - 1,573,527 4,525,831 Supplies&Materials - - - - 1,969,132 - - - 1,969,132 Maintenance - - 524,849 846,502 1,894,258 506,837 412,818 - - 4,185,264 Contractual Servic 12,875,438 - - - - - 2,767,596 2,347,037 - 17,990,071 Capital Outlay - - 379,728 1,474,944 866,404 321,543 - - - 3,042,619 Total 12,875,438 2,911,379 941,015 2,321,446 2,760,662 2,797,512 3,184,901 2,347,037 1,573,527 31,712,917 Balance S 871,797 S(1,620,916) S 296,882 S 1,003,391 $ (714,518) S 1,659,825 S (2,132,308) $ (2,347,037) S (1,573,527) S (4,556,411) Reimbursements Pending FEMA Proj 43252 Fire 482,031 482,031 Proj 44081 Police 12,554 12,554 Proj 2313 Debris 282,206 282,206 Proj 43250 Hazard Response 594,817 594,817 Proj 4332 Locomotive Relocation 69,219 69,219 Insurance Fire Equipment - - 9,000 - - - - - - 9,000 Total 282,206 1,089,402 9,000 - - - 69,219 - - 1,449,827