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HomeMy WebLinkAbout01/26/1984 FC minutesMINUTES FINANCE COMMISSION January 26, 1984 I. Roll Call Mayor Krause called the meeting to order at 7:30 P.M. Commissioners present were: Richard Bachhuber, Paul Davies, Newt Hallman, Maxine Holderried, William Holloway, Tom Pekras, and Ann Smilanic. Also present were Mayor Carolyn Krause, Trustee George Van Geem, Village Manager Terrance Burghard, and Director of Finance David Jepson. II. Budget Schedule Mayor Krause informed Commission members that a chairman had not been appointed and asked for volunteers for this position. After some discussion, it was determined that a chairperson would be selected by the members at the beginning of each meeting. Commission members decided that they would review the Village's 84/85 budget as a committee of the whole, rather than assigning specific areas to sub -committees. The following dates and budget subject areas were scheduled: February 9, 1984 - Revenues, Village Manager's Office and Management Services February 23, 1984 - Community Development, Health Department and other Agencies March 8, 1984 - Public Works Department March 22, 1984 - Fire Department, Police Department, Trust and Debts Mayor Krause suggested that the Commission identify trends, both positive and negative, and provide a report to the Board of Trustees. Trustee Van Geem recommended that the Commission key on specific areas. III. Introduction of 1984-85 Budget Village Manager Burghard presented an overview of the budget. The following points were emphasized. 1. The 1984-85 budget at $22,320,045 is approximately 15% higher than the 1983-84 budget. However, this increase reflects accounting changes in the areas of Special Service Area debt, Pension Funds, and the establishment of a Risk Management Fund. Moreover, Lake Michigan Water construction costs in the Water and Sewer Fund accounts for a significant amount of the increase. 2. The budget provides for one additional full-time employee in Code Enforcement and one part-time employee in Health and Human Services. Modest salary increases have been provided for. 3. There are no proposed increases in fees except for a previously approved water rate increase. Property taxes are expected to decrease slightly, and there is a possibility of an abatement of the debt service levy in December 1984. IV. Insurance and Pensions Finance Director Jepson explained the accounting and budget changes required due to the adoption of self-insurance for liability, worker's compensation and property coverages. A separate Risk Management Fund was established on January 1, 1984 to record all insurance premiums and claims. Current liabilities due to IRMA have been recorded in the 1983-84 budget. In the future, all reserves for claims reported but not paid will be recorded in the Risk Management Fund. Additionally, medical insurance contributions from employees, retirees, and the Library will be recorded as revenue rather than as an offset of expenditures. A separate schedule of Police and Fire Pension Fund actuarial information as supplied by the Illinois Department of Insurance was given to Commission members. It was reported that an independent actuary would be engaged to provide more current actuarial information. V. General Discussion Commission members expressed appreciation to Manager Burghard for the budget message and the format of the 1984-85 budget. They requested the following information from the staff: 1. Cash flow projections 2. Reconciliation of 83/84 budget as adopted by the Village Board in April 1983 and modified budget amounts in the 84/85 budget. 3. Material on Water Fund projections. Commission members also requested that they be called on the day of Finance Commission meetings. VI. Adjournment There being no further business, the meeting was adjourned at 8:50 P.M. Respectfully submitted David C. Jepson Director of Management Services