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HomeMy WebLinkAboutAgenda - City Council - 01/03/2023AGENDA SOUTH BURLINGTON CITY COUNCIL South Burlington City Hall 180 Market Street SOUTH BURLINGTON, VERMONT Participation Options In Person: 180 Market Street - Auditorium - Main Floor Assistive Listening Service Devices Available upon request Electronically: https://meet.goto.com/SouthBurlingtonVT/citycouncilmeeting-1-03-2022 Dial in using your phone: (408) 650-3123 Access Code: 116-564-405 Regular Session 6:30 P.M. Tuesday, January 3, 2023 1.Pledge of Allegiance (6:30 PM) 2.Instructions on exiting building in case of emergency and review of technology options –Jessie Baker, City Manager (6:31 – 6:32 PM) 3.Agenda Review: Additions, deletions or changes in order of agenda items (6:33 – 6:34 PM) 4.Comments and questions from the public not related to the agenda (6:35 – 6:45 PM) 5. Councilors’ Announcements and Reports on Committee assignments and City Manager’sReport (6:45 – 6:55 PM) 6.Consent Agenda: (6:55 – 7:00 PM) A.*** Consider and Sign DisbursementsB.*** Appoint Deputy Chief/Fire Marshal Terence Francis to serve as the Building InspectorC.*** Approve a Growing Urban Forests Grant to fund planting of new street trees to offsetremoval of Ash Trees including allocating $20,000 of ARPA funds as grant match 7.*** FY24 Budget: Receive the Police and Dispatch presentation and provide feedback tostaff – Shawn Burke, Police Chief (7:00 – 7:45 PM) 8.*** FY24 Budget: Receive the Fire and EMS presentation and provide feedback to staff – Steven Locke, Fire Chief (7:45 – 8:30 PM) 9.*** FY24 Budget: Council discussion of the overall budget prior to the public hearing and provide direction to staff – Jessie Baker, City Manager (8:30 – 9:15 PM) https://www.southburlingtonvt.gov/departments/finance/fy_24_budget_(7_1_23_- _6_30_24)_proposed_budget.php 10. Discuss regulating heating systems in existing residential and commercial properties and possible direction to staff – Council Request (9:15 – 9:45 PM) 11. *** Discuss ARPA allocation next steps and provide direction to staff – Jessie Baker, City Manager (9:45 – 10:00 PM) 12. *** Discuss and approve the annual City Manager's evaluation process and potential contract renewal – Jessie Baker, City Manager (10:00 – 10:15 PM) 13. Other Business (10:15 – 10:20 PM) 14. Consider entering a possible executive session to consider pending litigation and the evaluation of public employees 15. Adjourn Respectfully Submitted: Jessie Baker City Manager *** Attachments Included Champlain Water District Check/Voucher Register - Check Report by Fund From 1/4/2023 Through 1/4/2023 Check Date Check Number Vendor Name Invoice Description Check Amount Invoice Number 1/4/2023 4512 F.W. Webb Company Invoices 1,047.20 78536948 1/4/2023 F.W. Webb Company Angle Valves 4,352.70 78587882 1/4/2023 F.W. Webb Company Credit (1,047.20)78587933 1/4/2023 4513 South Burlington Ace, Inc.Propane Tank Fills 33.98 847539/3 1/4/2023 4514 Ti-Sales, Inc.Meter Replacement / Upgrade 2,546.76 INV0151702 Total 70 - South Burlington Water Department 6,933.44 Report Total 6,933.44 70 - South Burlington Water Department SOUTH BURLINGTON CITY COUNCIL Page: 1     180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov         To:   South Burlington City Council  From:  Jessie Baker, City Manager  Date:  December 28, 2022   Re:  Appointment of a Building Inspector      On November 7, 2022, the Council adopted “An Ordinance Relating to Building and Building  Construction – Regulation of Heating and Service Water Heating Systems in new buildings.”  Section V.  of this ordinance states:    V. Appointment of a Building Inspector    Upon the recommendation of the City Manager, the South Burlington City Council shall appoint  a Building Inspector who shall be a disinterested and competent person with experience in the  construction of various types of buildings.    I recommend that the Council appoint Terence Francis to serve as the Building Inspector for the City of  South Burlington.  Deputy Chief/Fire Marshal Francis currently oversees all prevention and building  permit efforts for the City of South Burlington.  He has done so for the last decade and has almost 50  years of experience in the fire service.  He is uniquely qualified for this appointment.      Recommended motion:  “Move to appoint Deputy Chief/Fire Marshal Terence Francis to serve as the  Building Inspector for the City of South Burlington.”      Thank you for your consideration.    Memo To: South Burlington City Council From: Dave Wheeler, Deputy Director of Water Resources CC: Jessie Baker, City Manager Tom DiPietro, Director of Public Works Date: December 28, 2022 Re: Grant Application for Growing Urban Forests in the Face of Emerald Ash Borer The City of South Burlington is in the process of managing the anticipated impacts associated with the emerald ash borer. Based on a tree inventory conducted by the City Arborist, there are over 500 green ash trees in the City road right-of-way. Certain streets have a higher concentration of ash trees, as they were planted primarily with green ash, rather than a diverse selection of tree species. The City has started the process of tree replacement and inter-planting new trees between existing ash trees. We currently have a contract with a landscaping company to plant 25 new street trees for a total cost of $15,890.00 in the spring of 2023. In years FY23-FY28, the City anticipates spending over $400,000 on a combination of mitigation measures, which will still leave the City with 300 ash trees to manage. This effort has a significant increase on the City's tree maintenance budget, as well as a significant impact to staffing resources. In order to more effectively manage the potential risk of tree canopy loss associated with an emerald ash borer infestation, the City is seeking grant funding to support these mitigation efforts. The City is requesting $20,000 in funds from the Vermont Urban & Community Forestry Program’s Growing Urban Forests in the Face of Emerald Ash Borer grant. This $20,000 will be used to plant 60 new street trees in neighborhoods containing ash trees in the City right- of-way. As this grant requires a match from the City, we are requesting the City Council authorize a match of $20,000 from the City's ARPA funds. Therefore, I am requesting that Council indicate their support for this work and the City’s grant application to the Vermont Urban & Community Forestry Program. I am requesting that council take a formal vote on this matter to support our grant application and to authorize the use of $20,000 in ARPA funds as match. If you have any questions, please contact me at (802) 658-7961 x6113 or dwheeler@southburlingtonvt.gov. City Of South Burlington, Grant Request Form Prior to applying for a grant please complete this form and submit to Assistant City Manager.. Please submit at least two weeks prior to City Council approval meeting. Extenuating circumstances which do not permit two weeks notice should be brought to the attention of the Assistant City Manager as soon as possible. Please attach actual grant application form – either blank or completed David Wheeler, Deputy Director of Water Resources December 22, 2022 Name and title of person completing this form (Project Manager) Date 1. Name/title of grant and submittal deadline date: Vermont Urban & Community Forestry Program’s Growing Urban Forests in the Face of Emerald Ash Borer. Submission deadline of December 30, 2022. 2. What specifically is the grant’s purpose? The Growing Urban Forests in the Face of Emerald Ash Borer grant is specifically for tree planting and reforestation efforts in consideration of the impact of the invasive emerald ash borer. 3. What does the grant fund and not fund (be specific)? The grant will fund 50% of the costs for tree planting. 4. Total Project Cost: a. Amount of grant: $20,000 b. Is there a City match required, how much and in what fiscal year(s)? Yes, $20,000 in either FY23 or FY24, depending on timing of planting. c. Are there other grants “tied into” or being used as a match for this grant of which are matching funds for this grant? ARPA funding is being requested as match. 5. From what budget line will match be paid, and is there unencumbered money to pay it? There is currently ARPA money available for City initiatives. The match for this grant is being requested from the ARPA funds. 6. Is there a cost to the city upon grant conclusion, and if yes, please describe? No. 7. Is grant for stand alone project, and if no, how does grant fit into another project (describe in some detail)? The City has a larger project to manage the ash tree population. This grant will cover the cost to plant 60 new street trees. The City currently has over 500 green ash street trees. 8. Length of grant - will the grant cross fiscal year(s)? Depending on the availability of trees from the nurseries, planting will either occur in the spring of 2023 (FY23) or the fall of 2023 (FY24). 9. Who will apply for grant (name/title)? David Wheeler, Deputy Director of Water Resources. 10. How much time will it take to complete grant application form? 4 hours 11. How likely is it that we will receive grant? We have a good chance to receive this grant funding. 12. Who will manage (project manager) grant and grant paperwork if approved (if different person than who is filling out this form)? What are any grant compliance requirements, how much time will this take and how is that time available? The grant paperwork will be managed by Craig Lambert, David Wheeler and Tom DiPietro. The contracting of landscaping services will be managed by Craig Lambert and Adam Cate, The grant requirements are minimal, with the only deliverable being the planting of trees. Are there funds available in the grant to pay for our administrative costs? Yes. Can in-kind service be used as part of the City match? Yes, the required match can be met by donated services, but the City does not currently have the staff resources to plant the 60 trees. 13. Describe grant payment process – method of cash flow: The City is responsible for all payments to contractor. The City will submit project invoices to the grant agency and receive reimbursements accordingly. 12) Project manager will update Assistant City Manager in writing as to grant writing, submittal, approval, and implementation progress. 13) If grant is accepted by granting authority project manager will submit to Assistant City Manager and Deputy Finance Officer a monthly progress report on grant implementation and financials – upon request of project manager report time frame can be modified by Assistant City Manager based on actual grant conditions. 14) Deputy Finance Officer will maintain a spread sheet of all grants that tracks grant progress related to financials. 15) Grant spread sheet will be included in yearly Budget Book. Release Date: 8/31/22 Application Due Date: 12/30/22 1 VERMONT URBAN & COMMUNITY FORESTRY PROGRAM 2023 Common Grant Application SECTION 1: Applicant SELECT GRANT CATEGORY Applicants may apply for both grant categories but must submit a separate application for each category. Communities Caring for Canopy •$1,000 - $5,000 award range •1:1 match required (e.g., applicant requests $5,000 and must provide match valued at $5,000 or higher) •Supports projects to develop or sustain a community-wide tree program •All Vermont communities are eligible Growing Urban Forests in the Face of Emerald Ash Borer •$3,000 - $20,000 award range •2:1 match required (e.g., applicant requests $5,000 and must provide match valued at $2,500 or higher) •Supports projects to plant trees to offset the loss of ash trees due to emerald ash borer •Eligibility aligns with Department of Housing and Community Development’s state designation programs: downtowns, village centers, new town centers, neighborhood development areas, and growth centers. MUNICIPALITY OR ORGANIZATION: ADDRESS: PROJECT CONTACT PERSON: PHONE: EMAIL: SECTION 1: Grant Category SECTION 2: Applicant Information Release Date: 8/31/22 Application Due Date: 12/30/22 2 UEI NUMBER*: FINANCIAL CONTACT PERSON: PHONE: EMAIL: GRANT AGREEMENT CONTACT PERSON**: EMAIL: *A UEI number is a 12-character unique number assigned to all entities (public and private companies,individuals, institutions, or organizations) who must register to do business with the federal government. The UEI number replaced the D-U-N-S number beginning April 2022. Learn more here. **If your application is selected to be funded, this individual will provide an e-signature for the grant agreement. This individual is usually the town manager, Selectboard chair, an executive director, or a department head and is ultimately responsible for the execution of the grant agreement. PROJECT TITLE: SUMMARY OF PROJECT (2 sentences maximum): GRANT FUNDING REQUESTED: TOTAL PROJECT COST (FUNDING REQUESTED + MATCH): Growing Urban Forests in the Face of EAB grant projects must align with one of the Department of Housing and Community Development’s state designation programs. IF APPLYING FOR A GROWING URBAN FORESTS IN THE FACE OF EAB GRANT, IS THE PROJECT AREA IN SERVICE OF A: Designated Downtown Designated Village Center Designated Growth Center Designated New Town Center Designated Neighborhood Development Area SECTION 3: Project Information Release Date: 8/31/22 Application Due Date: 12/30/22 3 Provide a succinct statement of need for funding, identifying the opportunities and desired outcomes of the proposed project. How will the project help to further the community-wide tree program? Include any information that supports a comprehensive understanding of the municipality or applicant’s situation, e.g., tree inventory or survey results, planning efforts, and who has been or will be involved in making decisions about urban and community forestry management. Limit 3,000 characters. SECTION 4: Statement of Need Release Date: 8/31/22 Application Due Date: 12/30/22 4 In table format using action steps and a timeline, provide a list of what you plan on doing, describe how it will be done, and list the measurable results. Please be as specific as possible; this table should list the deliverables of your project. All projects must be completed by March 29th, 2024. Action How will it be done? Measurable Results Timeline 1 Example: Plant 10 trees on the village green to replace 5 removed ash trees. Example: Town will develop an RFP to hire a contractor to source and plant trees in accordance with ANSI standards for tree planting. Example: 4 2” caliper red maple trees planted, 6 2” caliper honeylocust trees planted May 2023 2 3 4 5 6 7 SECTION 5: What do you plan on doing and how will you do it? Release Date: 8/31/22 Application Due Date: 12/30/22 5 In concert with the action items entered above, identify who will be involved in the project and their role including services provided, financial contributions, and product donations. Consider the various municipal staff, boards and commissions, tree warden, citizens, professionals, and organizations that can be called upon as partners to support your efforts. If municipal staff will be planting trees or maintaining trees provide details about their qualifications and experience. Limit 3,000 characters. SECTION 6: Who will carry out the plan? Release Date: 8/31/22 Application Due Date: 12/30/22 6 SECTION 7: Budget A B C D Grant Request Match Total Project Cost Project Component Cash In-Kind/ Donation Personnel (salary and fringe) Materials/Supplies Equipment (purchases of $5,000 or more) Services Travel Other Total Budget Explanation: Provide additional information that will help clarify your budget request. For example, partner contributions or details on expected expenditures. Note: Caring for Canopy grants require 1:1 match; the Total Grant Request (bottom of Column B) may be a maximum of 50% of Total Project Cost (bottom of column D). The remaining balance of Total Project Cost must be covered by Applicant Match and may be divided in any way between cash and in-kind services or donations. Growing Urban Forests in the Face of EAB grants require 2:1 match; Applicant Match – divided any way between cash and in-kind - must equal at least 50% of the Total Grant Request (bottom of Column B). Release Date: 8/31/22 Application Due Date: 12/30/22 7 We understand and commit to the following additional requirements of this grant program: Give permission to VT UCF staff to take and/or publish photographs of project work. At the request of VT UCF staff, at least one site visit and/or a pre- or post-grant review to support information sharing among communities. Required attachments for a complete application package: Completed Risk Assessment Questionnaire (Word document linked on grant program webpage) Municipal Insurance Certificate: refer to Department of Forest, Parks, & Recreation Insurance Guidance for coverage minimums S end completed applications to: Electronic submission of applications is strongly encouraged. Email completed application and all other required documents and supplemental materials as PDF attachments to Jenny.Lauer@vermont.gov. If necessary, applicants may mail the completed application and all other required documents and supplemental materials to: Vermont Department of Forests, Parks and Recreation Attn: Jenny Lauer Urban & Community Forestry Program 1 National Life Drive, Davis 2 Montpelier, VT 05620 PROPOSALS DUE: •Electronically, by close of business Friday, December 30th, 2022. •By mail, at least one week’s notice that the application will be mailed and postmarked by Friday, December 30th, 2022. Additional Requirements and Attachments Send completed application packet to: 104 Landfill Road, South Burlington, VT 05403 www.southburlingtonvt.gov tel 802.658.7961 Memo To: Vermont Urban & Community Forestry Program From: Thomas J. DiPietro Jr., Director of Public Works Cc: Craig Lambert, City Arborist Date: December 22, 2022 Re: In service of a New Town Center and Neighborhood Development Area The City of South Burlington’s recently adopted Climate Action Plan lays out a path for the community to meet the ambitious targets of the Vermont Global Warming Solutions Act and Paris Accord commitments. Key among those is reducing vehicle miles travelled by 2.5% annually for the next decade, which is a huge undertaking. To do this, the City is investing heavily in our New Town Center & Neighborhood Development Area (through regulatory changes, TIF financing, public parks and facilities, and infrastructure investments) to create a pedestrian-focused downtown; and in parallel, we are creating the conditions for people who live in surrounding neighborhoods to reach their destinations, including City Center, on foot or on bicycle. Street trees are a critical component of creating human-scaled pedestrian and bicycle connections. For these neighborhoods with a large population of ash trees – many of which have the sidewalks, bike paths, and bike lanes in place, the connections are there but are at significant risk of loss if the primary human-scale feature of this transportation network is lost. For this reason, the tree planting work being proposed will occur within neighborhoods that currently connect to the New Town Center & Neighborhood Development Area via a shared use path and also have ash trees in the street right-of-way. As shown on the attached GIS map, there are many residences within a tenth of a mile of the shared use path that meet this criterion. Work will occur along Swift Street Extension, Nowland Farm Road, Four Sisters Drive, Golf Course Road and Butler Drive. Additionally, as one of the largest and, at the same time, fastest growing communities in the State, South Burlington needs to make sure that we are stewards of our landscape, our tree canopy, and our neighborhoods. We have learned lessons of the past and are applying them in our very compact New Town Center, where we are seeing most of our growth and have seen strong voter/taxpayer support for building a high-density, mixed-use area, TIF financing, and bonding for public infrastructure in this burgeoning downtown, and that in doing so, we must also find ways to support the surrounding neighborhoods that will be utilizing this new City Center. VCGI Residential Buildings within 0.1 Miles of Shared Use Path and Ash Tree Locations Data Courtesy of CCRPC, December 2022 Legend Ash Trees Residential Buildings within 0.1 Miles of Path Residential Buildings Not within 0.1 Miles of Path Shared Use Path 0.1 Mile Buffer from Shared Use Path New Town Center & Neighborhood Development Area Project Location Areas FY24 Proposed BudgetChief Shawn P. Burke City CouncilJanuary 3rd, 2023 Department Overview and Staffing2ChiefAdmin LTAdmin SgtDispatch (7)Records (2)Patrol LTPatrol Sgt. Days (2)Officers (6)Patrol Sgt. Eves (2)Officers (6)K‐9 OfficerPatrol Sgt Mids (2)Officers (6)Special Ops LTBCI SgtBCI (5)Traffic SafetyYouth Service SgtOfficers (2)Human Trafficking Case ManagerExecutive AssistantCJC Key FY22 and FY23 to date successes 3•Launched body worn camera program –Critical technology used to deliver contemporary and transparent police services.•Fully implemented the statutory changes related to police use of force – policy published, all staff has been trained, use of force reporting software.•Fair and impartial policing  ‐continued annual training with Dr. Mercedes Avila related to biases, equity, and inclusion. Dr. Avila was ultimately the trainer selected by the Vermont Criminal Justice Council to educate the Vermont law enforcement community in 2022. •The police department ordered two hybrid patrol vehicles.•Filled the 7thDispatcher position –critical step toward adequate staffing.  FY24 Resources Requested4Staff•Funding for sworn officer positions –FY 24 / 25 fully fund the 40 authorized police officer positions•Reinstate the Deputy Chief of Police position – Eliminate one Lieutenant positionEquipment•Funding for three hybrid police cruisers•Funding to transition pistols FY24 Budget Proposal – Expenditures 5 12 Hour Patrol Schedule6Patrol LieutenantDay Sergeant Team 1Officers (3)Night Sergeant Team 1Officers (3)Day Sergeant Team 2Officers (3)Night Sergeant Team 2Officers (3)Traffic SafetySwing Sergeant Team 1Swing Sergeant Team 2 Capital Improvement Plan ‐Fleet7$64,501.31 $55,479.33 $68,125.91 $54,999.54 $62,217.04 $48,000.00 $53,500.00 $55,000.00 $55,000.00 $55,000.00 $0.00 $10,000.00 $20,000.00 $30,000.00 $40,000.00 $50,000.00 $60,000.00 $70,000.00 $80,000.00 FY2018 FY2019 FY2020 FY2021 FY2022Vehicle Repair Budget LineActual SpentBudgeted Amount Emerging Issues84018384817163328272360872862583545453232692863700100200300400500600FY 2019 FY 2020 FY 2021 FY 2022Investigation RequiredBurglaryDeath InvestigationStolen VehicleLarcenyRetail Theft148131174176443750636163317020406080100120140160180200FY 2019 FY 2020 FY 2021 FY 2022Crimes Against PersonDomesticAssualtSex Crimes Emerging Issues91703205910424728117035166565003983543166185473105001000150020002500FY 2019 FY 2020 FY 2021 FY 2022Traffic OperationsTraffic StopsCrashesMV ComplaintDUI Spotlight!•Continued investment in Community Outreach.•Encampment policy –provides compassionate direction for employees tasked with helping vulnerable community members.1082580210511009020040060080010001200FY 2019 FY 2020 FY 2021 FY 2022Social Services Spotlight!11 FY24 Proposed Budget: Fire Department Steven A. Locke, Fire Chief City Council January 3, 2023 Overview •Department Overview and Staffing •Key FY22 and FY23 to date successes •FY24 Budget Proposal •Capital Improvement Plan •FY24 Resources Requested •Emerging Issues •Spotlight! 2 Department Overview and Staffing 3 Department Overview and Staffing Total Calls Simultaneous calls Percent of total calls FY 13 3007 414 13.8% FY 14 3050 404 13.2% FY 15 3226 474 14.7% FY 16 3139 414 13.2% FY 17 3471 572 16.5% FY 18 3667 634 17.3% FY 19 3793 674 17.8% FY 20 3681 1399 38.0% FY 21 3995 730 18.3% FY 22 4447 881 19.8% 4 0 500 1000 1500 2000 2500 3000 3500 4000 4500 5000 FY 13 FY 14 FY 15 FY 16 FY 17 FY 18 FY 19 FY 20 FY 21 FY 22 Call Volume FY13 -FY22 Total Incidents Medical Incidents Linear (Total Incidents)Linear (Medical Incidents) Same minimum staffing since 2008 when annual call volume was 2,736 incidents. Call volume for FY23 projected to be 4,653! Key FY22 and FY23 to date successes •Maintained minimum staffing with a reduced workforce •Separated Fire Chief from Fire Marshal duties •Supported three members attendance at paramedic training •Refurbished Ladder 1 •Ordered replacement ambulance & staff vehicle 5 FY24 Budget Proposal –Ambulance Revenue 6 $0 $100,000 $200,000 $300,000 $400,000 $500,000 $600,000 $700,000 $800,000 $900,000 $1,000,000 FY 19 FY 20 FY 21 FY 22 FY 23 FY 24 FY19 –FY22 Actual FY23 & FY24 Budgeted FY24 Budget Proposal –Prevention Revenue 7 $0 $100,000 $200,000 $300,000 $400,000 $500,000 $600,000 $700,000 $800,000 $900,000 $1,000,000 FY 19 FY 20 FY 21 FY 22 FY 23 FY 24 FY19 –FY22 Actual FY23 & FY24 Budgeted FY24 Budget Proposal – Expenditures •Significant changes from FY23 to FY24 •Combined Fire & Ambulance Budget into one Budget •Diesel Fuel ($22,075) •Records Management System ($26,000) •Paramedic Training ($15,000) 8 Capital Improvement Plan 9 •Fleet ($400,000) •Replace 2009 fire truck (30 –36 months for delivery) •Replace 2012 ambulance (24 –30 months for delivery) •Replace two thermal imaging cameras ($30,000) Current Fleet Engine 1 2009 Engine 2 2015 Engine 3 2009 Ladder 1 2012 Rescue 2004 Ambulance 1 2015 Ambulance 2 2012 Goal is to replace Engines/Ladders at 12 years, Ambulances at 9 years Capital Improvement Plan –Fleet Planning 10 FY 24 FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 FY 31 FY 32 FY 33 Ambulances 241,833 241,833 345,833 216,500 104,000 224,600 224,600 120,600 120,600 120,600 Ambulance in 2024 129,333 129,333 129,333 Ambulance in 2027 112,500 112,500 112,500 112,500 Ambulance in 2030 104,000 104,000 104,000 104,000 104,000 Ambulance in 2033 120,600 120,600 120,600 120,600 120,600 Fire Vehicles 135,000 337,778 337,778 478,444 478,444 478,444 478,444 343,444 343,444 343,444 Engine 1 in 2024 135,000 135,000 135,000 135,000 135,000 135,000 135,000 Ladder 1 in 2027 202,778 202,778 202,778 202,778 202,778 202,778 202,778 202,778 202,778 Engine 2 in 2027 140,667 140,667 140,667 140,667 140,667 140,667 140,667 Total Funding Needed Annually 376,833 579,611 683,611 694,944 582,444 703,044 703,044 464,044 464,044 464,044 Pay for ambulances on delivery; save for a deposit on fire apparatus and lease the balance FY24 Resources Requested 11 •Restore Firefighter position ($89,207) •Position cut in 2019 •Staffing factor requires 10 firefighter per shift to maintain minimum staffing •Excess overtime has tremendous impact on quality of life Total overtime hours Percentage of OT that is Mandatory FY23 (July –November)5,793 79% FY22 6,594 61% FY21 3,862 54% FY20 5,863 25% FY19 3,330 3% In the first 5 months of FY23 •25 employees worked a total of 5,647 hours! •1 employee worked 478 hours of overtime! That equates to working 47% of the total hours during this timeframe! •The average overtime worked was 226 hours or 5.6 additional work weeks! •The minimum hours of overtime worked 112! FY24 Resources Requested •Hire six additional firefighters to staff second ambulance •Call volume has exceeded our ability to handle; mutual aid is not mutual! •Phased implementation (January 1, 2024) •Net revenues cost in FY24 is $200,018 and an additional $204,018 in FY25 Total medical incidents Mutual Aid received % of Incidents FY 13 2,117 296 13.98% FY 14 2,065 302 14.62% FY 15 2,225 334 15.01% FY 16 2,183 336 15.39% FY 17 2,554 459 17.97% FY 18 2,623 503 19.18% FY 19 2,820 545 19.33% FY 20 2,646 471 17.80% FY 21 2,761 582 21.08% FY 22 3,196 723 22.62% 12 Mutual Aid Given in FY22 = 29 Responses FY25 Resources Requested •Create Deputy Chief position ($122,400) •Primary need: •Succession planning •Consistency amongst shifts •Coordinate training •Policy development •Second in command •Only career department in the State without the position 13 Emerging Issues •Recruitment •Retention •Leadership & administration •Fire stations •Accommodations for diversity •Windows/doors •No fire sprinklers •General rehab 14 Spotlight! •Our Operational Staff! •Unsustainable amount of overtime worked •24/7/365 minimum staffing achieved •Personal & family sacrifices too many to name •Our Prevention Staff! •Focused on customer service •Ensure codes & ordinances are followed •Firefighter, resident & visitor safety is the priority 15 FY24 Proposed BudgetJessie Baker, City ManagerMartha Machar, Finance DirectorAndrew Bolduc, former Deputy City ManagerCity CouncilDecember 5, 2022 Overview•Council Discussion•Service Demands•Proposed FY24 General Fund Budget•FY24 Enterprise Funds•FY24 Special Funds•Fund Balances•Anticipated Bond Votes•Emerging Issues2All Proposed FY24 Budget documents available here:https://www.southburlingtonvt.gov/departments/finance/fy_24_budget_(7_1_23_‐_6_30_24)_proposed_budget.php Council Discussion3Discussed Goals on September 19, 2022•Explore what has been historically underfunded•Explore growth and related service demands•Review and recommend changes to fees •Explore enforcement and rental registry •Put options on the table•Bring forward expertise of Leadership Team Service Demands – Public Works4In the last 22 years, South Burlington added 20 new miles of road without adding a new position in the Highway Division.This is proposed for FY25 with Parks maintenance prioritized in FY24.We do not have data analysis/GIS capacity to do a more complete analysis of this for Recreation Paths and sidewalks. Service Demands – Police 5In 2020 an analysis was done of our public safety needs   •Result:  40 sworn officers and 10 civilians (including dispatch) are needed•Currently we have:We recommend restoring staff to meet the community’s expectation on response, restore specialized assignments, and do adequate succession planning for the future. CivilianFilled 9Vacant 1Total 10SwornFilled 32Vacant 5Proposed in FY24 2Total 39 Service Demands –Fire6FY23 Investment in leadership•Moved from a Fire Marshal/Chief to employing both a Fire Marshal and a Fire ChiefMinimum staffing is currently 8 Firefighters per shift.  10 employed per shift is needed to maintain operations.•Currently we are at 29 budgeted FirefightersCurrently we staff a single ambulance – 23% of our medical calls are responded to by professionals from other agencies Service Demands – Capital Improvement Plan7 $‐ $500,000 $1,000,000 $1,500,000 $2,000,000 $2,500,000 $3,000,000 $3,500,000 FY18 FY19 FY20 FY21 FY22 FY 23 FY 24Property Tax ‐CIP FundingFY23FY24 $ change % changeGF Tax Capacity*$2,688,000 $3,118,000 $430,000 16.0%ARPA$672,000 $541,500 ($130,500)‐19.4%Total $3,360,000 $3,659,500 $299,500 8.9%Incremental investment needed to sustain tax capacity for infrastructure maintenance and projects.*Includes projects, City Center Reserve, and bond payments Proposed Budget: Structural Changes8Support a transparent financial picture of City operations •Separated operating General Fund from Pennies (FY23)•Removed TIF increment grand list from operating budget calculation•Integrated benefits (health, life, and retirement into department budgets)•Capital lines called out in each Department budget but separate from operations•Continued to integrate building maintenance costs into the Physical Plant budget•Integrated individual program and parks budgets into Recreation and Parks lines•Fully integrated Ambulance into Fire/EMS lines•“Roll‐up Budget” Standardization  Proposed Budget: Challenges9•Multi‐year high inflation rates for goods and services•COLA currently at 6.9%•Continued need to incrementally recover from lean COVID budget years•Maintaining community’s service expectations and standards as the City continues to grow•Need to smooth General Fund allocation to the Capital Improvement Plan into the future and increase capacity•Funding new priorities identified by the Council and Leadership Team345678Northeast Region CPI‐U Proposed Budget: Assumptions10•Contractual COLA and step increases per the Collective Bargaining Agreements•Grand List Growth of 1.75% (9.6% growth in TIF, 1% in City‐wide GL)•Increases in cost of goods and services (gas and diesel, supplies and repairs, materials, etc.)•ARPA salary and CIP step down•Health insurance increase of 6%•Casualty and workers comp savings of $110,000•Green Mountain Transit increase of 9.8%($53k) Proposed Budget: Recommendations 11A two‐year proposal of staffing increases needed to support community’s service expectations.1. Proposed Baseline Budget – Maintain only what we currently provide without additional capacity to address growth2. Proposed Capacity Building Budget –Two‐year incremental investment in staffing to restore previous cuts and incrementally keep up with growth3. Proposed Funding to Implement the Climate Action Plan Proposed Budget: Baseline12Cost to maintain current operations•General Fund capacity to support CIP – increase of $430k•Integration of Police IT to City IT•Restoring an FTE to Assessing (eliminating 40 hr/week of Welcome Center coverage)•Overtime for Physical Plant ($5,000)•Maintain $800k funding for TIF Capital Reserve Proposed Budget: Capacity Building13Costs to restore previous cuts and incrementally keep up with growth•Baseline included•Two‐year plan•Focus on core municipal government•Future ability to be data drivenNeeds FY24 FY25DPW ‐Parks Maintence FTE $80,566DPW ‐Highway FTE $83,789DPW ‐Traffic Study Consultants $15,000PD ‐Restore Deputy Chief (vacant Lt) $14,378PD ‐Restore Police Officer FTE $85,238PD ‐Restore Police Officer FTE $88,647PD ‐Restore Youth Services Sgt $134,646Fire ‐Restore 30th Firefighter $89,207Fire ‐Standup Second Ambulance $200,018 $204,018Fire ‐Deputy Fire Chief $122,400City wide ‐Restore GIS/Policy & Data Analyst $97,406TOTAL $581,813 $633,500Pennies $0.0142 $0.0155Percent 3.05% 3.32% Proposed Budget: Climate Action Plan14NEW:  Climate Action Plan Implementation FY24 FY25 FY26STAFF:  Climate Director / Technical Planner (implementation strategy, ordinance research and drafting, data collection and reporting, recommendation on financing plan)$119,700 $124,488 $129,468STAFF:  Sustainability community engagement manager and analyst (engagement, researcher grants opportunity, relationship, planner)$86,450 $89,908 $93,504Consultant (planning & design of city projects, experts to advise)$100,000 $104,000 $108,160Public outreach funding (meetings, stipends, events by sectors or interest groups, materials)$100,000 $104,000 $108,160Enforcement Team (~3 FTEs:  Inspector for single family homes, additional Inspector, Administrative support, 2 vehicles, materials)$500,000 $400,000CIP Additional Investment (City vehicle charging stations, expanded bike/ped facilities, etc)*** TBD TBDTOTAL $406,150 $922,396 $839,292pennies $0.01 $0.02 $0.02percent 2.13% 4.83% 4.39%*** FY24 Proposed CIP includes investment in paths, charging stations at DPW, East‐West bridge, weatherization of Wheeler House, hybrid police cruisers, and upgrade to Airport Parkway and Bartlett Bay Treatment Facilities  Proposed Budget: Revenues15Note: A selection displayed •Proposed revenues increasing by 11.9%•Step down ARPA•Increase in LOT and permitting fees Proposed Budget: ARPA16Continue to step‐down ARPA General Fund and CIP spending from FY22 & FY23 General Fund – Capital Improvement Plan17$452,000 in new investment of property tax capacity in capital projects•8% annually needed to fund a future Recreation Center•4% annually if we don’t move that forward and projects/funding streams remain stagnantIncluded in the proposed FY24 Budget (highlights only)•Ambulance and setting aside funding for a future fire truck with CIP reserve fund•DPW Garage bay expansion•$800k for paving ($80k more than FY23)•$305k for DPW fleet replacement•$324k for Dorset Street signal project•Weatherization improvements at Wheeler House & Fire Stations•3 hybrid police cruisers•Level fund Ash Tree Replacement ($50k)•Parks improvements at Vet MemorialNot included•Funding for a Recreation Center pushed forward•Funding for Regional Dispatch Utilities18•Rates are currently lowest in the State•Water rate increase driven by an anticipated bond vote in 2024 for storage capacity•No capital investments have been funded in several years•Wastewater rate increase driven by the Bartlett Bay Wastewater Treatment Facility Improvements and other capital projects •Comprehensive Rate Study coming in Spring of 2023 that will drive future decision making  Special Funds19Across 25 Special Funds•Projected Revenue of $9,793,355.68•Project Expenses of $9,424,500.00 Fund Balances20 Bond Votes! 21Tax Increment Financing Bond Vote = $15,086,430Bartlett Bay Wastewater Treatment Facility Improvements = $33,833,000 Emerging Issues22•Significant Executive Team transitions•No additional funding for Regional Dispatch –plan to accomplish through existing budget and FY23 surplus•2024 Bond Vote on Water storage capacity•No funding allocated for Recreation Center planning•Marathon Health – ongoing negotiations on structure•Fire collective bargaining agreement expires at the end of FY24•Wage pressure in surrounding municipalities – especially in public safety What you will hear23•Detailed information on bond votes and communication to the community•From the experts on historic funding levels and growth projections•Standard presentations –for ease of information access•Hopefully from the community!   What’s Next24Department presentations on staffing, budget changes, CIP investments, emerging issues, and highlights•December 5th– General Government, Recreation and Parks, and Library•December 19th– Public Works and Community Development •January 3rd– Police and Dispatch, Fire and EMS, and Council’s discussion of proposed budget•January 17th– Public Hearing and action to send a budget to the voters•January 23rd– Steering Committee with School Board•March 6th– Annual Meeting Presentation•March 7th–Town Meeting Day!  FY24 PROPOSED BUDGET FY 2024 Budget FY 22 Budget FY 22 Actual  FY23 Budget FY24 Budget        FY 23‐24     $  Change        FY 23‐24     % Change CITY COUNCIL General Operating Budget $63,750.00 $72,356.79 $73,750.00 $63,750.00 ($10,000.00) ‐13.56% HR & BENFITS ADMINISTRATION Wages and Benefits $4,879,885.96 $4,522,910.46 $5,198,144.87 $287,934.52 ($4,910,210.35) ‐94.46% General Operating Budget $70,200.00 $43,352.17 $75,200.00 $608,122.00 $532,922.00 708.67% Total   $4,950,085.96 $4,566,262.63 $5,273,344.87 $896,056.52 ($4,377,288.35) ‐83.01% GF INSURANCE General Operating Budget $710,500.00 $738,369.97 $759,569.50 $682,365.73 ($77,203.77) ‐10.16% CITY MANAGER   Wages and Benefits $376,592.08 $427,565.62 $400,291.78 $450,469.45 $50,177.67 12.54% General Operating Budget $73,700.00 $52,382.02 $72,200.00 $72,760.00 $560.00 0.78% Total   $450,292.08 $479,947.64 $472,491.78 $523,229.45 $50,737.67 10.74% LEGAL/ACCOUNTING/ ACTUARY Wages and Benefits $187,423.83 $195,549.53 $223,348.87 $304,615.31 $81,266.44 36.39% General Operating Budget $74,040.00 $19,633.74 $60,612.00 $61,500.00 $888.00 1.47% Total $261,463.83 $215,183.27 $283,960.87 $366,115.31 $82,154.44 28.93% ADMINISTRATIVE SERVICES Wages and Benefits $294,830.19 $309,134.64 $185,975.75 $355,805.18 $169,829.43 91.32% General Operating Budget $888,700.00 $879,659.28 $844,100.00 $881,310.00 $37,210.00 4.41% Capital Pojects $5,000.00 $5,000.00 $5,000.00 $5,000.00 $0.00 0.00% Total $1,188,530.19 $1,193,793.92 $1,035,075.75 $1,242,115.18 $207,039.43 20.00% INFORMATION TECHNOLOGY Wages and Benefits $163,341.01 $186,320.59 $248,768.47 $379,094.68 $130,326.21 52.39% General Operating Budget $72,660.00 $88,077.14 $112,000.00 $128,900.00 $16,900.00 15.09% Capital Pojects $35,000.00 $45,594.60 $37,000.00 $77,000.00 $40,000.00 108.11% Total $271,001.01 $319,992.33 $397,768.47 $584,994.68 $187,226.21 47.07% CITY CLERK  Wages and Benefits $224,087.66 $220,612.54 $234,901.23 $425,169.43 $190,268.19 81.00% General Operating Budget $37,150.00 $26,116.25 $51,000.00 $39,000.00 ($12,000.00) ‐23.53% Total $261,237.66 $246,728.79 $285,901.23 $464,169.43 $178,268.19 62.35% PHYSICAL PLANT Wages and Benefits $0.00 $0.00 $180,484.36 $403,159.04 $222,674.68 123.38% General Operating Budget $0.00 $0.00 $253,520.00 $355,885.00 $102,365.00 40.38% Capital Pojects $0.00 $0.00 $0.00 $116,000.00 $116,000.00 Total $0.00 $0.00 $434,004.36 $875,044.04 $441,039.68 101.62% FINANCE, ASSESSING & TAX  Wages and Benefits $251,782.50 $296,715.71 $347,443.52 $630,574.07 $283,130.55 81.49% General Operating Budget $109,300.00 $107,623.36 $120,600.00 $93,300.00 ($27,300.00) ‐22.64% Total $361,082.50 $404,339.07 $468,043.52 $723,874.07 $255,830.55 54.66% PLANNING/DEVELOPMENT REVIEW Wages and Benefits $318,754.07 $373,839.94 $406,413.28 $800,945.97 $394,532.69 97.08% General Operating Budget $84,200.00 $83,820.32 $157,300.00 $117,785.00 ($39,515.00) ‐25.12% Total $402,954.07 $457,660.26 $563,713.28 $918,730.97 $355,017.69 62.98% RECREATION ADMINISTRATION Wages and Benefits $309,871.68 $290,843.05 $318,816.73 $490,913.70 $172,096.97 53.98% General Operating Budget $52,850.00 $18,204.46 $40,700.00 $36,700.00 ($4,000.00) ‐9.83% Total $362,721.68 $309,047.51 $359,516.73 $527,613.70 $168,096.97 46.76% RECREATION AND SENIOR PROGRAMS AND FACILITIES General Operating Budget $274,400.25 $171,743.67 $238,886.37 $259,556.25 $20,669.88 8.65% Capital Pojects $35,000.00 $31,120.00 $100,000.00 $100,000.00 $0.00 0.00% Total $309,400.25 $202,863.67 $338,886.37 $359,556.25 $20,669.88 6.10% PUBLIC LIBRARY Wages and Benefits $577,393.67 $540,012.40 $651,406.78 $932,996.63 $281,589.84 43.23% General Operating Budget $236,861.00 $223,101.60 $215,222.92 $112,032.00 ($103,190.92) ‐47.95% Total $814,254.67 $763,114.00 $866,629.70 $1,045,028.63 $178,398.92 20.59% FIRE & AMBULANCE SERVICES DEPARTMENT Wages & Benefits $3,101,714.16 $3,267,137.27 $3,332,863.25 $4,947,806.70 $1,614,943.45 48.46% General Operating Budget $492,425.00 $547,052.56 $888,450.00 $616,590.00 ($271,860.00) ‐30.60% Capital Pojects $0.00 $0.00 $0.00 $430,000.00 $430,000.00 Total $3,594,139.16 $3,814,189.83 $4,221,313.25 $5,994,396.70 $1,773,083.45 42.00% POLICE Wages and Benefits $4,331,481.62 $4,372,193.98 $4,600,993.80 $6,263,100.46 $1,662,106.65 36.12% General Operating Budget $720,180.00 $894,299.48 $954,142.43 $739,130.00 ($215,012.43) ‐22.53% Capital Pojects $164,000.00 $118,920.93 $160,000.00 $253,000.00 $93,000.00 58.13% Total   $5,215,661.62 $5,385,414.39 $5,715,136.23 $7,255,230.46 $1,540,094.23 26.95% STREETS AND HIGHWAYS Wages and Benefits $935,867.45 $1,006,540.30 $1,060,488.68 $1,966,051.04 $905,562.36 85.39% General Operating Budget $710,450.00 $827,649.92 $691,450.00 $800,535.00 $109,085.00 15.78% Capital Pojects $1,575,000.00 $1,032,388.70 $1,595,000.00 $1,809,000.00 $214,000.00 13.42% Total $3,221,317.45 $2,866,578.92 $3,346,938.68 $4,575,586.04 $1,228,647.36 36.71% PARK MAINTENANCE Wages and Benefits $236,503.02 $254,584.07 $293,642.54 $618,434.92 $324,792.38 110.61% General Operating Budget $76,000.00 $87,090.61 $106,000.00 $108,000.00 $2,000.00 1.89% Total $312,503.02 $341,674.68 $399,642.54 $726,434.92 $326,792.38 81.77% TOTAL WAGES AND BENEFITS $16,189,528.91 $16,263,960.10 $17,683,983.93 $19,257,071.09 $1,573,087.15 8.90% TOTAL GENERAL OPERATING $4,747,366.25 $4,880,533.34 $5,714,703.22 $5,777,220.98 $62,517.76 1.09% TOTAL CAPTIAL  PROJECTS $1,814,000.00 $1,233,024.23 $1,897,000.00 $2,790,000.00 $893,000.00 47.07% DEBT SERVICE REPAYMENT Principal Payment $1,020,386.32 $1,211,244.59 $1,211,203.30 $1,211,203.30 $0.00 0.00% Interest Payment $480,971.59 $305,984.85 $279,090.00 $233,813.00 ($45,277.00) ‐16.22% Total $1,501,357.91 $1,517,229.44 $1,490,293.30 $1,445,016.30 ($45,277.00) ‐3.04% SOCIAL SERVICES &OTHER OPERATING ENT $836,483.49 $842,706.56 $867,298.11 $937,809.97 $70,511.86 8.13% TO Capital Pojects/RESERVE FUNDS $1,656,940.00 $1,647,058.63 $808,200.00 $933,200.00 $125,000.00 15.47% Total General Fund $26,745,676.56 $26,384,512.30 $28,461,478.56 $31,140,318.33 $2,678,839.77 9.41% Proposed FY24 Budget - 11/28/2022 FY 2024 Budget FY 22 Budget FY 22 Actual FY23 Budget FY24 Budget FY 23-24 $ Change FY 23-24 % Change General Fund $26,745,676.56 $26,432,506.49 $28,461,478.56 $31,140,318.33 $2,678,839.77 9.41% General Fund Non-Property Tax Revenues $9,347,272.00 $11,171,114.74 $10,498,666.00 $11,752,019.41 $1,253,353.41 11.94% Net to be raised by property tax $17,398,404.56 $17,962,812.57 $19,388,298.92 $1,425,486.35 7.94% TIF Grand List (100%)$300,121.00 $333,317.00 $365,317.00 $32,000.00 9.60% General Fund Grand List $31,087,070 $40,231,028.93 $40,615,363.32 $41,019,963.54 $404,600.22 1.00% Estimated Tax Rate $0.5597 $0.4455 $0.4727 $0.0272 6.10% Other approved Ballot Items Open Space $310,870.00 $310,870.00 $406,153.63 $412,677.84 $6,524.21 1.61% Penny for Paths $310,870.00 $310,870.00 $406,153.63 $412,677.84 $6,524.21 1.61% Total to be Raised by Property tax $17,398,404.56 $18,775,119.83 $20,213,654.61 $1,4368,534.78 7.66% Total Estimated Tax Rate $0.4928 Actual Tax rate $0.4350 $0.4660 $0.0268 5.75% ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) GENERAL GOVERNMENT CITY COUNCIL General Operating Budget General Expenses $3,500.00 $155.18 $3,500.00 $3,500.00 $0.00 0.00% Housing Trust $50,000.00 $50,000.00 $50,000.00 $50,000.00 $0.00 0.00% Designated Reserve $0.00 $0.00 $10,000.00 $0.00 -$10,000.00 0.00% Advertising $2,000.00 $2,951.60 $2,000.00 $2,000.00 $0.00 0.00% Councilors $7,750.00 $7,750.00 $7,750.00 $7,750.00 $0.00 0.00% Liquor Control $500.00 $500.01 $500.00 $500.00 $0.00 0.00% Council approved-Unbudgeted project $0.00 $11,000.00 $0.00 $0.00 $0.00 0.00% $63,750.00 $72,356.79 $73,750.00 $63,750.00 -$10,000.00 -13.56% HR & BENFITS ADMINISTRATION Wages and Benefits Salaries $142,784.69 $159,145.94 $193,256.46 $168,282.00 -$24,974.46 -12.92% Payment to Sickbank Fund 298 $125,000.00 $125,000.00 $125,000.00 -$125,000.00 -100.00% EAP Services $6,000.00 $0.00 $6,000.00 $6,000.00 $0.00 0.00% Wellness/Activities $5,000.00 $0.00 $5,000.00 $5,000.00 $0.00 0.00% Fringe Benefits $6,000.00 $11,059.09 $14,400.00 $800.00 -$13,600.00 -94.44% FICA/Medicare $10,923.03 $12,201.97 $14,784.12 $12,873.57 -$1,910.55 -12.92% Vision Plan $12,764.16 $15,912.26 $13,007.03 $306.24 -$12,700.79 -97.65% Disability Insurance $52,979.40 $52,667.01 $60,547.40 $1,388.18 -$59,159.22 -97.71% Group Health Plan $2,538,185.00 $2,357,693.07 $2,715,116.17 $54,994.75 -$2,660,121.42 -97.97% Bank - Benefits $8,000.00 $3,371.15 $9,000.00 $4,000.00 -$5,000.00 -55.56% Group Life Insurance $42,123.72 $46,411.94 $45,454.95 $625.24 -$44,829.71 -98.62% Group Dental Insurance $132,939.96 $120,360.22 $132,561.16 $2,742.72 -$129,818.44 -97.93% Pension $1,598,110.00 $1,437,657.71 $1,634,501.39 $21,666.31 -$1,612,835.09 -98.67% ICMA Match $199,076.00 $181,430.10 $229,516.20 $9,255.51 -$220,260.69 -95.97% Total Wages and Benefits $4,879,885.96 $4,522,910.46 $5,198,144.87 $287,934.52 -$4,910,210.35 -94.46% General Operating Budget Advertising & Recruiting $1,000.00 $1,269.50 $6,000.00 $5,000.00 -$1,000.00 -16.67% Employee Health Center-Rent + Services $553,932.00 $553,932.00 0.00% Phone $0.00 $0.00 $0.00 $960.00 $960.00 0.00% Dues and Subscriptions $1,000.00 $2,323.50 $1,000.00 $2,000.00 $1,000.00 100.00% Hiring - required testing $1,500.00 $3,674.50 $1,500.00 $5,000.00 $3,500.00 233.33% Payroll Service $36,500.00 $31,994.17 $36,500.00 $37,230.00 $730.00 2.00% Contractual Services $26,200.00 $0.00 $26,200.00 $0.00 -$26,200.00 -100.00% Travel and Training $4,000.00 $4,090.50 $4,000.00 $4,000.00 $0.00 0.00% Total General Operating Budget $70,200.00 $43,352.17 $75,200.00 $608,122.00 $532,922.00 708.67% Total HR & Benefits Administration $4,950,085.96 $4,566,262.63 $5,273,344.87 $896,056.52 -$4,377,288.35 -83.01% GF INSURANCE General Operating Budget Workers Comp Insurance $381,000.00 $389,526.98 $385,434.50 $348,023.32 -$37,411.18 -9.71% Page 1 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) VLCT Unemployment Insurance $16,400.00 $16,726.00 $17,000.00 $17,850.00 $850.00 5.00% Property Insurance $297,000.00 $312,834.44 $343,035.00 $301,687.41 -$41,347.59 -12.05% Bonding Insurance-Public Officials $6,100.00 $6,064.00 $6,100.00 $6,405.00 $305.00 5.00% Accident -Deductibles $10,000.00 $13,218.55 $8,000.00 $8,400.00 $400.00 5.00% $710,500.00 $738,369.97 $759,569.50 $682,365.73 -$77,203.77 -10.16% CITY MANAGER Wages and Benefits Departmental Salaries $349,830.08 $390,764.83 $371,845.59 $301,814.33 -$70,031.26 -18.83% Leave Time Turn-In $0.00 $0.00 $0.00 $0.00 $0.00 0.00% FICA/Medicare $26,762.00 $36,800.79 $28,446.19 $23,088.80 -$5,357.39 -18.83% Fringe Benefits $1,100.00 $1,100.00 0.00% Vision Plan $312.84 $312.84 0.00% Disability Insurance $2,082.27 $2,082.27 0.00% Group Health Plan $55,739.08 $55,739.08 0.00% Group Life Insurance $937.86 $937.86 0.00% Group Dental Insurance $2,758.68 $2,758.68 0.00% Pension $38,858.60 $38,858.60 0.00% ICMA Match $23,776.99 $23,776.99 0.00% Total Wages and Benefits $376,592.08 $427,565.62 $400,291.78 $450,469.45 $50,177.67 12.54% General Operating Budget Office Supplies $3,000.00 $4,995.68 $3,500.00 $5,000.00 $1,500.00 42.86% Advertising $10,800.00 $9,341.59 $11,000.00 $11,000.00 $0.00 0.00% Telephone $3,800.00 $10,630.06 $4,000.00 $960.00 -$3,040.00 -76.00% Postage $2,000.00 $580.23 $500.00 $600.00 $100.00 20.00% Dues and Subscriptions $4,100.00 $3,559.84 $4,200.00 $4,200.00 $0.00 0.00% Printing $3,000.00 $709.77 $2,000.00 $3,000.00 $1,000.00 50.00% Consulting Fees $30,000.00 $16,958.45 $30,000.00 $30,000.00 $0.00 0.00% Travel & Training $5,000.00 $5,606.40 $5,000.00 $6,000.00 $1,000.00 20.00% Online Platform-Training $12,000.00 $0.00 $12,000.00 $12,000.00 $0.00 0.00% Total General Operating Budget $73,700.00 $52,382.02 $72,200.00 $72,760.00 $560.00 0.78% Total City Manager $450,292.08 $479,947.64 $472,491.78 $523,229.45 $50,737.67 10.74% LEGAL/ACCOUNTING/ ACTUARY Wages and Benefits Salaries $174,104.81 $180,848.12 $207,476.89 $215,017.75 $7,540.86 3.63% FICA/Medicare $13,319.02 $14,701.41 $15,871.98 $16,448.86 $576.88 3.63% Fringe Benefits $600.00 $600.00 0.00% Vision Plan $153.12 $153.12 0.00% Disability Insurance $1,388.18 $1,388.18 0.00% Group Health Plan $31,821.54 $31,821.54 0.00% Group Life Insurance $625.24 $625.24 0.00% Group Dental Insurance $1,371.36 $1,371.36 0.00% Pension $27,683.54 $27,683.54 0.00% ICMA Match $9,505.72 $9,505.72 0.00% Total Wages and Benefits $187,423.83 $195,549.53 $223,348.87 $304,615.31 $81,266.44 36.39% General Operating Budget Subscriptions $7,040.00 $8,024.42 $7,612.00 $8,000.00 $388.00 5.10% Legal/Labor/Suits $65,000.00 $9,358.24 $50,000.00 $50,000.00 $0.00 0.00% Professional Development $2,000.00 $2,251.08 $3,000.00 $3,500.00 $500.00 16.67% Total General Operating Budget $74,040.00 $19,633.74 $60,612.00 $61,500.00 $888.00 1.47% Total Legal $261,463.83 $215,183.27 $283,960.87 $366,115.31 $82,154.44 28.93% ADMINISTRATIVE SERVICES Wages and Benefits Salaries $273,878.49 $280,009.67 $172,759.63 $229,251.49 $56,491.86 32.70% Salaries-Intens/PT $0.00 $4,908.42 $0.00 $0.00 $0.00 0.00% Leave Time turn-in $2,134.40 $2,134.40 0.00% FICA/Medicare $20,951.70 $24,216.55 $13,216.11 $17,537.74 $4,321.63 32.70% Fringe Benefits $1,500.00 $1,500.00 0.00% Vision Plan $313.20 $313.20 0.00% Disability Insurance $2,082.27 $2,082.27 0.00% Group Health Plan $57,253.85 $57,253.85 0.00% Group Life Insurance $937.86 $937.86 0.00% Page 2 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) Group Dental Insurance $2,669.40 $2,669.40 0.00% Pension $29,516.13 $29,516.13 0.00% ICMA Match $12,608.83 $12,608.83 0.00% Total Wages and Benefits $294,830.19 $309,134.64 $185,975.75 $355,805.18 $169,829.43 91.32% General Operating Budget Office Supplies $0.00 $0.00 $20,000.00 $15,000.00 -$5,000.00 -25.00% Municipal Bld Cleaning Supplies $12,000.00 $12,550.91 $0.00 $0.00 $0.00 0.00% Vehicle Expense $1,700.00 $1,700.16 $1,700.00 $1,800.00 $100.00 5.88% Office equipment fees $10,000.00 $11,515.20 $11,000.00 $12,000.00 $1,000.00 9.09% Branding and Outreach $25,000.00 $958.01 $25,000.00 $20,000.00 -$5,000.00 -20.00% Digital Media $19,000.00 $18,795.16 $19,000.00 $19,000.00 $0.00 0.00% Municipal Bld Cleaning Service $0.00 $0.00 $0.00 $0.00 $0.00 0.00% City Hall Maintenance $39,000.00 $36,424.61 $0.00 $0.00 $0.00 0.00% Contingency/ Repairs/Grants $140,000.00 $156,604.72 $140,000.00 $140,000.00 $0.00 0.00% Energy Efficiency $40,000.00 $20,000.00 $40,000.00 $40,000.00 $0.00 0.00% HVAC Maintenance $2,400.00 $4,198.44 $0.00 $0.00 $0.00 0.00% Positive Pay $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Archives and Digitalization $20,000.00 $15,211.20 $20,000.00 $20,000.00 $0.00 0.00% Electricity-City Hall $21,000.00 $48,317.20 $0.00 $0.00 $0.00 0.00% Heating/Cooling-City Hall $17,000.00 $19,731.60 $0.00 $0.00 $0.00 0.00% Street Lights $144,000.00 $150,471.85 $148,000.00 $160,000.00 $12,000.00 8.11% Stormwater User Rent $325,000.00 $338,297.69 $330,200.00 $346,710.00 $16,510.00 5.00% Parking Lot Lease $0.00 $0.00 $29,200.00 $43,800.00 $14,600.00 50.00% 19 Gregory Lease-Tax pmts $57,600.00 $26,695.77 $45,000.00 $45,000.00 $0.00 0.00% Generator Preventive Maint.$1,000.00 $1,098.67 $0.00 $0.00 $0.00 0.00% Council/Board Secretary (wage/FICA)$14,000.00 $17,088.09 $15,000.00 $18,000.00 $3,000.00 20.00% Total General Operating Budget $888,700.00 $879,659.28 $844,100.00 $881,310.00 $37,210.00 4.41% Capital Budget Public Art $5,000.00 $5,000.00 $5,000.00 $5,000.00 $0.00 0.00% Total Administrative $1,188,530.19 $1,193,793.92 $1,035,075.75 $1,242,115.18 $207,039.43 20.00% INFORMATION TECHNOLOGY Wages and Benefits IT Salaries $151,733.40 $172,497.10 $231,090.08 $247,881.01 $16,790.93 7.27% Leave time Turn-in $3,232.00 $3,232.00 0.00% IT-Overtime/Part Time $0.00 $0.00 $0.00 $0.00 $0.00 0.00% FICA/Medicare $11,607.61 $13,823.49 $17,678.39 $11,611.25 -$6,067.14 -34.32% Fringe Benefits $1,300.00 $1,300.00 0.00% Vision Plan $361.56 $361.56 0.00% Disability Insurance $2,082.27 $2,082.27 0.00% Group Health Plan $64,922.56 $64,922.56 0.00% Group Life Insurance $937.86 $937.86 0.00% Group Dental Insurance $3,240.24 $3,240.24 0.00% Pension $31,914.68 $31,914.68 0.00% ICMA Match $11,611.25 $11,611.25 0.00% Total Wages and Benefits $163,341.01 $186,320.59 $248,768.47 $379,094.68 $130,326.21 52.39% General Operating Budget IT Utility Services $28,660.00 $19,676.64 $12,000.00 $30,900.00 $18,900.00 157.50% Travel & Training $0.00 $0.00 $2,000.00 $2,000.00 $0.00 0.00% Computer Software $39,000.00 $63,704.36 $93,000.00 $81,000.00 -$12,000.00 -12.90% IT Support Service $5,000.00 $4,696.14 $5,000.00 $15,000.00 $10,000.00 200.00% Total General Operating Budget $72,660.00 $88,077.14 $112,000.00 $128,900.00 $16,900.00 15.09% Capital Budget Computer Hardware/Servers $35,000.00 $45,594.60 $37,000.00 $77,000.00 $40,000.00 108.11% Total Capital budget $35,000.00 $45,594.60 $37,000.00 $77,000.00 $40,000.00 108.11% Total Information Technology $271,001.01 $319,992.33 $397,768.47 $584,994.68 $187,226.21 47.07% CITY CLERK Wages and Benefits City Clerk Salaries-Perm.$207,863.18 $204,625.83 $217,908.30 $255,931.91 $38,023.61 17.45% Leave time turn-in $6,469.20 $6,469.20 0.00% Overtime $300.00 $186.12 $300.00 $300.00 $0.00 0.00% FICA/Medicare $15,924.48 $15,800.59 $16,692.93 $19,578.79 $2,885.86 17.29% Fringe Benefits $1,800.00 $1,800.00 0.00% Page 3 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) Vision Plan $417.24 $417.24 0.00% Disability Insurance $2,776.36 $2,776.36 0.00% Group Health Plan $76,352.45 $76,352.45 0.00% Group Life Insurance $1,250.48 $1,250.48 0.00% Group Dental Insurance $3,648.48 $3,648.48 0.00% Pension $48,004.54 $48,004.54 0.00% ICMA Match $8,639.98 $8,639.98 0.00% Total Wages and Benefits $224,087.66 $220,612.54 $234,901.23 $425,169.43 $190,268.19 81.00% General Operating Budget General Supplies $3,500.00 $3,647.90 $3,000.00 $6,500.00 $3,500.00 116.67% Animal Control Costs $5,500.00 $4,077.22 $5,100.00 $4,500.00 -$600.00 -11.76% Election Expenses $6,500.00 $5,432.63 $12,000.00 $7,500.00 -$4,500.00 -37.50% Election Reimbursable $1,500.00 $1,033.28 $1,500.00 $2,000.00 $500.00 33.33% Election Supplies $0.00 $0.00 $0.00 $0.00 0.00% Telephone $400.00 $197.04 $400.00 $400.00 $0.00 0.00% Postage $2,250.00 $814.44 $2,250.00 $1,500.00 -$750.00 -33.33% Dues and Subscriptions $400.00 $355.00 $400.00 $400.00 $0.00 0.00% Printing $350.00 $657.95 $400.00 $600.00 $200.00 50.00% BCA elections $5,200.00 $1,841.31 $9,700.00 $3,700.00 -$6,000.00 -61.86% Election Workers $4,200.00 $1,601.40 $9,000.00 $3,500.00 -$5,500.00 -61.11% BCA Appeals/Abatements $350.00 $0.00 $350.00 $700.00 $350.00 100.00% Office Equip Maintenance $1,300.00 $906.29 $1,200.00 $1,800.00 $600.00 50.00% Travel & Training $4,200.00 $4,063.79 $4,200.00 $4,200.00 $0.00 0.00% Photocopier Lease Prin $1,500.00 $1,488.00 $1,500.00 $1,700.00 $200.00 13.33% Total General Operating Budget $37,150.00 $26,116.25 $51,000.00 $39,000.00 -$12,000.00 -23.53% Total Clerk $261,237.66 $246,728.79 $285,901.23 $464,169.43 $178,268.19 62.35% PHYSICAL PLANT Wages and Benefits Physical Plant Salaries-Perm. $0.00 $0.00 $167,658.49 $251,968.90 $84,310.41 50.29% Over Time $5,000.00 $5,000.00 0.00% FICA/Medicare $0.00 $0.00 $12,825.87 $19,658.12 $6,832.25 53.27% Fringe Benefits $1,800.00 $1,800.00 0.00% Vision Plan $417.24 $417.24 0.00% Disability Insurance $2,776.36 $2,776.36 0.00% Group Health Plan $76,401.98 $76,401.98 0.00% Group Life Insurance $1,250.48 $1,250.48 0.00% Group Dental Insurance $3,648.48 $3,648.48 0.00% Pension $32,441.00 $32,441.00 0.00% ICMA Match $7,796.48 $7,796.48 0.00% Total Wages and Benefits $0.00 $0.00 $180,484.36 $403,159.04 $222,674.68 123.38% General Operating Budget Cleaning Supplies $0.00 $0.00 $42,000.00 $45,785.00 $3,785.00 9.01% Building Maintenance $0.00 $0.00 $10,250.00 $14,250.00 $4,000.00 39.02% Building Repair $0.00 $0.00 $15,900.00 $21,900.00 $6,000.00 37.74% Bio waste Disposal $0.00 $0.00 $1,000.00 $600.00 -$400.00 -40.00% Recycle & Trash Removal $0.00 $0.00 $17,100.00 $18,900.00 $1,800.00 10.53% HVAC Maintenance $0.00 $0.00 $31,020.00 $40,100.00 $9,080.00 29.27% Electricity-City Hall $0.00 $0.00 $14,250.00 $70,250.00 $56,000.00 392.98% Heating/Cooling-City Hall $0.00 $0.00 $7,000.00 $14,600.00 $7,600.00 108.57% Generator Preventive Maint.$0.00 $0.00 $15,000.00 $20,000.00 $5,000.00 33.33% Facility Stewardship $0.00 $0.00 $10,000.00 $12,500.00 $2,500.00 25.00% Facilities Cleaning Services $0.00 $0.00 $90,000.00 $97,000.00 $7,000.00 7.78% Total General Operating Budget $0.00 $0.00 $253,520.00 $355,885.00 $102,365.00 40.38% Capital Budget PP Capital projects $116,000.00 $116,000.00 0.00% $0.00 $0.00 $0.00 $116,000.00 Total Physical Plant $0.00 $0.00 $434,004.36 $875,044.04 $327,539.68 75.47% FINANCE, ASSESSING & TAX Wages and Benefits Assessing/Tax Sal.-Perm. $233,089.92 $274,930.96 $322,752.92 $397,948.87 $75,195.95 23.30% Leave Time Turn-in $3,322.80 $3,322.80 0.00% Overtime $800.00 $0.00 $0.00 $0.00 $0.00 0.00% Page 4 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) FICA/Medicare $17,892.58 $21,784.75 $24,690.60 $30,443.09 $5,752.49 23.30% Fringe Benefits $2,100.00 $2,100.00 0.00% Vision Plan $619.08 $619.08 0.00% Disability Insurance $3,470.45 $3,470.45 0.00% Group Health Plan $89,186.54 $89,186.54 0.00% Group Life Insurance $1,563.10 $1,563.10 0.00% Group Dental Insurance $5,501.40 $5,501.40 0.00% Pension $74,531.55 $74,531.55 0.00% ICMA Match $21,887.19 $21,887.19 0.00% Total Wages and Benefits $251,782.50 $296,715.71 $347,443.52 $630,574.07 $283,130.55 81.49% General Operating Budget Office Supplies $2,500.00 $3,040.05 $3,000.00 $3,200.00 $200.00 6.67% Advertising $500.00 $248.00 $500.00 $500.00 $0.00 0.00% Telephone $300.00 $260.08 $300.00 $300.00 $0.00 0.00% Postage $5,500.00 $7,203.74 $6,000.00 $6,000.00 $0.00 0.00% Dues and Memberships $500.00 $550.35 $800.00 $800.00 $0.00 0.00% Printing $3,500.00 $3,058.15 $4,000.00 $4,000.00 $0.00 0.00% Consulting/Assessing Other $30,000.00 $23,140.00 $30,000.00 $5,000.00 -$25,000.00 -83.33% Appeals and Abatements $6,000.00 $11,771.17 $4,000.00 $5,000.00 $1,000.00 25.00% Gen Govt. Actuaries/Pension $24,000.00 $20,900.00 $26,000.00 $26,000.00 $0.00 0.00% Gen Govt. Audit/Accounting $28,000.00 $29,250.00 $35,000.00 $30,500.00 -$4,500.00 -12.86% NEMRC/APEX $5,500.00 $7,595.03 $7,000.00 $8,000.00 $1,000.00 14.29% Travel & Training $3,000.00 $606.79 $4,000.00 $4,000.00 $0.00 0.00% Total General Operating Budget $109,300.00 $107,623.36 $120,600.00 $93,300.00 -$27,300.00 -22.64% Total Finance, Tax and Assessing $361,082.50 $404,339.07 $468,043.52 $723,874.07 $255,830.55 54.66% PLANNING/DEVELOPMENT REVIEW Wages and Benefits Planning Salaries-Perm. $289,802.25 $341,716.41 $372,532.08 $548,721.83 $176,189.75 47.30% Leave Time Turn-In $2,428.00 $2,428.00 0.00% Overtime $6,300.00 $4,230.34 $5,000.00 $5,000.00 $0.00 0.00% FICA/Medicare $22,651.82 $27,893.19 $28,881.20 $42,359.72 $13,478.52 46.67% Fringe Benefits $3,300.00 $3,300.00 0.00% Vision Plan $478.80 $478.80 0.00% Disability Insurance $4,858.63 $4,858.63 0.00% Group Health Plan $86,531.77 $86,531.77 0.00% Group Life Insurance $2,188.34 $2,188.34 0.00% Group Dental Insurance $4,251.24 $4,251.24 0.00% Pension $70,647.94 $70,647.94 0.00% ICMA Match $30,179.70 $30,179.70 0.00% Total Wages and Benefits $318,754.07 $373,839.94 $406,413.28 $800,945.97 $394,532.69 97.08% General Operating Budget Office Supplies $2,500.00 $1,095.33 $2,500.00 $2,500.00 $0.00 0.00% Public Meeting Advertising $3,000.00 $2,630.00 $3,500.00 $3,500.00 $0.00 0.00% Telephone $150.00 $137.83 $150.00 $150.00 $0.00 0.00% Postage $800.00 $549.67 $800.00 $800.00 $0.00 0.00% Dues and Subscriptions $1,650.00 $880.35 $1,650.00 $2,000.00 $350.00 21.21% Document Printing $700.00 $0.00 $700.00 $700.00 $0.00 0.00% Consultants $55,000.00 $67,385.75 $55,000.00 $55,000.00 $0.00 0.00% Cmte Support (Nat Res, Energy, Other)$2,900.00 $253.67 $2,500.00 $2,500.00 $0.00 0.00% Payment for GIS services $2,500.00 $0.00 $0.00 $12,635.00 $12,635.00 0.00% PC/DRB Stipends $9,000.00 $8,564.00 $9,000.00 $9,000.00 $0.00 0.00% Travel & Training $4,500.00 $2,308.77 $5,000.00 $7,500.00 $2,500.00 50.00% Equipment $1,500.00 $14.95 $1,500.00 $1,500.00 $0.00 0.00% Special Projects/permitting Software $0.00 $0.00 $75,000.00 $20,000.00 -$55,000.00 0.00% Total General Operating Budget $84,200.00 $83,820.32 $157,300.00 $117,785.00 -$39,515.00 -25.12% Total Planning and Zoning $402,954.07 $457,660.26 $563,713.28 $918,730.97 $355,017.69 62.98% CULTURE AND RECREATION RECREATION ADMINISTRATION Wages and Benefits Rec.Admin.Salaries-Perm. $279,351.07 $262,219.84 $291,160.46 $313,990.32 $22,829.86 7.84% Leave Time Turn-In $7,000.00 $0.00 $3,000.00 $10,739.60 $7,739.60 257.99% Page 5 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) Overtime $1,500.00 $7,785.93 $2,000.00 $2,000.00 $0.00 0.00% FICA/Medicare $22,020.61 $20,837.28 $22,656.28 $24,020.26 $1,363.98 6.02% Fringe Benefits $2,300.00 $2,300.00 0.00% Vision Plan $374.40 $374.40 0.00% Disability Insurance $3,470.45 $3,470.45 0.00% Group Health Plan $68,315.44 $68,315.44 0.00% Group Life Insurance $1,563.10 $1,563.10 0.00% Group Dental Insurance $2,879.88 $2,879.88 0.00% Pension $52,546.06 $52,546.06 0.00% ICMA Match $8,714.19 $8,714.19 0.00% Total Wages and Benefits $309,871.68 $290,843.05 $318,816.73 $490,913.70 $172,096.97 53.98% General Operating Budget Office Supplies $1,500.00 $2,497.26 $0.00 $500.00 $500.00 0.00% Clothing $1,000.00 $1,158.00 $1,200.00 $3,000.00 $1,800.00 150.00% Telephone $1,500.00 $1,002.72 $2,750.00 $2,750.00 $0.00 0.00% Postage $150.00 $8.72 $150.00 $50.00 -$100.00 -66.67% Dues and Subscriptions $1,700.00 $2,349.57 $2,100.00 $2,400.00 $300.00 14.29% Scholarships $1,000.00 $85.96 $1,000.00 $1,000.00 $0.00 0.00% Printing/Advertising/Marketing $36,000.00 $3,280.68 $25,000.00 $11,000.00 -$14,000.00 -56.00% Computer Software Contract $5,000.00 $5,269.24 $6,000.00 $11,000.00 $5,000.00 83.33% Travel & Training $3,500.00 $2,382.89 $2,500.00 $5,000.00 $2,500.00 100.00% Lease Printer and Copier $1,500.00 $169.42 $0.00 $0.00 $0.00 0.00% Total General Operating Budget $52,850.00 $18,204.46 $40,700.00 $36,700.00 -$4,000.00 -9.83% Total Recreation Administration $362,721.68 $309,047.51 $359,516.73 $527,613.70 $168,096.97 46.76% RECREATION PROGRAMS General Operating Budget Supplies and Equipment $11,000.00 $8,192.18 $11,000.00 $11,000.00 $0.00 0.00% SoBu Night Out $27,000.00 $27,463.84 $27,000.00 $30,000.00 $3,000.00 11.11% Adult Programs $0.00 $0.00 $0.00 $10,000.00 $10,000.00 0.00% Special Events $0.00 $0.00 $0.00 $30,000.00 $30,000.00 0.00% Youth Programs $0.00 $0.00 $0.00 $60,000.00 $60,000.00 0.00% Program Cell Phones $2,400.00 $1,071.43 $0.00 $0.00 0.00% Advertising $9,000.00 $1,842.86 $7,000.00 -$7,000.00 -100.00% School Use $3,000.00 $0.00 $5,000.00 $5,000.00 $0.00 0.00% $52,400.00 $38,570.31 $50,000.00 $146,000.00 $96,000.00 192.00% Red Rock Park Budgeted under Recreation Facilities Red Rocks Park Salaries $8,500.00 $10,347.49 $12,285.00 $0.00 -$12,285.00 -144.53% FICA/Medicare $650.25 $789.63 $939.80 $0.00 -$939.80 -144.53% General Supplies $1,000.00 $873.98 $1,000.00 $0.00 -$1,000.00 -100.00% Clothing $200.00 $184.00 $200.00 $0.00 -$200.00 -100.00% Telephone $250.00 $0.00 $0.00 $0.00 $0.00 0.00% Utilities $400.00 $492.73 $500.00 $0.00 -$500.00 -100.00% $11,000.25 $12,687.83 $14,924.80 $0.00 -$14,924.80 -100.00% RECREATION FACILITIES General Operating Budget Seasonal Park Salaries $0.00 $0.00 $0.00 $12,500.00 $12,500.00 0.00% FICA/Medicare $0.00 $0.00 $0.00 $956.25 $956.25 0.00% Supplies-Park Facilities $5,000.00 $1,486.61 $2,500.00 $8,000.00 $5,500.00 220.00% Vehicle Maintenance $1,500.00 $2,241.02 $1,500.00 $6,000.00 $4,500.00 300.00% Fuel-Gas - Heat-Park Facilities $1,500.00 $1,524.45 $1,500.00 $1,600.00 $100.00 6.67% Facilities Maintenance Contracts $1,500.00 $1,070.00 $1,500.00 $0.00 -$1,500.00 -100.00% Port-O-Lets $7,000.00 $7,090.00 $7,000.00 $8,000.00 $1,000.00 14.29% Electric-Park Facilities $1,300.00 $1,825.71 $1,300.00 $6,000.00 $4,700.00 361.54% Electric-Dorset Park $3,000.00 $2,737.57 $3,000.00 $0.00 -$3,000.00 -100.00% Electric-Overlook Park $300.00 $348.88 $500.00 $0.00 -$500.00 -100.00% Electric-Tennis Courts $300.00 $283.03 $350.00 $0.00 -$350.00 -100.00% Ongoing Facilities Improvements $20,000.00 $3,157.50 $20,000.00 $32,000.00 $12,000.00 60.00% Total General Operating Budget $41,400.00 $21,764.77 $39,150.00 $75,056.25 $35,906.25 91.71% Capital Budget Capital Items $35,000.00 $31,120.00 $100,000.00 $100,000.00 $0.00 0.00% $76,400.00 $52,884.77 $139,150.00 $175,056.25 $35,906.25 25.80% Page 6 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) SENIOR PROGRAMS General Operating Budget Program Supplies $2,000.00 $8,242.89 $2,000.00 $9,500.00 $7,500.00 375.00% Meal Cost $14,500.00 $6,256.20 $14,500.00 $15,000.00 $500.00 3.45% Marketing $2,000.00 $101.46 $2,000.00 $2,000.00 $0.00 0.00% Senior Programs $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Custodial $4,200.00 $4,523.29 $6,701.57 -$6,701.57 -100.00% Senior Events $3,000.00 $1,895.00 $3,000.00 $12,000.00 $9,000.00 300.00% Utilities $6,800.00 $3,734.57 $5,110.00 -$5,110.00 -100.00% $32,500.00 $24,753.41 $33,311.57 $38,500.00 $5,188.43 15.58% Contracted General Programs Budgeted under Recreation programs Adult Programs $23,000.00 $322.14 $12,000.00 $0.00 -$12,000.00 -100.00% Special Events $20,000.00 $20,753.67 $20,000.00 $0.00 -$20,000.00 -100.00% Swim Lessons-Sport/Fit Ed $1,500.00 $3,180.00 $1,500.00 $0.00 -$1,500.00 -100.00% Youth Programs $30,000.00 $21,161.54 $25,000.00 $0.00 -$25,000.00 -100.00% Driver's Education $38,000.00 $24,550.00 $28,000.00 $0.00 -$28,000.00 -100.00% VRPA Discount $9,600.00 $0.00 $0.00 $0.00 $0.00 0.00% Ski Programs $11,000.00 $0.00 $11,000.00 $0.00 -$11,000.00 -100.00% Chorus Director $4,000.00 $4,000.00 $4,000.00 $0.00 -$4,000.00 -100.00% $137,100.00 $73,967.35 $101,500.00 $0.00 -$101,500.00 -100.00% PUBLIC LIBRARY Wages and Benefits Library Salaries $536,361.98 $500,692.01 $605,115.45 $666,035.33 $60,919.87 10.07% FICA/Medicare $41,031.69 $39,320.39 $46,291.33 $50,951.70 $4,660.37 10.07% Fringe Benefits $3,000.00 $3,000.00 0.00% Vision Plan $540.72 $540.72 0.00% Disability Insurance $6,246.81 $6,246.81 0.00% Group Health Plan $113,900.81 $113,900.81 0.00% Group Life Insurance $2,813.58 $2,813.58 0.00% Group Dental Insurance $4,764.72 $4,764.72 0.00% Pension $65,112.10 $65,112.10 0.00% ICMA Match $19,630.86 $19,630.86 0.00% Total Wages and Benefits $577,393.67 $540,012.40 $651,406.78 $932,996.63 $281,589.84 43.23% General Operating Budget Library Supplies $7,000.00 $7,766.64 $7,250.00 $8,500.00 $1,250.00 17.24% Books - Adult $20,000.00 $20,763.56 $20,000.00 $22,000.00 $2,000.00 10.00% Books - Children $10,000.00 $7,116.95 $10,000.00 $10,800.00 $800.00 8.00% DVDs/CDs-Adult $7,000.00 $5,891.31 $7,000.00 $7,500.00 $500.00 7.14% DVDs/CDs-Children $1,000.00 $835.34 $1,500.00 $1,000.00 -$500.00 -33.33% Program Supplies-Arts/Craft $3,000.00 $3,487.93 $3,000.00 $3,500.00 $500.00 16.67% Books - Young Adults $4,000.00 $3,326.27 $4,000.00 $4,500.00 $500.00 12.50% Lost Book Replacement $1,000.00 $1,000.00 0.00% Bookmobile maintenance $500.00 $0.00 $0.00 $0.00 $0.00 0.00% Postage $2,500.00 $925.88 $2,500.00 $1,700.00 -$800.00 -32.00% Inter-Library delivery $2,157.00 $1,843.22 $2,232.00 $2,232.00 $0.00 0.00% Dues and Subscriptions $1,400.00 $1,786.44 $1,500.00 $1,800.00 $300.00 20.00% Online & Print Subscription $20,625.00 $19,293.07 $20,000.00 $23,000.00 $3,000.00 15.00% Community Programs $6,000.00 $6,243.08 $5,000.00 $6,000.00 $1,000.00 20.00% Janitorial Services & Supplies $40,800.00 $49,693.44 $65,100.92 $0.00 -$65,100.92 -100.00% Repair/Maintenance Library $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Building Lease $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Computer Operations - Software $2,000.00 $2,597.63 $2,000.00 $2,500.00 $500.00 25.00% Computer Operations - Hardware $11,000.00 $12,470.57 $3,000.00 $4,000.00 $1,000.00 33.33% Travel & Training $1,500.00 $307.24 $1,500.00 $1,500.00 $0.00 0.00% Utilities $57,800.00 $55,440.32 $49,640.00 $0.00 -$49,640.00 -100.00% Library Equipment $26,579.00 $12,870.87 $0.00 $0.00 $0.00 0.00% Computer Program Fees $6,000.00 $6,377.28 $6,000.00 $6,500.00 $500.00 8.33% C/L Photocopier Lease Pri $6,000.00 $4,064.56 $4,000.00 $4,000.00 $0.00 0.00% Total General Operating Budget $236,861.00 $223,101.60 $215,222.92 $112,032.00 -$103,190.92 -47.95% Total Public Library $814,254.67 $763,114.00 $866,629.70 $1,045,028.63 $178,398.92 20.59% Page 7 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) PUBLIC SAFETY FIRE & AMBULANCE SERVICES DEPARTMENT Wages & Benefits Fire Salaries-Permanent $2,256,045.39 $2,234,439.06 $2,395,409.13 $2,735,934.13 $340,525.00 14.22% Leave time turn-in $5,500.00 $5,500.00 0.00% Holiday Pay $335,100.00 $370,109.76 $359,755.77 $397,609.77 $37,854.00 10.52% Fair Labor Standard O/T $106,149.70 $106,149.70 $111,352.98 $114,982.65 $3,629.68 3.26% F/D Overtime - Fill-In $160,000.00 $301,364.87 $160,000.00 $185,000.00 $25,000.00 15.63% F/D Overtime - Training $0.00 $1,276.44 $16,000.00 $20,000.00 $4,000.00 25.00% F/D Overtime - Emerg Call $0.00 $35.37 $12,500.00 $9,000.00 -$3,500.00 -28.00% Wellness/Fitness (Fringe Benefit) $23,000.00 $18,583.29 $23,000.00 $24,725.00 $1,725.00 7.50% Fire-Off Duty Outside Emp $1,000.00 $846.00 $8,000.00 $8,000.00 $0.00 0.00% New Employee Training $0.00 $0.00 $10,000.00 $0.00 -$10,000.00 -100.00% FICA/Medicare $220,419.07 $234,332.78 $236,845.37 $266,120.60 $29,275.23 12.36% Vision Plan $3,539.40 $3,539.40 0.00% Disability Insurance $4,713.00 $4,713.00 0.00% Group Health Plan $599,564.97 $599,564.97 0.00% Group Life Insurance $11,879.56 $11,879.56 0.00% Group Dental Insurance $33,391.20 $33,391.20 0.00% Pension $527,846.41 $527,846.41 0.00% Total Wages and Benefits $3,101,714.16 $3,267,137.27 $3,332,863.25 $4,947,806.70 $1,614,943.45 48.46% General Operating Budget Fire Inspector Car/Equipment $500.00 $4,098.00 $850.00 $850.00 $0.00 0.00% Office Supplies $2,000.00 $1,650.85 $2,100.00 $2,850.00 $750.00 35.71% Oxygen $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Vaccinations-HEP $1,000.00 $0.00 $1,000.00 $500.00 -$500.00 -50.00% REHAB Supplies $300.00 $0.00 $300.00 $300.00 $0.00 0.00% Station Operating Supply $2,000.00 $2,444.46 $2,200.00 $2,200.00 $0.00 0.00% Maintenance Tools $350.00 $50.19 $500.00 $500.00 $0.00 0.00% Uniforms $18,000.00 $17,986.99 $30,000.00 $30,000.00 $0.00 0.00% Uniforms -Electrical Inspector $450.00 $158.00 $650.00 $0.00 -$650.00 -100.00% Firefighting Clothing (PPE) $10,000.00 $12,797.55 $48,000.00 $13,500.00 -$34,500.00 -71.88% Vehicle Tools $850.00 -$24.99 $500.00 $0.00 -$500.00 -100.00% Gas Chiefs' vehicle & rei $2,800.00 $3,294.12 $2,800.00 $5,250.00 $2,450.00 87.50% Diesel Fuel $19,000.00 $35,043.80 $18,000.00 $46,875.00 $28,875.00 160.42% Oil $600.00 $1,188.94 $725.00 $725.00 $0.00 0.00% Films and Books $1,000.00 $0.00 $500.00 $800.00 $300.00 60.00% Fire Prevention Materials $1,000.00 $50.97 $1,000.00 $1,000.00 $0.00 0.00% Fire Extinguishers $775.00 $485.00 $850.00 $850.00 $0.00 0.00% Airpacks Maintenance $7,000.00 $6,232.31 $10,000.00 $10,000.00 $0.00 0.00% Telephone $10,500.00 $16,320.26 $13,500.00 $22,525.00 $9,025.00 66.85% Postage-Tool Shipping $200.00 $169.36 $225.00 $675.00 $450.00 200.00% Dues and Subscriptions $1,500.00 $18,102.00 $2,800.00 $3,500.00 $700.00 25.00% Dues and Subscriptions - Electric $250.00 $270.00 $200.00 $0.00 -$200.00 -100.00% HVAC Maintenance $4,500.00 $4,202.00 $0.00 $0.00 $0.00 0.00% Stations Maintenance/Repairs $25,000.00 $21,360.75 $25,500.00 $26,500.00 $1,000.00 3.92% Laundry and Bedding $4,000.00 $1,345.59 $4,000.00 $4,000.00 $0.00 0.00% Radio Repair $2,500.00 $2,132.46 $5,500.00 $7,500.00 $2,000.00 36.36% Vehicle Maintenance $38,000.00 $17,812.30 $35,000.00 $38,000.00 $3,000.00 8.57% Vehicle Repair $30,000.00 $81,813.42 $30,000.00 $33,000.00 $3,000.00 10.00% Equipment R & M $25,000.00 $10,860.37 $25,000.00 $25,000.00 $0.00 0.00% Tires $5,500.00 $0.00 $6,000.00 $6,000.00 $0.00 0.00% Computers Contract ACS $7,000.00 $7,155.84 $12,500.00 $28,825.00 $16,325.00 130.60% Comm Tower Rent $1,500.00 $5,109.00 $1,000.00 $5,100.00 $4,100.00 410.00% Conferences $0.00 $0.00 $1,500.00 $1,500.00 $0.00 0.00% Training Schools $6,500.00 $6,611.02 $10,000.00 $13,500.00 $3,500.00 35.00% Covid Vaccine Admin Expen $0.00 $25,112.97 $0.00 $0.00 $0.00 0.00% Training Schools-Electrical Inspector $500.00 $175.00 $400.00 $400.00 $0.00 0.00% Training Equipment $1,200.00 $400.00 $1,200.00 $4,200.00 $3,000.00 250.00% Recruiting & Testing $2,000.00 $9,174.59 $2,000.00 $2,000.00 $0.00 0.00% Fire Station #1 Heat/Elec $0.00 $0.00 $15,000.00 $15,000.00 $0.00 0.00% Fire Station #2 Heat/Elec $20,000.00 $12,301.38 $17,000.00 $15,000.00 -$2,000.00 -11.76% Fire Safety Equipment $28,000.00 $31,826.26 $28,000.00 $34,000.00 $6,000.00 21.43% Equipment Purchase $250.00 $0.00 $500.00 $500.00 $0.00 0.00% F/D Furniture/Equipment $5,000.00 $79.99 $7,000.00 $7,000.00 $0.00 0.00% Page 8 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) Hoses, Nozzles, Misc.$2,500.00 $53.60 $1,500.00 $6,000.00 $4,500.00 300.00% Copier $500.00 $0.00 $500.00 $500.00 $0.00 0.00% Medical Supplies-Disposal $49,000.00 $52,426.67 $49,000.00 $50,225.00 $1,225.00 2.50% Medical Supplies-Oxygen $3,000.00 $2,843.04 $4,400.00 $4,400.00 $0.00 0.00% Medical Equipment Replace $17,500.00 $4,992.77 $17,500.00 $17,500.00 $0.00 0.00% Billing Service $35,000.00 $4,775.91 $35,000.00 $41,040.00 $6,040.00 17.26% To Reserve Fund-Training $10,000.00 $10,000.00 $10,000.00 $25,000.00 $15,000.00 150.00% EMS Patient Care Equip $33,000.00 $27,850.00 $33,000.00 $33,000.00 $0.00 0.00% State Payment Medicaid/Medicare $24,750.00 $50,831.23 $25,500.00 $29,000.00 $3,500.00 13.73% Total General Operating Budget $461,775.00 $511,563.97 $540,200.00 $616,590.00 $76,390.00 14.14% Capital Budget Vehicle-Fire/Ambulance $400,000.00 $400,000.00 0.00% Thermal Imaging Cameras $30,000.00 $30,000.00 0.00% Total Capital Budget $0.00 $0.00 $0.00 $430,000.00 $430,000.00 0.00% Total Fire and Ambulance Services $3,563,489.16 $3,778,701.24 $3,873,063.25 $5,994,396.70 $2,121,333.45 54.77% AMBULANCE Office Supplies $750.00 $493.65 $750.00 $0.00 -$750.00 -100.00% Uniforms-Career $2,500.00 $2,142.42 $3,000.00 $0.00 -$3,000.00 -100.00% Diesel Fuel $6,800.00 $0.00 $6,800.00 $0.00 -$6,800.00 -100.00% Training Films and Books $0.00 $0.00 $300.00 $0.00 -$300.00 -100.00% Telephone $6,200.00 $6,919.84 $6,700.00 $0.00 -$6,700.00 -100.00% Billing Postage $750.00 $105.78 $450.00 $0.00 -$450.00 -100.00% Dues & Subscriptions $500.00 $215.80 $500.00 $0.00 -$500.00 -100.00% Radio Repair $0.00 $0.00 $2,000.00 $0.00 -$2,000.00 -100.00% Vehicle Maintenance $2,000.00 $1,138.00 $3,000.00 $0.00 -$3,000.00 -100.00% Vehicle Repair $3,000.00 $1,102.33 $3,000.00 $0.00 -$3,000.00 -100.00% Equipment R&M $3,400.00 $7,933.88 $5,000.00 $0.00 -$5,000.00 -100.00% Office Equip Maintenance $250.00 $57.31 $250.00 $0.00 -$250.00 -100.00% Med Equipment Maintenance $2,000.00 $0.00 $2,000.00 $0.00 -$2,000.00 -100.00% Training Programs $2,000.00 $3,226.63 $3,500.00 $0.00 -$3,500.00 -100.00% Training Equipment $500.00 $90.95 $1,000.00 $0.00 -$1,000.00 -100.00% Vehicles/Ambulance $0.00 $0.00 $310,000.00 $0.00 -$310,000.00 -100.00% Operating Transfer out $0.00 $12,062.00 $0.00 $0.00 $0.00 0.00% $30,650.00 $35,488.59 $348,250.00 $0.00 -$348,250.00 -100.00% POLICE Wages and Benefits Police Salaries-Permanent $3,418,581.44 $3,387,998.63 $3,590,393.02 $3,690,784.34 $100,391.32 2.80% Rec Path Patrol - Interns $0.00 $0.00 $16,000.00 $16,000.00 $0.00 0.00% Leave Time turn-in $4,500.00 $4,500.00 0.00% Police Salaries-Overtime $227,000.00 $332,441.87 $238,350.00 $314,000.00 $75,650.00 31.74% Police Holiday Pay $210,000.00 $218,927.41 $248,708.73 $261,731.84 $13,023.11 5.24% Mandatory Training - Overtime $78,000.00 $68,000.00 $80,000.00 $80,000.00 $0.00 0.00% BCI On Call $14,800.00 $0.00 $16,000.00 $20,800.00 $4,800.00 30.00% Shift Differential $56,000.00 $48,405.46 $56,000.00 $60,286.50 $4,286.50 7.65% Off-Duty Police Salary $10,000.00 $3,710.25 $10,000.00 $10,000.00 $0.00 0.00% Fitness $10,000.00 $4,225.00 $20,000.00 $25,925.00 $5,925.00 29.63% FICA/Medicare $307,100.18 $308,485.36 $325,542.06 $338,711.60 $13,169.55 4.05% Vision Plan $4,091.88 $4,091.88 0.00% Disability Insurance $12,684.63 $12,684.63 0.00% Group Health Plan $681,299.30 $681,299.30 0.00% Group Life Insurance $15,318.38 $15,318.38 0.00% Group Dental Insurance $43,035.36 $43,035.36 0.00% Pension $683,931.63 $683,931.63 0.00% Total Wages and Benefits $4,331,481.62 $4,372,193.98 $4,600,993.80 $6,263,100.46 $1,662,106.65 36.12% General Operating Budget Office Supplies $10,500.00 $11,470.23 $10,500.00 $10,500.00 $0.00 0.00% Firearms equip/supplies $13,000.00 $10,692.55 $13,000.00 $13,500.00 $500.00 3.85% Radio Equipment-Supplies $300.00 $313.00 $0.00 $0.00 $0.00 0.00% Investigative Supplies $8,500.00 $4,591.87 $8,500.00 $5,000.00 -$3,500.00 -41.18% Youth Services Supplies $2,500.00 $102.50 $2,500.00 $2,500.00 $0.00 0.00% Traffic Safety Grant $0.00 $0.00 $5,000.00 $5,000.00 $0.00 0.00% Traffic Unit Supplies $2,000.00 $4,517.50 $2,500.00 $3,000.00 $500.00 20.00% COMBINED AS ONE BUDGET WITH FIRE -Starting FY24 and forward Page 9 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) K-9 Supplies $4,000.00 $8,647.56 $4,000.00 $6,000.00 $2,000.00 50.00% Janitorial Supplies $3,200.00 $2,559.83 $0.00 $0.00 $0.00 0.00% Uniform Supplies $38,500.00 $34,679.15 $38,500.00 $38,500.00 $0.00 0.00% Tires $9,800.00 $3,304.08 $9,500.00 $9,500.00 $0.00 0.00% Gas and Oil $55,000.00 $73,372.76 $57,000.00 $73,500.00 $16,500.00 28.95% Community Outreach $25,680.00 $37,036.00 $40,351.00 $48,380.00 $8,029.00 19.90% Telephone/Internet/Software $30,000.00 $58,878.39 $37,500.00 $50,000.00 $12,500.00 33.33% Postage $2,200.00 $2,119.10 $2,300.00 $2,300.00 $0.00 0.00% Dues and Subscriptions $2,000.00 $1,250.00 $2,300.00 $2,300.00 $0.00 0.00% Towing Services $1,000.00 $2,535.00 $1,000.00 $3,000.00 $2,000.00 200.00% Crime Prevention Supplies $1,000.00 $235.40 $500.00 $0.00 -$500.00 -100.00% Building Maintenance $15,000.00 $5,912.57 $0.00 $0.00 $0.00 0.00% Uniform Cleaning $15,000.00 $10,846.14 $15,000.00 $13,000.00 -$2,000.00 -13.33% Office Equip. Contract $6,000.00 $4,093.88 $6,000.00 $6,000.00 $0.00 0.00% Generator Preventive Maint.$1,200.00 $507.37 $0.00 $750.00 $750.00 0.00% Radio Equip. Maintenance $2,000.00 $1,865.00 $2,500.00 $2,500.00 $0.00 0.00% Vehicle Repair $55,000.00 $60,330.16 $58,000.00 $62,000.00 $4,000.00 6.90% Computer Connections Syst $8,800.00 $0.00 $8,800.00 $0.00 -$8,800.00 -100.00% Equipment Maintenance $1,500.00 $215.00 $0.00 $0.00 $0.00 0.00% Records Management System $12,000.00 $1,825.00 $12,000.00 $0.00 -$12,000.00 -100.00% Consulting Services $27,000.00 $22,648.34 $28,000.00 $28,000.00 $0.00 0.00% Animal Control Contracts $26,000.00 $37,390.12 $27,820.00 $29,500.00 $1,680.00 6.04% Conferences $0.00 $743.95 $6,000.00 $6,000.00 $0.00 0.00% In-Service Training $25,000.00 $28,479.86 $30,000.00 $30,000.00 $0.00 0.00% Recruiting & Testing $3,000.00 $5,721.49 $3,500.00 $7,500.00 $4,000.00 114.29% Tuition Reimbursement $0.00 $0.00 $4,000.00 $4,000.00 $0.00 0.00% Electric-Police Dept. $60,000.00 $62,011.92 $85,714.29 $86,000.00 $285.71 0.33% Heat/Hot Water $5,500.00 $5,846.78 $7,857.14 $7,900.00 $42.86 0.55% Radio Installation Utility $500.00 $0.00 $0.00 $0.00 $0.00 0.00% Building Maintenance Fees-Common Area$65,000.00 $88,694.47 $0.00 $0.00 $0.00 0.00% Cleaning/Building Service $33,000.00 $33,135.42 $0.00 $0.00 $0.00 0.00% Vehicle Equipment $2,500.00 $1,378.43 $5,000.00 $5,000.00 $0.00 0.00% Office Equipment $4,000.00 $6,620.39 $4,000.00 $6,000.00 $2,000.00 50.00% Taser Replacement/Body worn Cameras $45,000.00 $45,000.00 $90,000.00 $90,000.00 $0.00 0.00% Computers/software $98,000.00 $214,728.27 $325,000.00 $82,000.00 -$243,000.00 -74.77% Total General Operating Budget $720,180.00 $894,299.48 $954,142.43 $739,130.00 -$215,012.43 -22.53% Capital Budget Building Stewardship $68,000.00 $25,312.49 $50,000.00 $50,000.00 $0.00 0.00% Vehicles and Equipment $96,000.00 $93,608.44 $110,000.00 $165,000.00 $55,000.00 50.00% Firearms Replacement $38,000.00 $38,000.00 0.00% Total Capital Budget $164,000.00 $118,920.93 $160,000.00 $253,000.00 $93,000.00 58.13% Total Police $5,215,661.62 $5,385,414.39 $5,715,136.23 $7,255,230.46 $1,540,094.23 26.95% PUBLIC SERVICES STREETS AND HIGHWAYS Wages and Benefits Highway Salaries-Perm. $797,961.31 $832,201.30 $908,726.50 $1,117,249.17 $208,522.67 22.95% Leave Time turn-in $5,500.00 $5,500.00 0.00% Highway Salaries-Overtime $35,000.00 $68,212.86 $40,000.00 $65,000.00 $25,000.00 62.50% On-Call Pay $36,400.00 $36,400.00 $36,400.00 $36,400.00 $0.00 0.00% FICA/Medicare $66,506.14 $69,726.14 $75,362.18 $85,469.56 $10,107.38 13.41% Fringe Benefits $18,792.40 $18,792.40 0.00% Vision Plan $1,760.16 $1,760.16 0.00% Disability Insurance $11,518.88 $11,518.88 0.00% Group Health Plan $308,208.59 $308,208.59 0.00% Group Life Insurance $5,158.23 $5,158.23 0.00% Group Dental Insurance $16,901.62 $16,901.62 0.00% Pension $235,555.05 $235,555.05 0.00% ICMA Match $58,537.38 $58,537.38 0.00% Total Wages and Benefits $935,867.45 $1,006,540.30 $1,060,488.68 $1,966,051.04 $905,562.36 85.39% General Operating Budget Drug/Alcohol/Phys.Testing $0.00 $0.00 0.00% Office Supplies $1,750.00 $1,849.88 $1,750.00 $1,800.00 $50.00 2.86% Traffic Light Supplies $28,000.00 $25,795.54 $28,000.00 $30,000.00 $2,000.00 7.14% Page 10 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) Sign Supplies $7,500.00 $9,416.37 $12,000.00 $12,000.00 $0.00 0.00% City Highways Material $35,000.00 $34,372.07 $35,000.00 $38,000.00 $3,000.00 8.57% Road Striping $20,000.00 $9,487.46 $40,000.00 $40,000.00 $0.00 0.00% Winter Salt $135,000.00 $114,681.76 $120,000.00 $130,000.00 $10,000.00 8.33% Winter Sand $300.00 $97.22 $300.00 $300.00 $0.00 0.00% Winter Liquid Deicer Addi $16,500.00 $12,168.96 $15,000.00 $16,000.00 $1,000.00 6.67% Building Supplies $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Uniforms $20,000.00 $16,232.50 $20,000.00 $20,000.00 $0.00 0.00% Vehicle Repair Parts $80,000.00 $102,153.35 $80,000.00 $86,000.00 $6,000.00 7.50% School Bus parts $37,500.00 $47,494.55 $37,500.00 $37,500.00 $0.00 0.00% Gasoline HW $35,000.00 $32,716.23 $35,000.00 $38,000.00 $3,000.00 8.57% Oil $4,000.00 $3,107.50 $4,000.00 $4,000.00 $0.00 0.00% Diesel Fuel HW $27,500.00 $52,829.19 $27,500.00 $35,000.00 $7,500.00 27.27% Diesel/Gasoline Non City $120,000.00 $158,315.52 $110,000.00 $120,000.00 $10,000.00 9.09% Fuel Station Maintenance $1,500.00 $1,478.28 $3,000.00 $3,000.00 $0.00 0.00% Software/Asset management $6,000.00 $722.50 $6,000.00 $28,635.00 $22,635.00 377.25% Telephone/Internet $6,000.00 $6,586.56 $6,200.00 $6,800.00 $600.00 9.68% Building Maintenance $31,400.00 $32,631.80 $0.00 $5,000.00 $5,000.00 0.00% HVAC Maintenance $5,000.00 $2,629.68 $0.00 $0.00 $0.00 0.00% Generator Preventive Maint.$4,500.00 $3,105.86 $0.00 $0.00 $0.00 0.00% Consulting Services $20,000.00 $92,902.37 $20,000.00 $35,000.00 $15,000.00 75.00% Tree Care $0.00 $0.00 $0.00 $10,000.00 $10,000.00 0.00% Equipment Rental/Purchase $1,000.00 $0.00 $1,000.00 $1,000.00 $0.00 0.00% Office Equipment Maintnce $1,500.00 $1,849.90 $2,000.00 $2,000.00 $0.00 0.00% Travel & Training $5,000.00 $4,187.80 $5,000.00 $5,000.00 $0.00 0.00% Utilities - Garage $15,000.00 $14,483.55 $16,500.00 $17,000.00 $500.00 3.03% Utilities-Garage Heat $13,000.00 $16,649.54 $13,200.00 $15,000.00 $1,800.00 13.64% Traffic Lights -Electricity $21,000.00 $19,307.03 $21,000.00 $21,500.00 $500.00 2.38% Curbs and Sidewalks $1,500.00 $476.50 $1,500.00 $2,000.00 $500.00 33.33% Bike/Ped Maintnce/Paving $0.00 $0.00 $30,000.00 $40,000.00 $10,000.00 33.33% Facility Stewardship $10,000.00 $6,570.45 $0.00 $0.00 $0.00 0.00% Operating Transfers Out $0.00 $3,350.00 $0.00 $0.00 0.00% Total General Operating Budget $710,450.00 $827,649.92 $691,450.00 $800,535.00 $109,085.00 15.78% Capital Budget public works facility expansion $330,000.00 $330,000.00 0.00% Ash Trees $50,000.00 $56,511.68 $50,000.00 $50,000.00 $0.00 0.00% Vehicle Replacement $225,000.00 $231,085.08 $225,000.00 $305,000.00 $80,000.00 35.56% Highway Paving $700,000.00 $735,228.13 $720,000.00 $800,000.00 $80,000.00 11.11% Dorset Street Signal $600,000.00 $9,563.81 $600,000.00 $324,000.00 -$276,000.00 -46.00% Total Capital Budget $1,575,000.00 $1,032,388.70 $1,595,000.00 $1,809,000.00 $214,000.00 13.42% Total Street and Highways $3,221,317.45 $2,866,578.92 $3,346,938.68 $4,575,586.04 $1,228,647.36 36.71% PARK MAINTENANCE Wages and Benefits Park Maint.Salaries-Perm.$209,696.26 $226,847.57 $262,775.23 $369,506.09 $106,730.85 40.62% Park Maint.Sal-Overtime $10,000.00 $9,104.64 $10,000.00 $10,000.00 $0.00 0.00% FICA/Medicare $16,806.76 $18,631.86 $20,867.31 $33,145.35 $12,278.04 58.84% Fringe Benefits $7,260.00 $7,260.00 0.00% Vision Plan $521.64 $521.64 0.00% Disability Insurance $4,164.54 $4,164.54 0.00% Group Health Plan $100,834.73 $100,834.73 0.00% Group Life Insurance $1,875.72 $1,875.72 0.00% Group Dental Insurance $4,538.28 $4,538.28 0.00% Pension $68,258.59 $68,258.59 0.00% ICMA Match $18,329.99 $18,329.99 0.00% Total Wages and Benefits $236,503.02 $254,584.07 $293,642.54 $618,434.92 $324,792.38 110.61% General Operating Budget Park Supplies $30,000.00 $27,057.13 $30,000.00 $32,000.00 $2,000.00 6.67% Maintenance & Landscaping Contract $45,000.00 $55,986.87 $75,000.00 $75,000.00 $0.00 0.00% Cemetery Supplies $1,000.00 $1,000.00 $1,000.00 $1,000.00 $0.00 0.00% Wheeler House $0.00 $3,046.61 $0.00 $0.00 $0.00 0.00% Total General Operating Budget $76,000.00 $87,090.61 $106,000.00 $108,000.00 $2,000.00 1.89% Total Park Maintenance $312,503.02 $341,674.68 $399,642.54 $726,434.92 $326,792.38 81.77% Page 11 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) TOTAL WAGES AND BENEFITS $16,189,528.91 $16,263,960.10 $17,683,983.93 $19,257,071.09 $1,573,087.15 8.90% TOTAL GENERAL OPERATING $4,747,366.25 $4,880,533.34 $5,714,703.22 $5,777,220.98 $62,517.76 1.09% TOTAL CAPTIAL PROJECTS $1,814,000.00 $1,233,024.23 $1,897,000.00 $2,790,000.00 $893,000.00 47.07% DEBT SERVICE REPAYMENT Principal Payment Public Works Facility $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Pension Liability Note Principal $395,407.02 $586,223.59 $586,224.00 $586,224.00 $0.00 0.00% Kennedy Dr Reconstruction $22,493.70 $22,508.00 $22,493.70 $22,493.70 $0.00 0.00% Lime Kiln Bridge $22,494.00 $22,508.00 $22,494.00 $22,494.00 $0.00 0.00% F/D Building Improvements $29,991.60 $30,005.00 $29,991.60 $29,991.60 $0.00 0.00% Police Headquarters $360,000.00 $360,000.00 $360,000.00 $360,000.00 $0.00 0.00% Communications Equipment-Community$190,000.00 $190,000.00 $190,000.00 $190,000.00 $0.00 0.00% Total Principal payment $1,020,386.32 $1,211,244.59 $1,211,203.30 $1,211,203.30 $0.00 0.00% Interest Payment Public Works Facility-Int. $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Kennedy Dr Reconstruction $3,926.00 $2,458.56 $2,924.00 $1,705.00 -$1,219.00 -41.69% Lime Kiln Bridge $3,926.00 $2,458.56 $2,824.00 $1,705.00 -$1,119.00 -39.62% F/D Building Improvements $5,264.00 $3,277.47 $3,787.00 $2,287.00 -$1,500.00 -39.61% Police Headquarters $160,866.00 $160,866.00 $145,602.00 $129,780.00 -$15,822.00 -10.87% Pension Liability Note Interest $272,982.59 $102,589.13 $93,613.00 $83,668.00 -$9,945.00 -10.62% Sewer Fund Note-Solar $12,005.00 $12,005.00 $12,005.00 $0.00 -$12,005.00 -100.00% Communications Equipment-Community $22,002.00 $22,330.13 $18,335.00 $14,668.00 -$3,667.00 -20.00% Total Interest payment $480,971.59 $305,984.85 $279,090.00 $233,813.00 -$45,277.00 -16.22% Total debt payment $1,501,357.91 $1,517,229.44 $1,490,293.30 $1,445,016.30 -$45,277.00 -3.04% SOCIAL SERVICES &OTHER OPERATING ENTITIES G.B.I.C. $5,000.00 $5,000.00 $5,000.00 $5,000.00 $0.00 0.00% V.L.C.T. $23,440.00 $23,440.00 $25,198.00 $27,088.00 $1,890.00 7.50% Chamber of Commerce $3,600.00 $0.00 $3,600.00 $3,600.00 $0.00 0.00% Social Services $15,000.00 $15,500.00 $15,000.00 $15,000.00 $0.00 0.00% CCTV-Clickable Meetings $21,000.00 $20,000.00 $22,050.00 $22,050.00 $0.00 0.00% Front Porch Forum $4,900.00 $5,028.00 $5,200.00 $5,530.00 $330.00 6.35% County Court $145,000.00 $145,956.56 $147,677.11 $155,060.97 $7,383.86 5.00% Winooski Valley Park $63,320.00 $63,320.00 $67,916.00 $72,913.00 $4,997.00 7.36% C.C.T.A. $519,232.49 $528,471.00 $538,462.00 $591,554.00 $53,092.00 9.86% Regional Planning $35,991.00 $35,991.00 $37,195.00 $40,014.00 $2,819.00 7.58% $836,483.49 $842,706.56 $867,298.11 $937,809.97 $70,511.86 8.13% TO CAPITAL/RESERVE FUNDS Ambulance Department $155,000.00 $155,000.00 $0.00 $0.00 $0.00 0.00% Payment to Sickbank Fund 298 $0.00 $0.00 $0.00 $125,000.00 $125,000.00 0.00% Fuel Pump Reserve Fund $8,200.00 $8,200.00 $8,200.00 $8,200.00 $0.00 0.00% Open Space Reserve Fund $310,870.00 $310,870.00 Under other approved ballot items $0.00 0.00% Penny for Paths $310,870.00 $310,870.00 Under other approved ballot items $0.00 0.00% To undesignated reserve fund $12,000.00 $2,118.63 $0.00 $0.00 $0.00 0.00% To Recreation Center Reserve $0.00 $0.00 0.00% To Capital Improvements $860,000.00 $860,000.00 $800,000.00 $800,000.00 $0.00 0.00% $1,656,940.00 $1,647,058.63 $808,200.00 $933,200.00 $125,000.00 15.47% Total General Fund $26,745,676.56 $26,384,512.30 $28,461,478.56 $31,140,318.33 $2,678,839.77 9.41% Page 12 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 FY 23-24 $ Change FY 23-24 % Change DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-) %(+/-) VT Payment in Lieu of Tax $230,000.00 $208,967.95 $240,000.00 $216,000.00 ($24,000.00)-10.00% Taxes, Reappraisal/ACT 60 $65,000.00 $0.00 $0.00 $0.00 $0.00 0.00% Penalty, Current & Prior $160,000.00 $191,260.08 $170,000.00 $195,000.00 $25,000.00 14.71% Interest, Current & Prior $80,000.00 $73,289.64 $90,000.00 $90,000.00 $0.00 0.00% Attorney Fees $3,000.00 $123.90 $1,000.00 $500.00 ($500.00)-50.00% Fee to Collect State Educ $99,000.00 $111,949.00 $100,000.00 $115,000.00 $15,000.00 15.00% Current Use $15,300.00 $21,171.00 $18,000.00 $23,000.00 $5,000.00 27.78% $652,300.00 $606,761.57 $619,000.00 $639,500.00 $20,500.00 3.31% Local Option Tax-Sales $2,950,000.00 $3,359,792.35 $3,083,388.90 $3,700,000.00 $616,611.10 20.00% Local Option Tax-Rooms/Me $850,000.00 $1,071,902.15 $950,000.00 $1,150,000.00 $200,000.00 21.05% $3,800,000.00 $4,431,694.50 $4,033,388.90 $4,850,000.00 $816,611.10 20.25% Other Health Services Revenue $0.00 $314,141.89 $247,346.40 $267,346.40 $20,000.00 8.09% $0.00 $314,141.89 $247,346.40 $267,346.40 $20,000.00 8.09% ADMINISTRATIVE SERVICES ARPA - Salary $0.00 $344,391.17 $280,519.44 $194,726.23 ($85,793.20)-30.58% ARPA -Projects $0.00 $0.00 $672,000.00 $541,500.00 ($130,500.00)-19.42% Admin. Services-Stormwater $134,392.00 $134,392.00 $102,103.95 $95,000.00 ($7,103.95)-6.96% Administrative Services-Sewer $150,336.00 $150,336.00 $149,344.05 $145,281.42 ($4,062.63)-2.72% Marathon cost share-WW $22,031.39 $22,031.39 0.00% Marathon cost share-SW $25,178.73 $25,178.73 0.00% From Sewer-Audit/ Actuary/Asset $6,214.00 $6,214.00 4,246.55 $3,773.86 ($472.69)-11.13% From SW-Audit & Actuary/Asset $3,555.00 $3,555.00 6,180.66 $4,287.21 ($1,893.45)-30.64% Wellness Payment $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Pension Liability Note - Sewer $39,075.00 $39,075.00 $39,075.00 $39,075.00 $0.00 0.00% Pension Liability Note - Stormwater $26,910.00 $26,910.00 $26,910.00 $26,910.00 $0.00 0.00% From Water-Audit $0.00 $2,100.00 $2,554.71 $2,272.71 ($282.00)-11.04% From SW- Legal costs $22,500.00 $0.00 $5,000.00 $0.00 ($5,000.00)-100.00% From SB Water-Insurance Liability $0.00 $5,727.00 $0.00 $5,175.00 $5,175.00 0.00% Spending Rebates $0.00 $1,451.99 $0.00 $2,000.00 $2,000.00 0.00% Payment Payroll Services-Sewer $1,825.00 $1,825.00 $1,796.41 $1,692.27 ($104.14)-5.80% Payment Payroll ServiceStormw $1,825.00 $1,825.00 $1,347.31 $1,480.74 $133.43 9.90% Administrative Svc-CJC $3,000.00 $6,000.00 $3,000.00 $3,000.00 $0.00 0.00% Interest on Investments $63,000.00 $63,331.30 $70,000.00 $250,000.00 $180,000.00 257.14% Solar Credits $15,000.00 $10,590.23 $15,000.00 $14,000.00 ($1,000.00)-6.67% CIGNA/VLCT Insur Rebate $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Worker's Comp. Reimbursement $0.00 $97,229.00 $0.00 $0.00 $0.00 0.00% Insurance Reimbursement $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Third Floor Rooms Rental $0.00 $375.00 $0.00 $500.00 $500.00 0.00% Miscellaneous $2,500.00 $29,150.66 $2,000.00 $2,000.00 $0.00 0.00% 2nd Floor Lease Revenue $155,000.00 $180,092.57 $218,997.24 $205,308.00 ($13,689.24)-6.25% Operating Transfers In fund 216 $0.00 $0.00 $40,000.00 $0.00 ($40,000.00)-100.00% Open Space funds (5% park maintenance is use to fund park staff)$20,634.00 $20,634.00 0.00% Transfers In fund 242-Energy fund $66,500.00 $66,500.00 0.00% Energy fund, Grants, impact fees, $0.00 $0.00 0.00% CIP Reserve-Assigned fund balance $170,000.00 $170,000.00 0.00% $0.00 0.00% $625,132.00 $1,104,570.92 $1,640,075.32 $1,842,326.56 $202,251.24 12.33% CITY CLERK Recording Fees $220,000.00 $230,125.00 $275,000.00 $230,000.00 ($45,000.00)-16.36% Photocopy Fees $25,000.00 $25,723.15 $25,000.00 $22,000.00 ($3,000.00)-12.00% Photocopies-Vital Records $30,000.00 $57,752.00 $46,500.00 $60,000.00 $13,500.00 29.03% Pet Licenses $23,000.00 $27,275.35 $24,000.00 $26,000.00 $2,000.00 8.33% Pet Control Fees $1,500.00 $4,072.00 $1,000.00 $1,000.00 $0.00 0.00% Beverage/Cabaret License $9,000.00 $7,740.00 $8,000.00 $8,000.00 $0.00 0.00% Page 1 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 FY 23-24 $ Change FY 23-24 % Change DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-) %(+/-) Entertainment Permit $0.00 $130.00 $0.00 $0.00 $0.00 0.00% Marriage Licenses $1,400.00 $1,270.00 $1,500.00 $1,300.00 ($200.00)-13.33% Green Mountain Passports $300.00 $412.00 $300.00 $400.00 $100.00 33.33% Motor Vehicle Renewals $300.00 $324.20 $300.00 $300.00 $0.00 0.00% Election Expenses Reimbur $0.00 $0.00 $0.00 $0.00 $0.00 0.00% General- Election Reimbur $1,500.00 $1,500.00 $1,500.00 $2,000.00 $500.00 33.33% Miscellaneous Income $0.00 $0.00 $0.00 $0.00 $0.00 0.00% $312,000.00 $356,323.70 $383,100.00 $351,000.00 ($32,100.00)-8.38% PLANNING/DEVELOPMENT REVIEW Zoning & Sign Permits $240,000.00 $514,323.51 $270,000.00 $400,000.00 $130,000.00 48.15% Bianchi Ruling $15,000.00 $23,810.00 $15,000.00 $18,000.00 $3,000.00 20.00% Development Review $95,000.00 $126,093.37 $95,000.00 $140,000.00 $45,000.00 47.37% Sewer Inspection Fees $2,500.00 $2,450.00 $2,500.00 $2,500.00 $0.00 0.00% Peddlers' Permits $600.00 $170.00 $600.00 $600.00 $0.00 0.00% Solar Credit-Transfer In Fund $0.00 $0.00 $0.00 $0.00 $0.00 0.00% $353,100.00 $666,846.88 $383,100.00 $561,100.00 $178,000.00 46.46% SENIOR PROGRAM Meal costs $14,500.00 $5,798.00 $14,500.00 $15,000.00 $500.00 3.45% Rentals $5,000.00 $1,600.00 $5,000.00 $6,000.00 $1,000.00 20.00% Senior Programs $5,000.00 $2,210.00 $5,000.00 $5,000.00 $0.00 0.00% Grants $10,000.00 $0.00 $0.00 $500.00 $500.00 0.00% Donations $2,000.00 $727.00 $2,000.00 $150.00 ($1,850.00)-92.50% $36,500.00 $10,335.00 $26,500.00 $26,650.00 $150.00 0.57% SPECIAL ACTIVITIES VRPA Discounts $9,600.00 $0.00 $0.00 $0.00 $0.00 0.00% Youth Programs $70,000.00 $54,147.62 $50,000.00 $86,000.00 $36,000.00 72.00% Adult Evening Classes $28,000.00 $138.75 $13,000.00 $2,000.00 ($11,000.00)-84.62% Special Event Revenue $12,000.00 $23,065.00 $15,000.00 $15,000.00 $0.00 0.00% Afternoon Skiing/Middle Sc $16,000.00 $0.00 $16,000.00 $0.00 ($16,000.00)-100.00% Drivers Education $42,000.00 $26,055.00 $31,000.00 $0.00 ($31,000.00)-100.00% SoBu Night Out $30,000.00 $18,965.00 $20,000.00 $22,000.00 $2,000.00 10.00% $207,600.00 $122,371.37 $145,000.00 $125,000.00 ($20,000.00)-13.79% COMMUNITY LIBRARY Grants $600.00 $1,373.54 $1,000.00 $600.00 ($400.00)-40.00% Library Lost Books $0.00 $1,414.15 $2,000.00 $1,000.00 ($1,000.00)-50.00% General Fees $600.00 $266.00 $600.00 $200.00 ($400.00)-66.67% Non-Resident Fees $1,800.00 $2,900.75 $2,000.00 $2,250.00 $250.00 12.50% Conference Room Rental $1,000.00 $720.00 $2,000.00 $2,000.00 $0.00 0.00% Library Photocopies & Printing $2,700.00 $1,198.61 $2,700.00 $2,000.00 ($700.00)-25.93% Library Miscellaneous $400.00 $492.51 $0.00 $0.00 $0.00 0.00% Transfer In - Fund Balance $37,579.00 $0.00 $0.00 $0.00 $0.00 0.00% $44,679.00 $8,365.56 $10,300.00 $8,050.00 ($2,250.00)-21.84% FIRE DEPARTMENT Covid Vax Grant Reimbursement $0.00 $48,761.78 $0.00 $0.00 $0.00 0.00% Electrical Inspection Revenue $70,000.00 $58,648.42 $65,000.00 $65,000.00 $0.00 0.00% Outside Employment $700.00 $0.00 $8,000.00 $8,000.00 $0.00 0.00% Misc. Revenue-Fire Dept.$0.00 $3,828.19 $1,000.00 $1,000.00 $0.00 0.00% Fire Inspection Revenue $440,000.00 $891,017.97 $480,000.00 $725,000.00 $245,000.00 51.04% $510,700.00 $1,002,256.36 $554,000.00 $799,000.00 $245,000.00 44.22% AMBULANCE Tax Revenues $155,000.00 $155,000.00 $0.00 $0.00 $0.00 0.00% Ambulance Service Billing $750,000.00 $838,775.89 $720,000.00 $912,000.00 $192,000.00 26.67% Ambulance Service Billing-New Ambulance additional revenues $77,000.00 $77,000.00 0.00% Miscellaneous Income $5,000.00 $343.33 $1,000.00 $1,000.00 $0.00 0.00% $910,000.00 $994,119.22 $721,000.00 $990,000.00 $269,000.00 37.31% Page 2 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 FY 23-24 $ Change FY 23-24 % Change DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-)%(+/-) POLICE Vermont District Court $10,000.00 $7,333.62 $8,500.00 $8,000.00 ($500.00)-5.88% Miscellaneous Grants $5,000.00 $0.00 $5,000.00 $0.00 ($5,000.00)-100.00% Sale of Cruisers/Bequest $3,000.00 $8,191.00 $3,000.00 $5,000.00 $2,000.00 66.67% Police Reports $2,000.00 $609.85 $1,000.00 $500.00 ($500.00)-50.00% I.C.A.C.$3,500.00 $1,289.15 $5,000.00 $0.00 ($5,000.00)-100.00% SHARP $8,000.00 $3,113.15 $5,000.00 $5,000.00 $0.00 0.00% Drug Task Force Grant $110,000.00 $155,468.43 $110,000.00 $110,000.00 $0.00 0.00% Parking Tickets $0.00 $185.00 $5,000.00 $200.00 ($4,800.00)-96.00% Alarm Registrations $20,000.00 $9,938.56 $17,000.00 $12,000.00 ($5,000.00)-29.41% Alarm Fines $3,500.00 $885.00 $2,500.00 $750.00 ($1,750.00)-70.00% Off Duty Police $12,000.00 $3,537.00 $10,000.00 $10,000.00 $0.00 0.00% Bullet Proof Vest Grant $3,000.00 $0.00 $5,000.00 $4,500.00 ($500.00)-10.00% Police Impact Fee - defray bond $110,000.00 $140,463.36 $110,000.00 $110,000.00 $0.00 0.00% Solar Credits $1,375.00 $1,073.72 $2,000.00 $1,200.00 ($800.00)-40.00% Miscellaneous - Police $6,000.00 $2,109.04 $10,000.00 $10,000.00 $0.00 0.00% Transfer In-Fund 207 $0.00 $0.00 $0.00 $0.00 $0.00 0.00% $297,375.00 $334,196.88 $299,000.00 $277,150.00 ($21,850.00)-7.31% STREETS AND HIGHWAYS Road Opening Permits $100,000.00 $70,289.00 $75,000.00 $80,000.00 $5,000.00 6.67% Overweight truck permits $2,000.00 $1,780.40 $1,800.00 $1,800.00 $0.00 0.00% Highway State Aid $225,000.00 $398,365.98 $225,000.00 $225,000.00 $0.00 0.00% Grants $600,000.00 $0.00 $480,000.00 $0.00 ($480,000.00) Fuel Pump Surcharge $5,000.00 $4,974.80 $5,000.00 $5,000.00 $0.00 HazMat Facility Lease $23,000.00 $20,748.36 $28,000.00 $26,000.00 ($2,000.00) School Bus Parts Reimburse $35,000.00 $51,039.06 $35,000.00 $35,000.00 $0.00 Diesel/Gas reim Non-City $120,000.00 $160,744.39 $110,000.00 $120,000.00 $10,000.00 School vehicle repair pay $20,000.00 $20,000.00 $20,000.00 $20,000.00 $0.00 Sewer pmt to Highway-Salary & Bene $280,454.00 $280,454.00 $250,000.00 $278,354.89 $28,354.89 Sewer Reimbursement-Benefits $22,944.00 $21,454.73 $33,420.19 $33,289.64 ($130.55) Stormwater pmt to Highway-Rent $78,215.00 $78,215.00 $78,215.00 $78,215.00 $0.00 Administrative Services-Water $47,500.00 $47,500.00 $42,000.00 $49,003.28 $7,003.28 SW Reimbursement-Benefits $18,773.00 $18,773.00 $33,420.19 $33,289.64 ($130.55) Asset Management Reim from SW & WW $0.00 $0.00 $0.00 $9,944.00 $9,944.00 Hgwy Miscellaneous Revenue $20,000.00 $44,792.17 $20,000.00 $20,000.00 $0.00 -100.00% 0.00% -7.14% 0.00% 9.09% 0.00% 11.34% -0.39% 0.00% 16.67% -0.39% 0.00% 0.00% $1,597,886.00 $1,219,130.89 $1,436,855.38 $1,014,896.45 ($420,158.93) Total General Fund Revenue $9,347,272.00 $11,171,114.74 $10,498,666.00 $11,752,019.41 $1,253,353.41 -29.37% 11.94% Page 3 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 DESCRIPTION BUDGET ACTUAL BUDGET BUDGET $(+/-) %(+/-) EXPENDITURES SEWER Wages and Benefits Salaries-Permanent $597,791.71 $645,709.85 $672,300.45 $700,693.02 $28,392.57 4.22% PMT to Highway-wages & Benefits $280,454.00 $280,454.00 $250,000.00 $278,354.89 $28,354.89 11.34% Leave Time Turn-In $7,976.39 $0.00 $7,000.00 $7,000.00 $0.00 0.00% Salaries-Overtime $50,000.00 $77,237.69 $50,000.00 $75,000.00 $25,000.00 50.00% Payment to Sick bank Fund $6,250.00 $6,250.00 $6,677.02 $6,677.02 $0.00 0.00% Payroll Service $1,825.00 $1,825.00 $1,796.41 $1,692.27 -$104.14 -5.80% PAFO Certification $11,400.00 $11,166.39 $29,065.71 $9,000.00 -$20,065.71 -69.04% Sick bank payouts $10,000.00 $0.00 $10,000.00 $10,000.00 $0.00 0.00% FICA/Medicare $51,803.36 $56,209.70 $58,780.01 $60,794.02 $2,014.00 3.43% Payment to Highway-Benefits $21,454.73 $21,454.73 $33,420.18 $33,289.64 -$130.54 -0.39% Nontaxable Fringe Ben. $4,800.00 $300.00 $4,135.00 $9,300.69 $5,165.69 124.93% Vision Plan $973.59 $682.10 $2,829.21 $779.69 -$2,049.52 -72.44% Disability Insurance (ST & AD&D) $2,009.01 $5,757.08 $2,175.17 $2,139.12 -$36.05 -1.66% Long Term Disability $3,831.84 $0.00 $4,148.39 $4,060.42 -$87.98 -2.12% Group Health Plan $183,863.39 $87,477.60 $196,366.10 $131,970.16 -$64,395.94 -32.79% Group Life Insurance $1,643.25 $1,518.02 $2,829.21 $2,782.32 -$46.89 -1.66% Group Dental Insurance $9,126.27 $5,909.64 $7,893.29 $7,409.53 -$483.76 -6.13% Pension $71,337.26 $82,164.28 $85,733.42 $94,710.61 $8,977.19 10.47% ICMA Match $22,851.77 $22,349.35 $29,065.71 $30,067.64 $1,001.93 3.45% Pension Note Payment $39,075.00 $39,075.00 $39,075.00 $39,075.00 $0.00 0.00% Total Wages and Benefits $1,378,466.58 $1,345,540.43 $1,493,290.28 $1,504,796.03 $11,505.75 0.77% General Operating Budget Office Supplies $2,000.00 $2,444.65 $2,000.00 $2,100.00 $100.00 5.00% Plant Equipment/supplies $100,000.00 $120,341.77 $120,000.00 $125,000.00 $5,000.00 4.17% Polymer $75,000.00 $109,691.15 $100,000.00 $120,000.00 $20,000.00 20.00% Sewer Line Maint/Supplies $30,000.00 $140,180.68 $25,000.00 $27,000.00 $2,000.00 8.00% Pumping Station Supplies $25,000.00 $27,457.32 $25,000.00 $18,000.00 -$7,000.00 -28.00% Laboratory Supplies $11,500.00 $14,442.52 $13,000.00 $14,500.00 $1,500.00 11.54% Caustic Soda and Lime $110,000.00 $112,799.57 $120,000.00 $175,000.00 $55,000.00 45.83% Alum $125,000.00 $227,066.68 $180,000.00 $280,000.00 $100,000.00 55.56% Water-Airport-B/B-Pump $1,400.00 $1,774.97 $1,600.00 $1,800.00 $200.00 12.50% Generator Preventive Maint. $8,000.00 $13,298.22 $10,000.00 $10,000.00 $0.00 0.00% Clothing Supplies $3,750.00 $3,272.53 $4,250.00 $4,250.00 $0.00 0.00% Truck Parts $7,500.00 $14,359.56 $12,500.00 $12,500.00 $0.00 0.00% Gas - Diesel Fuel - Oil $11,000.00 $18,985.44 $12,000.00 $13,000.00 $1,000.00 8.33% Natural Gas - Airport Parkway $55,000.00 $70,130.06 $60,000.00 $65,000.00 $5,000.00 8.33% Natural Gas - Bartlett Bay $6,000.00 $8,222.74 $6,000.00 $6,500.00 $500.00 8.33% Telephone and Alarms $6,500.00 $7,053.85 $6,500.00 $6,500.00 $0.00 0.00% software dues $4,000.00 $4,232.37 $20,000.00 $39,607.80 $19,607.80 98.04% Discharge Permits $15,000.00 $20,795.01 $15,000.00 $15,000.00 $0.00 0.00% Marathon cost share-WW $0.00 $0.00 $0.00 $22,031.39 $22,031.39 0.00% Workers Comp Insurance $37,101.47 $47,471.67 $22,127.75 $18,729.67 -$3,398.08 -15.36% Property Insurance $60,640.99 $66,757.60 $70,040.34 $61,598.06 -$8,442.29 -12.05% Unemployment Insurance $820.00 $0.00 $902.00 $933.57 $31.57 3.50% Safety Items $5,000.00 $12,746.82 $5,000.00 $5,500.00 $500.00 10.00% Billing Payment to CWD $66,135.00 $66,135.00 $69,342.00 $73,000.00 $3,658.00 5.28% Soil/Sludge Management $120,000.00 $164,344.26 $135,000.00 $140,000.00 $5,000.00 3.70% Landfill Fees $2,000.00 $0.00 $1,000.00 $1,000.00 $0.00 0.00% HVAC Maintenance $17,500.00 $37,907.13 $35,000.00 $38,000.00 $3,000.00 8.57% Auditing/Actuary/Pension $6,214.00 $6,214.00 $4,246.55 $3,773.86 -$472.69 -11.13% Engineering/Consulting $17,500.00 $51,156.89 $15,000.00 $18,000.00 $3,000.00 20.00% Landfill Engineering $15,000.00 $14,908.82 $17,500.00 $17,500.00 $0.00 0.00% Administrative Services $150,336.00 $150,336.00 $149,344.05 $145,281.42 -$4,062.63 -2.72% Burlington Sewer Lines $0.00 $1,767.38 $5,000.00 $2,000.00 -$3,000.00 -60.00% Travel & Training $6,000.00 $4,898.13 $6,000.00 $6,500.00 $500.00 8.33% Utilities-Pumping Station $85,000.00 $102,332.05 $105,000.00 $105,000.00 $0.00 0.00% Utilities--L/Fill Station $1,500.00 $824.03 $0.00 $900.00 $900.00 0.00% Electric-Airport Parkway $190,000.00 $225,300.16 $200,000.00 $210,000.00 $10,000.00 5.00% Electric-Bartlett Bay $120,000.00 $144,616.12 $145,000.00 $150,000.00 $5,000.00 3.45% Building Improvements $5,000.00 $8,317.86 $2,500.00 $7,500.00 $5,000.00 200.00% Pumps Replacements $50,000.00 $52,250.44 $50,000.00 $55,000.00 $5,000.00 10.00% Pump Repairs $40,000.00 $33,254.78 $40,000.00 $43,000.00 $3,000.00 7.50% Page 1 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 Payment to Stormwater for GIS $1,500.00 $0.00 $0.00 $12,635.00 $12,635.00 0.00% Sewer blockage Removal $50,000.00 $33,254.78 $0.00 $0.00 $0.00 0.00% Total General Operating Budget $1,643,897.46 $2,141,343.01 $1,810,852.69 $2,073,640.76 $262,788.07 14.51% Capital Budget Replacement-Vehicles $40,000.00 $39,345.82 $220,000.00 $290,000.00 $70,000.00 31.82% Airport Parkway Bond Payment $965,647.23 $969,731.16 $965,647.23 $970,000.00 $4,352.77 0.45% Bartlett Bay Upgrades $400,000.00 $200,371.36 $400,000.00 $600,000.00 $200,000.00 50.00% Capital Projects - CIP $260,000.00 $397,214.36 $0.00 $350,000.00 $350,000.00 0.00% Hadley Sewer Bond Payment $173,235.58 $111,786.68 $111,786.54 $112,000.00 $213.46 0.19% Payment to SW for Hadley Loan $73,000.00 $73,648.00 $73,000.00 $73,648.00 $648.00 0.89% Total Capital $1,871,882.81 $1,792,097.38 $1,770,433.77 $2,395,648.00 $625,214.23 35.31% 35.31% Total Waste Water $4,894,246.85 $5,278,980.82 $5,074,576.74 $5,974,084.79 $899,508.05 17.73% WATER DEPARTMENT CWD Labor $422,034.00 $305,988.82 $434,995.00 $350,845.00 -$84,150.00 -19.35% Office Salaries $234,835.00 $233,353.02 $223,540.00 $242,940.00 $19,400.00 8.68% CWD OT $10,000.00 $12,257.97 $10,000.00 $13,000.00 $3,000.00 30.00% Emergency On-Call $2,800.00 $2,845.00 $2,329.00 $2,800.00 $471.00 20.22% Administrative Services $63,500.00 $65,250.00 $16,000.00 $49,003.28 $33,003.28 206.27% Total Wages and Benefits $733,169.00 $619,694.81 $686,864.00 $658,588.28 -$28,275.72 -4.12% General Operating Budget Miscellaneous $1,000.00 $1,118.83 $1,000.00 $2,000.00 $1,000.00 100.00% Auditing Services-Water $2,100.00 $2,272.71 $2,272.71 0.00% software $12,685.00 $12,685.00 0.00% Water Supply Permit Fees $33,100.00 $33,543.94 $33,175.00 $33,175.00 $0.00 0.00% Insurance $5,000.00 $5,727.00 $5,000.00 $5,175.00 $175.00 3.50% Building Rent $26,360.00 $26,279.52 $20,550.00 $20,975.00 $425.00 2.07% Water Purchase $1,586,110.00 $1,604,741.87 $1,654,800.00 $1,793,000.00 $138,200.00 8.35% Public Outreach $4,000.00 $2,584.80 $3,000.00 $3,500.00 $500.00 16.67% Professional Services $117,070.00 $110,568.00 $155,275.00 $147,725.00 -$7,550.00 -4.86% Equipment Rental $115,362.00 $141,520.10 $106,730.00 $158,920.00 $52,190.00 48.90% Computer Services $6,400.00 $5,941.57 $7,600.00 $7,000.00 -$600.00 -7.89% System Improvements $60,000.00 $6,511.18 $75,000.00 $84,000.00 $9,000.00 12.00% Materials $96,900.00 $118,268.89 $114,550.00 $120,500.00 $5,950.00 5.19% ROW Permit fees $7,500.00 $0.00 $7,500.00 $0.00 -$7,500.00 -100.00% Total General Operating Budget $2,058,802.00 $2,058,905.70 $2,184,180.00 $2,390,927.71 $206,747.71 9.47% Capital Budget Debt Service $105,355.00 $105,353.62 $103,995.00 $96,969.00 -$7,026.00 -6.76% Capital Projects $520,031.00 $520,031.00 0.00% Xfer to Reserve Fund $71,000.00 $100,223.85 $81,000.00 $60,000.00 -$21,000.00 -25.93% Total Capital $176,355.00 $205,577.47 $184,995.00 $677,000.00 $492,005.00 265.96% $492,005.00 265.96% Total WATER DEPARTMENT $2,968,326.00 $2,884,177.98 $3,056,039.00 $3,726,515.99 $670,476.99 21.94% STORMWATER Wages and Benefits Salaries-Permanent $535,755.79 $482,229.07 $545,117.10 $458,034.55 -$87,082.55 -15.98% Payment to Highway-Rent $78,215.00 $78,215.00 $78,215.00 $78,215.00 $0.00 0.00% Salaries-Overtime $23,000.00 $20,849.37 $23,000.00 $23,000.00 $0.00 0.00% Payment to Sick bank Fund $6,250.00 $6,250.00 $5,392.16 $5,900.62 $508.46 9.43% Payroll Service and Testing to GF $1,825.00 $1,825.00 $1,347.31 $1,480.74 $133.43 9.90% FICA/Medicare $42,744.82 $40,786.80 $43,460.96 $36,799.14 -$6,661.81 -15.33% Nontaxable Fringe Benefit $4,200.00 $300.00 $7,238.00 $6,387.00 -$851.00 -11.76% Vision Plan $711.61 $374.76 $582.94 $631.39 $48.46 8.31% Disability Long Short Term $5,566.44 $5,415.33 $4,878.93 $4,574.64 -$304.29 -6.24% Group Health Plan $144,151.53 $220,147.07 $153,953.83 $113,897.30 -$40,056.54 -26.02% Marathon cost share-SW $0.00 $0.00 $0.00 $25,178.73 $25,178.73 0.00% Health Insurance FICA $1,119.96 $0.00 $2,080.03 $459.00 -$1,621.03 -77.93% Group Life Insurance $1,417.89 $1,705.82 $2,360.28 $1,906.98 -$453.30 -19.21% Group Dental Insurance $6,630.42 $3,679.32 $5,930.59 $5,718.61 -$211.98 -3.57% Pension $77,649.74 $77,649.74 $93,238.50 $88,872.21 -$4,366.29 -4.68% ICMA Match $26,603.23 $21,564.28 $27,189.96 $23,002.64 -$4,187.32 -15.40% Pension Note Payment $26,910.00 $26,910.00 $26,910.00 $26,910.00 $0.00 0.00% Total Wages and Benefits $982,751.42 $987,901.56 $1,020,895.58 $900,968.55 -$119,927.04 -11.75% General Operating Budget Office Supplies $1,000.00 $1,557.60 $1,000.00 $1,500.00 $500.00 50.00% Page 2 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 Small Equipment/Tools $2,500.00 $2,550.45 $2,000.00 $3,000.00 $1,000.00 50.00% Uniforms/Supplies $6,000.00 $4,538.30 $6,500.00 $6,500.00 $0.00 0.00% Vehicle Parts $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Gasoline $2,500.00 $1,961.54 $2,250.00 $2,500.00 $250.00 11.11% Oil $300.00 $235.58 $250.00 $275.00 $25.00 10.00% Diesel Fuel $4,000.00 $7,236.59 $4,500.00 $7,500.00 $3,000.00 66.67% Permit Requirement-Educat $8,500.00 $6,300.00 $7,000.00 $7,000.00 $0.00 0.00% Telephone $2,000.00 $1,735.46 $2,000.00 $2,000.00 $0.00 0.00% Postage $50.00 $87.05 $0.00 $0.00 $0.00 0.00% Membership/Dues/ CDL $300.00 $258.00 $300.00 $600.00 $300.00 100.00% Discharge Permits Renewal $18,000.00 $16,395.20 $18,000.00 $24,000.00 $6,000.00 33.33% Workers Comp Insurance $23,921.76 $30,608.10 $19,554.75 $16,551.80 -$3,002.96 -15.36% Property Insurance $14,023.76 $15,437.36 $16,197.44 $14,245.09 -$1,952.35 -12.05% Unemployment Insurance $820.00 $0.00 $902.00 $933.57 $31.57 3.50% GIS-Fees/Software $50,000.00 $75,059.49 $50,000.00 $75,000.00 $25,000.00 50.00% Sediment & Debris Disposal $500.00 $185.00 $200.00 $200.00 $0.00 0.00% Water Quality Monitoring $30,000.00 $12,187.33 $15,000.00 $15,000.00 $0.00 0.00% Building/Grounds Maint $250.00 $0.00 $200.00 $200.00 $0.00 0.00% Vehicle Maintenance $5,500.00 $17,525.54 $5,000.00 $15,000.00 $10,000.00 200.00% Storm System Maint Materi $55,000.00 $29,256.39 $55,000.00 $100,000.00 $45,000.00 81.82% Printing $100.00 $30.00 $100.00 $100.00 $0.00 0.00% Legal Services $5,000.00 $4,824.75 $20,000.00 $20,000.00 $0.00 0.00% To GF-Audit/Actuary $3,555.00 $3,555.00 $6,180.66 $4,287.21 -$1,893.45 -30.64% Engineering-Watershed $60,000.00 $9,801.26 $40,000.00 $35,000.00 -$5,000.00 -12.50% Billing Payment CWD $66,135.00 $66,135.00 $69,342.00 $73,000.00 $3,658.00 5.28% Office Equipment Maintena $2,000.00 $2,249.78 $2,500.00 $2,500.00 $0.00 0.00% Equipment Rental $500.00 $0.00 $250.00 $250.00 $0.00 0.00% Administrative Services $134,392.00 $134,761.75 $102,103.95 $66,746.24 -$35,357.71 -34.63% Conference/Training Expen $4,000.00 $1,349.38 $8,000.00 $8,000.00 $0.00 0.00% S/W Bldg Utilities $3,000.00 $3,401.95 $3,250.00 $3,500.00 $250.00 7.69% Stormwater Pumps Electric $300.00 $150.96 $300.00 $300.00 $0.00 0.00% Office Furniture/Equipmen $2,500.00 $1,360.70 $1,000.00 $1,000.00 $0.00 0.00% Reimbursement to Highway-Benefits $18,773.00 $18,773.00 $33,420.18 $33,289.64 -$130.54 -0.39% Flow Restoration Plan Analysis $7,500.00 $0.00 $5,000.00 $5,000.00 $0.00 0.00% Total General Operating Budget $532,920.52 $469,508.51 $497,300.99 $544,978.55 $47,677.56 9.59% Capital Budget Vehicles/Equipment $200,000.00 $56,704.01 $421,000.00 $745,000.00 $324,000.00 76.96% Stormwater capital projects $4,303,957.00 $3,759,548.89 $2,481,000.00 $2,005,000.00 -$476,000.00 -19.19% Total Capital $4,503,957.00 $3,816,252.90 $2,902,000.00 $2,750,000.00 -$152,000.00 -5.24% Total Stormwater $6,019,628.94 $5,273,662.97 $4,420,196.58 $4,195,947.10 -$224,249.48 -5.07% REVENUES SEWER Grant-FEMA Reimbursement $0.00 $0.00 $0.00 $0.00 $0.00 0.00% Sewer User Fees $3,900,000.00 $3,753,234.34 $3,783,418.00 $4,113,150.00 $329,732.00 8.72% Sewer Septage Revenue $20,000.00 $3,098.00 $25,000.00 $23,000.00 -$2,000.00 -8.00% Hookup Fees $200,000.00 $853,672.54 $500,000.00 $582,800.00 $82,800.00 16.56% Environmental Impact $0.00 $6,477.00 $0.00 $0.00 $0.00 0.00% Colchester Airport PKW payment $742,310.00 $742,310.00 $742,310.00 $742,310.00 $0.00 0.00% General Fund Note Repayment $0.00 $12,005.00 $12,004.68 $0.00 -$12,004.68 -100.00% Miscellaneous Revenue $11,434.00 $11,577.07 $10,000.00 $10,000.00 $0.00 0.00% Reserve Fund Transfer in $502,824.79 $502,824.79 0.00% $4,873,744.00 $5,382,373.95 $5,072,732.68 $5,974,084.79 $901,352.11 17.77% WATER Water Sales $2,545,250.00 $2,503,861.79 $2,620,616.00 $2,859,211.00 $238,595.00 9.10% Services $63,000.00 $61,151.49 $62,500.00 $59,700.00 -$2,800.00 -4.48% Connection Fees $97,000.00 $129,723.85 $113,000.00 $168,000.00 $55,000.00 48.67% Investment Interest $3,000.00 $1,825.54 $1,700.00 $6,000.00 $4,300.00 252.94% Miscellaneous Income $147,726.00 $147,958.23 $157,234.00 $37,882.00 -$119,352.00 -75.91% SB WW & SW Dept $0.00 $0.00 $0.00 $140,000.00 $140,000.00 0.00% Grants $0.00 $0.00 $0.00 $174,000.00 $174,000.00 0.00% Transfers In $112,350.00 $112,350.00 $100,989.00 $281,722.99 $180,733.99 178.96% $2,968,326.00 $2,956,870.90 $3,056,039.00 $3,726,515.99 $670,476.99 21.94% Page 3 Proposed FY24 Budget - 11/28/2022 ACCOUNT 2022 2022 2023 2024 2023 vs 2024 2023 vs 2024 STORMWATER Intergovernmental Revenue/Grants $2,920,000.00 $2,423,344.76 $826,506.98 $1,189,000.00 $362,493.02 43.86% S/W User Fees - Water Bill $2,528,629.00 $2,341,267.10 $2,707,767.59 $2,779,678.00 $71,910.41 2.66% Payment for GIS services $38,000.00 $34,000.00 $0.00 $0.00 $0.00 0.00% pmt from other towns $0.00 $27,513.89 $40,000.00 $40,000.00 $0.00 0.00% Land owner , ARRA, SAD payment $0.00 $0.00 $100,000.00 $0.00 -$100,000.00 -100.00% Miscellaneous Revenue $60,000.00 $215,596.73 $30,000.00 $30,000.00 $0.00 0.00% GIS Reim from WW, Water, HW and P&Z $0.00 $0.00 $0.00 $50,543.00 $50,543.00 0.00% Reserve Transfer In $400,000.00 $0.00 $635,778.00 $33,726.10 -$602,051.90 -94.70% Hadley Sewer- from sewer fund $73,000.00 $73,648.00 $73,000.00 $73,000.00 $0.00 0.00% $6,019,629.00 $5,115,370.48 $4,413,052.57 $4,195,947.10 -$217,105.47 -4.92% Page 4 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov To: South Burlington City Council From: Jessie Baker, City Manager Date: December 28, 2022 Re: ARPA Process At your November 30th Special Meeting, you heard from the Committees on their ARPA recommendations. As a follow-up to that conversation, I have drafted a matrix that you can use to review the proposals as submitted. As you think about how to finalize decisions on ARPA funding, here are some key questions to think about: • Are there other scoring criteria you would like to use? Do you want to score these ideas individually? • Do you need additional information from staff or the Committees? • Do you want to direct staff to explore any of these ideas? • Do you want to try to leverage other funds? • What process would you like to use moving forward? When do you want to discuss next or make decisions? Current Accounting of Funds Timeline: Funds must be allocated by December 2024 and spent by December 2026. VLCT Guidance Total Awarded: $5,654,533 Total Currently Allocated by Council: $2,564,679 Total Pending Council consideration: $1,083,000 Total Remaining: $3,089,854 Total Remaining if FY24 Budget approved as is: $2,006,854 ARPA Matrix Updated: 12/28/22 Total Awarded:$5,654,533 Total Currently Allocated by Council:$2,564,679 Total Pending Council consideration: $1,083,000 Total Remaining:$3,089,854 Total Remaining if FY24 Budget approved as is:$2,006,854 Resource: www.vlct.org/arpa Directions: In the green columns, score each idea between 1 (strongest no) and 5 (strongest yes) Leverage other funding? Meets urgent health & economic need? Short-term investment leads to lasting benefits? Transformative? Affordable Housing Committee Complete a Housing Needs and Opportunities Assessment $100,000 0 N Y Affordable Housing Committee Support child care Council Discretion 0 NA Y Affordable Housing Committee Launch an ADU grant program $225,000 0 N Y Bicycle & Pedestrian Committee Scope, design, and replace the 5' shared use path into a 10' shared used path along Hinesburg Road/Rt 116 between Kennedy Drive and Williston Road $1,345,000 0 Y N Common Area for Dogs Committee Expand Wheeler Dog Park $16,000 0 N Y Common Area for Dogs Committee Purchase 16 dog waste bag dispensers $15,000 0 N Y Common Area for Dogs Committee Add amenities (water, shade, seating) to Wheeler $20,000 0 N Y Common Area for Dogs Committee Farrell Dog Park Improvements $70,000 0 N Y Common Area for Dogs Committee Complete a Dog Master Plan $60,000 0 N Y Common Area for Dogs Committee Construct a new dog park/run (NE)$100,000 0 N Y Common Area for Dogs Committee Construct a new dog park/run (SW)$60,000 0 N Y Common Area for Dogs Committee Construct a new dog park/run (City Center)$100,000 0 N Y Economic Development Support child care - grant program to existing operators to expand capacity and support employees Council Discretion 0 NA Y Economic Development Establish a Revolving Loan Fund to support local businesses Council Discretion 0 NA Y Economic Development Fund Stormwater Division to assist private property owners with the new General Stormwater Permit (9050) requirements Council Discretion 0 NA N Energy Committee Consultant to help accelerate heat pump deployment $100,000 0 N Y Energy Committee Purchase one electric ride-on lawnmower for DPW $35,000 0 N Y Energy Committee Buy-back gas-fired equipment from income qualified households $250,000 0 NA Y Energy Committee Grants for ev charging infrastructure on non-city property $500,000 0 NA Y Energy Committee Buy and install 5 bus shelters $200,000 0 N Y Energy Committee Hire consultant to assess pathways for increasing access to public transportation and/or pilot micro- transit $500,000 0 N Y Energy Committee Accelerate timeline for Penny for Paths projects Council Discretion 0 NA Y Energy Committee Add sidewalk and multi-use paths (eg Hinesburg Rd between Tilley Dr and Rye Meadows and path on Williston Rd to Kennedy Drive) Council Discretion 0 NA Y Staff verified amount (Y, N, NA): as of 12/28 Require new staff work, support, process (Y, N, N/A) Total SCORE Score each idea between 1 (strongest no) and 5 (strongest yes) Requested by Idea/Project Funding Requested ARPA Matrix Updated: 12/28/22 Total Awarded:$5,654,533 Total Currently Allocated by Council:$2,564,679 Total Pending Council consideration: $1,083,000 Total Remaining:$3,089,854 Total Remaining if FY24 Budget approved as is:$2,006,854 Resource: www.vlct.org/arpa Directions: In the green columns, score each idea between 1 (strongest no) and 5 (strongest yes) Leverage other funding? Meets urgent health & economic need? Short-term investment leads to lasting benefits? Transformative?Staff verified amount (Y, N, NA): as of 12/28 Require new staff work, support, process (Y, N, N/A) Total SCORE Score each idea between 1 (strongest no) and 5 (strongest yes) Requested by Idea/Project Funding Requested Energy Committee Subsidize the purchase of electric bikes and charging equipment to income-qualified households $35,000 0 N Y Energy Committee Hire a consultant to build an CAP Implementation Plan $100,000 0 Y Y Library Board of Trustees Purchase of a Bookvan $160,000 0 Y Y Natural Resources & Conservation Committee Maintain Treescape (planting new or treating Ash trees) $50,000 0 NA N Natural Resources & Conservation Committee Develop an Open Space Plan $25,000 0 N Y Planning Commission Support housing development or redevelopment Council Discretion - 1/3 of available funding 0 NA Y Planning Commission Expand City-owned open space Council Discretion - 1/3 of available funding 0 NA Y Planning Commission Fund implementation of the CAP Council Discretion 0 NA Y Planning Commission Acquire additional city-owned open space or conservation areas Council Discretion 0 NA Y Planning Commission Allocate funds to support child care Council Discretion 0 NA Y Public Art Committee Develop a Cultural Plan $50,000 0 N Y Recreation & Parks Committee Parks Master Plan $150,000 0 N Y Recreation & Parks Committee Veterans Memorial Park - Deferred Maintenance $815,000 0 N Y Recreation & Parks Committee Red Rocks - New Bathhouse $600,000 0 N Y TOTAL $5,681,000 plus Council Discretion 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov To: South Burlington City Council From: Jessie Baker, City Manager Date: December 28, 2022 Re: Annual City Manager Evaluation and Contract Renewal Per the contract between the City Manager and the Council, in accordance with human resources best practice, and as recommended by the International City Management Association (ICMA), I recommend that together we complete an evaluation process from January to February 2023. In my experience, this is the ideal timing as it allows the current Council to evaluate performance before Town Meeting Day and set mutual expectations going into the new elected year and fiscal year. Additionally, given that the last year of my contract will be FY24, I respectfully request the Council consider renewing my contract beyond FY24. The contract between the City Manager and the Council states: Section 6. PERFORMANCE EVALUATION The EMPLOYER shall review and evaluate the performance of EMPLOYEE at least annually. The performance evaluation shall be completed on a schedule mutually agreed between the EMPLOYER AND THE EMPLOYEE each year during the term of this Agreement. Said review and evaluation shall be in accordance with specific criteria developed by EMPLOYER with input from EMPLOYEE. Said criteria may be amended as the EMPLOYER may, from time to time, determine necessary to meet the needs of the CITY, after consultation with EMPLOYEE. Further, the EMPLOYER shall provide EMPLOYEE with a written summary statement of the findings of the EMPLOYER and provide an adequate opportunity for EMPLOYEE to discuss her evaluation with the EMPLOYER in an executive session prior to the finalization of the evaluation. Purpose: The purposes of the annual evaluation are: 1. To strengthen the relationship between the Council and City Manager. 2. To provide a mechanism for regular evaluation. 3. To ensure there is a set of shared expectations between the Council and Manager. 4. To identify performance objectives for the City Manager. 5. To provide feedback to the Manager and identify areas where improvements may be needed. Recommended Feedback: Last year we discussed that it would be helpful to receive feedback from key stakeholders. Therefore, this year I recommend feedback is solicited from both the Councilors, the Leadership Team, and key stakeholders. • Council: Attached is an Annual Evaluation form that is adapted from the model provided by the National League of Cities and promoted by ICMA. It asks both rating questions aligned to performance categories and provides an opportunity for open ended responses. • Leadership Team: Attached is an evaluation tool I have used in the past that asks the Leadership Team open ended questions. • Key stakeholders: Attached is an evaluation tool I propose we use with key stakeholders. Alternatively, the Council Chair or designee could have directed phone calls with the stakeholders 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov asking these questions. I’d recommend collecting feedback from the following stakeholders: Union leadership, SBLT, SBBA, School Superintendent, and Committee member(s). • Self-Evaluation: The City Manager will also complete a self-evaluation aligned to the Leadership Team tool. Proposed Process and Timeline • January 3: Discuss, amend, and approve a process for evaluation. • No later than January 9: Evaluation tools are distributed to City Council, Leadership Team, and Key Stakeholders via Survey Monkey in an email. • January 25: Council, Leadership Team, and Key Stakeholder responses are due to the Council Chair via Survey Monkey. • February 2: All results (feedback as actually written but without names and associations) are compiled and shared with the Council and Manager. • February 6: The Council and Manager discuss the results in Executive Session. Feedback from the review will be used inform the development of performance goals and objectives for the subsequent year. • February 6 – February 16: Manager and Council representatives negotiate a contract renewal. • February 21: The Council Chair and Manager will then provide a summary report in public session and, if interested, approve the renewed contract. 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov City Manager Annual Evaluation Council The purpose of the annual evaluation process to be conducted by and between the City Council and City Manager are: 1. To strengthen the relationship between the Council and City Manager. 2. To provide a mechanism for regular evaluation. 3. To ensure there is a set of shared expectations between the Council and Manager. 4. To identify performance objectives for the City Manager. 5. To provide feedback to the Manager and identify areas where improvements may be needed. Each member of the City Council should complete this evaluation by January 25, 2023. The results (all comments but without the names associated) will then be discussed with the Council and Manager in executive session at a City Council meeting. INSTRUCTIONS This evaluation form contains ten categories of evaluation criteria. Each category contains a statement to describe a behavior standard in that category. For each statement, use the following scale to indicate your rating of the city manager’s performance. 5 Excellent (almost always exceeds the performance standard) 4 Above average (generally exceeds the performance standard) 3 Average (generally meets the performance standard) 2 Below average (usually does not meet the performance standard) 1 Poor (rarely meets the performance standard) This evaluation form also provides space to enter narrative comments, including responses to specific questions and any observations you believe appropriate and pertinent to the rating period. This form as been adapted from a model provided by the National League of Cities and promoted by ICMA. PERFORMANCE CATEGORY SCORING 1. INDIVIDUAL CHARACTERISTICS _____ Diligent and thorough in the discharge of duties, “self-starter” _____ Demonstrate by word and action the highest standards of ethical conduct and integrity _____ Displays enthusiasm, cooperation, and willingness to adapt _____ Exhibits mental and physical stamina appropriate for the position _____ Exhibits composure and attitude appropriate for executive position Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category City Manager: Jessie Baker Evaluation Period: March 2022 to January 2023 Date of Evaluation: February 6, 2023 Evaluator: 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov 2. PROFESSIONAL SKILLS AND STATUS _____ Maintains knowledge of current developments affecting the practice of local government management _____ Demonstrates a capacity for innovation and creativity _____ Anticipates and analyzes problems to develop effective approaches for solving them _____ Willing to try new ideas proposed by elected body members and/or staff _____ Sets a professional example by handling affairs of the public office in a fair and impartial manner Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 3. RELATIONS WITH MEMBERS OF THE CITY COUNCIL _____ Carries out directives of the body as a whole as opposed to those of any one member or minority group _____ Sets meeting agendas that reflect the guidance of the elected body and avoids unnecessary involvement in administrative actions _____ Disseminates complete and accurate information equally to all members in a timely manner _____ Assists by facilitating decision making without usurping authority _____ Responds well to requests, advice, and constructive criticism Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 4. POLICY EXECUTION _____ Implements actions in accordance with the intent of the council _____ Supports the actions of the elected body, both inside and outside the organization, after a decision has been reached _____ Understands, supports, and enforces local government’s laws, policies, and ordinances _____ Reviews ordinance and policy procedures periodically to suggest improvements to their effectiveness _____ Offers workable alternatives to the elected body for changes in law or policy when an existing policy or ordinance is no longer practical Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 5. REPORTING _____ Provides regular information and reports to the elected body concerning matters of importance to the local government, using the charter as guide _____ Responds in a timely manner to requests from the elected body for special reports _____ Takes the initiative to provide information, advice, and recommendations to the elected body on matters that are nonroutine and not administrative in nature _____ Produces reports that are accurate, comprehensive, concise, and written to their intended audience _____ Produces and handles reports so as to convey the message that affairs of the organization are open to public scrutiny Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 6. RESIDENT RELATIONS _____ Is responsive to requests from residents _____ Demonstrates a dedication to service to the community and its residents _____ Maintains a nonpartisan approach in dealing with the news media _____ Meets with and listens to members of the community to discuss their concerns, and strives to understand their interests _____ Makes an appropriate effort to maintain resident satisfaction with services 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 7. STAFFING _____ Recruits and retains competent personnel for staff positions _____ Applies an appropriate level of supervision to improve any areas of substandard performance _____ Stays accurately informed and appropriately concerned about employee relations _____ Manages the compensation and benefits plan professionally _____ Promotes training and development opportunities for employees at all levels of the organization Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 8. SUPERVISION _____ Encourages heads of departments to make decisions within their jurisdictions with minimal manager involvement, yet maintains general control of operations by providing the right amount of communication to the staff _____ Instills confidence and promotes initiative in subordinates through supportive rather than restrictive controls for their programs while still monitoring operations at the department level _____ Develops and maintains a friendly and informal relationship with the staff and workforce in general, yet maintains the professional dignity of the manager’s office _____ Sustains or improves staff performance by evaluating the performance of staff members at least annually, setting goals and objectives for them, periodically assessing their progress, and providing appropriate feedback _____ Encourages teamwork, innovation, and effective problem solving among the staff members Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 9. FISCAL MANAGEMENT _____ Prepares a balanced budget to provide services at a level directed by council _____ Makes the best possible use of available funds, conscious of the need to operate the local government efficiently and effectively _____ Prepares a budget and budgetary recommendations in an intelligent and accessible format _____ Ensures that actions and decisions reflect an appropriate level of responsibility for financial planning and accountability _____ Monitors and manages fiscal activities of the organization appropriately Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 10. LEADERSHIP IN THE COMMUNITY _____ Shares responsibility for addressing the difficult issues facing the community _____ Avoids unnecessary controversy _____ Cooperates with neighboring communities and the county _____ Helps the council address future needs and develop adequate plans to address long-term trends _____ Cooperates with other regional, state, and federal government agencies Add the values from above and enter the subtotal _____ ÷ number rated = _____ score for this category 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov NARRATIVE EVALUATION In answering the questions below, consider the shared work toward accomplishing the City’s Policy Priorities and Strategies outlined in 2022. 1. What would you identify as the manager’s strength(s)? 2. What do you consider the foremost results achieved during the rating period and in relation to the Strategic Vision? 3. What performance area(s) would you identify as most critical for improvement? 4. What constructive suggestions or assistance can you offer the manager to enhance performance? 5. What other comments do you have for the manager (e.g., priorities, expectations, goals, or objectives for the new rating period)? 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov City Manager Annual Evaluation Key Stakeholder Evaluation Tool City Manager: Jessie Baker Evaluation Period: March 2022 to January 2023 Date of Evaluation: February 6, 2023 Evaluator: The purpose of the annual evaluation process to be conducted by and between the City Council and City Manager are: 1. To strengthen the relationship between the Council and City Manager. 2. To provide a mechanism for regular evaluation. 3. To ensure there is a set of shared expectations between the Council and Manager. 4. To identify performance objectives for the City Manager. 5. To provide feedback to the Manager and identify areas where improvements may be needed. As the City Council completes this evaluation, feedback from the Key Stakeholders is important. Please complete this evaluation form by January 25, 2023. The results (all comments but without the names associated) will then be discussed with the Council and Manager in executive session at a City Council meeting. LEADERSHIP TEAM - NARRATIVE EVALUATION In answering the questions below, consider the shared work toward accomplishing the City’s shared goals. 1. What would you identify as the manager’s strength(s)? 2. What performance area(s) would you identify as most critical for improvement? 3. What constructive suggestions or assistance can you offer the manager to enhance performance? 180 Market Street, South Burlington, Vermont 05403 | 802-846-4107 | www.southburlingtonvt.gov City Manager Annual Evaluation Leadership Team Evaluation Tool City Manager: Jessie Baker Evaluation Period: March 2022 to January 2023 Date of Evaluation: February 6, 2023 Evaluator: The purpose of the annual evaluation process to be conducted by and between the City Council and City Manager are: 1. To strengthen the relationship between the Council and City Manager. 2. To provide a mechanism for regular evaluation. 3. To ensure there is a set of shared expectations between the Council and Manager. 4. To identify performance objectives for the City Manager. 5. To provide feedback to the Manager and identify areas where improvements may be needed. As the City Council completes this evaluation, feedback from the Leadership Team is important. Please complete this evaluation form by January 25, 2023. The results (all comments but without the names associated) will then be discussed with the Council and Manager in executive session at a City Council meeting. LEADERSHIP TEAM - NARRATIVE EVALUATION In answering the questions below, consider the shared work toward accomplishing the City’s Policy Priorities and Strategies outlined in 2022. 1. What would you identify as the manager’s strength(s)? 2. What performance area(s) would you identify as most critical for improvement? 3. What constructive suggestions or assistance can you offer the manager to enhance performance?