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HomeMy WebLinkAboutProposed Budget 08.08.23#2FY 2023-2024 Proposed Budget August 8, 2023 1 Comparison of Assessed Value Tax Years 2022-2023 Certified Certified Inc/(Dec)% (in Billions)2022 2023 2022-2023 Inc/(Dec) Total Market Value 5,402 5,945 543 10% Less Caps & Exemptions 1,633 1,707 74 5% Taxable Value 3,769 4,238 469 12% 2 Tax Rate Calculation FY 2023-2024 •No New Revenue Tax Rate (Previously Effective Tax Rate) •Basically the tax rate needed to generate the same amount of taxes as last year •Voter Approval Tax Rate (Previously Rollback Rate) •The highest tax rate a taxing unit can adopt without holding an election •New legislation in 2021 created a modification of formula used for the M&O rate •Change in maximum rate from 8% to 3.5% without requiring an automatic election •Calculation resulted in a required $.04 reduction in proposed property tax rate 3 Proposed Tax Rates FY 2023-2024 Calculated: FY2023 FY2024 Inc/(Dec) No-New Revenue Tax Rate 0.617512 0.547795 (.07) Voter Approval Tax Rate 0.691535 0.648641 (.04) Proposed: M&O Rate 0.434681 0.398468 (.04) Debt Rate 0.256854 0.250173 (.01) Total Proposed Tax Rate 0.691535 0.648641 (.04) 4 Fund Balance – General Fund •Fund balance is an accumulation of revenues minus expenditures •Beginning fund balance represents available, spendable resources of the fund •It is essential that governments maintain adequate levels of fund balance to mitigate revenue shortfalls and unanticipated expenditures 5 Fund Balance Policy Target Fund Balance=60 days operating expenditures +$1.5 Million Oper. Exp. Days General Fund Ending Balance (FY2024)$22 M 107 Required $12.5 M 60 General Fund Additional Policy Requirement $1.5 M 7 Excess $8M 40 6 Staff Recommended Changes to Proposed Budget •General Fund •Increase Revenues •Transfer from Water Fund for Admin and Collection Costs (+587,000) •Increase Expenditures •Increase Cost of Living Adjustment from 2% to 3% (+$524,000) •Increase Transfer to Transit for City share of additional salary increase (+$5,500) •Increase Transfer to Capital Reserve for purchase of a Lift Truck for Parks (+145,000) 7 Staff Recommended Changes to Proposed Budget Other Funds Increase Expenditures: Increase Cost of Living Adjustment from 2% to 3% •Water Fund (+$96,000) •Solid Waste Fund (+$34,000) •Pleasure Island Fund (+$6,000) •Transit (+$22,000) •EDC (+$10,000) •Regulatory Enforcement Fund (+$630) Capital Reserve Fund – Purchase Lift Truck for Parks (+145,000) 8 General Fund FY 2024 Proposed Proposed Changes FY 2024 Revised Revenues 79,107,207 587,000 79,694,207 Operating Expenditures 74,460,114 524,000 74,984,114 Transfers 10,479,838 150,500 10,630,338 Rev over (under) Exp (5,832,745)(87,500)(5,920,245) Beginning Fund Balance 27,821,788 -27,821,788 Ending Fund Balance 21,989,043 (87,500)21,901,543 9 General Fund Summary FY 2023 Budget FY 2023 Estimate FY 2024 Proposed (Rev) Revenues 75,331,426 77,505,348 79,694,207 Operating Expenditures 73,109,000 72,128,615 74,984,114 Transfers & Other Exp 10,806,954 10,806,954 10,630,338 Rev over (under) Exp (8,584,528)(5,430,221)(5,920,245) Beginning Balance 33,252,009 33,252,009 27,821,788 Ending Balance 24,667,481 27,821,788 21,901,543 10 General Fund Transfers To Other Funds FY 2023 Budget FY 2023 Estimate FY 2024 Proposed (Rev) Capital Impr&Equip 8,607,766 8,607,766 7,040,700 General Liability 1,875,000 1,875,000 2,600,000 EDC 132,588 132,588 132,588 Transit Operating --673,350 Health Grant 97,000 97000 89,100 Golf Course 50,000 50,000 50,000 TIRZ 44,600 44,600 44,600 Total 10,806,954 10,806,954 10,630,338 11 Water Utility Fund Summary FY 2023 Budget FY 2023 Estimate FY 2024 Proposed (Rev) Revenues 34,456,399 35,200,000 37,543,300 Operating Expenditures 25,780,947 25,112,917 27,704,452 Transfers out 8,050,206 8,050,206 9,008,248 Revenue over (under) expenses $ 625,246 $ 2,036,877 $ 830,600 12 Solid Waste Fund Summary FY 2023 Budget FY 2023 Estimate FY 2024 Proposed (Rev) Revenues 10,600,000 11,990,000 11,570,000 Operating Expenditures 7,616,303 7,542,590 8,038,680 Transfers out 2,294,386 2,294,386 3,024,667 Revenue over (under) expenses $ 689,311 $ 2,153,024 $ 506,653 13 Key Dates •Aug. 1 Tuesday City Council Proposed Budget Overview •Aug. 8 Tuesday City Council Proposed Budget Workshop, Hold record vote on the proposed tax rate via resolution •Aug. 15 Tuesday City Council Proposed Budget Workshop •Aug. 28 Monday Public Hearing on Budget •Aug. 29 Tuesday Public Hearing on Tax Rate, Adopt Budget, Tax Roll and Tax Rate Denotes a special Council Meeting 14 Next Workshop August 15 Discussion : Capital Suggestions? 15