FY2013 BUDGET & CAPITAL IMPROVEMENTS PROGRAM

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City of Falls Church

FY2013 BUDGET & CAPITAL IMPROVEMENTS PROGRAM March 12, 2012 March 12, 2012

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Vision A Special Place Outstanding Government & Public Outreach

Innovation Successful Development

FY2013 Budget

Environmental Harmony

March 12, 2012

Neighborhood Preservation & Community Life

World Class Schools Sound Finances Diversity 2

FY13 Budget Priorities • Meeting Council Budget Guidance & Policies • Successful Development • Outstanding Government • World Class Schools • Infrastructure Investment March 12, 2012

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Council Budget Guidance •

Expenditure growth matched with economic growth – No change to Real Estate Tax Rate: $1.27



Focus on Infrastructure – $15.6 million in Capital Projects (FY2013) • $4.7 million grant funded • $0.7 million “pay as you go”

• •

Comply with City policy on debt service limits & fund balance Employee compensation: competitive & sustainable – 3% salary increase over FY2009 base level – Employee compensation lags behind region



Pensions – City Pensions: “ARC” is fully funded – VRS: reviewing General Assembly actions on Saturday

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FY2013 REVENUES

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Service Fees & Recovered Costs 6%

FY2013 Revenues Other 3%

State & Federal 6% Licenses & Permits 1% BPOL 4% Sales & Use Taxes 5%

Meals, Utility & Other Taxes 9% Personal Property Taxes 6% March 12, 2012

Real Estate Taxes 60%

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Revenue Summary Adopted Proposed $ % FY2012 FY2013 Change Change Real Estate Taxes $ 39,276,000 $41,319,000 $ 2,043,000 5.2% Personal Property 3,569,518 3,911,500 341,982 9.6% Meals, Utility & Other Taxes 5,974,941 6,336,600 361,659 6.1% Sales Tax 3,300,000 3,795,000 495,000 15.0% Business Licenses 2,722,941 3,023,000 300,059 11.0% Building Permits 542,641 534,260 (8,381) -1.5% State & Federal 4,017,377 4,298,022 280,645 7.0% Service Charges 4,426,195 4,401,397 (24,798) -0.6% Other 1,211,000 1,768,600 557,600 46.0% Total $ 65,040,613 $69,387,379 $ 4,346,766 6.7%

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Calendar Year 2012 Assessed Values: Up 4% Overall

Single Family: Townhouses: Condominiums: Commercial: Apartments:

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2012 + 4% + 4% + 2% + 5% + 5%

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Median Household Property Tax Bill $8,000 $7,030 $7,000

$6,410 $6,067

$5,977

2006

2007

$6,000

$5,766

$5,830

2008

2009

$6,622

$5,000 $4,000 $3,000 $2,000 $1,000 $0

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2010

2011

2012

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Operating Revenue Trends (FY06 - FY11 Actual; FY12-FY13 Budget) $45,000,000

$40,000,000

$35,000,000

Real Estate Revenues All Other Revenue

$30,000,000

$25,000,000

$20,000,000 FY2006 FY2007 FY2008 FY2009 FY2010 FY2011 FY2012 FY2013 March 12, 2012

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FY2013 EXPENDITURES

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FY2013 Expenditures Debt Service 7%

CIP 1%

Reserves 2%

Community Development 5% Health & Welfare 3% Recreation, Parks & Culture 6%

Education 42%

Public Works 8%

Public Safety 14% Judicial Services 3% March 12, 2012

Administration 9% 12

Expenditure Summary (General Fund)

Adopted FY2012 General Government* Debt Service

Proposed FY2013

$ Change

% Change

$ 29,773,227 $ 31,081,749 $ 1,308,522

4.4%

3,922,568

4,429,749

507,181

12.9%

27,861,600

29,903,800

2,042,200

7.3%

Capital, Grants & Reserves

1,222,076

2,872,081

1,650,005

135.0%

Fund Balance Restoration

2,261,142

1,100,000

(1,161,142)

-51.4%

School Transfer

Total

March 12, 2012

$ 65,040,613 $ 69,387,379 $ 4,346,766

6.7%

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New Initiatives (General Fund)

• Planning & Economic Development – 2 positions in Development Services • Increase capacity for Economic Opportunity Area Plans & Comprehensive Plan Update • Zoning Code updates • Goal: encourage high quality development in commercial districts

• Finance – Part-time accountant position

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New Initiatives (General Fund)

• Public Safety – Police vehicle purchase – Part-time Fire Marshal

• Recreation and Parks – New van (replaces 1994 model)

• Library – Books, Electronic Resources – Maintenance and New Furniture

March 12, 2012

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New Initiatives (General Fund)

• Facilities Manager – Increase capacity in contract management, project management for City’s 11 buildings

• Information Technology – Upgrades to Servers – Operating Systems/ Software

• Employee Training – Professional Development – IT skills; safety; project management March 12, 2012

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GF Positions Over Time 220 205 200

199

206

200

203

206 200

183 180

179

182

160

140

120

100 2004

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2005

2006

2007

2008

2009

2010

2011

2012

2013

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Personnel Salaries and Benefits FY08-FY11 Actual; FY12&13 Budget $20,000,000 $18,000,000 $16,000,000 $14,000,000 $12,000,000 Total

$10,000,000 $8,000,000

Regular Salaries Retirement

$6,000,000

Health Care

$4,000,000 $2,000,000 $0 FY2008 March 12, 2012

FY2009

FY2010

FY2011

FY2012

2013 18

Compensation • Health Care: No Change Premiums – Increased co-pay and deductibles in FY12

• City Pensions: – Budget fully funds the “ARC” (Actuarially Required Contribution) – 10% increase, relative to FY12

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Employee Compensation: Salaries • • • • • •

Compensation lags behind the region Down $1.8 m (13%) FY09 through FY2012 FY2013: 3% increase over FY2009 base FY2012 Bonus not included FY2013 Salary effectively flat Pension contributions impact home pay - 5% Basic Plan - 7% Police Plan

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Regional Compensation Changes FY10 through FY13 (proposed) 12

10

FY10

8

FY11

6

FY12

4

FY13

FY 10-13 Total

2

0 City of Falls Church

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County of Arlington

County of Fairfax

City of Alexandria

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School Budget

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FY2013-2017 Capital Improvements Program

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CIP Overarching Themes • Investment in infrastructure • Restoration of a strong financial foundation – Fund Balance – Capital Reserves – Debt service with policy limits

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CIP Funding Category Comparisons FY13-17 Information Technology-2% Public Works/ Development ServicesTransportation 20%

Public WorksStormwater 20%

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(General Governm ent & Schools)

Recreation and Parks 3%

Public Safety 1%

General GovernmentFacilities 27%

School Facilities 27%

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FY2013 Key Projects • Parks Master Plan & Field Lights $310K • Facilities Improvement – Schools $4.485 M – General Government $4.19 M

• Stormwater- $1.3 M – EPA regulations – Priority Projects for flood mitigation and water quality improvement (Watershed Management Plan)

• Transportation- $4.67 M – Pedestrian Plan Implementation – Federal and State Funding, with local match March 12, 2012

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Five Year CIP PROJECT INFORMATION TECHNOLOGY

FY2013

Five Year

$550,000

$1,057,500

$0

$250,000

$8,676,500

$26,982,649

ENVIRONMENT

$1,415,000

$10,215,000

TRANSPORTATION**

$4,674,316

$10,213,816

$310,000

$1,523,500

$15,625,816

$50,242,465

PUBLIC SAFETY PUBLIC FACILITIES (includes gen govt. & schools)

PARKS & RECREATION TOTAL

** Includes 11 cents commercial tax overlay beginning FY2014 March 12, 2012

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CAPITAL IMPROVEMENTS PROGRAM FUNDING SOURCE Grants/Other Funded Debt Conditional (grant/revenue)** Pay as you go (PAUG) TOTAL

March 12, 2012

FY2013

Five Year

$ 4,627,989 $ 6,540,489 10,626,500

29,038,649

0

11,792,000

731,327

2,871,327

$15,625,816 $50,242,465

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Financial Policy Compliance Fund Balance • FY13 Budget: $1.8 million allocation for: – “pays as you go funding. $730k – restoration of fund balance. $1.1 million

• FY13: City will reach policy target for fund balance – 17% of expenditures

• After FY13, recommend $1.3 million per year for: – “pay as you go” – capital reserves – debt service for projects in the CIP

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Fund Balance (Year-End Balances, By Fiscal Year) 14,000,000

12,000,000

10,000,000

8,000,000

6,000,000 Fund Balance

4,000,000

17% Target 12% Floor

2,000,000

0 2007

2008

2009

2010

2011

2012

2013

2014

2015

2016

2017

Target Ratio: Fund Balance equal to 17% of Expenses March 12, 2012

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Policy Compliance Debt Service

• FY13 Debt Service $507,000 increase, relative to FY12 7% of annual expenditures

• Five Year CIP By FY17: $1,900,000 increase in debt service, relative to FY12 8.3% of Annual Expenditures March 12, 2012

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Debt Service $10,000,000 $9,000,000 $8,000,000 $7,000,000

12% Policy Limit $6,000,000

New Existing

$5,000,000 $4,000,000 $3,000,000 $2,000,000 $1,000,000 $0

Ratio: Annual Debt Service to Annual Expenditures

FY11 March 12, 2012

FY12

FY13

FY14

FY15

FY16

FY17

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Utility Funds • Sewer Rate increase of 9.1% is proposed • No Water Rate increase

March 12, 2012

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Water & Sewer CIP Key Projects FY2013-2017 • Sewer $11.5M – Sewer Line Replacement – WWTP Capacity Expansion – Fairfax Wastewater Treatment Plant Upgrades

• Water $45.6M – – – – –

Kirby Rd Water Main McLean PS Improvements Scotts Run PS Modification Dolley Madison-McLean Water Main Water Main Replacement Program

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Schedule • March 15 Work Session – Financial overview & multi-year forecasts

• Monday and Thursday Work Sessions • March 17 and April 14: 10 a.m. Town Hall Meetings • March 26, April 9, April 23: Public Hearings • April 23: Adoption of FY2013 Budget • July 1, 2012: FY13 Budget in effect March 12, 2012

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Recommendation

• Advertise Public Hearings • Advertise real property tax rate at $1.27 – Option for Discussion: Advertise a rate of $1.29 Maintain flexibility to accelerate CIP Or fund other initiatives

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FY13 Budget Priorities • Meeting Council Budget Guidance & Policies • Successful Development • Outstanding Government • World Class Schools • Infrastructure Investment March 12, 2012

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