HomeMy WebLinkAbout2005-05-02 Budget Committee Minutes
BUDGET COMMITTEE MEETING
MAY 2, 2005- PAGE 1 OF 7
Budget Committee Meeting
Draft Minutes
May 2, 2005, 7:00pm
Civic Center Council Chambers, 1175 East Main Street
CALL TO ORDER
Chairman Jim Moore called the Ashland Budget Committee meeting to order at
7:00 p.m. on May 2, 2005 in the Civic Center Council Chambers, 1175 E. Main
Street Ashland, Oregon.
ROLL CALL
Mayor Morrison was present. Councilor Amarotico, Hartzell, Jackson, and
Silbiger were present.Councilor Hardesty and Hearn were absent. Budget
Committee members Bond, Levine, Mackris, Olsen, and Thompson were
present. Budget Committee member Williams was absent.
STAFF PRESENT: GINO GRIMALDI, CITY ADMINISTRATOR
LEE TUNEBERG, FINANCE DIRECTOR
TINA GRAY, HUMAN RESOURCES DIRECTOR
KEITH WOODLEY, FIRE CHIEF
DON ROBERTSON, PARKS DIRECTOR
MARGUERITTE HICKMAN, FIRE PROTECTION OFFICER
GREG CASE, EMS DIVISION CHIEF
ANN SELTZER, MANAGEMENT ANALYST
MIKE FRANELL, CITY ATTORNEY
BARBARA CHRISTENSEN, CITY RECORDER
MIKE BIANCA, POLICE CHIEF
SHARON LAWS, SENIOR PROGRAM DIRECTOR
CINDY HANKS, PROJECT MANAGER
BRYN MORRISON, ADMINISTRATIVE SECRETARY
APPROVAL OF MINUTES
Approval of minutes from previous Budget Committee meetings dated:
5/5/04 Budget Committee Meeting
5/6/04 Budget Committee Meeting
5/12/04 Budget Committee Meeting
5/13/04 Budget Committee Meeting
BUDGET COMMITTEE MEETING
MAY 2, 2005- PAGE 2 OF 7
5/20/04 Economic and Cultural Sub Committee Meeting
5/21/04 Economic and Cultural Sub Committee Meeting
Councilor Alex Amarotico/James Bond, Budget Committee member m/s to
approve minutes as presented. All Ayes.
PUBLIC INPUT
None
BUDGET MESSAGE
GinoGrimaldi, City Administratorthanked staff for preparing the budget. He
spoke to the difficulties in preparing the budget and controlling costs. He gave an
overview of some of the aspects in the budget and how the budget was created.
He spoke to the cost of personal services. Costs are increasing dramatically due
to health care and PERS. Fuel costs have also increased as well as steel and
construction costs.
They have proposed an increase in property taxes. He explained that property
taxes represent 18% of the budget but other revenues are not strong and the City
is having a difficult time balancing revenues with expenditures. For the first time,
they cannot complete all of the Council goals and have had to eliminate two,
community visioning and a public survey.
They have had to cut some personnel additions. He spoke to positions that will
be added in the budget. He spoke to moving the Senior program to the Parks
department. He added that they have looked at what would happen if they didnot
fill positions requested and some are driven by Council goals.
He explained that they made the assumption that the community would like to
receive programs they have received in previous years and they will make sure
departments comply with guidelines established. They looked at the bottom line
and found that the City was too far out of balance and directed materials and
services to be reduced to balance the budget.
He spoke to the future and expressed the need to have a solid foundation to
move forward. He suggested they may want to turn their attention away from the
General Fund and in the future look at the Street Fund. He expressed the need
to maintain the info structure and the need to look at affordable housing.
Lee Tuneberg, Finance Director spoke to the budget training that took place
previously. He spoke to the layout of the document and to the budget message.
He stated that they follow Oregon budget law.
BUDGET COMMITTEE MEETING
MAY 2, 2005- PAGE 3 OF 7
He spoke to challenges the City faces. There was a significant increase in PERS
of 46% which resulted in Departments showing a 20% increase. Health care is
over 10% increasewhich came in lower than expected. They struggle with the
amount they pay for wholesale power, construction, and fuel. He added they
have maintained free bus service downtown, social service and economic and
cultural development grants. They tried to maintain status quo or enhanced
services. Property taxes are proposed to increase $.15 per thousand. He spoke
to ending fund balances, revenue sources and categories of charges for
services. He pointed to rate increases and spoke to systems development
charges (SDC’s). He added that they are in the middle of a study on water and
wastewater SDC’s. Councilor Kate Jackson asked if the ad hoc committee would
be working on the SDC’s. Mr. Tuneberg responded that they would in June and
July. He pointed to page 1-17 the reconciliation sheet, and suggested that the
committee could make recommendation there.
He spoke to an increase of materials and services by 6%. Certain charges could
not be held flat due to contracts. He added that internal charges had to be raised
this year. He pointed out that debt service will be under $5 million and that it
relates to refinancing AFN and stopping internal borrowing.
He pointed to page 1-15 and proposed personal services costs. He spoke to the
reserves in the insurance fund that will be used to pay the PERS increase which
is estimated at $400,000. There are 5.2 new positions proposed.
Mr. Tuneberg pointed to the Capital Improvements section which is budgeted at
$7.8 million and stated that the section would be replaced due to disconnects at
the next meeting.
Ms. Jackson asked about the bonds retiring and if the property tax rate would
actually be less and where it wasin the budget. Mr. Tuneberg pointed to page 1-
39 and the amounts proposed. He explained that the Parks Fundand the Youth
Activities Levy is unchanged. The total rate is 5.2553. He pointed to page A-2
and how it shows the history of total tax assessed. It is adjusted each year based
on debt service required. The City levies the dollar amount and the county tells
us after the rate. Mayor John Morrison asked if the final rate was lower than
2000-01. Mr. Tuneberg responded it was. Ray Olsen, Budget Committee
member asked why the 97 flood restoration doubled. Mr. Tuneberg responded
that they look at the debt service amount that has to be paid each year and
where it is located in budget and set the appropriate rate and it changes each
year for what they have to pay.
Lynn Thompson, Budget Committee member asked why on page A-3, the
proposed tax levy for the General Fund has increased $500,000. Mr. Tuneberg
responded that $247,000 was due to the $.15 increase in tax and the rest is
growth due to Measure 50 and construction costs. Councilor Russ Silbiger asked
if they will be able to maintain the rate. Mr. Tuneberg responded that there are
BUDGET COMMITTEE MEETING
MAY 2, 2005- PAGE 4 OF 7
still some unknowns. He explained the permanent rate is4.29 but they will try not
to raise it to that.He added that Departments have had a hard time holding
expenses, and have less carry forward each year. Mr. Grimaldi pointed to page
4-10 and the deficiency of revenues over expenditures. Marty Levine, Budget
Committee member asked to clarify the 4.29 rate to the 3.56 that we use. Mr.
Tuneberg responded that included in 4.29 are the General Fund and Parks Fund
and they have an additional $.73 that could be added to it.
Ms. Jackson asked about the tax rate in future years. Mr. Tuneberg responded
that the shortfall is calculated on the bottom of the long term tables and there is a
policy established. There is a disconnect between revenues and expenses stays
constant. Mr. Moore asked if the City didn’t have AFN debt if it would still have
$.15 increase. Mr. Tuneberg responded that it is not related to that.
Mr. Levine asked if the Parks budget adjusted in percentage to the City’s. Mr.
Tuneberg responded that there is not a policy that states that it must adjust
according to the City’s. Mr. Tuneberg explained that Parks activity is normal. Mr.
Levine asked if the normal rate increase per month was 1%. Mr. Tuneberg
responded that it was not and pointed to the activity in fund.
Mr. Morrison asked if the Council goals that were eliminated would be put back in
the budget for the next year. Mr. Grimaldi answered it would be a discussion of
Council and there was no guarantee. Councilor Cate Hartzell asked what the
cost was for free bus service. Mr. Tuneberg responded $290,000 which was
$250,000 and an additional $40,000 for free rider. Mr. Grimaldi added that SOU’s
financial participation has dropped and the City has picked up the cost. The
Committee asked for a history of when it was established and the costs. Staff
will provide during Public Works department presentation.
CITY RECORDERpage 3-39 to 3-42
Barbara Christensen, City Recorder/Treasurer presented her budget. She spoke
to the function of the office and responsibilities which include: Treasurer and City
Recorder, banking services, council, records management, public records
requests, and elections. They have several software programs for electronic
filing and the municipal code. She proposed a reclass of the Clerk II to an
Administrative Assistant. Kathleen Mackris, Budget Committee member asked if
the imagining system was included in the budget. Ms. Christensen explained that
it was in last year’s budget and the cost this year is maintenance. Ms.
Christensen explained that they are out of space for record storage and will be
looking for funding for storage in the future. Mr. Grimaldi added that the building
that was intended to be used for storage was denied by the Historic Commission
so an alternative must be found. Ms. Hartzell asked about the $10,000 increase.
Ms. Christensen explained it is a total overall increase of the budget and mostly
in personal services.
BUDGET COMMITTEE MEETING
MAY 2, 2005- PAGE 5 OF 7
Levine/Jackson m/s to accept budget as presented. All Ayes.
ADMINISTRATIONpage 3-3 to 3-16
Tina Gray, Human Resource Directed presented the Administration budget. She
gave an overview of the Mayor and Council budget. The significant changes are
an increase in personal services, change over in elected officials and benefit
selection and travel and training. Ms. Gray explained that the benefit package is
optional for Councilors. Ms. Hartzell asked about line item 606. Ms. Gray
explained it is for advertising, travel and training. Ms. Hartzell asked what the
commission was for. Mr. Grimaldi responded that he will get back to them with
the answer.Mr. Silbiger spoke to Resolution 99-62 that was presented. He
pointed to how expenses have increased and wondered if Council had followed
the Resolution. Mr. Grimaldi explained that different Councilors approach training
differently and it increases with new members. Mr. Levine asked about the
Washington D.C. trip. Mr. Grimaldi explained that Mayor Morrison and Councilor
Jackson attended the National League of Cities conference this year to lobby for
the City and to request funds for the City. He explained that agencies cannot
lobby directly for funds but local delegations can. Mr. Morrison and Ms. Jackson
stated that they felt it was very valuable for the City.
Ms. Gray spoke to the Administration division. The significant changes are in
personal services, materials and services were kept flat. Ms. Hartzell asked
about the Senior program and who decided on restructuring. Mr. Grimaldi
explained the reasoning for moving it to the Parks. He stated that it fits better with
the services provided by the Parks. Ms. Hartzell asked if that meant there would
be a removal of a department head and a salary decrease for the program
director. Mr. Grimaldi responded that the reporting relationship changes to the
Parks director and clarified that the program director is not paid the department
head salary and there would be no salary change. Mr. Grimaldi explained that
this was originally thought of as an organizational change and then they saw the
potential advantage for the budget process. Ms. Hartzell asked if the Parks
Commission approved. Mr. Grimaldi responded they approved unanimously. As
well as the Senior commission approved unanimously. Sharon Laws, Senior
Program Director explained the services provided. Ms. Hartzell stated that she is
concerned about social service aspect and how service will be managed in the
future.
Mike Franell, City Attorney spoke to the salaries funded in the department and
the function of the department. He stated there was no tremendous changes in
the budget. The supplies have remained constant and they have decreased
reliance on outside council. They have brought in house labor related issues and
have increased purchased services for travel, training, and dues. Ms. Hartzell
asked about the salary increase. Mr. Franell responded that the increase in
salary was for the Assistant City Attorney and they felt that the City was low
BUDGET COMMITTEE MEETING
MAY 2, 2005- PAGE 6 OF 7
compared to others and the salary range was similar to the building official and
the senior planner.
Ms. Gray spoke to the Human Resources division. The significant changes are
increased costs in personal costs and fringe benefits. The increases in
advertising costs are due to affirmative action and outreach into other areas.
They will enhance training issues in the workplace. Ms. Mackris asked about the
increase in miscellaneous charges and fees. Ms. Gray explained it is the facilities
use fee. Ms. Hartzell asked about the staff reclassification. Ms. Gray responded
that they are reclassifying the administrative assistant to a personnel assistant
and the salary to the executive secretary salary range.
Amarotico/Olsen m/s to accept budget as presented. 11 voted yes. Hartzell
apposed.
Ann Seltzer, Management Analyst introduced the Public Arts Commission.
Richard Benson, the chair of commission, introduced the commission. He gave
the background of the commission and explained the need for consistent funding
to maintain the Council mandate for arts. He explained that there is no funding
source provided in the Ordinance. He spoke to the costs of some projects and
what other Cities have for funding. Medford allocates $25,000 per year to public
art.
The Commission developed three possible funding sources for art: 1) 1% of the
CIP project budgets and .5% of TOT tax, 2) annual allotment of $50,000 from
TOT, or 3) $.03 increase in property tax. Ms. Jackson added more background
on the commission. She spoke to the Resolution that would not allow them to
obtain economic and cultural development grants and how they asked for
remaining funds from 2005 to go to the commission. The Committee discussed if
they thought it was a budget committee decision or one that should be made by
Council. Ms. Jackson responded that Council and staff supports it and they are
coming to the budget committee at the recommendation of staff. Ms. Hartzell
stated that she felt it should be directed to Council first and the budget committee
is not the correct venue. Ms. Seltzer responded that the commission had come
before Council and Council directed them to come before the budget committee.
Mr. Levine asked if there were any funds in the proposed budget for them. Mr.
Grimaldi responded that there is not. The Committee came to a consensus that it
should be taken to Council and guidance should be given in this budget process.
Break until 9:45
FINANCEpage 3-20 to 3-27, 3-33 to 3-36
Mr. Tuneberg suggested due to the limited time available to postpone the
Finance section until 5/12/05. Committee agreed.
BUDGET COMMITTEE MEETING
MAY 2, 2005- PAGE 7 OF 7
ADJOURNMENT
The meeting was adjourned at 9:50p.m.
Respectively Submitted,
Bryn Morrison
Administrative Secretary