HomeMy WebLinkAboutRes 2008-20RESOLUTION NO. 2008-20
A RESOLUTION OF THE MAYOR AND COUNCIL OF THE TOWN OF
FOUNTAIN HILLS, ARIZONA, ADOPTING THE TENTATIVE BUDGET AS
THE 2008 -2009 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 May 15, 2008, 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 May 15, 2008, at which meeting any taxpayer was privileged to
CW 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 5, 2008, 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. That 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 1, 2008 through June 30, 2009.
870968.1
PASSED AND ADOPTED by the Mayor and Council of the Town of Fountain Hills,
June 5, 2008.
FOR THE TOWN OF FOUNTAIN HILLS
9 Schlum, Mayor
REVIEWED BY:
Kathleen M. Zanon, Interim Town Manager
870968.1
ATTESTED TO:
APPROVED AS TO FORM:
010-�oz
Andrew J. McGuire, Town Attorney
EXHIBIT A
TO
RESOLUTION NO. 2008-20
870968.1
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• Council and strategic plan goals incorporated
• Goals focus on:
• Development of the Ellman property
• Restructuring Town's financial policies
• Working with local schools
• Evaluating pavement management analysis
• Implementing an environmental policy
• Improving economic development and business vitality
• Expanding the reach of Town communications
• General Fund expenditures Y 8.0% from last fiscal year
• Overall revenues Y 7.9% from previous year
• Overall expenditures Y 9.5% from previous year
June 5, 2008 FY08- 09Draft Budget 2
November Budget lackoff, process
review
Review and update ao year
CIP /IIP
December Requests and justifications
for new programs and /or
staff
January Annual goal setting retreat
Annual staff retreat to plan
Council goals
Revenue projections for
upcoming fiscal year
Budget process review /new
council orientation
June 5, 2008 FY08- 09Draft Budget
Department Directors
Department Directors
Town Manager,
Department Directors
Town Council, Council
candidates and staff
Town Manager,
Department Directors
Finance staff
Council, Council
candidates
3
February Preliminary budget document Finance, Department
March Review of budget requests,
revisions
April Draft proposed budget presented
to public and Town Council
Public hearing /workstudy session
May One on one sessions to review
budget; respond to inquiries from
the public
Adopt maximum expenditure
limit as tentative budget
June Final public hearing on draft
budget and adoption
Adopt tax levy
Directors
Town Manager,
Department Directors
Town Council
Council candidates
Public
Town Council and public
Councilmembers, Council
candidates, Town Manager
and Finance
Town Council
Town Council and public
Town Council
June 5, 2008 FY08- 09Draft Budget 4
IMPACT FOR FY2008 -2009
June 5, 2008 FY08- 09Draft Budget
Planning
Park
Estimated
&
Administra-
&
Public
FY08 -09
Goal
Zoning
lion
Recreation
Works
Costs
1. To restructure financial policies for
$0
fiscal efficiency, for the benefit of
taxpayers.
2. To enhance and nurture the rela-
$0
tionships with local schools for the
benefit of the community.
3. To ensure that development of the
$0
Ellman property (former State Trust
Land) will be compatible with the
character of the rest of the community
in areas such as aesthetics, density,
traffic and housing development stan-
dards.
4. To increase community initiatives
$3,000
to strengthen our small town charac-
ter.
5. To evaluate the Pavement Manage-
$19,400
ment Analysis for the community.
6. To implement the environmental
$38,250
plan to enhance stewardship of our
environment.
7. To improve economic develop-
$68,830
ment, business vitality and relation-
ships between the Town and busi-
nesses, to benefit our community.
8. To tailor the communications now
68,500
available to the various demographics
of the community.
June 5, 2008 FY08- 09Draft Budget
S
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General Fund (operating budget)
Highway User Revenue (HURF)
Development Fees
Special Revenue Fund (grants)
$16.1M
$1.9M
$o.5M
$2.1M
Excise Tax Fund (local sales tax) for $o.9M
Bond payments
Excise Tax - Downtown $O-3M
Debt Service $2.3M
Capital Projects Fund $0.7M
$16.1M
$2.2M
$1.1M
$2.iM
$i.3M
$o.2M
$i.8M
$3.4M
PROPOSED BUDGET CHANGES
• Eliminating $i69,16o expenditure from Open Space
Development fees (per Council action 5 /15 /2oo8)
• Revise upward cost of full development fee study (in
Development Fee Fund)
• Increase Facilities budget sio,000 and reduce
Downtown Development Fund by the same for holiday
lighting for Town Hall to be consistent with prior year
budgets
June 5, 2008 FY08- 09Draft Budget 7
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• Major revenue sources:
Debt Service
• Shared Revenues $8.9M $:.1A1
• Local Revenues $11.1M Excise Tax \
• Grants $2.1M
Special R
• Development Fees $0.5M $21AI
• Secondary Property Tax $1.4M
HURFJ
$1.9hi
EXPENDITURES BY FUND
Development C•apitaiProjects
Fees $3.5M
$1.1N1
Debt Service
$1.Shi
Excise Tax
$1.5]11
Special Revetnte-
Fund
$z?nl
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HURF Ftutd
$? _11I
General Fimd
$16.1M
= --
$23,42 -,390
June 5, 2008
REVENUES BY FUND
Development CapihlProjects
Fees $0.?OI
$0 5nl� .
General Fund
$16.1M
$2 4.3 -2, 510
• General Fund makes up 57% of total
expenditures
• 20.3% of total will be spent on capital
projects
• General Fund is only fund not restricted for
use
• Expenditures for all funds equal $28.4M, but
each fund should stand on its own
• Below Constitutional expenditure limit by
$8.2M
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Council goals incorporated throughout budget
Wages and benefits increased by only 4% from
last fiscal year
Contractual services decreased 15%
Repairs and maintenance decreased 11%
Supplies and services increased 7%
Capital expenditures decreased 31 %
Overall expenditures decreased 8% for all
funds
No new staff requests
June 5, 2008 FY08- 09Draft Budget 11
TOWN COUNCIL
(page 57)
Enhancing constituent communications
Maximize public access to Town Council
meeting
Promote Fountain Hills with other
municipalities
Support for Sister Cities and Strong Cities
programs
June 5, 2008 FY08- 09Draft Budget 12
MUNICIPAL COURT
(page 61)
Enhancing the Court website to include
legislative updates and court related
information
Work with a neighboring court for
disaster preparedness purposes
Seek grant funding to monitor compliance
with sentencing through probation
$394,490
June 5, 2008 FY08- 09Draft Budget 13
(Including Information Technology & Operational Support)
(pages 65,71 & 75))
Restructure financial policies to include rainy day
fund
Expand audit program to capture sales tax revenue
leakage
Investment in new technology for improved
transparency in government and customer service
Transition to live broadcasting of Town Council
meetings
Update the Town Code
Continued support of community programs
$2,906,648
June 5, 2008 FY08- 09Draft Budget 14
(page 81)
Enhance Town website to include easy
navigation, E- Government applications, links
to partner sites
Expand communication efforts to reach
broader demographic
Create a centralized communications system
Promote value of Fountain Hills to local and
statewide civic and service organizations
$201,633
June 5, 2008 FY08- 09Draft Budget 15
(page 85)
Expand business retention program
Assist with coordination of more community events in the
downtown area
Work with Chamber of Commerce on Business Vitality
Advisory Committee's plan
Facilitate creating wayfinding signs on Shea for the
downtown area
Hold two economic development visioning sessions with
stakeholders
$191,835
June 5, 2008 FY08- 09Draft Budget 16
(including Facility Maintenance)
(pages 89 & 95)
Continue implementation of Stormwater
program with consulting
Maintain wash cleanup program in fire
hazard areas
Update the Pavement Management program
Inventory all Town trees for the GIS
program
Complete Emergency Operations Center
Repair roofs on Kiwanis and Theater
buildings
$1,828,358
June 5, 2008 FY08- 09Draft Budget 17
(Including Building Safety)
(page 107, 113)
Oversee planning of Ellman property
Update Town's General Plan
Update Town ordinances, such as signs
Develop unified ordinance document involving
Town's Zoning and Subdivision Ordinances
Enhance stewardship of the natural environment
through the Environmental Planner
Increased code enforcement of unpermitted
construction activities
$1,421,338
June 5, 2008 FY08- 09Draft Budget 18
(page 117)
Provide two new events that could grow to 2,000 or more
participants
Identify new recreation and leisure education programs
Work with school district on joint goals
Complete park signage through parks
Upgrade fountain equipment
Promote low water use techniques with neighborhood watch
groups
Demolition of Four Peaks concession stand and bus barn facility
Reduce the amount of potable water that is used for irrigation
Complete FEMA 100 year flood compliance requests
Complete capital improvements at Desert Vista Neighborhood Park
$1,906,912
June 5, 2008 FY08- 09Draft Budget 19
V V AWL AWL V A i i i \ /i /i\ i i /ice
(including Senior Services)
(pages 139 & 145)
Pursue grants and other funding for events circle
Restructure Community Center fee schedule
Replace carpet in ballrooms
Initiate a long range plan to expand the Senior
Center
Pursue funding for a new Van
Increase Senior membership by 5%
Further develop stronger support groups
$1,144,943
June 5, 2008 FY08- 09Draft Budget 20
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(page 101)
• Implement an in -house traffic signal maintenance
program
• Convert 33% of street name signs for higher visibility
• Implement Stormwater Management Plan
requirements by increased street sweeping
• Retrofit two traffic signals to LED signal heads
• Prepare streets in the south central area for
pavement management activities
$2,207,284
June 5, 2008 FY08- 09Draft Budget 23
June 5, 2008 FY08- 09Draft Budqet
FH McDowell Mountain Preserve
Access
Develop access to the
Preserve
(eliminated by
Council action
5/15/08)
b1
Botanical Garden Parking Create parking area for $682000
Improvements gardens
Desert Vista Park
Event Circle
Completion of park
Create an event circle
with pavers
Municipal Government Software Phase II of integration
and e- government
applications
$1,693,933
'.•1 111
$200,000
June 5, 2008 FY08- 09Draft Budget 24
Various improvements along Truck Climbing Lane $1,2402000
Shea Blvd Widening $727600
Bike Lane $927000
Alley Paving Project Phase I- Panorama to $64,000
Colony
Construction of various
sidewalks per plan
Annual Pavement
Management Program
Replace storm sewer
Box culvert concept
Annual Sidewalk Program
Downtown Sidewalk
Program
Fountain Hills Blvd
Slurry seal and micro -
surface -Zone 3
Del Cambre Drainage
FHB /Oxford Wash
Street Maintenance Facility Master plan for street
Improvements maintenance facility
June 5, 2008 FY08- 09Draft Budget
$245,000
$44,500
$120,780
$825,000
$78,400
$15,000
$17,000
25
Fire Station Relocation Design and construct new $364,025
(Station 2) fire station to replace
Saguaro station
Traffic Signal- Palisades 8s Complete signal $255000
Sunridge installation
Vehicle Replacement
Program
TOTAL CAPITAL
PROJECTS
Funding Breakdown:
Fire Department Truck
Seniors /P&,R Van
General Fund
Highway Users Fund
Grants
Development Fees
Vehicle Replacement
Capital Projects Fund
$45,000
$67,000
$5,597,238
$200,000
$825,000
$556,722
$888,000
$78,500
$3,049,017
June 5, 2008 FY08- 09Draft Budget 26
v
• Adopt the tentative budget as the final
budget with staff's proposed and Council
changes
• Goal is to pass budget at the first meeting
in June to allow enough time to approve
FY2008 -09 contracts and tax levy before
July 1
• State law requires a period of at least
fourteen days between adoption of the final
budget and adoption of the tax levy
June 5. 2008
FY08- 09Draft Budget
27
• General fund is balanced
• Council and strategic goals framed
proposed budget
• Funding proposed for $5.6M in capital
projects
• No increases in staff level
• Thanks to Mayor and Council,
Commissions, Volunteers, Department
Directors and all staff for their
contributions
• Happy to answer questions
June 5, 2008 FY08- 09Draft Budget 28