Loading...
2012-044 RES APPROVING AMENDMENT TO PEDC BUDGET FOR FISCAL YEAR OCTOBER 1, 2011 TO SEPTEMBER 30, 2012RESOLUTION N0. 2012-044 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF PARIS, TEXAS, APPROVING AN AMENDMENT TO THE PARIS ECONOMIC DEVELOPMENT CORPORATION BUDGET FOR THE FISCAL YEAR OCTOBER 1, 2011, TO SEPTEMBER 30, 2012 TO MATCH EXPENSE LINE ITEMS WITH THEIR 2012-2014 BUSINESS PLAN. THE TOTAL BUDGET DOES NOT CHANGE; MAKING OTHER FINDINGS AND PROVISIONS RELATED TO THE SUBJECT; AND PROVIDING AN EFFECTIVE DATE. WHEREAS, the City Council of the City of Paris approved and accepted the Paris Economic Development Corporation Budget for the fiscal year beginning October 1, 2011, and ending September 30, 2012; and, WHEREAS, The Paris Economic Development Corporation Board is requesting that their 2011-2012 budget be amended so that expense line items match their 2012-2014 business plan. The total budget does not change; and, WHEREAS, City staff recommends approval of this improvement in the clarity of the Paris Economic Development Corporation budget document as further described in the side by side comparison attached hereto as Exhibit "A", and; WHEREAS, it is appropriate that said amendment be made to the PEDC 2011-2012 Budget and the same should be approved. NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF PARIS, TEXAS: Section 1. That the findings set out in the preamble to this resolution are hereby in all things approved. Section 2. That the 2011-2012 Paris Economic Development Corporation Budget be amended as set forth in Exhibit "A" attached so that expense line items match their 2011-2014 business plan, and the same is hereby, approved. Section 3. That this resolution shall be effective from and after its date of passage. PASSED AND APPROVED this 23rd day of April, 2012. A.J. Ha h i, .D., . ATTEST: nice Ellis, City Clerk APPROVED AS TO FORM: W. Kent ity Attorney Paris Economic Development Corporation Pronosed AME1\TDFD Rur14Pr ff)T Fv 101 1_11 Fl' 2011-12 FY 2011-12 Budget Budget Acct # Account Name Amount Amount 02-0001-11-01 New Industry Projects $ 228,104 $ 32,715 02-0002-11-01 Existing Industry Projects 207,001 32,715 02-0020-I1-01 Campbell's Soup 100,000 100,000 02-0028-] 1-01 TCIM Incentive 125,000 125,000 02-0042-I1-01 Incubator Project + Operations Mgr. (July-Sept.) 95,500 109,250 02-0043-11-01 Retail Attractions (Rickey Hayes) 33,000 33,000 02-0044-11-01 Project Fresh Air 250,000 250,000 02-0045-I1-01 HWH/Rogers-Wade 30,000 30,000 02-0316-I 1-Ol Civic Engagement & Leadership for Ecoaomic Growth - 15,000 02-0317-t 1-O] Giobal Recruiting, Attraction & Market Positioning - 75,000 02-0318-] I-Ol Advanced Manufacturing Academy &"Talent Ready" - 50,000 02-0319-I1-Ol Entrepreneuriai Resources - 30,000 02-0320-I1-0I Rurallnnovation - 30,000 02-0321-1 ]-01 Diversity Initiative (PEDC Share) - 44,900 02-0322-1 ]-Ol Paris Living Agreement - 10,000 02-0323-1 ]-01 Research 360' Analyst & EMSI Tools - 15,995 02-0324-11-01 Richard Se(ine Phase I(Final Payment) - 5,775 02-0325-] 1-Ol Richard Seline Contract Phase II - 70,000 02-0101-11-01 Salaries & Wages 178,270 180,000 02-0102-11-01 Social Security/Medicare (6.2%/1.45%) 12,000 13,800 02-0103-11-01 Retirement (401K thru Edward Jones) 7 600 , 9,000 02-0104-11-01 lnsurance Benefits 32,075 37,600 02-0105-11-01 V1'orkers Compensation Insurance - 800 02-0201-] 1-Ol Office Supplies 6,750 6,750 02-0202-11-01 Postage 1,800 1,800 02-0203-11-01 Food 2,500 2,500 02-0301-11-01 Communications/1'elephone 6,500 6,500 02-0302-1 ]-Ol Car Allowance - Exec. DirectodAsst. Exec. Director 12,000 12,000 02-0303-11-02 Insurance & Bonds 3,200 3,200 02-0306-11-01 Travel Expenses 24,000 24,000 02-0307-I1-01 PmbfieNotie-Publications 500 500 02-0308-I1-01 All Utilities 2,700 2,700 02-0310-11-01 Miscellaneous 1,000 1,000 02-03 ] 1-1 I-Ol Contractual - Associations 10 000 , 10,000 02-031411-01 Training 8,000 8,000 02-0315-1 ]-01 Promotional - Advertising 40,000 40,000 02-0348-11-01 amber . Fee llepot Lease 60,000 60,000 02-0355-11-O1 Rachel - Contract Labor + College Intern 17,000 15,000 02-0402-1 l-Ol I ndustrial Park Maintenance 18,000 18,000 02-0605-11-01 Auditing 5,000 5,000 02-1002-11-01 Mac6inery Tools Equipment 5,000 5,000 TOTAL BUDGET S 1,522,500 $ 1,522,500 EXN~BIT tCI