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HomeMy WebLinkAbout03/08/1984 FC mintuesMINUTES FINANCE COMMISSION MARCH 8, 1984 I. Roll Call Village Manager Terrance Burghard called the Commissioners present were Richard Bachhuber, Holderried, Thomas Pekras, and Ann Smilanic. members Terrance Burghard, David Jepson, Herb Bencic. II. Maintenance of Public Facilities meeting to order at 7:33 P.M. William Holloway, Maxine Also present were staff Weeks, Glen Andler and Chuck Herb Weeks, Public Works Director, presented 1984/85 budget requests for the service area: Maintenance of Public Facilities. He pointed out that there are four divisions in this area: 1) Street Division; 2) Water and Sewer Division; 3) Parking System Division; and 4) Engineering Division. The budget requests for these divisions total $8,682,286 and include 34 separate programs. There are a total of 53 full-time employees in Streets and Water and 6 in Engineering. In addition to the divisions mentioned above, equipment maintenance in the Police Department is also supervised by the Public Works Department. Mr. Weeks then reviewed the budgets of the four divisions of Public Works. Street Division - There are thirteen programs in Streets with a total budget of 1,496,787. This division is responsible for 150 miles of streets, all public buildings, grounds maintenance, and equipment maintenance including pool vehicles. There are minimal increases being proposed in personal services and commodities in the 1984/85 budget. Contractual services are expected to increase $44,400 due to a full year of charges for contract cleaning of the Village Hall, rental of a street sweeper, contract maintenance of parks, and computer software. Capital expenditures are expected to increase $60,850. Major expenditures include replacing the roof on the Village Hall ($30,000); replacing windows in the Public Safety Building ($10,000); purchase of a micro computer ($5,000); and replacing the following equipment: tractor mower ($19,500), 72 Dodge truck ($43,000), leaf machine ($18,000), aerial lift truck ($75,000), pickup truck ($11,000), skid loader ($15,000), and 78 AMC pool vehicle ($8,000). Water and Sewer Division - Changes in the Water budget primarily reflect costs that are required for the acquisition of Lake Michigan Water. Budget items for this purpose include $1,576,600 for the Villages share of JAWA construction and $500,000 for improvements to the water system within the Village. Other major expenditures included are $700,000 for energy costs, $100,000 for well repair, and the replacement of a 1970 van ($19,000), a backhoe tractor ($62,000), a 1964 truck and crane ($38,000) and a sewer TV unit ($60,000). The water meter program shows an increase of approximately $22,000 in 1984/85 over 1983/84. Mr. Weeks explained that the water meter replacement program is necessary to improve accountability, especially for water that will be purchased from JAWA. Increases are also being requested for repair parts and hydrants to continue replacing obsolete water hydrants. The increase in personal services reflects a provision for salary increases of $30,000. Parking System Division- Budget requests are approximately $80,000 less than 1983/84 because of a reduction of interest, insurance, and capital expendi.- tures in the current budget. There is no major construction or repair work contemplated in the 1984/85 budget. Revenues are expected to exceed expendi- tures by approximately $24,000. Engineering Division - There are eight programs in this division including MFT construction, Flood Control, Street Lighting, Traffic Engineering, and Sidewalk Construction. Major projects in the 1984/85 budget are: 1. Flood control - This project totals $1,198,654 and is dependent upon an EPA grant of $898,990. The purpose of the project is to correct infiltration of ground water in sewer mains. Also included is $40,000 for an illegal sewer connection survey. 2. MFT Construction - included are requests of $500,000 for resurfacing in 1984/85 compared to $300,000 in the 1983/84 budget, and $291,000 for other street projects. Included in this total is $16,000 for the Village's share (20%) of replacing E. Briarwood Bridge. 3. The budget request for street lighting primarily covers charges for electricity of $120,000. 4. Traffic engineering includes maintenance of traffic signals, charges for electricity, modifications to opticom signal controls ($60,000) and the provision for one new traffic signal ($80,000), tentatively at Route 83 and Huntington Commons. 5. The program for sidewalk construction continues the replace- ment of deteriorated sidewalks with cost sharing by the owner of the property. The Village contracts for the repairs with the owner paying $25.00 per section replaced. Also included in the Engineering budget is a microcomputer and software for $30,000. This equipment and software will enable the Village to evaluate Village streets to determine the most effective resurfacing and replacement program. III. General Discussion After the presentation by Mr. Weeks, commissioners discussed the merits of contracting various services. Mr. Weeks pointed out that the emergency nature -2- of many of the services such as water main breaks and snow plowing precluded using independent contractors. Other discussion followed on gasoline usage, Dutch Elm disease, the leaf program, public information on the sidewalk replacement and tree planting programs and the flood water control program. The commissioners complimented Mr. Weeks for the thorough and informative presentation. Some concerns were expressed by commissioners regarding the amount included in the 1984/85 budget for electrical power for street lighting. Additionally, a recommendation was made that departments should schedule capital expenditures so that payments are not required during periods when cash balances are low. IV. Adjournment There being no further business, the meeting was adjourned at 9:32 P.M. Respectfully Submitted David C. Jepson Finance Director -3-