Aug 06, 2020 City Council on 2020-08-06 8:30 AM (SPECIAL CALLED WORK SESSION)
August 06, 2020 City Council 74387
Meeting Details
| Meeting Date: | August 06, 2020 |
|---|---|
| Board: | City Council |
| Video ID: | 74387 |
| Has Transcript: | Yes |
|---|---|
| Has Agenda: | Yes |
AI Summary by Dentron 3000
Meeting Summary: City Council Special Called Work Session Date: August 6, 2020 Time: 8:30 AM Board: City Council
Key Topics and Discussions - FY 2020-21 Budget & Financial Forecast: Staff presented the proposed budget, CIP, and five-year financial forecast. The total proposed budget is approximately $135 million. General fund expenditures are projected at $140 million, with personnel costs comprising roughly 70%. The proposed tax rate remains at the current no-new-revenue level (~61.6 cents), with a proposed ordinance approximately 2.5 cents higher to allow flexibility based on appraisal district data. Sales tax revenue is projected at $36.4 million. - Utility Funds: Water utility proposes a 2% residential rate decrease. Wastewater proposes no rate changes. Solid waste proposes a 5% residential rate decrease, with increases to gate disposal and sludge/dewatered landfill rates. Electric utility proposes no rate changes. Reserves across all utility funds remain within target ranges. - Staffing & Compensation: City-wide net reduction of 74.8 FTEs. Non-civil service employees will receive one-time 2.5–3% merit payments. Employer retirement contributions and health insurance rates were reviewed. - Capital Improvement Plan & Debt: The CIP includes street rehabilitation, a $42.9 million police facility, and $136.4 million in utility projects. Recent bond sales achieved low interest rates. Council requested analysis of debt refunding using taxable municipal bonds. A $2.9 million debt issuance will fund fleet facility expansion. - Departmental & Operational Updates: Presentations covered Parks & Recreation, Engineering & Capital Projects, City Attorney, Water & Wastewater, and Solid Waste. Discussions addressed pandemic-related service adjustments, the implementation of a centralized 311 system, $703,000 in homelessness/non-profit support funding, operational costs for The Deck power plant, Downtown TIF district performance, and the Tree Mitigation Fund.
Motions, Votes, and Outcomes - No motions, votes, or formal outcomes were recorded. The session was designated as a work session for discussion and staff direction.
Decisions Made - No formal decisions were made. Council provided directional feedback on budget priorities, policy routing, and requested specific follow-up analyses and reports.
Action Items and Next Steps - Finance staff to provide ongoing updates on sales tax collections and appraisal district data. - Staff to analyze debt refunding options and present sludge rate alternatives. - Provide follow-up report on preschool/after-school care policy and potential private sector partnerships. - Include debt service obligations on aquatics budget presentation slides. - Update council on smart meter (AMI) study progress and vendor options. - Advance inclusive playground planning with community input and future bond consideration. - Provide timeline for American Legion Hall foundation work and MLK sculpture/mural public meeting (scheduled for September 3). - Conduct detailed utility rate discussions in December following full pandemic impact assessment. - Distribute budget books to council members. - Schedule public hearing for September 10 and target budget adoption for September 15. - Provide annual business case analysis documenting operational value for The Deck power plant. - Prepare historical performance analysis for the Downtown TIF district comparing actual revenue to original projections.
Agenda Chapters
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