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HomeMy WebLinkAbout3. Financial Workshop Memo 09/13/2011lk Mount 1 Village of Mount Prospect Mount Prospect, Illinois \1?) INTEROFFICE MEMORANDUM TO: MICHAEL E. JANONIS, VILLAGE MANAGER FROM: FINANCE DIRECTOR DATE: SEPTEMBER 7, 2011 SUBJECT: PRELIMINARY 2012 PROPOSED BUDGET The 2011 Annual Budget included a forecast budget for the year 2012 for each operating and capital project fund. Exhibit I has been prepared to compare the original forecast numbers for the General Fund to our most recent estimates. The original forecast budget showed an operating deficit of $977,099 on revenues of $41,721,340 and expenditures totaling $42,698,439. With initial departmental meetings on the 2012 budget now complete, staff is in position to present a preliminary look at the 2012 proposed budget. The proposed budget for the General Fund now shows a deficit of $1.2 million on revenues of $41.5 million and expenditures of $42.7 million. Revenues falling short of the budget forecast include the Real Estate Transfer Tax, Telecommunication Tax, Licenses, Permits and Fees, Fines and Forfeits, Investment Income and Other Revenue. Offsetting the shortfall in these previously mentioned sources are gains to Sales Taxes, the Food and Beverage Tax and Other Intergovernmental. Revenues are now projected to come in $161,296 lower than the original forecast budget. Based on the initial department submittals, expenditures in the General Fund are $83,406 higher than the original forecast budget. Much of the increase is due to increases in benefit costs (health insurance). We had originally anticipated a 3% increase in the equivalent premium. The actual increase is 7 %. In response to the deficit forecast for 2012 departments were asked to hold the line on spending for commodity and supply type items at 2011 levels in this initial submittal. Other items incorporated into the budget are the full funding of the computer and vehicle replacement programs. The attached exhibit and accompanying notes provide further information on the preliminary 2012 budget. DAVID O. ERB FINANCE DIRECTOR H:WCCT \BUDGET \Budget 2011 \Quarterly & Mid Year Review \VB -FC Budget Workshop Memo - September 2011.docx Exhibit I Village of Mount Prospect, Illinois General Fund - Revenues and Expenditures Preliminary 2012 Proposed Budget H:WCCT \BUDGET\Budget 2012 \General Fund Forecast 2012 - VB -FC Workshop.xlsx 1 of 2 (a) (b) (c) (d) (e) 2011 2012 Forecast Current Original Current Increase Percent Projections Forecast Forecast (Decrease) Change Notes Revenues: Property Taxes 11,523,500 12,117,500 12,206,500 89,000 0.73% A Sales Taxes - ROT Portion 10,575,000 10,600,000 10,890,000 290,000 2.74% B Sales Taxes - HMR Portion 1,180,000 1,122,000 1,215,000 93,000 8.29% B Food and Beverage Tax 823,000 765,000 840,000 75,000 9.80% C Real Estate Transfer Tax 400,000 500,000 400,000 (100,000) - 20.00% D Telecommunications Tax 2,575,000 2,930,000 2,525,000 (405,000) - 13.82% E Other Utility Taxes 1,782,000 1,832,000 1,802,000 (30,000) -1.64% Other Taxes 114,400 41,000 192,000 151,000 368.29% F Vehicle Licenses 1,405,000 1,405,000 1,405,000 0 0.00% Other Licenses, Permits, Fees 1,788,000 1,897,000 1,719,000 (178,000) -9.38% G State Income Tax 4,385,000 4,445,000 4,430,000 (15,000) -0.34% Other Intergovernmental 1,669,703 1,177,100 1,411,619 234,519 19.92% H Charges for Services 1,542,190 1,477,200 1,518,125 40,925 2.77% Fines and Forfeits 532,500 601,000 507,000 (94,000) - 15.64% 1 Investment Income 24,100 150,000 25,000 (125,000) - 83.33% J Other Revenue 460,350 661,540 473,800 (187,740) - 28.38% K Total Revenues 40,779,743 41,721,340 41,560,044 (161,296) -0.39% Expenditures Public Representation 482,175 501,495 554,685 53,190 10.61% Village Manager's Office 2,480,268 2,674,485 2,675,385 900 0.03% Television Services Division 168,527 171,378 170,644 (734) -0.43% Village Clerk's Office 152,109 147,673 148,194 521 0.35% Finance Department 1,586,221 1,621,891 1,667,150 45,259 2.79% Community Development Dept. 2,198,465 2,256,193 2,197,422 (58,771) -2.60% Human Services Dept. 1,008,663 1,091,766 1,021,169 (70,597) -6.47% Police Department 14,600,492 15,453,284 15,571,042 117,758 0.76% Fire Department 11,411,892 12,005,147 12,090,354 85,207 0.71% Public Works Department 6,515,086 6,729,122 6,639,796 (89,326) -1.33% Miscellaneous 45,863 46,005 46,004 (1) 0.00% Storm Event 2011 611,008 0 0 0 0.00% Total Expenditures 41,260,769 42,698,439 42,781,845 83,406 0.20% L Excess of Revenues over Expend. (481,026) (977,099) (1,221,801) (244,702) Other Financing Sources /Uses Transfers In 0 0 0 0 Transfers Out 0 0 0 0 Total Other Financing Uses 0 0 0 0 Excess of Revenues over Expend. and Other Financing Uses: (481,026) (977,099) (1,221,801) (244,702) M H:WCCT \BUDGET\Budget 2012 \General Fund Forecast 2012 - VB -FC Workshop.xlsx 1 of 2 Exhibit I Village of Mount Prospect, Illinois General Fund - Revenues and Expenditures Preliminary 2012 Proposed Budget Notes A Increase is due to TIF District taxes being redistributed to Village as part of the revenue sharing agreement with the TIF taxing districts. B Projection based on 2011 estimate. 3.0% growth from prior year results in 2.74% increase in the forecast budget. B Projection based on 2011 estimate. 3.0% growth from prior year results in 8.3% increase in the forecast budget. C Projection based on 2011 estimate. 2.0% growth from prior year results in 9.8% increase in the forecast budget. D Reduced amount expected from real estate transfer tax to prior year levels until there is an indication that the housing market is improving. E Expect a decline in this revenue source consistent with other communities. Demand for land lines continues to fall in lieu of cellular and other communication medium. F Increase to hotel /motel tax from 3% to 6% and addition of new hotel to open in 2012. G Building permits are expected to decrease $100,000 as a result of the completion of the Randhurst project. Public Improvement Inspection permits are not expected in 2012 or 2013. This is a decrease of $75,000. H Use and replacement taxes are trending up. State use tax is projected to increase $136,000 from 2011 amended budget while replacement taxes are projected to increase $107.500 for same period. Declines to overall fines & forfeits is from decreases in parking fines and circuit court fines. J Returns on surplus funds is expected to be only 10 -30 basis points. Forecast budget had anticipated between 150 and 350 basis points. K Shared cost sidewalk and were scaled back and projections for other reimbursements have been lowered from prior years. L Changes from the original General Fund forecast for 2012 totaled $83,406. The increase is primarily in personnel and benefits costs. There were also slight increases to insurance and civic event line items. M The overall deficit in the GF increased $244,702 from $977,099 to $1,221,801. A combination of lower revenue projections ($161,296) and additional projected spending ($83,406) accounted for this change. HAACCT \BUDGET\Budget 2012 \General Fund Forecast 2012 - VB -FC Workshop.xlsx 2 of 2