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City Council Minutes 08-27-2012 Special (Budget)MINUTES SPECIAL WORKSHOP — MONTICELLO CITY COUNCIL Monday, August 27, 2012 —5:30 p.m. Mississippi Room, Monticello Community Center Present: Clint Herbst, Lloyd Hilgart, Tom Perrault, Glen Posusta, Brian Stumpf Absent: None Others: Jeff O'Neill, Wayne Oberg, Department Heads 1. Call to Order Mayor Herbst called the Special Meeting to order at 5:34 p.m. 2. Purpose of Workshop: Review of proposed 2013 Budget Jeff O'Neill explained that the purpose of the meeting is to review the overall budget proposed for 2013, look at items that staff has taken out of the proposed budget, and discuss financial implications that may affect the levy in upcoming years. 3. Workshop — Consideration of 2013 budget and preliminary tax levy Jeff O'Neill led off the workshop by thanking Finance Director Wayne Oberg for getting the budget organized in a short period of time for today's workshop. Council had directed staff to shoot for a target levy of $7.9 million which is a different approach than has been used in the past. The purpose of this meeting is to provide Council with a general picture of what is included in the 2013 budget proposal. Jeff O'Neill asked Council to consider whether they want to meet with department heads to discuss their concerns and considerations about the budget. Clint Herbst said he felt that this is an important process and would like to see it continue so that each department can be heard. This could be done either before or after the preliminary levy is set. Jeff O'Neill noted that the City has kept the levy fairly flat for the past 8 -9 years in spite of a lot of growth and extension of infrastructure. Under Council direction, city staff has concentrated on reaching a budget proposal that met their request for a maximum levy of $7.9 million. Jeff O'Neill reviewed various budget areas that were adjusted in order to meet the $7.9 million levy target. • Seal Coating - $80,000 • Future equipment purchases - $200,000 (in exchange for borrowing for future equipment purchases) • Data Processing - $25,000 (duplicated expense) • Street Department, mise equipment and supplies - $6,500 • Engineering, consultant expense - $10,000 • Planning, consultant expense - $5,000 • Lighting supplies - $10,000 (to be funded by franchise fees) • Lighting maintenance agreements - $16,000 (to be funded by franchise fees) Special City Council Minutes — August 27, 2012 Page 1 • Chipper replacement - $29,000 (CIP) • Small tractor - $75,000 (CIP) • Tree replacement funds - $5,000 • MCC, City Council /Wedding dais and pool heater —reduce to $10,000 Jeff O'Neill also noted several items that were left in the budget at this time: • Step increases - $33,000 (General Fund); $57,000 (overall) • Health insurance increase - $50,000 (General Fund); $115,000 (overall) • Garbage collection services remain funded via levy Jeff O'Neill noted that there are some impacts to Debt Service coming down the road and turned the discussion over to Wayne Oberg. Wayne Oberg provided some handouts to Council. Wayne Oberg first talked about the MCC bond which does not expire until 2015. In 2014 the City will reach a point where some additional funds will need to be found to cover this debt for 2 more years. After 2016, the debt service amounts will drop and again in 2019. However, prior to that, the City may have to increase the levy to cover debt payments. Brian Stumpf asked if the money could be taken from a reserve fund and then paid back. Wayne Oberg pointed out that there are restrictions on borrowing for debt funds. However, he stated there are other options that could be used, such as special revenue or enterprise funds. Jeff O'Neill commented that it will be good to see the debt fall off eventually, but there may be other debt that has to be added such as for the Fallon Avenue Overpass, Waste Water Treatment Facility improvements, and some other large future projects. Clint Herbst asked about the ice arena payments and whether the City would need to purchase some ice time when they are no longer making those payments. Glen Posusta noted that the agreement for ice time was set up for 20 years so we should be okay. Clint Herbst asked if there were any bonds that could be refinanced to save some money. Wayne Oberg reviewed the outstanding bonds and commented that the bond consultants would probably have contacted the City if those bonds would have been eligible for refinancing and savings would have been sufficient enough. Wayne Oberg stated that he would look into that further. Brian Stumpf asked if the interest rate for borrowing would be affected due to FiberNet. Wayne Oberg explained that the projected interest rates take that into consideration. In today's market of low interest rates, there is little impact. Jeff O'Neill also talked about the status of the Access funds. Sanitary Sewer Access fund will not support any debt service after 2014. The Water Access fund has no reserves remaining. However, the Storm Water Access has sufficient reserves for the foreseeable future. It is suggested that Council consider increasing water and sewer fees to help support debt service needs. The other option is to levy for the debt service and utilize the tax base supported by Xcel to help spread out the cost to the taxpayers. Jeff O'Neill talked briefly about delays on street and pathway maintenance. Many miles of streets and trails were added during the growth years. However the seal coating and Special City Council Minutes — August 27, 2012 Page 2 crack- sealing of streets and pathways has not kept pace and we are getting behind. The cost to catch up is estimated at close to $400,000. Jeff O'Neill noted that stormwater utilities have not kept up with needed maintenance. For 2012, the city used some of the stormwater access funds to fund some urgent maintenance. However, this money was intended for development of infrastructure (one time costs) and not maintenance (ongoing costs). Jeff O'Neill commented that there is no money in the budget again for a frisbee golf course at Water Tower Park. One of the community service organizations was willing to donate $5000 which would cover close to 50% of the cost. Since the City could not come up with the balance needed, it has been removed from the budget for several years now. Clint Herbst feels that it would be worthwhile to pursue this project; perhaps look into some other donations to cover the cost. Tom Pawelk said there is a minimal budget for maintenance for several pathway segments. Clint Herbst asked if there was any merit in the City purchasing some equipment so that they can do their own sealcoating. He suggested that this be discussed with Streets and Parks departments during the upcoming budget discussions. Jeff O'Neill went on to talk about the improvements that will be needed for the WWTF and for a storage building replacement. It is estimated to cost approximately at $1.8 million. Wayne Oberg recommends that the bond sale for the improvements include the storage building. It is anticipated that the first bond payment would be made in 2014 and would be paid from the sanitary sewer Rind. Wayne Oberg noted there is a significant balance in the sanitary sewer fund; however it might be advantageous to preserve those funds to offset the lack of reserves in the sanitary sewer access fund to pay for future infrastructure needs. Jeff O'Neill noted that there is some funding budgeting in the FDA fund which is held for replacement of an Economic Development Director next year and /or other needs such as consultant assistance to fill in without an Economic Development Director in place. Jeff O'Neill discussed a situation existing in the Fire Relief Association where the investment funds are not performing as they did in years with higher interest rates. There are implications if the City does not maintain their current pension finding levels, such as losing a large number of firefighters to retirement if the pension levels drop too much. Fire Chief Steve Joerg would like to keep the retirements at one a year to preserve their experience levels. Jeff O'Neill highlighted the situation occurring with FiberNet's deficit, which appears to continue requiring a transfer from the Liquor Fund to maintain operations. This does not include any funding toward debt service. It is hoped that some of the changes underway will lead to higher revenues. No portion of the 2013 levy is earmarked to fund FiberNet expenses. Jeff O'Neill noted that Mark Pultusker is focusing on some major fixes which should help the system to operate more efficiently and, hopefully, generate some new revenue sources. Special City Council Minutes — August 27, 2012 Page 3 Jeff O'Neill summarized that Council should provide direction for staff on the next steps for the budget process. Clint Herbst said he would like a chance to talk with various departments before making a final recommendation on the levy. Jeff O'Neill will look at the calendar to see what dates are available before September 10th to meet from about 6 to 8 P.M. Tom Perrault asked whether the County had provided any figures on the tax base yet. Wayne Oberg has contacted the County but they do not have figures available at this time. 4. Adjournment BRIAN STUMPF MOVED TO ADJOURN THE SPECIAL MEETING AT 6:30 P.M. TOM PERRAULT SECONDED THE MOTION. MOTION CARRIED 5 -0. Recorder: Catherine M. Shuman Approved: September 10, 2012 Attest: City Ad*f ator Special City Council Minutes — August 27, 2012 Page 4