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HomeMy WebLinkAbout5. OLD BUSINESS 04/21/2009 ,. Mount Prospect INTEROFFICE MEMORANDUM Village of Mount Prospect Mount Prospect, Illinois FROM: MICHAEL E. JANONIS, VILLAGE MANAGER FINANCE DIRECTOR ~J~I~ TO: DATE: APRIL 2, 2009 SUBJECT: 2009 BUDGET AMENDMENT NUMBER ONE PURPOSE: Present a recommendation that the annual budget be amended for fiscal January 1, 2009 and ending December 31, 2009. BACKGROUND: Ordinance 5721, adopted December 16, 2008, established the annual budget for the year ending December 31, 2009. DISCUSSION: In order to better manage the annual budget, the Village has taken to preparing budget amendments in early Spring and late Fall to account for material variations in revenue and expenditure line items. Many times this is as a result of fluctuations in the economy affecting revenues (either positively or negatively), extraordinary or unanticipated charges for expenditures or the timing of projects causing work to occur over different fiscal periods. A proposed ordinance amending the 2009 Annual Budget is attached for the Board's consideration. In total, we are decreasing our revenue projections by $195,000 and increasing the budget for expenditures by $3,031,914. Amendments to revenues were made to Prior Year Property Taxes in the General, Refuse Disposal and Series 2001 and 2003 Bond Funds. Revenue in these four funds is being reduced by $245,000. The economic slowdown has resulted in an increase in the number of property tax appeals being filed with the County. As a result, prior year tax revenue has been offset by refunds given to property owners. A portion of the reduction in property taxes, $50,000, is offset by an equal amount of expenses in the General Fund as they represent contributions to the Police and Fire Pension Funds. Contributions to the pension funds are based on the amount of property taxes received for that purpose. The Village continues to receive a high level of current year property taxes (97.5%). There are a number of significant expenditure amendments related to capital projects for infrastructure improvements and vehicles and equipment. Infrastructure projects utilizing carryover funds include $477,500 for Water Main Replacement, $334,300 for Water Storage Tank Renovations and $170,000 for Parking Lot Improvements. A carryover for the purchase of an emergency generator totaling $225,000 and replacement Public Works and Fire Department vehicles totaling $516,600 account for the other three significant expenditure amendments. The balance of the amendments to expenditures is either carryovers from the prior year or adjustments to the current year's budget amount. t ot 2009 Budget Amendment Number One April 2, 2009 Page 2 of 2 RECOMMENDATION: It is recommended the Village Board adopt the proposed ordinance amending the 2009 Annual Budget. U~t//) vL DAVID O. ERB FINANCE DIRECTOR DOE/ Copy: Finance Commission Department Directors 1:\Budget 2009\Amendments\Board Memo Amendment #1 - April2009.doc ORDINANCE NO. AN ORDINANCE MAKING CERTAIN AMENDMENTS TO THE ANNUAL BUDGET ADOPTED FOR THE FISCAL YEAR COMMENCING JANUARY 1,2009 AND ENDING DECEMBER 31, 2009 PASSED AND APPROVED BY THE PRESIDENT AND BOARD OF TRUSTEES the _ day of , 2009 Published in pamphlet form by authority of the corporate authorities of the Village of Mount Prospect, Illinois the _ day of ,2009. ORDINANCE NO. AN ORDINANCE MAKING CERTAIN AMENDMENTS TO THE ANNUAL BUDGET ADOPTED FOR THE FISCAL YEAR COMMENCING JANUARY 1,2009 AND ENDING DECEMBER 31,2009 WHEREAS, the President and Board of Trustees of the Village of Mount Prospect have passed and approved Ordinance No. 2342 which sets the finances of the Village under the "Budget Officer System"; and WHEREAS, pursuant to the aforesaid Ordinance and the Statutes of the State of Illinois an annual budget for the fiscal year commencing January 1,2009 and ending December 31, 2009 was adopted through the passage of Ordinance No. 5721 approved by the Corporate Authorities of the Village of Mount Prospect on December 16, 2008; and WHEREAS, the President and Board of Trustees of the Village of Mount Prospect have further reviewed certain additions and changes to the aforesaid budget for the fiscal year beginning January 1,2009 and ending December 31,2009; and WHEREAS, the President and Board of Trustees of the Village of Mount Prospect believe the changes, as specified on the attached January 1, 2009 through December 31, 2009 Budget Amendment Number One to be in the best interest of the Village of Mount Prospect; and WHEREAS, the Village has now revised the revenue projections or has reserves in each of the Funds in which the budget is being increased adequate in amount to cover the budget changes reflected in Budget Amendment Number One, attached hereto. NOW THEREFORE BE IT ORDAINED BY THE PRESIDENT AND BOARD OF TRUSTEES OF THE VILLAGE OF MOUNT PROSPECT, COOK COUNTY, ILLINOIS ACTING IN THE EXERCISE OF THEIR HOME RULE POWERS: SECTION ONE: That the fiscal year budget for January 1, 2009 through December 31, 2009 for the Village of Mount Prospect is hereby amended, as detailed on Budget Amendment No. 1 attached hereto. SECTION TWO: That this ordinance shall be in full force and effect from and after its passage, approval and publication in pamphlet form as provided by law. AYES: NAYS: ABSENT: PASSED and APPROVED this _ day of ,2009. Irvana K. Wilks Mayor ATTEST M. Lisa Angell Village Clerk H:\CLKO\WIN\ORDTNANCE2\Budget Amendment #1 Ordinance - April2009.doc VILLAGE OF MOUNT PROSPECT Budget Amendment No.1 Fiscal Year January 1, 2009 through December 31,2009 Revenues Original Amended Revenue Increase Revenue Fund/Program/Classification Account # Account Description Estimate (Decrease) Estimate General Fund (001) Property Taxes 400200 P-Taxes - Prior Year 125,000 (125,000) 0 Property Taxes 400370 P-Taxes - Police Pension PY 25,000 (25,000) 0 Property Taxes 400373 P-Taxes - Fire Pension PY 25,000 (25,000) 0 175,000 (175,000) 0 All other General Fund accounts 41,460,000 0 41,460,000 Total General Fund 41 ,635,000 (175,000) 41,460,000 Refuse Disposal Fund (030) Property Taxes 400200 P-Taxes - Prior Year 50,000 (50,000) 0 50,000 (50,000) 0 All other Refuse Disposal Fund accounts 4,166,000 0 4,166,000 Total Refuse Disposal Fund 4,216,000 (50,000) 4,166,000 Series 2001 8&1, Village Fund (180) Property Taxes 400200 P-Taxes - Prior Year 10,000 (10,000) 0 10,000 (10,000) 0 All other Series 2001 B&I, Village accounts 385,000 0 385,000 Total Series 2001 B&I, Village Fund 395,000 (10,000) 385,000 Series 2003 8&1, Village Fund (190) Property Taxes 400200 P-Taxes - Prior Year 10,000 (10,000) 0 10,000 (10,000) 0 All other Series 2003 B&I, Village accounts 918,000 0 918,000 Total Series 2003 B&I, Village Fund 928,000 (10,000) 918,000 Total Estimated Revenues Funds being changed 47,174,000 (245,000) 46,929,000 All other Village Budget accounts 54,382,933 0 54,382,933 Total Estimated Revenues After Changes 101,556,933 (245,000) 101,311,933 VILLAGE OF MOUNT PROSPECT Budget Amendment No.1 Fiscal Year January 1, 2009 through December 31,2009 Expenditures Current Amended Budget Increase BUdget Fund/Program/Classification Account # Account Description Amount (Decrease) Amount General Fund Information Technology Contractual Services 0011104-540046 GIS Application Development 10,000 25,000 35,000 Contractual Services 0011104-540110 Other Professional Services 10,000 45,000 55,000 Contractual Services 0011104-540111 IT System Security 0 40,000 40,000 Contractual Services 0011104-540610 Computer Maintenance 217,385 16,000 233,385 Clerk's Office Contractual Services 0011402-540030 Codification 14,000 5,000 19,000 CD-Economic Development Contractual Services 0012103-540247 Economic Development Program 20,000 35,000 55,000 CD-Building Inspections Contractual Services 0012105-540110 Other Professional Services 0 60,000 60,000 CD-Housing Inspections Contractual Services 0012106-540105 Technical Services 5,000 18,000 23,000 Office Equipment 0012106-650003 Computer Equipment - New 7,600 22,000 29,600 Human Services-Administration Contractual Services 0013101-540225 Other Services 0 3,300 3,300 Commodities & Supplies 0013101-570080 Other Supplies 1,500 3,300 4,800 Human Services-Nursing Other Employee Costs 0013103-520400 Travel & Meetings 240 3,300 3,540 Police - Admin Employee Benefits 0014101-510300 Police Pension Expense 1,545,000 (25,000) 1,520,000 Fire - Administration Employee Benefits 0014201-510400 Fire Pension Expense 1,525,000 (25,000) 1,500,000 Fire-Operations Other Equipment 0014102-670015 Haz-Mat Equipment 2,500 1,000 3,500 PW-Streets Contractual Services 0015102-540487 Lock Replacement 0 8,900 8,900 Commodities & Supplies 0015105-670060 Salt Spreader Replacement 2,970 2,900 5,870 Contractual Services 0015108-540515 Crack Filling 5,902 5,900 11,802 PW-Forestry Contractual Services 0015202-540645 RR Station Retaining Wall 6,050 7,100 13,150 Other Equipment 0015202-670026 Expand Sprinkler Systems 20,600 14,700 35,300 Contractual Services 0015203-540715 Tree Replacement 83,225 14,400 97,625 Contractual Services 0015203-540729 EAB Reforestation 15,000 15,000 30,000 Contractual Services 0015203-540945 Computer Software 1,000 19,000 20,000 Community & Civic Services Contractual Services 0016104-540962 White Light Installation 48,390 5,100 53,490 3,541,362 319,900 3,861,262 All other General Fund Accounts 38,093,638 0 38,093,638 Total General Fund 41,635,000 319,900 41,954,900 Motor Fuel Tax Fund Traffic Control & Street Lighting Infrastructure 0505405-690058 Traffic Signal Replacement 220,000 28,700 248,700 Street Improvement Projects Infrastructure 0507706-690005 Street Light Improvements 0 18,100 18,100 220,000 46,800 266,800 All other Motor Fuel Tax Fund Accounts 1,846,302 0 1,846,302 Total Motor Fuel Tax Fund 2,066,302 46,800 2,113,102 2 VILLAGE OF MOUNT PROSPECT Budget Amendment No.1 Fiscal Year January 1, 2009 through December 31,2009 Expenditures Current Amended Budget Increase Budget Fund/Program/Classification Account # Account Description Amount (Decrease) Amount Community Development Block Grant Fund Accessibility & Neighborhood Improvement Infrastructure 0702306-690014 Pedestrian Signals & Crosswalks 210,000 25,000 235,000 210,000 25,000 235,000 All other CDBG Accounts 575,604 0 575,604 Total CDBG Fund 785,604 25,000 810,604 Capital Improvement Fund Village Improvements and Equipment Building Improvements 5107701-640001 Other Public Buildings 120,000 72,800 192,800 Building Improvements 5107701-640040 Wireless Connectivity 0 128,500 128,500 Other Equipment 5107701-670027 Patrol Citation Printing System 0 45,700 45,700 Other Equipment 5107701-670028 Bunker Gear Lockers 0 25,000 25,000 Other Equipment 5107701-670067 Telephone System 0 10,100 10,100 Community Improvement Projects Land Improvements 5107702-620008 Corridor Improvements 50,000 12,800 62,800 Infrastructure 5107702-690005 Residential Street Lights 35,000 40,000 75,000 205,000 334,900 539,900 All other Capital Improvement Fund Accounts 1,004,950 0 1 ,004,950 Total Capital Improvement Fund 1,209,950 334,900 1,544,850 Downtown Redevelopment Construction Infrastructure 5507703-690065 Brick Sidewalk 35,000 3,400 38,400 35,000 3,400 38,400 All other Downtown Redevelopment Fund Accounts 1,887,250 0 1,887,250 Total Downtown Redevelopment Fund 1,922,250 3,400 1,925,650 Street Improvement Construction Fund Street Improvement Projects Contractual Services 5607706-540530 Pavement Evaluation Study 0 35,000 35,000 Infrastructure 5607706-690005 Streetlight Improvements 120,000 90,600 210,600 Infrastructure 5607706-690103 Parking Lot Improvements 0 170,000 170,000 120,000 295,600 415,600 All other Street Improvement Fund Accounts 2,441,000 0 2,441 ,000 Total Street Improvement Fund 2,561,000 295,600 2,856,600 Water and Sewer Fund Administration Other Employee Costs 6105501-520600 Uniform Expense 16,750 14,800 31,550 Contractual Services 6105501-540995 Service Charge - Water 443,500 16,500 460,000 Maintenance of Buildings Contractual Services 6105502-540487 Lock Replacement 0 6,200 6,200 Water Supply Maintenance and Repair Distribution Systems 6105504-680001 Tank Repair/Renovation 0 334,300 334,300 Distribution Systems 6105504-680005 Tank Design Engineering 50,000 42,700 92,700 Water Distribution Maintenance & Repair Contractual Services 6105505-540750 Backflow Prevention Program 68,995 41,900 110,895 Other Equipment 6105505-670041 Video Security Cameras 0 112,000 112,000 Other Equipment 6105505-670301 Emergency Generator/Wells 0 225,500 225,500 Other Equipment 6105505-670303 Leak Detection Equipment 0 10,900 10,900 3 4