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2015-024 - Budget for fiscal period beginning 10/01/2015 and ending 09/30/2016ORDINANCE NO. 2015 -024 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF PARIS, TEXAS, ADOPTING A BUDGET FOR THE ENSUING FISCAL PERIOD BEGINNING OCTOBER 1, 2015, AND ENDING SEPTEMBER 30, 2016, IN ACCORDANCE WITH THE CHARTER OF THE CITY OF PARIS; APPROPRIATING THE VARIOUS AMOUNTS THEREOF; MAKING OTHER FINDINGS AND PROVISIONS RELATED TO THE SUBJECT; PROVIDING A REPEALER CLAUSE, A SEVERABILITY CLAUSE, A SAVINGS CLAUSE; AND PROVIDING AN EFFECTIVE DATE. WHEREAS, the City Manager of the City of Paris has submitted to the City Council a proposed budget of the revenues of the City and the expenses of conducting the affairs thereof and providing a complete financial plan for the ensuing fiscal period, beginning October 1, 2015, and ending September 30, 2016, and which said proposed budget has been compiled from detailed information obtained from the several departments, divisions, and offices of the City; and, WHEREAS, the City Council has received the City Manager's proposed budget, a copy of which proposed budget and all supporting schedules has been on file with the City Clerk of the City of Paris, since August 18, 2015; and, WHEREAS, public hearings were held on September 8, 2015 and September 14, 2015 on the annual budget for the City of Paris, Texas for Fiscal Year 2015 -2016 to allow proponents and opponents of the Budget an opportunity to be heard as required by Article V, Section 50, of the Charter of the City of Paris, Texas, and in accordance with Section 102.006(a) of the Local Government Code of the State of Texas, and the City Council is of the opinion that said proposed budget, should be approved and adopted; NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF PARIS, TEXAS: Section 1. That the findings set out in the preamble to this ordinance are hereby in all things approved. Section 2. That the proposed budget of the revenues of the City of Paris and the expenses of conducting the affairs thereof, providing a complete financial plan for the ensuing fiscal period beginning October 1, 2015, and ending September 30, 2016, as submitted to the City Council by the City Manager and as amended by the City Council, be, and the same is in all things, approved, adopted, and incorporated herein by reference for all purposes, as the budget of all of the current expenses as well as the fixed charges against the City for the fiscal period beginning October 1, 2015, and ending September 30, 2016. Section 3. That the sum of $21,673,695 is hereby appropriated out of the General Fund for the payment of operating expenses and capital outlay of the City Government as follows: GENERAL GOVERNMENT: City Council $ 73,930.00 City Manager $ 369,563.00 City Attorney $ 438,910.00 Judicial $ 229,092.00 City Clerk $ 140,958.00 Sub -Total $ 1,252,453.00 FINANCE: Accounting & Auditing $ 420,501.00 Sub -Total $ 420,501.00 EMERGENCY SERVICES: Police $ 6,073,596.00 Fire $ 4,381,076.00 Emergency Medical Service $ 2,332,850.00 Sub -Total $ 12,787,522.00 AIRPORT: Cox Field $ 103,350.00 Sub -Total $ 103,350.00 PUBLIC WORKS: Community Development $ 463,692.00 Engineering $ 513,374.00 Public Works $ 205,471.00 Parks & Recreation $ 1,140,560.00 Streets & Highways $ 1,488,440.00 Traffic & Public Lighting $ 593,119.00 Garage $ 341,450.00 Sub -Total $ 4,746,106.00 LIBRARY SERVICES: Library $ 691,853.00 Sub -Total $ 691,853.00 MISCELLANEOUS: Paris Band Fund $ 23,050.00 General Expenses $ 1,598,860.00 Sub -Total $ 1,621,910.00 VA CONTINGENT APPROPRIATION: $ 50,000.00 Grand Total $ 21,673,695.00 Section 4. That the sum of $1,362,209.00 is hereby appropriated out of the respective Interest and Sinking Funds for the purpose of paying accrued interest and making the principal payments on and creating the prescribed contingent and reserve funds for outstanding General Obligation Bonded Indebtedness as follows: G. 0. BONDS REQUIREMENTS: Tax & Revenue Certificates of Obligation - 2010 $ 216,925.00 General Obligation Refunding Bonds -2010 $ 451,780.00 General Obligation Refunding Bonds -2012 $ 406,000.00 SuRRMA Interlocal Coop Agreement -2012 $ 100,827.00 Total $1,175,532.00 Section S. That the sum of $14,156,605.00 based on the estimated Water and Sewer Budget, is hereby authorized out of utility fund revenues for the payment of operating expenses and capital outlay of Water and Sewer Utility Departments, as hereinafter itemized: WATER: Warehouse $ 105,977.00 Billing & Collecting $ 2,271,505.00 Water Production $ 2,969,837.00 Water Distribution $ 1,602,310.00 Sub -Total $ 6,949,629.00 SEWER: Sewer Maintenance $ 942,845.00 Waste Water Treatment $ 2,475,808.00 Lift Station $ 448,426.00 Sub -Total $ 3,867,079.00 Total Operating Expense $ 10,816,708.00 REVENUE BOND REQUIREMENTS FOR DEBT SERVICE: G.O. Refunding Bonds 2010 $ 1,174,275.00 TWDB Loan 2013 $ 170,297.00 3 G.O. Bonds 2013 $ 1,995,325.00 Total Bond Requirements $ 3,339,897.00 Grand Total $14,156,605.00 Section 6. That the sum of $3,339,897.00 is hereby appropriated out of the Water and Sewer Interest & Sinking Funds for the purpose of paying accrued interest and making the principal payments as the same mature on the Water and Sewer Revenue Bonds, and creating the prescribed contingent and reserve fund therefore. Section 7. That the sum of $746,131.00 is hereby appropriated out of the Special Revenue Funds for payment of miscellaneous legally restricted fees and costs, as hereby itemized: SPECIAL REVENUE FUNDS: $ 746,131.00 Total $ 746,131.00 Section 8. That the sum of $3,171,194.00 is hereby appropriated out of the Grant Fund for payment of operating expenses and capital outlay as hereby itemized: Cel ;7,P► Y -li ail it l I� Police $ 381,936.00 Community Development $ 597,000.00 Parks $ 956,926.00 Fire $ 18,000.00 Airport $ 1,217,332.00 Total $ 3,171,194.00 Section 9. That the sum of $1,066,429.00 is hereby appropriated out of the Sanitation Fund for payment of capital outlay as hereby itemized: SANITATION FUND: Sanitation $ 1,066,429.00 Total $ 1,066,429.00 Section 10. That the sum of $250,100.00 is hereby appropriated out of the Capital Projects Fund for payment of capital projects as hereby itemized: CAPITAL PROJECTS FUND: Airport $ 90,100.00 Parks $ 160,000.00 Total $250,100.00 4 Section 11. That all provisions of the ordinances of the City of Paris, Texas in conflict with the provisions of this ordinance are hereby repealed, and all other provisions of the ordinances of the City of Paris not in conflict with the provisions of this ordinance shall remain in full force and effect. Section 12. That the repeal of any ordinance or part of ordinances affected by the enactment of this ordinance shall not be construed as abandoning any action now pending under or by virtue of such ordinance or as discontinuing, abating, modifying, or altering any penalty accruing or to accrue, or as affecting any rights of the municipality under any section or provisions of any ordinance at the time of passage of this ordinance. Section 13. That it is the intention of the City Council of the City of Paris that this ordinance and every provision hereof, shall be considered severable, and the invalidity or partial invalidity of any section, clause, or provisions of this ordinance shall not affect the validity of any other portion of this ordinance. Section 14. That this ordinance shall become effective after its passage and publication as required by law. PASSED AND ADOPTED BY THE CITY COUNCIL at a regular City Council meeting duly called and held at the City Council Chamber, 107 E. Kauf�n y in the Ci�; f Paris on this the 21st day of September, 2015. `` A.J. ATTEST: nice Ellis, City Clerk APPROVED AS TO FORM: W. Kent ity Attorney