HomeMy WebLinkAboutRes 2010-23RESOLUTION NO. 2010-23
A RESOLUTION OF THE MAYOR AND COUNCIL OF THE TOWN OF
FOUNTAIN HILLS, ARIZONA, ADOPTING THE TENTATIVE BUDGET AS THE
2010 -2011 FISCAL YEAR BUDGET FOR THE TOWN OF FOUNTAIN HILLS.
WHEREAS, in accordance with the provisions of Title 42, Chapter 17, Articles 1 -5, Arizona
Revised Statutes, the Mayor and Council of the Town of Fountain Hills (the "Town Council") did, on
June 3, 2010, make an estimate of the different amounts required to meet the public
expenditures /expenses for the ensuing year, also an estimate of revenues from sources other than
direct taxation, and the amount to be raised by taxation upon real and personal property of the Town
of Fountain Hills, Arizona; and
WHEREAS, in accordance with said chapter of said title, and following due public notice,
the Town Council met on June 3, 2010, at which meeting any taxpayer was privileged to appear and
be heard in favor of or against any of the proposed expenditures /expenses or tax levies; and
WHEREAS, publication has been duly made as required by law, of said estimates together
with a notice that the Town Council would meet on June 17, 2010, at the Fountain Hills Town
Council Chambers for the purpose of hearing taxpayers and with respect to said estimates or any of
the proposed expenditures /expenses or tax levies; and
WHEREAS, it appears that the sums to be raised by taxation, as specified therein, do not in
the aggregate exceed that amount as computed in ARiz. REv. STAT. § 42- 17051(A).
NOW, THEREFORE, BE IT RESOLVED BY THE MAYOR AND COUNCIL OF
THE TOWN OF FOUNTAIN HILLS as follows:
SECTION 1. The statements and schedules attached hereto as Exhibit A and incorporated
herein by reference, are hereby adopted as the budget of the Town of Fountain Hills, Arizona, for the
fiscal year July I, 2010 through June 30, 2011,
PASSED AND ADOPTED by the Mayor and Council of the Town of Fountain Hills,
June 17. 2010.
FOR THE TOWN OF FOUNTAIN HILLS:
y . Seldom, Mayor
REVIEWED BY:
Richard Manager
1252189.1
ATTESTED TO:
N OWN 1461KA, M101
APPRAVEIAL
TO FORM:
U
Andrew J. McGuire, Town Attorney
EXHIBIT A
TO
RESOLUTION NO. 2010-23
[Budget Statements and Schedules]
See following pages.
1252189.1
TOWN OF FOUNTAIN HILLS, ARIZONA
Summary Schedule of Estimated Revenues and ExpenditurealExponses
Fiscal Year 2010 -11
FUND
ADOPTED
BUDGETED
EXPENDITURES/
EXPENSES
2009 -10`
ACTUAL
EXPENDITURES/
EXPENSES
2009 -10"
FUND
BALANCE/
NET ASSETS—
July 1 2010••
DIRECT
PROPERTY
TAX
REVENUES
2010 -11
ESTIMATED
REVENUES
OTHER THAN
PROPERTY
TAXES
2010 -11
OTHER FINANCING
2010.11
INTERFUND TRANSFERS
2010 -11
TOTAL
FINANCIAL
RESOURCES
AVAILABLE
2010 -11
BUDGETED
EXPENDITURES/
EXPENSES
2010.11
SOURCES
<USES>
IN
<OUT>
1. General Fund
S 14,521,654
S 14,525,654
S 6,641,532
Primary:
S
S 12,642,268
S
S
S
S (571.241)
S 19,855,041
S 12,642,268
2. Special Revenue Funds
4,461,841
4,461,841
1,702,959
1,040,484
9,109.460
41,309
(6,531,677)
S 18,425,889
9,422,913
3. Debt Service Funds Available
3,278,6131
3,278,613
1 773,218
2,680,834
387,000
3,841,052
2,664,003
Less: Designation for Future
4. Debt Retirement
S. Total Debt Service Funds
3,278, 613
3 ,278,613
773,218
2,680,834
387,000
3,841.052
2,864,003
6. Capital Projects Funds
12,867,834
12,725,434
12,279.0101
6,607,075
6,451,802
25,337,887
8,697,836
7. Permanent Funds
8. Enterprise Funds Availablo
Lass: Designation for Futu»
9. Debt Retirement
10. Told Enterprise Funds
11. Internal Service Funds
398,318
222,807
621,125
12. TOTAL ALL FUNDS
S 35,133,943
S 34,991,543
$ 21,795,037
S 1,040,484
S 31,039,637
$
$
S 7,061,609
S (7.102.910)1$
68,080,993
I S 33,627,020
EXPENDITURE LIMITATION COMPARISON 2009 -10 2010.11
1. Budgeted expenditures/expenses S 35133 043 S 33,627.0=
2. Addlaubtraet: estimated not reconciling items
3. Budgeted expenditures/expensea adjusted for reconciling items 35,133 943 33,627,020
4. Lose: estimated exclusions 9,656,216 /8 143,978
S. Amount subject to the expenditure limitation 25 475 725 11 15,483 041
6. EEC or voter - approved alternative expenditure limitation 25 731 13 20,591,376
• Includes Expenditure/Expense Adjustments Approved in 2007-06 from Schedule E.
•` Includes actual amounts as of the date the proposed budget was prepared, adjusted for estimated activity for the remainder of the fiscal year.
Amounts In this column represent Fund Balenee/Net Asset amounts except for amounts invested in capital assets, net of related debt, and reservetYrostricted amounts established as
offsets to assets presented for informational purposes (i.e., prepaids, inventory, etc.).
TOWN OF FOUNTAIN HILLS, ARIZONA
Summary of Tax Levy and Tax Rate Information
Fiscal Year 2010 -11
Maximum allowable primary property tax levy
A.R.S. §42-17051 (A).
2, Amount received from primary property taxation in the
fiscal year 2008 -09 in excess of the sum of that year's
maximum allowable primary property tax levy.
A.R.S. §42-17102(A)(18).
3. Property tax levy amounts
A. Primary property taxes
B. Secondary property taxes
C. Total property tax levy amounts
2009 -10 2010 -11
FISCAL YEAR FISCAL YEAR
$ 0 $ 0
$ 0 0
$ 0 $ 0
1,400,000 1,040,484
S 1.400,000 S
4. Property taxes collected'
A. Primary property taxes
(1) 2009 -10 levy $ 0 0
(2) Prior years' levy 0 0
(3) Total primary property taxes $ 0 0
B. Secondary property taxes
(1) 2009 -10 levy
$
1,400,000
1,040,484
(2) Prior years' levy
$
0
0
(3) Total secondary property taxes
$
1,400,000
1,040,484
C. Total property taxes collected
$
1,400,000
1,040,484
5. Property tax rates
A. Town tax rate
(1) Primary property tax rate 0.0000 0.0000
(2) Secondary property tax rate (estimate) 0.2173 0.1836
(3) Total city/town tax rate 0.217T 0.1836
B. Special assessment district tax rates
Secondary property tax rates - As of the date the proposed budget was prepared, the
town was operating two (2) special assessment districts for which secondary property
taxes are levied. For information pertaining to these special assessment districts and
their tax rates, please contact the town.
'Includes actual property taxes collected as of the date the proposed budget was prepared plus estimated property
tax collections for the remainder of the fiscal year.
TOWN OF FOUNTAIN HILLS, ARIZONA
Summary by Fund Type of Revenues Other Than Property Taxes
Fiscal Year 2010 -11
ESTIMATED
ESTIMATED
SOURCES OF REVENUES
REVENUES
ACTUAL REVENUES
REVENUES
2009 -10
2009.10'
2010 -11
GENERAL FUND
Local Taxes
Local Sales Tax
$
6,628,911
$
6,628,911
S
6,020,520
Franchise Tax
$
363,731
$
273,000
S
300,000
Permits
Animal License Fees
S
39,505
39,505
45,088
Business License Fees
$
122,715
122,715
109,180
Building Permit Fees
$
330,120
150,000
155,140
- Landscape Permit Fees
$
10,400
0
0
Planning & Zoning Fees
$
0
21,058
15,000
Improvement Plan Review Fee
$
21,000
21,000
8,506
Intergovernmental
State Sales Tax
$
1,894,032
1,894,032
1,765,065
Fire Insurance Premium Tax
S
135,741
135,741
119,452
Shared Income Tax
$
3,163,367
3,163,367
2,384,218
Vehicle License Tax
$
953,455
900,000
850,000
User Fees
Parks & Rec User Fees
$
127,687
100,000
158,059
Senior Services Fees
$
110,211
60,000
90,033
Encroachment Fees
$
10,000
15,000
17,000
Variances
$
15,600
8,842
10,000
Fines and forfeittures
Court Fines
$
239,292
239,292
255,078
Interest on investments
$
Interest on Investments
$
125,000
10,000
10,800
Rentals
Community Center Rental Fees
$
168,150
100,000
102,328
Community Center Bar Sales
$
0
0
0
Leases & Rents
$
55,575
118,536
100,464
Miscellaneous
$
Miscellaneous
$
181,737
16,158
126,337
Total General Fund
$
14,696,229
$
14,017,157
S
12,642,268
SPECIAL REVENUE FUNDS
Highway User Revenue Fund
Highway Users
$
1,480,152
$
1,480,152
$
1,315,800
Total Highway User Revenue Fund
$
1,480,152
$
1,480,152
S
1,315,800
Local Transportation Assistance Fund
Local Transportation (LTAF)
$
113,400
$
113,400
$
0
Total Local Transportation Assistance Fund
$
113,400
$
113,400
$
0
In Lieu Payments
$
2,000
$
2,000
$
15,068
Interest
$
4,993
$
4,993
$
120
Miscellaneous
$
0
$
0
$
7,602
$
1,600,545
$
1,600,545
$
1,338,590
' Includes actual revenues recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus
estimated revenues for the remainder of the fiscal year.
Excise Taxes
Local Sales Tax Transfer
$
295,859
$
295,859
$
270,629
$
295,859
$
295,859
$
270,629
Court Enhancement Fund
Court Enhancement Fund
S 17,000
S
17,000
S
19,250
S 17,000
S
17,000
S
19,250
Public Art Fund
Public Art Fund
S 2,000
S
0
S
30,766
$ 2,000
$
0
$
30,766
Grants
FEMA
S 0
S
0
5
0
Construction Grants/Stimulus
S 2,318,000
S
2,318,000
S
6,131,802
Community Grants
$ 183,998
S
183,998
S
200,000
LTAF II
S 40,000
S
36,074
S
0
Miscellaneous Grants
S 218,850
S
218,850
S
1,118,423
S 2,760,848
S
2,756,922
S
7,450,225
Total Special Revenue Funds
S 4,676,252
S
4,670,326
S
9,109,460
DEBT SERVICE FUNDS
General obligation Bonds
Secondary Property Tax
1,400,000
S
1,400,000
S
1,040,484
Interest
1,500
1,500
3w-
$ 1,401,500
S
1,401,500
S
1,040,784
Revenue Bonds
Transfer from HURF Fund
S 136,413
$
136,413
S
0
S 136,413
S
115,843
$
0
Special District Bqnds
Eagle Mountain CFD
S 389,100
S
379,000
S
420,500
Cottonwoods Improvement District
S 0
S
3,300
$
0
Cottonwoods Maintenance District
S 3,850
S
3,850
S
3,850
Municipal Prop Corp
1,283,178
1,275,277
1,215,700
S 1,676,128
S
1,661,427
$
1,640,050
Total Debt Service Funds
S 3,214,041
S
3.178,770
S
2,680,834
CAPITAL PROJECTS FUNDS
Develqpment Fees
Law Enforcement Development Fees
S 13,767
S
7,675
$
7,980
Street Department Development Fees
S 74,316
S
17,750
$
48,775
Parks & Recreation Development Fees
S 14,664
$
18,125
$
7,425
Open Space Development Fees
S 9,390
S
7,700
S
4,835
General Government Development Fees
S 28,440
S
13,750
$
16,910
Fire Development Fees
S 3,153
$
1,770
S
1,795
Library/Museum Development Fees
S 1,740
S
2,916
$
875
S 145,470
S
69,686
S
88,595
Capital Prgjects
Local Sls Tax Contribution
S 510,000
S
0
S
66,678
Capital Projects transfers
2,981,190
2,981,190
3,365,837
Stimulus Funds
2,537,717
2,537,717
3,085,965
Debt Service Proceeds
S 4,500,000
$
0
S
0
10,528,907
S
5,518,907
S
6,518,480
Total Capital Projects Funds
S 10,674,377
$
5,588,593
S
6,607,075
TOTAL ALL FUNDS S 33,260,899 $ 27,454,046 $ 31,039,637
' Includes actual revenues recognized on the modified accrual or accrual bass as of the date the propose budget was prepared, plus
estimated revenues for the remainder of the fiscal year.
TOWN OF FOUNTAIN HILLS, ARIZONA
Summary by Fund Type of Other Financing SourceakUses> and Interfund Transfers
Fiscal Year 2010 -11
OTHER FINANCING
INTERFUND TRANSFERS
2010 -11
2010.11
FUND
SOURCES
<USES>
IN
<OUT>
GENERAL FUND
Annual Debt Payment for Community Center
$
$
$
$ (387,000)
Transfer to Public Art for Maintenance
(10,350)
Interfund charge for Vehicle Replacement
(142,932)
Transfer from General Fund for Grant Match
(30,959)
Total General Fund
$
0
$
0
$
0
$ (571,241)
HIGHWAY USERS
Interfund charge for Vehicle Replacement
(79,875)
Total Highway Users Funds
$
0
$
0
$
0
$ (79,875)
DEBT SERVICE FUNDS
Annual Debt Payment for Community Center
$
$
$
387,000
$
Total Debt Service Funds
$
0
$
0
$
387,000
$ 0
CAPITAL PROJECTS FUNDS
Transfer to CIP- Various projects
6,131,802
Transfer to CIP - Downtown Improvements
320,000
Transfer from Debt Service
0
Total Capital Projects Funds
$
0
$
0
$
6,451,802
$ 0
SPECIAL REVENUE FUNDS
Transfer from General Fund for Maintenance
10,350
Transfer to CIP - Downtown Improvements
(320,000)
Transfer to CIP - Various projects
(6,131,802)
Transfer from General Fund for Grant Match
30,959
Total Special Revenue Funds
$
0
$
0
$
41,309
S (6,451,802)
DEVELOPMENT FEES
$
$
$
S
Total Enterprise Funds
$
0$
0$
0
S 0
INTERNAL SERVICE FUNDS
Interfund charge for Vehicle Replacement
142,932
Interfund charge for Vehicle Replacement
79,875
Total Internal Service Funds
$
0
$
0
$
222,807
$ 0
TOTAL ALL FUNDS
$
0
$
0
$
7,102,918
$ (7,102,918)
TOWN OF FOUNTAIN HILLS, ARIZONA
Summary by Department of Expenditures/Expenses Within Each Fund Type
Fiscal Year 2010 -11
BUDGETED EXPENSE EST ACTUAL
EXPENDITURES/ ADJUSTMENTS EXPENDITURES/
EXPENSES APPROVED EXPENSES
a
FUND/DEPARTMENT 2009.10 2009 -10 2009.10
GENERAL FUND
Mayor and Town Council
Municipal Court
Administration
Development Services
Community Services
Law Enforcement
Fire Department
Transfers
Total General Fund
SPECIAL REVENUE FUNDS
Highway Users (HURF)
ADOT
Public ART
Court Enhancement Fund
Community Grants
Miscellaneous Grants
Excise Tax Special Revenue
CIP
Total Special Revenue Funds
DEBT SERVICE FUNDS
General Obligation Bonds
Revenue Bonds
Municipal Property Carp (MPC)
Cottonwood Improv Dist
_Eagle Mountain CFD
Total Debt Service Funds
DEVELOPMENT FEES
Law Enforcement Development Fees
Street Department Development Fees
Parks & Recreation Development Fees
Open Space Development Fees
General Government Development Fees
Fire Development Fees
Library Development Fees
Total Development Fees
Capital Projects
_Contingency
Total Capital Projects Funds
INTERNAL SERVICE FUNDS
Vehicle &Equipment Replacement
Vehicle &Equipment Replacement
Total Internal Service Funds
$ 85,640
$ 397,528
$ 2,964,808
$ 2,440,675
$ 2,726,649
$ 2,844,877
$ 3,065,477
0
$
S
S
$
$
$
$
$ 14,525,654 $ 0
S 1,433,816
S 0
$ 18,500
$ 50,000
$ 150,000
$ 2,426,850
$ 382,675
0
$ 4,461,841
$ 1,340,364
136,413
1,408,886
3,850
389,100
$ 3,278,613
S
$
S
$
s
0
$
0
0
$
0
$
0
S
$
S
$
S
0
0
142,400
0
0
0
0
0
142,400 $ 0
12,291,724
433,710
$ 12,725,434 $ 0
$ 0
$
$ 0
$
0
0
TOTAL ALL FUNDS $ 35,133,943 $ 0
$ 85,640
$ 397,528
$ 2,964,808
$ 2,440,675
S 2,726,649
S 2,844,877
S 3.065.477
0
$ 14,525,654
S 1,433,816
S 0
S 18,500
S 50,000
$ 150,000
$ 2,426,850
S 382,675
0
$ 4,461,841
$ 1,340,364
$ 136,413
1,408,886
3,850
389,100
$ 3,278,613
BUDGETED
EXPENDITURES/
EXPENSES
2010.11
$ 72,427
S 421,291
S 2,468,393
$ 1,557,235
$ 2,320,980
$ 2,759,532
S 3,042,411
0
S 12,642,268
$ 1,287,711
S 0
S 20,350
$ 40,350
S 200,000
$ 1,118,423
$ 584,276
6,171,802
$ 9,422,913
$ 1,030,813
$ 0
1,418,630
3,850
410,710
S 2,864,003
$ 0 1
$
0
0
142,400
0
0
0
0
0
0
0
0
0
0
0
$ 142,400
$
0
12,291 ,724
8,609,244
433,710
88,592
$ 12,725,434
S
8,697,836
$ 0
$
$ 0
$
$ 35,133,943
$
33,627,020
Includes actual expenditures/expenses recognized on the modified accrual or accrual basis as of the date the proposed budget was prepared, plus
estimated expenditures/expenses for the remainder of the fiscal year.