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HomeMy WebLinkAbout11142022 City Council Special Meeting LAYDOWN - Budget Notes from City Manager221114 LAYDOWN Budget notes from City Manager City of Seward November 14, 2022, Special Meeting Document Changes made to Budget: All departments: • Year to date for 2022 has been updated to 9/30/2022 (rather than 6/30/2022) for a better year end comparison. • Prior year balances were verified and agreed to be correct. • Typos and confusing language in narratives identified during council meetings have been reviewed and corrected. Department Specific Changes: 1110 Council & Clerk Various minor changes made to adjust to agree with updated schedule from clerk. These are small changes to multiple lines with minimal net impact. 1120 City Manager City Manager's salary has been adjusted due to Resolution 2022-108. 1180 General Services Added expense for Alaska Sealife Center PILT rebate at 80% for 2023 and 90% for 2024. This amount was previously a reduction in revenue but is being budgeted appropriately as a contribution expense moving forward. 1210 Police • Adjusted motor pool rent to $10,000 in 2023 and $15,000 in 2024 from $0 to adjust for future needs. • Added costs for breaching tools to safety equipment (around $50,000). • Spectrum analyzer ($30,000) added to 2024 capital equipment. • Additional amount for CAD system has been removed from contracted services until real costs are known. 1220 Fire Added hydrant rental costs back in the fire department (and corresponding revenue in the water fund) due to concerns with the water fund paying for these. 1350 Municipal Buildings Adjusted salary amount down to correct reallocation of position. 1410 Parks & Rec Maintenance Maintenance expense increased to $9,000 annually and Motor pool rent decreased to $15,000 from $92,000 as the equipment capital purchase was already allocated in the Motor pool fund. 1411 Campgrounds $130,000 capital purchase for hot water heater moved entirely to 2023 rather than splitting between 2023 and 2024 due to urgent nature of the need. 1500 Library Salaries adjusted down due to maintenance position being moved to Municipal Building department, employee was being included in both departments. Harbor Fund • Depreciation amounts have been readjusted by department to be consistent with prior allocations. Overall total amount did not change. • CPV transfer from Harbor CPV subfund included as revenue in Harbor fund for consistency with prior years presentation. SMIC Fund Depreciation amounts have been readjusted by department to be consistent with prior allocations. Overall total amount did not change. Electric Fund Reinstated $300,000 transfer to general fund for operating permit as intention was for this to remain as part of the budget. Motorpool Fund Minor changes to contributions in various departments made and an additional Mobile Standy Generator ($150,000) moved from general CIP to Motorpool CIP in 2024. City of Seward Fund Balance Overview Budget 2023 and 2024 2018 2019 2020 2021 2022 2023 2024 Actual Actual Actual Actual Budget Budget Budget GENERAL FUND Revenue $12,382,548 $12,814,693 $9,941,142 $15,212,200 $13,688,986 $15,366,816 $15,503,693 Net Transfers $224,797 $159,175 $640,660 -$629,137 $913,191 $844,019 $812,557 Total Revenue $12,607,345 $12,973,868 $10,581,802 $14,583,063 $14,602,177 $16,210,835 $16,316,250 Personnel Expenses $5,753,536 $6,473,197 $5,158,461 $6,676,883 $9,008,265 $9,417,442 $9,808,720 Non -Personnel Expenses $5,790,808 $5,009,251 $5,230,739 $6,546,396 $5,593,912 $6,609,384 $6,212,681 Total Expenditures $11,544,344 $11,482,449 $10,389,200 $13,223,279 $14,602,177 $16,026,826 $16,021,401 Difference (Reven ue- Expenses) $1,063,001 $1,491,419 $192,602 $1,359,784 $0 $184,009 $294,849 HARBOR ENTERPRISE FUND Revenue $2,899,177 $2,924,247 $2,865,242 $3,038,485 $2,719,953 $3,706,994 $3,821,673 Net Transfers -$676,302 -$697,886 -$695,290 -$609,379 -$415,396 -$469,030 -$479,205 Total Revenue $2,222,875 $2,226,361 $2,169,952 $2,429,106 $2,304,557 $3,237,964 $3,342,468 Personnel Expenses $941,879 $961,805 $923,307 $954,164 $1,136,970 $1,155,662 $1,172,657 Non -Personnel Expenses $3,062,540 $2,647,817 $3,161,676 $2,649,456 $3,419,755 $3,451,344 $3,509,073 Total Expenditures $4,004,419 $3,609,622 $4,084,983 $3,603,620 $4,556,725 $4,607,006 $4,681,730 Difference (Revenue-Expenses) -$1,781,544 -$1,383,261 -$1,915,030 -$1,174,514 -$2,252,168 -$1,369,042 -$1,339,262 SMIC ENTERPRISE FUND Revenue $640,734 $671,391 $699,977 $734,351 $701,550 $812,035 $824,868 Net Transfers $196,102 $128,508 -$70,759 -$76,505 -$129,441 -$138,808 -$141,050 Total Revenue $836,836 $799,899 $629,218 $657,846 $572,109 $673,227 $683,818 Personnel Expenses $106,555 $161,402 $151,176 $165,879 $160,560 $372,053 $378,746 Non -Personnel Expenses $1,246,362 $1,137,080 $1,179,952 $2,022,200 $2,138,610 $2,282,065 $2,268,558 Total Expenditures $1,352,917 $1,298,483 $1,331,127 $2,188,079 $2,299,170 $2,654,118 $2,647,304 Difference (Reven ue- Expenses) -$516,082 -$498,584 -$701,910 -$1,530,233 -$1,727,061 -$1,980,891 -$1,963,486 PARKING ENTERPRISE FUND Revenue $365,305 $385,490 $274,421 $432,527 $341,350 $341,418 $348,206 Net Transfers -$28,208 -$28,443 -$27,264 -$34,705 -$28,810 -$25,689 -$26,191 Total Revenue $337,097 $357,047 $247,157 $397,822 $312,540 $315,729 $322,015 2018 2019 2020 2021 2022 2023 2024 Actual Actual Actual Actual Budget Budget Budget Personnel Expenses $113,193 $85,060 $13,069 $6,113 $46,430 $68,581 $69,945 Non -Personnel Expenses $99,067 $99,815 $63,966 $50,409 $221,234 $93,175 $94,916 Total Expenditures $212,259 $184,875 $77,035 $56,522 $267,664 $161,756 $164,861 Difference (Reven ue- Expenses) $124,838 $172,172 $170,122 $341,300 $44,876 $153,973 $157,154 ELECTRIC ENTERPRISE FUND Revenue $11,007,190 $12,118,135 $12,203,976 $12,606,676 $13,272,435 $13,192,495 $13,323,143 Net Transfers: -$1,317,770 -$1,309,346 -$1,297,969 -$1,739,989 -$1,518,021 -$1,434,746 -$1,445,198 Total Revenue $9,689,420 $10,808,789 $10,906,007 $10,866,687 $11,754,414 $11,757,749 $11,877,945 Personnel Expenses $1,952,875 $2,008,519 $1,992,515 $2,126,405 $2,491,722 $1,938,107 $1,972,233 Non -Personnel Expenses $9,677,947 $8,871,316 $9,169,784 $9,387,510 $13,017,092 $11,906,883 $11,437,881 Total Expenditures $11,630,821 $10,879,835 $11,162,299 $11,513,915 $15,508,814 $13,844,990 $13,410,114 Difference (Revenue-Expenses) -$1,941,401 -$71,045 -$256,292 -$647,229 -$3,754,400 -$2,087,241 -$1,532,169 WATER ENTERPRISE FUND Revenue $1,394,714 $1,532,441 $1,333,760 $1,516,949 $1,430,150 $1,512,339 $1,542,934 Net Transfers: -$114,461 -$122,240 -$108,026 -$173,172 -$142,824 -$142,575 -$144,983 Total Revenue $1,280,253 $1,410,201 $1,225,734 $1,343,777 $1,287,326 $1,369,765 $1,397,952 Personnel Expenses $340,941 $379,986 $355,261 $305,209 $447,889 $409,190 $419,303 Non -Personnel Expenses $1,242,136 $1,143,176 $959,133 $656,305 $847,840 $1,270,226 $1,300,720 Total Expenditures $1,583,077 $1,523,162 $1,314,395 $961,514 $1,295,729 $1,679,416 $1,720,023 Difference (Revenue -Expenses) -$302,824 -$112,961 -$88,661 $382,263 -$8,403 -$309,652 -$322,072 WASTE WATER ENTERPRISE FUND Revenue $1,209,215 $1,308,390 $1,272,611 $1,244,172 $1,267,525 $1,282,494 $1,317,541 Net Transfers: -$84,969 -$91,147 -$86,656 -$135,180 -$88,701 -$108,172 -$110,931 Total Revenue $1,124,246 $1,217,243 $1,185,955 $1,108,992 $1,178,824 $1,174,323 $1,206,611 84,969 91,147 86,656 151,180 Personnel Expenses $203,940 $202,301 $251,236 $284,770 $334,863 $409,190 $419,303 Non -Personnel Expenses $879,412 $862,556 $891,986 $685,198 $1,077,612 $946,447 $960,130 Total Expenditures $1,083,352 $1,064,858 $1,143,222 $969,968 $1,412,475 $1,355,637 $1,379,433 Difference (Reven ue- Expenses) $40,894 $152,386 $42,733 $139,024-$233,651-$181,315-$172,823 HOSPITAL/SMH ENTERPRISE FUNDS Revenue $3,360,033 $2,960,187 $2,790,207 $3,197,749 $2,911,468 $3,288,812 $3,384,202 Net Transfers: $1,126,345 $1,200,613 $829,777 $1,629,872 $1,500,000 $1,625,000 $1,625,000 Total Revenue $4,486,378 $4,160,800 $3,619,984 $4,827,621 $4,411,468 $4,913,812 $5,009,202 2018 2019 2020 2021 2022 2023 2024 Actual Actual Actual Actual Budget Budget Budget Personnel Expenses $0 $0 Non -Personnel Expenses $5,735,119 $4,040,264 $3,755,509 $3,755,595 $3,709,205 $3,790,567 $3,801,590 Total Expenditures $5,735,119 $4,040,264 $3,755,509 $3,755,595 $3,709,205 $3,790,567 $3,801,590 Difference (Reven ue- Expenses) -$1,248,741 $120,536-$135,525 $1,072,026 $702,263 $1,123,245 $1,207,612