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10/07/2021 - PacketRole of the Finance Committee The finance committee provides oversight of city budgeting, financial planning, and financial reporting. The committee recommends long-range financial goals along with funding strategies for the operating and capital budgets. Human resource issues requiring policy direction are brought before the committee. The committee serves as the advisory forum for transportation and street maintenance funding, and funding relating to the transportation benefit district. Port Orchard Council Special Finance Committee Mid-Biennial Review and Modifications Discussion October 07, 2021 3:00 pm Join Zoom Meeting https://us02web.zoom.us/j/83578830384 Meeting ID; 835 7883 0384 +12532158782,, 83578830384# US (Tacoma) 1) Mid-Biennial Review Finance Director, Noah Crocker a. Calendar 2) Budget Adjustments Finance Director, Noah Crocker a. ERR Transfers to Services per change to account reporting i. All ERR payments which were budget as transfers have been budgeted to be expenses- No budgetary Impact b. TIP 1.3 Bethel/Sedgwick Phase 1 to 2.04 Bethel-Lincoln i. TIP 1.3 $500,000 re-allocated to TIP 2.04 c. TIP 1.5A Old Clifton Design 60% to 2.04 Bethel-Mitchel i. TIP 1.5A $000,000 re-allocated to TIP 2.04 ii. TIP 1.5A budget adjusted to $250,000 3) Budget Modifications Finance Director, Noah Crocker a. Summary Overview-Impact to Fund Balance b. Recognized actions taken by City of Port Orchard c. New Expenditure Request d. Revenue Adjustments e. Total Revenue f. Transfers g. Change in Reporting requirements Fund 632 Schedule Next Meeting Date Mid-Biennial Budget Review Schedule SEPTEMBER  Departments provided Budget Status Report  Finance Director reviews Budget Status Report with Mayor  Departments are consulted on possible modifications to the budget  Potential Department Director interview on modifications OCTOBER  October 7, 2021 Council Finance Committee initial review of Status Report  October 19, 2021 Work Study Session Mid-Biennial Review modification recommendations  October 26, 2021 Public Hearing on Revenue Sources leading to setting of 2022 Property Tax Levy Collection  October 26, 2021 Hearing setting 2022 Property Tax Levy Collection  October 26,2021 Public Hearing on modifications to the Biennial Budget shall be advertised at least once and shall be held no later than the first Monday in December and may be continued from time to time.  At such hearing, the Council may consider a proposed Ordinance to carry out any modification, subject to the other provisions on RCW 35.34. NOVEMBER DECEMBER JANUARY  Finance Director records modifications to the Biennial Budget 10/7/2021 2:50:33 PM Page 1 of 3 Budget Adjustment Report City of Port Orchard Adjustment Detail For Date Range: 01/01/2021 - 12/31/2022 Original Budget Budget Adjustments Current BudgetAccount Number Account Name Post Date AmountAdjustment DescriptionAdjustment Number Packet Number Budget Code: 2021 3-Final - 2021 3-Final Fiscal: 2021 Fund: 111 - Impact Mitigation Fee Expense 111.06.597.00.00 Transfers-Out MW Transport 450,000.00 0.00 450,000.00 TIP 1.5A-Funds Re-allocated to TIP 2.04 & redu…-450,000.00BA000004306/30/2021GLPKT03612 TIP 1.5A-Old Clifton RD-30% Corridor- Design 6…250,000.00BA000004306/30/2021GLPKT03612 TIP 2.04 Bethel Mitchell Design (Re-allocated f…200,000.00BA000004306/30/2021GLPKT03612 111.06.597.04.00 Transfers Out 300,000.00 0.00 300,000.00 TIP 1.3 Re-allocated to TIP 2.04 Bethel Lincoln …-300,000.00BA000004306/30/2021GLPKT03612 TIP 2.04 Bethel Lincoln Design (Re-allocated fr…300,000.00BA000004306/30/2021GLPKT03612 750,000.00 0.00 750,000.00Expense Total: 750,000.00 0.00 750,000.00Fund 111 Total: 750,000.00 0.00 750,000.00Budget Code 2021 3-Final Total: Budget Adjustment Report For Date Range: 01/01/2021 - 12/31/2022 10/7/2021 2:50:33 PM Page 2 of 3 Original Budget Budget Adjustments Current BudgetAccount Number Account Name Post Date AmountAdjustment DescriptionAdjustment Number Packet Number Budget Code: 2022 3-Final - 2022 3-Final Fiscal: 2022 Fund: 111 - Impact Mitigation Fee Expense 111.06.597.04.00 Transfers Out 200,000.00 0.00 200,000.00 TIP 1.3 Re-allocated to TIP 2.04 Bethel Lincoln …-200,000.00BA000004401/01/2022GLPKT03613 TIP 2.04 Bethel Lincoln Design (Re-allocated fr…200,000.00BA000004401/01/2022GLPKT03613 200,000.00 0.00 200,000.00Expense Total: 200,000.00 0.00 200,000.00Fund 111 Total: 200,000.00 0.00 200,000.00Budget Code 2022 3-Final Total: Budget Adjustment Report For Date Range: 01/01/2021 - 12/31/2022 10/7/2021 2:50:33 PM Page 3 of 3 Fund SummaryDescription Original Budget Budget Adjustments Current BudgetFundDescription Budget Code: 2021 3-Final - 2021 3-Final Fiscal: 2021 111 750,000.00 0.00 750,000.00 750,000.00 0.00 750,000.00Budget Code 2021 3-Final Total: Budget Code: 2022 3-Final - 2022 3-Final Fiscal: 2022 111 200,000.00 0.00 200,000.00 200,000.00 0.00 200,000.00Budget Code 2022 3-Final Total: Fund Total Expense Total Revenue Net Impact of Modification 001 Fund: 001 - Current Expense 5,752,135 7,137,301 1,385,166 002 Fund: 002 - City Street Fund 2,361,472 2,430,071 68,599 003 Fund: 003 - Stabilization Fund - 393,687 393,687 103 Fund: 103 - Criminal Justice 7,525 108,608 101,083 104 Fund: 104 - Special Investigative Unit - 3,797 3,797 107 Fund: 107 - Community Events 540 12,002 11,462 108 Fund: 108 - Paths & Trails - 196 196 109 Fund: 109 - Real Estate Excise Tax 336,000 1,339,992 1,003,992 111 Fund: 111 - Impact Mitigation Fee 1,335,000 1,723,967 388,967 302 Fund: 302 - Capital Construction 2,948,000 2,956,707 8,707 304 Fund: 304 - Street Capital Projects 2,577,300 2,950,748 373,448 411 Fund: 411 - Water Operating 239,626 1,189,663 950,036 412 Fund: 412 - Water Stabilization - 33,216 33,216 413 Fund: 413 - Water Capital 2,050,000 455,554 (1,594,446) 421 Fund: 421 - Storm Drainage Utility 217,087 275,220 58,133 422 Fund: 422 - Storm Drainage Stabilization - 30,631 30,631 423 Fund: 423 - Storm Drainage Capital Facil - 69,013 69,013 431 Fund: 431 - Sewer Operating 1,145,944 1,052,101 (93,843) 433 Fund: 433 - Sewer Capital 6,050,425 10,954,050 4,903,625 500 Fund: 500 - Equipment Rental and Revolving 420,800 343,630 (77,170) Total 25,441,855 33,527,118 8,085,263 Restricted Funding *Fund: 001 - Current Expense-ARPA 510,539 *Fund: 001 - Current Expense-Affordable Housing 40,102 *Fund: 001 - Current Expense-Recreation Reserve 6,250 *Fund: 001 -Obligated Personel Future Salary & Benefits 574,621 Fund: 001- Total-Restricted & Obligated 1,131,512 Fund: 001- Total-Unrestricted & Obligated 253,654 2021 - 2022 Biennial Review and Modifications Summary Actions Already Taken by City Amount Mayor Approved Fund(s) Finance Comittee Approved Administation 85,000 Gorst Coalition 35,000 Y 001 Additional-Regular Legal Services 50,000 Y 001 Police 25,000 Background process (plus poly, psych, medical) 25,000 Y 001 Community Development 481,536 Defund: Buildable Lands Consultant (4,000)Y 001 Defund: Flood Hazard Consultant (12,000)Y 001 Defund: 2021 SMP (15,000)Y 001 SKFR Inspection & Review 55,800 Y 001 Building Inspection Consultant 275,000 Y 001 GGLO Contract Downtown Subarea Grant Funded 46,736 Y 001 Rice Fergus Miller Contract C066-21 SKCEC Includes CA #1 Port/Orchard Street Plaza & Bay Street Improvements 115,000 Y 001 SKCEC Lease to Private Business (Excise Tax) 20,000 Y 001 Public Works 12,170,481 Judgement & Settlements 60,000 Y 001 Citywide Street Lights -LED HSIP Fed Grant 55,000 Y 002 Lippert Sidewalk & Pavement Repair -CDBG Grant ($244580.32)244,581 Y 002 Citywide Street Lights -LED TIB State Grant 200,000 Y 002 Increase in signs purchased as well as additional necessary barricades due to changes in special event requirements 10,000 Y 002 Increase traffic control svs expense due to increased expense for striping contract, unexpeceted guardrail rprs and increase for annual signal maintenance 75,000 Y 002 Sidney Repairs St/Sidewalks (portion of project) 210,500 Y 002 Sidney Repairs Sewer (portion of project) 210,500 Y 431 City Hall Design Contract Original ($106,500) Amendement #1 ($394,676), Amendment #2 ($39,090)220,000 Y 302 TIP 1.7 (Used to be 2.04) Bethel Sedgwick Corridor Ph5A Bethel Lincoln RAB -Design and Local Match (Project Cost $2.9 million)1,000,000 Y 304 TIP 1.7 (Used to be 2.04) Bethel Sedgwick Corridor Ph5A Bethel Lincoln RAB -Construction Grant Project Cost $2.9 Mil 1,500,000 Y 304 MW Splashpad $115 budgeted need additional funds to equal $250K 135,000 Y 302 C070-21 KitsapBank- C082-19KPFD- Task 4-Kitsap Bank Property Purchase (Local Funds) 300,000 Y 302 C070-21KitsapBank- C082-19KPFD-Task 4-Kitsap Bank Property Purchase (Commerce Grant)1,200,000 Y 302 C070-21KitsapBank- C082-19KPFD-Task 4-Kitsap Bank Property Purchase (PFD C082-19)1,000,000 Y 302 Pottery Sewer Lift Station Emergency Repair-Offset by up to $500k PWB Loan 500,000 Y 431 Marina Sewer Pump Station to Fully Funded $13M-ECY Loan 5,249,900 Y 433 Personnel Costs 739,518 Remove: Office Assistant II (166,809)Y Multi Add: HR Specialist 173,247 Y Multi Add: Assistant Planner 173,578 Y 001 Add: PW-Personnel 163,701 Y 002 Add: PW-Personnel 163,701 Y 431 Add: PW-Laborer 127,267 Y 002 Remove: Permit Clerk (163,468)Y 001 Add: Permit Tech 172,982 Y 001 Remove: Permit Clerk (Part Time)(100,915)Y 001 Add: Permit Clerk (Full Time) 196,234 Y 001 Total 13,501,535 New Requests Amount Mayor Approved Fund(s)Finance Comittee Approved Administation 10,000 Small Business Development Center 10,000 Y 001 Police 412,250 Police Executive training/travel 2,500 Y 001 PoliceOne - officer wellness training (yearly subscription) 750 Y 001 Police Investigative-Office supplies 1,000 Y 001 Police Marine Additional Fuel costs 1,000 Y 001 Derlict Vessel Destruction 50,000 Y 001 DEM-Budget Increase Request 7,000 Y 001 Body Cameras 350,000 N 001 Community Development 980,000 Software Purchase-DCD 10,000 Y 001 2022 Subarea Plan Consultant - Bethel Sedgwick 100,000 Y 001 2022-Critical Areas Code Periodic Update (state mandate) 60,000 Y 001 Rice Fergus Miller Contract C082-19 Proposed Change Order #3 (Orchard/Fredrick street and Plaza) 110,000 Y 001 Rice Fergus Miller C082-19 Contract Task #4 600,000 Y 001 2022 Subarea Plan Consultant - Mile Hill Center 100,000 N 001 Public Works 4,681,000 Council Chambers (Audio & Video) 75,000 Y 001 16 Street Trees Sidney Ave Kitsap to Dekalb 8,000 Y 002 Snow & Ice Additional funds for salaries/benefits winter 2021-2022 35,000 Y 002 Transportation Element Update-Additional Funding for the plan 20,000 Y 002 Siding Replacement & Paint Ext DCD Building 20,000 Y 302 GO4 Charging Station (Shop & City Hall) 10,000 Y 302 Key Cards 720 Prospect & City Hall 38,000 Y 302 City Hall Solar System Grant Support 25,000 Y 302 Old Clifton Road Design only $250 add back $200,000 (Subject to Impact Fee's and Timing of projecct) 200,000 Y 304 TIP 1.8 Bethel Sedgwick Corridor Ph1A-DN & RW-Blueberry RAB-Funded by Developer Fee ($234K) & (116 REET) 350,000 Y 304 Well #13-Design 90%-100% (ARPA)300,000 Y 413 McCormick Woods Water Intertie at Old Clifton Design -ARPA Funding 600,000 Y 413 Melcher Water Pump Station Rehab-Offset by up to $500k PWB loan 500,000 Y 413 Sedgwick Booster Station (390 Zone)-Offset by up to $650k PWB loan 650,000 Y 413 Sewer Lift Stations Controls Upgrade-Offset by $800k PWB loan 800,000 Y 433 Increase for lift station repairs contracts- needed to keep the systems operational. 50,000 Y 431 Council Retreat -Street Preservation & Maintenance 1,000,000 Y 002 Equipment Rental & Revolving Fund 299,750 Mechanic Request for Additional Equipment & Tools 15,750 Y 500-Multi Additions to the Fleet: Department of Community Development (Purchase of Police Highlander) 10,500 Y 500-001 Public Works Parks EV Max 45,500 Y 500-001 Public Works Street Truck 57,000 Y 500-002 Public Works Water Truck 57,000 Y 500-411 Public Works Storm Truck 57,000 Y 500-421 Public Works Sewer Truck 57,000 Y 500-431 Personnel Requests 1,093,319 Add: Records Evidence Specialist (Starting July 1,2022) 59,703 Y 001 Remove: Associate Planner Long Range (164,112)Y 001 Add: Senior Planner 164,112 Y 001 Remove: Associate Planner (142,598)Y 001 Add: Senior Planner 149,590 Y 001 Add: Mechanic 116,200 Y 500-Multi Add: Utility Compliance Specialist 141,019 Y Utilities Add: Accounting Assistant II 104,383 Y Utilities Mayor Vehicle Stipend 6,000 Y 001 Judge Contract Increase 20,000 Y 001 Salary and Benefit Cost Updates/Projections 639,022 Y Multi Total 7,476,319 Revenue Adjustments Amount Mayor Approved Fund(s) Finance Comittee Approved Adjustments 6,449,072 Sales Tax 1,500,000 Y 001 License & Permits For Building 374,300 Y 001 Federal Direct-US Treasury- ARPA 1,410,539 Y 001 Zoning & Subdivision Fee's 25,000 Y 001 Plan Checking Fees 250,000 Y 001 TBD Vehicle Fees 390,000 Y 002 REET 1 425,000 Y 109 REET 2 425,000 Y 109 Park Impact Fee's 215,000 Y 111 Transportation Impact Fees (2021) 700,000 Y 111 Transportation Impact Fees (2022) 500,000 Y 111 Blue Berry Bethel Agreement 234,233 Y 304 Grants and Loans 16,649,580 2022 Rice Fergus Miller Contract Task #4 under PFD Contract only has $600,000 600,000 Y 001 Lippert Sidewalk & pavement Rpr -CDBG Grant ($244580.32)244,580 Y 002 Citywide Street Lights -LED HSIP Fed Grant 55,000 Y 002 Citywide Street Lights -LED TIB STate Grant 200,000 Y 002 TIP 2.04-TIP 1.7 Bethel Sedgwick Corridor Ph5A Bethel Lincoln RAB -Construction Grant 1,500,000 Y 304 Melcher Water Pump Station Rehabilition-$500k PWB loan 500,000 Y 413 Sedgwick Booster Station (390 Zone)-Up to $650k PWB loan 650,000 Y 413 Pottery Sewer Lift Station EMERGENCY- Up to $500k PWB Loan 500,000 Y 433 Marina SW Pump Station-DOE Additional Loan Proceeds 8,900,000 Y 433 Sewer Lift Stations controls upgrade-$800k PWB loan 800,000 Y 433 Well 11-Design (PWB- Pre-Construction Loan)500,000 Y 413 C070-21 KitsapBank- C082-19KPFD-Task 4-Kitsap Bank Property Purchase (Commerce Grant)1,200,000 Y 302 C070-21 KitsapBank- C082-19KPFD-Task 4-Kitsap Bank Property Purchase (PFD C082-19)1,000,000 Y 302 Total 23,098,652 Transfers Amount Mayor Approved Fund (s) Expenses Fund (s) Revenues Finance Comittee Approved 4,493,130 McCormick Woods Water Intertie at Old Clifton Design -ARPA Funding 600,000 Y 001 413 Well#13- 90% to 100% Design- ARPA Funding 300,000 Y 001 413 C070-21 KitsapBank- C082-19KPFD- Task 4-Kitsap Bank Property Purchase (Local Funds)300,000 Y 001 302 Siding Replacement & Paint Ext DCD Building 20,000 Y 001 302 GO4 Charging Station 10,000 Y 001 302 Key Cards 720 Prospect & City Hall 38,000 Y 001 302 City Hall Solar System Grant Support 25,000 Y 001 302 Council Retreat- Request Street Pavement Preservation 1,000,000 Y 001 002 Increase Transportation funds for Lund Bridge, Pavement Preservation, Crack&Seal (previously 304) now from 001 472,700 Y 001 002 Reduce Transportation funds for Lund Bridge (previously 304) (272,700) Y 304 002 Reduce Transportation funds for Pavement Preservation (previously 304) (150,000) Y 304 002 Reduce Transportation funds for Crack & Seal Program (previously 304) (50,000) Y 304 002 TIP 2.04-1.4 Match-TIP 1.7 Bethel Sedgwick Corridor Ph5A Bethel Lincoln RAB -Moves forward dependant upon award of Grant funding HSIP 1.5 awarded - 2021 800,000 Y 111 304 TIP 2.04-1.4 Match-TIP 1.7 Bethel Sedgwick Corridor Ph5A Bethel Lincoln RAB -Moves forward dependant upon award of Grant funding HSIP 1.5 awarded - 2022 200,000 Y 111 304 TIP 1.5 Old Clifton Road Design only $250 add back $200,000 (Subject to Impact Fee's and Timing of projecct)-McCormick Transportation Impact Fee 56,450 Y 111 304 TIP 1.5 Old Clifton Road Design only $250 add back $200,000 (Subject to Impact Fee's and Timing of projecct)-Transportation Impact Fee 143,550 Y 111 304 TIP 1.8 Bethel Sedgwick Corridor Ph1A-DN & RW-Blueberry RAB-BlueberryProceeds ($234K)+ ($116k) =Project Cost $350k 116,000 Y 109 304 City Hall Design Contract Original $106,500 Amendment #1 ($394,676), Amendment #2($39,090)220,000 Y 109 302 MW Splashpad $115 budgeted need additional funds to equal $250K 135,000 Y 111 302 McCormick Sewer Lift Station #2 50,000 Y 431 433 Stabilization Contribution Target 17%-001 & 002 360,000 Y 001 003 Stabilization Contribution Target 25%-411 31,255 Y 411 412 Stabilization Contribution Target 25%-421 26,750 Y 421 422 Stabilization Contribution Target 25%-431 61,125 Y 431 432 Total 4,493,130