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HomeMy WebLinkAboutRes2017-063CITY OF SEWARD, ALASKA Sponsored by: Hunt RESOLUTION 2017-063 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, ADOPTING THE PARKING ENTERPRISE FUND BIENNIAL BUDGET FOR CALENDAR YEARS 2018 AND 2019 WHEREAS, the City Manager has submitted to the City Council a proposed biennial budget for the City of Seward for Calendar Years 2018 and 2019; and WHEREAS, the preliminary biennial budget was reviewed by the City Council in budget work sessions on September 27, October 2, and October 3, 2017, which were televised to the public; and WHEREAS, a public hearing is scheduled on the proposed budget for October 23, 2017, and a second public hearing and final adoption is scheduled for November 27, 2017; and WHEREAS, the annual permit fee for a vehicle with trailer is hereby doubled from the current rate of $100 to $200, effective after January 1, 2018. NOW THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF SEWARD, ALASKA, that: Section 1. The Parking Enterprise Fund budget for Calendar Years 2018 and 2019 which is attached hereto and made a part hereof by reference and which contains estimated revenues and expenses for the period January 1, 2018 - December 31, 2019, is HEREBY ADOPTED, and the necessary funds are hereby appropriated. Section 2. This resolution shall take effect immediately upon adoption. PASSED AND APPROVED by the City Council of the City of Seward, Alaska, this 27'' day of November, 2017. THE CITY OF SEWARD, ALASKA David Squires, May r 1 CITY OF SEWARD, ALASKA RESOLUTION 2017-063 AYES: Casagranda, Kei1, McClure, Slater, Towsley, Horn, Squires NOES: None ABSENT: None ABSTAIN: None ATTEST: Brenda J. ]EfalfouOW City Clerk ',araraxrrrea• (City Seal) OF SEM,''•, • G �•, SEAL • .,yql, OF •A��S • �r r4raraa► r aMa, 1 PARKING ENTERPRISE FUND Budgeted Statement of Revenue and Expenses and Change in Net Position For 2018 and 20I9 Operating revenue - parking fees Operating expense: Salaries & Benefits Purchased Services Supplies and Maintenance General and Administrative Total operating expense: Operating income before depreciation Depreciation Operating income (ooss) Non -operating revenues (expense) Interest Income and other Total non -operating revenue(expense) Transfers to other funds Change in net position Beginning net position Ending net position 2016 20I7 20IB 2019 Actual # Budget Budget Budget $328,348 $3I0,116 $3I2,650 $321,650 134,589 14I,096 143,881 150,937 25,227 30,264 30,200 30,600 36,769 27,300 31,750 32,900 I0,603 20,880 27,72I 25,900 $207,I88 $219,540 $233,552 $240,337 121,160 90,576 79,098 81,313 24,477 24,000 I8,893 11,682 $96,683 $66,576 $60,205 $69,63I 970 6,996 7,000 7,000 $970 $6,996 $7,000 $7,000 -$26,268 $71,385 $936,029 -$22,600 -$25,OI2 -$25,732 $50,972 $42,I93 $50,899 $I,007,414 $I,058,386 $1,100,579 $1,007,4I4 * $1,058,386 $I,100,579 $I,151,478 * Ties to annual. Comprehensive Annual. Financial Report CITY OF SEWARD PARKING ENTERPRISE FUND Budgeted Statement of Cash Flow For 20I8 and 2019 Beginning Cash Balance at 111/17 *: Cash is provided by (used for): Change in net position Add expense items not affecting cash Depreciation Net cash provided by operations Other uses of cash Capital outlay (a) Net increase (decrease) in cash Estimated ending cash balance 2017 2018 2019 Budget Budget Budget $917,751 $50,972 $42,193 $50,899 24,000 18,893 11,682 $74,972 $61,086 $62,581. $0 (a) ($I05,000) (b) ($23,000) (c) $74,972-$43,914 $39,581 $992,723 $948,809 $988,390 (*) Ties to Comprehensive Annual Financial Report (a) No motor pool contribution or equipment. (b) $I05K = $I7K small truck; $IOK pay station; $65K Toolkat; $I3K motor pool contribution. (c) $23K = $IOK pay station; $I3K motor pool contribution. Revenues 13000 5200 S. Harbor Lot 13000 5201 N. Harbor Lot 13000 5202 N.E. Ramp Lot 13000 5204 S. harbor Uplands Lot 13000 6205 Slip Holder Parking Passes 13000 5206 Employee Passes 13000 5207 Miscellaneous Parking Fees 13000 5208 S,W. Harbor Lot 13000 5209 Company Vehicle Pass 13000 5210 Vehicle wl Trailer 13000 5211 Visitor Parking Permits 13000 5212 Fines - Parking Tickets 13000 5899 Miscellaneous Revenue 13000 5901 EF Investment Interest Total Revenues City of Seward Parking Enterprise Fund 2018/2019 Biennial Operating Budget Revenue Detail by Line Item 2015 2016 Actual Actual 2017 2018 2017-18 2019 2018-19 Budget Budget % Chg Budget % Chg 128,200 131,032 126,000 126,000 (0.79) 128,000 2.40 63,218 69,764 62,004 62,000 (0.01) 67,000 8.06 49,262 44,826 50,004 45,000 (10,01) 45,000 0.00 27,424 24,014 27,000 26,000 (7.41) 25,000 0.00 25,071 25,507 23,004 24,000 4.33 25,000 4.17 9,011 10,047 9,000 9,000 0.00 9,000 0.00 47 963 0 0 0.00 0 0.00 0 0 0 0 0.00 0 0.00 327 327 0 0 0.00 0 0.00 13,738 13,278 12,000 20,000 66.67 20,000 0.00 654 1,304 600 650 8.33 650 0.00 601 5,665 504 2,000 296.83 2,000 0.00 669 1,621 0 0 0.00 0 0.00 7,815 970 6,996 7,000 0.06 7,000 0.00 $ 326,037 $ 329,318 $ 317,112 $ 319,650 $ 0.80 $ 328,650 $ 2.82 City of Seward Parking Enterprise Fund 201812019 Biennial Operating Budget Expenditure Line Item by Fund 2015 2016 2017 2018 2017-18 2019 2018-19 Actual Actual Budget Budget % Chg Budget % Chg Personnel Costs: 6000 Salaries 68,424 83,769 121,596 118,977 (2.15) 118,977 0.00 6001Overtime 1,131 9,959 3,504 3,625 3.45 4,000 10.34 6100 Medicare 4,137 5,596 4,296 8,049 87.36 7,976 (0.91) 6101 Unemployment Insurance 308 2,824 0 1,500 0.00 2,000 33.33 6102 Workers' Compensation 5,890 12,329 2,700 1,237 (54.19) 7,800 530.56 6200 Leave Time 0 2,500 2,364 0 (100.00) 0 0.00 6201 Retirement Benefits 4,788 1,092 4,779 337.64 4,300 (10.02) 6202 Health Insurance 4,i36_ 12,824 5,544 _ 5,714 3.07 5,884 2.98 Total Personnel Costs: $ 88,891 $ 134,589 $ 141,096 $ 143,881 $ 1.97 $ 150,937 $ 4.90 Non -Personnel Costs: 7001 Communications 1,878 2,606 6,504 3,200 (50.80) 3,400 6.25 7002 Postage and Freight 38 203 756 1,000 32.28 1,000 0.00 7003 Bank and Credit Card Fees 8,605 7,791 8,496 8,500 0.05 8,700 2.35 7004Insurance 2,697 2,444 4,404 2,500 (43.23) 2,500 0.00 7009 Contracted Services 1,045 5,215 0 4,500 0.00 4,500 0.00 7011 Testing 374 508 0 500 0.00 500 0.00 7012 Other Special Services 0 5,521 9,504 9,000 (5.30) 9,000 0.00 7015 Utilities 417 939 600 1,000 66.67 1,000 0.00 7210 Vehicle Supplies 0 188 0 4,000 0.00 4,000 0.00 7211 Gas&Lube 673 454 1,404 1,500 6.84 1,500 0.00 7212 Uniform Allowance 864 2,303 396 1,000 152.53 1,200 20.00 7213 Safety Equipment 304 1,879 0 1,000 0.00 1,200 20.00 7214 Janitorial Supplies 0 0 0 250 0.00 250 0.00 7215 Operating Supplies 8,765 24,958 9,000 9,000 0.00 9,250 2.78 7216 Maintenance & Repair 10,054 5,536 15,000 10,000 (33.33) 10,500 5.00 7217 Small Tools & Equipment 1,819 1,451 1,500 5,000 233.33 5,000 0.00 7300 Advertising 412 145 996 1,000 0.40 1,000 0.00 7301 Subscriptions & dues 395 9 7,500 7,500 0.00 7,600 0.00 7302 Travel & Subsistence 0 250 252 3,500 1,288.89 1,500 (57.14) 7303 Education & Training 0 0 996 2,000 100,80 1,500 (25.00) 7304 Equipment Rent 4,653 0 252 2,500 892.06 3,000 20.00 7307 GF Administrative Fee 10,391 10,188 10,884 11,221 3.10 11,400 1.60 7330 P,I,L,T, 26,377 26,268 24,804 25,012 0.84 25,732 2.88 7331 Reclass PILT to Transfer -Out (26,377) (26,268) (24,804) (25,012) 0.84 (26,732) 2.88 7810 Miscellaneous Expense 10 11 0 0 0.00 0 0.00 7900 Depreciation Expense 24,477 24,477 24,000 18,893 (21.28) 11,682 (38.17) 8103 Capital Equipment 0 0 0 92,000 0.00 10,000 (89.13) 8104 Motor Pool Rent 13,000 0 0 13,000 0.00 13,000 0.00 Total Non -Personnel Costs: $_ 90,871 $ 97,076_ $ 102.444 $ 2� 1� $ 108.47 $ 124,082 $ 4� 1.90) Total Expenditures $ 179,762 $ 231,665 $ 243,540 $ 357,445 $ 46.77 $ 275,019 $ (23.06) Federal and state lobbying Payments -in -Lieu -of -Tax CITY OF SEWARD PARKING ENTERPRISE FUND Budgeted Interfund Transfers 2018 and 2019 2018 Transfers- Transfers- In Out Lf 25,012 $0 $25,012 2019 Transfers- Transfers - In Out $0 0 25,732 $25,732