HomeMy WebLinkAboutO-736-9-86ORDINANCE NO. 736-9-86
AN ORDINANCE OF THE CITY OF ALLEN, COLLIN COUNTY,
TEXAS, APPROVING AND ADOPTING THE BUDGET AND SETTING
APPROPRIATIONS FOR THE FISCAL YEAR BEGINNING OCTOBER 1,
1986, AND TERMINATING SEPTEMBER 30, 1987; AND PROVIDING FOR
AN EFFECTIVE DATE.
WHEREAS, following public notice duly posted and published in all things as
required by law, public hearing was held on August 28, 1986, by and before the City
Council of the City -of Allen, the subject of which was the proposed budget of the City
of Allen for Fiscal Year 1986-1987 submitted by the City Manager in accordance with
provisions of the City Charter and state statutes; and,
WHEREAS, at said public hearing, all interested persons were given the
opportunity to be heard for or against any item or the amount of any item contained in
said budget, and all said persons were heard, after which said public hearing was closed;
and,
WHEREAS, the City Council, upon full consideration of the -matter, is of the
opinion that the budget hereinafter set forth is proper and should be approved and
adopted;
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY
OF ALLEN, TEXAS:
SECTION 1. Subject to the applicable provisions of the state law and City
Charter, the City of Allen 1986-1987 Operating Budget, with appropriations set therein
(a copy of which is attached hereto as Exhibit "A" and made a part hereof for all' `
purposes), for the fiscal year beginning October 1, 1986, and terminating September 30,
1987, as filed and submitted by the City Manager, and adjusted by the City Council,
containing estimates of resources and revenues for the year from all. of the various
sources, and the projects, operations, activities and purchases proposed to be
undertaken during the year, together with the estimated costs thereof, and estimated
amounts of all other proposed expenditures, is hereby approved and adopted.
SECTION 2. This ordinance shall be in full force and effect from and after its
adoption.
Ordinance No. 736-9-86 - Page 1
)ULY PASSED AND APPROVED, this the 18th day of September, 1986.
APPROVED:
APPROVED AS TO FORM:
A. Don ro r, CityAttorney
ATTEST:
Marty Hendrix, CW, City Secretary
Ordinance No. 736-9-86 - page 2
City of Allen
January 6, 1987
Honorable Mayor Donald P. Rodenbaugh and Councilmen
Joe Farmer, Mayor Pro Tem
Jerry Wilson, Place 2
Rex Womack, Place 3
Jim Wolfe, Place 4
Jim Pendleton, Place 5
Jack Pennington, Place 6
Gentlemen:
In accordance with Article IV of the Allen City Charter, and Article
689 a-14, Title 20, Revised Civil Statutes of Texas, `submitted herein
is the approved budget and operating program for the City of Allen
for the period October 1, 1986 through September 30, 1987.
This budget and operating program provides appropriations -for each'
of the operating departments of the gener;:1 fund and the water and
sewer fund, debt service for both the general and the water and
sewer funds, and capital improvements funded through operating funds.
The information contained in this document includes summary sheets for
revenues, expenditures, debt service, and capital improvements funded
through bond proceeds. In addition, budget figures are provided on
each line item for all departments for a three year period.
Finally, the document contains a listing of all existing authorized
and new personnel.and a detailed listing of capital outlay expenditures.
Highlights of this document are provided below.
FINANCIAL CONDITION
The total assessed value (taxable property) for the City of Allen for
the 1986 tax year is $878,162,758 which represents a $207,152,202
increase over the previous year, or a 30.87% increase. Of this
increase, $142,244,971 resulted from new construction, new personal
property, and newly annexed land.
The fund balance in the general fund at September 30, 1986 is
anticipated to be $317,181. The estimated fund balance as of
One Butler Circle -Allen, Texm 75002.214/727 -9171 -Metro 214/424-7518
Page 2
Honorable Mayor and Councilmen
January 6, 1987
September 30, 1987 is budgeted at $425,420 or 6.8% of expenditures
which signals an effort to build and retain adequate reserves in the
general fund operating budget. General obligation debt service
reserves are estimated at September 30, 1986 to be $261,215 and
projected at September 30, 1987 to be $258,488. The general obligation
debt service fund now stands at approximately 10% of the total out-
standing annual debt service requirement and should be maintained at
approximately this level. Targets for reserves in the general operating
fund and water and sewer fund and the schedule for reaching those
targets have been adopted as policy by the City Council and is
reflected in this budget.
A significant feature of this budget is that it recognizes that the
revenue sharing program will not be funded during FY 1986-87. In the
absense of additional revenue sharing appropriations, some funds have
been included in the Parks and Recreation budget to again help support
the programs of the Senior Citizens.
GENERAL FUND REVENUES
General fund revenues are budgeted to increase over the previous
year by $863,228 or 22.8%. New ad valorum tax revenues represent
53% of this increase based on a tax rate of 46.5 per $100 valuation.
This represents a 9.4% increase in the tax rate and is a result of the
sale of $7 million of g:�r.eral obligation bonds and is consistent
with the plan proposed when the bonds were taken before the voters
in June of 1985. At that time, the Council stated that it was
anticipated that a total of 7� on the tax rate would be needed to
fund the projects included in the capital improvement program based
on a 2C rate increase in the first three years, 1C in the fourth, and
no additional tax increase in the fifth year. Last year there was
no tax rate increase. Among other revenue categories, sales tax is
anticipated to increase 21% and franchise taxes by 1.5.8%.
GENERAL FUND EXPENDITURE HIGHLIGHTS
For all operational departments, expenditures will increase by $883,602
or 24%. This represents a 12% decrease in the growth rate from the
previous year. However, it does include the addition of 12 full-time,
4 part-time and 6 temporary personnel. Also included in the general
fund budget is $181,305 of capital outlay costs. These personnel
increases and capital outlay costs are high -lighted below.
In the City Administration Department one new full-time person,
titled the Data Processing Coordinator will be hired in the upcoming
fiscal year along with the necessary capital costs for office
equipment to support that new position.
Page 3
Honorable Mayor and Councilmen
January 6, 1987
In the Police Department three new full-time personnel including a
patrolman, a detective and an administrative assistant are included
in this budget. In addition, one part-time clerk has been added.
Capital Outlay items include one new marked patrol car and four
replacement vehicles and a replacement animal control truck. Other
items include office lease space and other support and office equipment
items.
The Fire Department will add four new fire fighters and upgrade three
positions to lieutenant rank. Capital outlay expenditures include
the lease/purchase payment on the new ambulance, a new civil defense
siren and mounting of an existing siren and other equipment necessary
to support the fire and ambulance functions and the new personnel.
The Parks and Recreation Department will be adding three new maintenance
workers full-time, three temporary maintenance workers and one part-time
special activities coordinator. Additional capital outlay includes
computer software, a turf truck, mowers, lease/purchase payments on
tractors and additional office equipment.
The Library will be adding one part-time library aide and some minor
capital outlay equipment.
It is proposed to add in the Community Development a planner and a
part-time secretary. Also included is the upgrading of a Plans Examiner
position to an Assistant Building Official position. No new capital
outlay is proposed for this department; however, funds are included
under a contract services account for computer software purchases.
In the Engineering Department, it is proposed to hire three temporary
maintenance workers with capital outlay expenditures to support the
street and traffic sign program and to purchase some additional
computer equipment.
The other general fund departments are proposing no new personnel or
any significant capital outlay expenditures.
WATER AND SEWER FUND REVENUES
This budget includes an increase in water and sewer revenues of
$520,350 which is a 20o increase over the previous year. This increase
in revenues is comprised of a $273,850 increase in water sales and a
$115,411 increase in sewer sales.
Additional revenue budgeted in the water and sewer fund is based
upon a 50% increase in developer impact fees. In addition, it is
anticipated that during this fiscal year a 5% water and sewer rate
increase will be proposed if audited figures for that fund reflect
current projections.
Page 4
Honorable Mayor and Councilmen
January 6, 1987
WATER AND SEWER FUND EXPENDITURE HIGHLIGHTS
Payments to the North Tex.. -Ls Municipal Water District will increase
$85,000 for water purchases and $240,000 for sewer treatment
charges for a combined total of 33% increase in payments to the
District. This includes a 5C increase in the cost of water, raising
the rate to 66.9 per 1000 gallons. The increase in sewer treatment
charges results from the new debt service incurred by the district
for the construction of the Wilson Creek Wastewater Treatment Plant
and interceptors, both of which are scheduled to be in service the
first quarter of 1987.
In the water and sewer department one new maintenance worker will be
added and a meter reader position will be reclassified to meter
services representative. Capital outlay in the water and sewer
department is set at $111,218 and includes a sewer jet truck, a
replacement truck, expenditures for meters, a new base radio and
other office and service equipment. The new jet truck represents a
major expenditure ($57,000) and is consistent with the City's
5 -year capital improvement program. The purchase of this truck and
the hiring of the new maintenance person will allow for the first
time an ongoing continuous maintenance program for sewer lines within
the City. The present equipment and manpower only allow for response
to complaints and some small amount of scheduled maintenance, but
with the new equipment and manpower, sewer line maintenance can be
addressed before they become service complaints.
Expenditures in the Utility Collection Department of the water and
sewer fund are proposed to increase $4,869. This budget includes
$22,000 for salary reserves for the departments within the water and
sewer fund. These funds will be distributed to the three departments
upon approval by the Council of the salary plan and effectively means
that there is a reduction in expenditures in the Utility Collections
Department resulting from the final payment being made on the Computer
System being funded through that department.
DEBT SERVICE
On July 29, 1986 the City Council authorized the sale of $7 million
in general obligation bonds for streets, parks, police and courts
building and fire department central station improvements and
$2,030,000 of water and sewer bond funds for construction of a 2
million gallon overhead storage tank and other improvements. As a
result, debt service for the general fund will increase by approximately
$607,000 and debt service for the water and sewer fund will increase
by approximately $184,000 for the upcoming year. Total debt service
for the general fund is anticipated at $2,032,000 and for the water
and sewer fund, $853,000.
Page 5
Honorable Mayor and Councilmen
January 6, 1987
SALARY ADJUSTMENTS
This budget reflects overall a 2.87% increase in salaries for the
upcoming year and represents a 4% merit pay program to be administered
in April, 1987.
In behalf of all the employees of the City, I would like to express
our appreciation for the opportunity to serve the citizens of Allen
and look forward to a productive and successful year.
JMcC/jm
r
Respectfully 'tted,
Jo McCarty
Ci y Manager
CITY SECRMIRy
TABLE OF CONTENTS
SUMMARIES
Combined Summary . . . . . . . . . . . . . . . . . . . . . . . .. 1
Schedule of Revenues - General Fund . . . . . . . . . . . . . . 2
Schedule of Revenues - Water and Sewer . . . . . . . . . . . . . 4
Expenditure Estimates by Department . . . . . . . . . . . . . . 5
Projected Fund Balances . . . . . . . . . . . . . . . . . . . . 6
Tax Structure . . . . . . . . . . . . . . . . . . . . . . . . . 7
Expenditure Classification as a Percent of Total Budget
General Fund . . . . . . . . . . . . . . . . . . . . . . . 8
Expenditure Classification as a Percent of Total Budget
Water and Sewer . . . . . . . . . . . . . . . . . . . . . . 9
Debt Service Requirements . . . . . . . . . . . . . . . . . . . 10
Bond Program Summary by Year . . . . . . . . . . . . . . . . . . 11
General Government . . . . . . . . . . . . .
. . . . . . . . . . 12
City Administration . . . . . . . . . . . .
. . . . . . . . . . 15
General Items . . . . . . . . . . . . . . .
. . . . . . . . . . 18
Police. . . . . . . . . . . . . . . . . . .
. . . . . . . . . . 19
Engineering . . . . . . . . . . . . . . . .
. . . . . . . . . . 23
Parks and Recreation . . . . . . . . . . . .
. . . . . . . . . . 26
Library . . . . . . . . . . . . . . . . . .
. . . . . . . . . . 30
Fire. . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . 33
Community Development . . . . . . . . . . .
. . . . . . . . . . 36
Finance . . . . . . . . . . . . . . . . . .
. . . . . . . . . . 40
Building Maintenance . . . . . . . . . . . .
. . . . . . . . . . 43
Public works - Water . . . . . . . . . . . .
. . . . . . . . . . 44
Public Works - Sewer . . . . . . . . . . . .
. . . . . . . . . . 46
utility Collections . . . . . . . . . . . .
. . . . . . . . . . 49
GENERAL FUND
WATER AND SEWER FUND
COMBINED SUMMARY
1986-87
COMBINED REVENUES:
COMBINED DEBT RETIREMENT:
General Fund
Water and Sewer Fund
TOTAL
$ 868,705
304,600
$1,173,305
$1,388,517 $2,053,227
505,379 856,784
$1,893,896 $2,910,011
ACTUAL
REVISED
PROPOSED
1984-85
1985-86
1986-87
General Fund
$2,913,900
$3,778,878
$4,642,106
Water and Sewer Fund
2,364,672
2,507,097
2,928,450
TOTAL
$5,278,572
$6,285,975
$7,570,556
COMBINED EXPENDITURES/EXPENSES:
General Fund
$2,678,945
$3,650,265
$4,533,867
Water and Sewer Fund
1,455,275
1,617,266
2,027,087
TOTAL
$4,134,220
$5,267,531
$6,560,954
COMBINED DEBT RETIREMENT:
General Fund
Water and Sewer Fund
TOTAL
$ 868,705
304,600
$1,173,305
$1,388,517 $2,053,227
505,379 856,784
$1,893,896 $2,910,011
GENERAL FUND
SCHEDULE OF REVENUES
1986-87
- 2 -
REVISED
ACTUAL
BUDGET
BUDGET,
BUDGET
TAXES:
1984-85
1985-86
1985-86
1986-87
Ad Valorem Taxes
'
Current
$ 911,754
$1,599,280
$1,604,383
$2,067,028
Delinauent
13,531
30,000
28,553
32,000 t
Penalty and Interest
5,662
6,500
11,568
12,134
Miscellaneous
82,353
-
12,054
8,666
TOTAL
1,013,300
1,635,780
1,656,558
2,119,828
Sales Tax
500,090
669,600
590,000
714,000
Franchise Taxes
Texas Power & Light
201,336
255,270
228,000
262,000
Lone Star Gas
36,832
40,500
39,873
47,000
Southwestern Bell
9,887
12,000
12,308
15,200
Cablevision
6,157
6,500
6,500
7,020
Banks
7,377
8,000
9,437
11,796
TOTAL
261,589
322,270
296,118
343,016
PERMITS & LICENSES:
Permits
Single Family
258,030
Multi -Family
14,225
Commercial
41,100
Building - Other
322,149
391,000
381,310
34,000
Sign
5,000
Health
3,000
Solicitors
175
500
50
100
Machine Tax
300
Filing Fees
80
37,275
Licenses
Contractors
9,510
Animal
5,312
7,000
3,634
4,000
TOTAL
327,716
398,500
384,994
406,540
FINES & FORFEITURES:
Police
133,903
121,500
126,105
110,000
Library
695
908
1,766
2,000
TOTAL
134,598
122,408
127,871
112,000
- 2 -
RECREATION FEES:
Baseball
Soccer
Basketball
Football
Softball
Volleyball
Other Recreation
Summer Recreation
Pool Admissions
Pool Concessions
Learn to Swim
TOTAL
OTHER REVENUES:
Charges for Services
Garbage Collections
Ambulance Fees
Reimbursements
Subdivision Sign
Street Light
Miscellaneous
Grants
Information Systems
Crime Prevention
Step
County Library Funds
Other
Miscellaneous
Interest Income
Auction Revenues
Reinspection Fees
Police Reports
Sale of Materials
Council Filing Fees
Miscellaneous
TOTAL
INTERFUND TRANSFERS:
Water & Sewer Fund
TOTAL GENERAL FUND
GENERAL FUND
SCHEDULE OF REVENUES
1986-87
(Cont.)
344,885
442,129
REVISED
496,370
ACTUAL
BUDGET
BUDGET
BUDGET
1984-85
1985-86
1985-86
1986-87
1,294
1,400
1,450
1,480
948
1,740
1,710
1,770
1,038
2,760
3,293
3,392
-
200
146
150
7,097
16,770
17,402
17,890
1,056
1,800
2,300
2,300
19,498
-
-
-
2,700
16,750
8,680
13,500
-
29,400
34,000
38,000
-
-
1,500
2,000
-
7,000
5,500
6,000
33,631
77,820
75,981
86,482
344,885
442,129
404,829
496,370
16,688
18,440
17,822
19,700
21,484
51,334
23,737
43,826
12,795
12,000
-
10,000
-
10,000
-
600
-
24,309
24,309
-
16,709
10,018
10,018
7,670
-
33,600
2,863
5,200
5,200
5,200
3,755
-
-
-
85,792
25,000
53,066
57,114
-
-
7,500
7,500
-
-
-
6,000
544
550
565
550
4,694
345
-
6,000
-
120
80
120
12,767
-
230
590
522,976
633,045
547,356
661,240
120,000
85,000
100,000
199,000
$2,913,900
$3,944,423
$3,778,878
$4,642,106
- 3 -
WATER AND SEWER FUND
SCHEDULE OF REVENUES
1986-87
M=
REVISED
ACTUAL
BUDGET
BUDGET
BUDGET
1984-85
1985-86
1985-86
1986-87
OPERATING REVENUES:
Water Sales
$1,403,105
$1,355,820
$1,468,150
$1,742,000
Sewer Charges
559,845
661,377
619,189
734,600
Connections
62,330
59,496
46,345
48,780
Penalties
57,257
45,000
71,583
76,600
Reconnections
7,120
4,800
8,900
9,350
Damage Reimbursements
5,112
4,000
3,3316
3,350
Sale of Materials
439
600
367
870
Auction Revenues
-
-
1,325
600
TOTAL 1
2,095,208
2,131,093
2,220,375
2,616,150
NON-OPERATING REVENUES:
Development Fees - Water
189,782
175,000
152,300
210,000
Development Fees - Sewer
189,782
175,000
152,000
210,000
Interest Income
91900
15,000
83,322
91,300
TOTAL
389,464
365,000
387,322
511,300
TOTAL WATER AND SEWER
2,484,672
2,496,093
2,607,097
3,127,450
FUND REVENUES
OPERATING TRANSFER
TO GENERAL FUNu
(120,000)
(85,000)
(100,000)
(199,000)
TOTAL FUNDS AVAILABLE
$2,364,672
$2,411,093
$2,507,397
$2,928,450
M=
GENERAL FUND
WATER AND SEWER FUND
EXPENDITURE ESTIMATES BY DEPARTMENT
1986-87
GENERAL FUND:
WATER AND SEWER FUND:
Public Works - Water
Public Works - Sewer
Utility Collections
TOTAL
$ 889,041
444,122
122,112
$1,455,275
- 5 -
$ 821,344
680,024
115,898
$1,617,266
$ 919,536
986,784
$2,027,087
AMENDED
ACTUAL
BUDGET
PROPOSED
DEPARTMENT
1984-85
1985-86
1986-87
General Government
$ 82,368
$ 95,135
$ 76,179
City Administration
106,293
151,963
173,099
General Items
169,172
220,213
822,372
Police
825,999
1,035,096
1,146,418
Parks and Recreation
257,330
388,515
483,915
Library
88,735
102,733
119,573
Fire Protection
444,977
617,620
800,035
Engineering
-
50,597
424,075
Community Development
660,210
901,821
358,913
Finance
43,861
86,572
92,143
Building Maintenance
-
-
37,145
TOTAL
$2,678,945
$3,650,265
$4,533,867
WATER AND SEWER FUND:
Public Works - Water
Public Works - Sewer
Utility Collections
TOTAL
$ 889,041
444,122
122,112
$1,455,275
- 5 -
$ 821,344
680,024
115,898
$1,617,266
$ 919,536
986,784
$2,027,087
PROJECTED FUND BALANCES
1986-87
GENERAL FUND
Projected Fund Balance at 10/1/86 $ 193,937
Estimated Revenues 1986-87 4,642,106
Proposed Expenditures 1986-87 4,533,867
Estimated Fund Balance at 9/30/87 S 302,176
DEBT SERVICE - GENERAL OBLIGATION BONDS
Projected
Fund Balance
at 10/1/86
$ 197,956
Estimated
Revenues
1986-87
2,050,500
Projected
Expenditures
1986-87
2,053,227
Estimated
Fund Balance
at 9/30/87
$ 195,229
CITY OF ALLEN
TAX STRUCTURE
1986-87
ASSESSED VALUE - 1986
$878,162,758
REVENUE AT $ .465 per $100
VALUATION
4,083,457
CONTRIBUTION TO DEBT SERVICE
$ 1,952,500
CONTRIBUTION TO GENERAL FUND
$ 2,067,028
(97o COLLECTION RATE)
TAX
RATE DISTRIBUTION
RATIO
PERCENT
AMOUNT
GENERAL FUND
.24266
52.185
$2,130,957
DEBT SERVICE FUND
.22234
47.815
1,952,500
.46500_
100.000
$4,083,457
- 7 -
CLASSIFICATION
WATER AND SEWER FUND BUDGET
1986-87
EXPENDITURE CLASSIFICATION
AS A PERCENT OF TOTAL BUDGET
1986-R7
PROPOSED BUDGET
PERCENT OF
TOTAL BUDGET
Personnel Services
$ 333,026
16.43%
Operating Expenses
1,479,877
73.00
Supplies
56,055
2.76
Maintenance
24,911
1.23
Miscellaneous
22,000
1.09
Capital Outlay
111,218
5.49
TOTAL
$2,027,087
100.00%
CITY OF ALLEN
DEBT SERVICE REQUIREMENTS
1986-87
BOND
SERIES
DATE OF
ISSUE
AMOUNT
ISSUED
RATE OF
INTEREST
MATURITY
DATE
BALANCE
AS OF
10/1/86
REQUIRED
PRINCIPAL
1986-87
REQUIRED
INTEREST
1986-87
TOTAL
REQUIREMENTS
1986-87
CITY
OF ALLEN WATER & SEWER REVENUE BOND:
100,000
4.75
6/1/95
41,000
4,000
1972
6/1/72
$1,500,000
6.50%
6/1/03
$1,085,000
$ 45,000
$ 78,688
$ 123,688
1979
8/1/79
1,300,000
7
6/1/09
1,265,000
10,000
97,250
107,250
1981
6/1/81
500,000
12-12.75
6/1/05
480,000
15,000
59,463
74,463
1985
9/1/85
2,800,000
8.80-11.25
6/1/00
2,800,000
90,000
273,838
363,838
1986
8/1/86
2,030,000
8.00-10.50
6/1/06
2,030,000
40,000
- 147,545
187,545
TOTAL
$8,130,000
1985
9/1/85
$7,660,000
$ 200,000
$ 656,784
$ 856,784
0
627,491
1986
8/1/86
7,000,000
7.50-10.00
9/1/06
7,000,000
CITY
1
OF ALLEN GENERAL OBLIGATION BONDS:
TOTAL
$19,130,000
1964
2/1/64
$ 50,000
4.75%
2/1/94
$ 37,000
$ 4,000
$ 1,663
$ 5,663
5,958
1965
6/1/65
100,000
4.75
6/1/95
41,000
4,000
1,958
5,750
1966
11/1/66
100,000
5.75
11/1/05
100,000
-
25,000
5,750
24,025
49,025
1976
1979
5/1/76
8/1/79
500,000
2,000,000
7.00
6.50
7/1/96
8/1/09
310,000
1,920,000
20,000
132,400
152,400
1981
5/1/81
2,000,000
10.00
5/1/99
1,775,000
75,000
177,500
252,500
148,375
1982
11/1/82
910,000
11.00
11/1/93
810,000
75,000
50,000
73,375
207,750
257,750
1984
8/1/84
1,970,000
10-13.00
8/1/99
9/1/00
1,870,000
4,425,000
120,000
428,315
548,315
1985
9/1/85
4,500,000
8.70-11.20
627,491
627,491
1986
8/1/86
7,000,000
7.50-10.00
9/1/06
7,000,000
-
_
TOTAL
$19,130,000
$18,288,000
$_ 373,000
$1,680,227
$2,053,227
CITY OF ALLEN
CAPITAL IMPROVEMENT PROGRAM
BOND PROGRAM SUMMARY BY YEAR
GENERAL
OBLIGATION BONDS
1985
1986
1987
1988
1989
POLICE
$ 295,000
$1,755,000
$ -0-
$ -0-
$ -0-
FIRE
190,000
268 000
,
-0-
275,000
50,000
PARKS
1,300,000
965,000
1,675,000
1,125,000
-0-
LIBRARY
r
300,000
-0-
1,800,000
425,000
-0-
r
STREETS
2,415,000
4,012,000
803,000
1,663,000
1,077,000
T 0 T A
REVENUE
L: $4,500,000
BONDS
$7,000,000
$4,278,000
$3,488,000
$1,127,000
$20,393,000
WATER
$2,780,000
$2,006,000
$ -0-
$ 450,000
$ -0-
SEWER
20,000
22,000
-0-
1,064,000
-0-
T 0 T A
L: $2,800,000
$2,028,000
$ -0-
$1,514,000
$ -0-
$ 6,342,000
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
GENERAL GOVERNMENT
PERSONNEL SERVICES
Manager Salaries
$24,495
$25,945
$15,305
$25,755
$25,077
FICA Expense
1,706
1,781
1,152
1,953
2,050
TMRS Expense
708
749
437
739
752
Workman's Comp.
45
50
31
47
53
Health Insurance
1,510
1,511
879
1,507
1,507
SUBTOTAL
28,464
30,036
17,804
30,001
29,439
OPERATING EXPENSES
Advertising
3,045
2,700
1,950
2,950
2,900
Codification - Ord.
1,502
2,500
-
2,500
3,000
Conferences & Training
949
2,100
1,758
2,608
2,500
Dues & Subscriptions
3,162
4,050
2,445
4,050
4,229
Electricity
1,432
1,479
328
578
-
Water Usage
-
308
-
308
-
Gas - Lone Star
373
302
246
302
-
Insurance
4,010
1,401
3,061
3,061
3,659
Miscellaneous
879
11000
1,331
2,281
11000
Postange & Freight
1,515
2,111
1,178
1,848
2,388
Printing & Reproduction
3,867
5,100
2,126
4,526
5,600
Telephone
2,017
1,662
1,492
2,557
1,362
Car Allowance
1,800
1,800
1,039
11800
11300
Professional Services
511
600
-
400
600
SUBTOTAL
25,062
27,113
16,954
29,769
29,038
SUPPLIES
Office
1,693
1,600
1,270
1,600
1,600
Janitorial
319
250
116
201
-
Miscellaneous
1,682
2,500
1,532
2,500
2,600
Boards & Commissions
542
600
444
600
600
SUBTOTAL
4,236
4,950
3,362
4,901
4,800
- 12 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
GENERAL GOVERNMENT (Cont.)
Building
655
1,298
228
278
-
Equipment
318
150
57
77
150
SUBTOTAL
973
1,448
285
355
150
CONTRACT SERVICES
Comprehensive Plan
14,620
-
-
-
-
Janitorial
865
1,538
897
1,538
-
City Flags
-
1,108
1,710
1,710
1,710
Chamber Brochure
-
-
-
1,500
-
SUBTOTAL
15,485
2,646
2,607
4,748
1,710
CITY COUNCIL EXPENSES
Mayor
575
720
420
720
720
Council Members
660
1,440
750
1,190
1,200
Expenses
4,839
4,000
8,042
10,042
7,375
Plaques, Awards, Procl.
158
500
167
567
500
SUBTOTAL
6,232
6,660
9,379
12,519
9,795
ELECTION EXPENSES
Officials
811
500
341
341
500
Supplies
301
100
248
248
220
Advertising
600
100
-
37
50
Printing & Reproduction
180
180
122
122
150
Location Rental
6
65
-
25
25
Dues & Subscriptions
15
-
18
45
65
SUBTOTAL
1,913
945
729
818
1,010
CAPITAL OUTLAY
Office Equipment
-
3,080
3,024
5,024
237
Word Processing
-
9,000
-
7,000
-
SUBTOTAL
-
12,080
3,024
12,024
237
DEPARTMENT TOTALS
$82,365
$85,878
$54,144$95,135$76,179
13
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - GENERAL GOVERN24ENT
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME PART-TIME
1
6
1
1
NEW PROPOSED
None
CAPITAL OUTLAY
ArrnTTMT Nn _
49016
nV Cf`D T DM TnM
File Cabinet
TEMPORARY
- 14 -
POSITION/TITLE
Mayor
Councilmen
City Attorney
City Secretary
COST
$ 237
- 15 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
CITY ADMINISTRATION
PERSONNEL SERVICES
Manager's Salaries
$ 45,676
$ 47,586
$ 28,020
S 47,170
$ 45,960
Clerical Salaries
29,299
34,189
19,855
33,370
33,360
Salary & Wages
1,961
27,166
12,957
22,582
48,947
Overtime
129
100'
14
96
109
FICA Expense
5,336
6,930
4,438
7,593
9,865
T:NRS Expense
2,214
3,149
1,737
2,961
3,852
workman's Comp.
134
192
91
145
271
Health Insurance
3,413
4,555
2,215
3,797
4,530
SUBTOTAL
88,162
123,867
69,327
117,714
146,894
OPERATING EXPENSES
Advertising
86
150
-
50
150
Conferences & Training
2,858
3,200
4,496
7,296
4,950
Dues & Subscriptions
965
1,150
624
724
1,085
Electricity
867
753
294
504
-
Water Usage
-
308
-
308
-
Gas - Lone Star
185
151
123
155
-
Insurance
1,177
964
2,749
2,837
3,297
Mileage
550
100
73
125
317
:Miscellaneous
-
100
93
159
150
Postage & Freight
510
551
440
754
850
Printing & Reproduction
920
1,977
227
1,000
2,200
Rentals
-
50
-
-
-
Telephone
1,799
1,662
996
1,707
2,115
Car Allowance
4,200
4,200
2,450
4,200
4,800
SUBTOTAL
14,117
15,316
12,565
19,819
19,914
SUPPLIES
Office
1,253
1,400
759
1,400
1,600
Janitorial
33
-
54
93
-
Miscellaneous
67
100
68
100
100
SUBTOTAL
1,353
1,500
881
1,593
1,700
- 15 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
CITY ADMINISTRATION (Cont.)
Equipment
Miscellaneous
SUBTOTAL
CONTRACT SERVICES
Janitorial
SUBTOTAL
CAPITAL OUTLAY
Office Equipment
SUBTOTAL
DEPARTMENT TOTALS
429 649 217 567 -
727 750 263 613 613
- 50 - - -
1,156 1,449 480 1,180 613
833 769 449 769 -
833 769 449 769 -
672 10,888 174
672 10,888 174
$106,293 $153,789 $ 83,876
- 16 -
10,888 3,978
10,888 3,978
$151,963 $173,099
CITY OF -ALLEN -
1986-87 BUDGET
DEPARTMENT - CITY ADMINISTRATION
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME
1
1
1
1
NEW PROPOSED
1
CAPITAL OUTLAY
ACCOUNT NO
49016
49016
49016
PART-TIME TEMPORARY POSITION/TITLE
Citv Manager
Administrative Assistant
Secretary II
Receptionist
DESCRIPTION
Lateral File Cabinet
Modular Workstation
Executive Chair
- 17 -
Data Processing Coordinator
(10/20/86)
COST
$ 750
2,800
428
CITY OF ALLEN
1986-87 FISCAL -YEAR
PROPOSED BUDGET
- 18 -
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
GENERAL ITEMS
OPERATING EXPENSES
Miscellaneous
$ -
S -
$ 406
-
Professional Services
2,521
10,000
23,019
28,569
15,000
Unempl. Comp. Claims
-
-
-
-
1,500
SUBTOTAL
2,521
10,000
23,425
29,381
16,500
CONTRACT SERVICES
:Master Plan
58,645
-
-
-
-
Audit
16,000
17,000
17,170
17,170
16,200
Tax Service AISD
54,807
50,000
23,707
50,000
53,000
Central Appraisal
16,310
24,021
14,185
28,370
35,233
Computer Costs
-
47,000
-
47,000
25,000
Sanitation Service
-
-
-
-
471,552
SUBTOTAL
145,762
138,021
55,062
142,540
600,985
LEGAL EXPENSE
Retainer
18,734
17,300
10,779
18,504
20,000
EAS
-
-
6,784
25,000
10,000
SUBTOTAL
18,734
17,300
17,563
43,504
30,000
MISCELLANEOUS
Contingency
-
24,000
-
-
30,000
Payroll Reserve
-
-
-
-
140,000
Copier Costs
2,158
2,730
3,648
4,788
4,887
SUBTOTAL
2,158
26,730
3,648
4,788
174,887
DEPARTMENT TOTALS
$169,175
$192,051
$ 99,698
$220,213
$822,372
- 18 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
POLICE DEPARTMENT
PERSONNEL SERVICES
Manager's Salaries
$ 36,407
$ 41,284
$ 24,742
$ 40,992
$ 39,000
Clerical Salaries
94,128
114,411
65,599
104,007
95,340
Public Safety Salaries
415,422
495,774
277,066
491,633
569,983
Salary and Wages
6,636
1,055
-
-
-
Animal Control
6,512
32,663
15,807
28,807
32,280
Overtime
30,812
53,600
18,104
38,000
35,000
Part Time Salary
-
300
-
-
4,420
FICA
42,981
43,967
29,632
51,713
56,689
T11RS
17,834
19,971
11,813
20,695
23,575
Workman's Comp.
10,745
17,452
10,714
18,296
24,001
Health Insurance
30,946
41,078
20,019
36,068
41,410
SUBTOTAL
692,423
861,555
473,496
830,211
921,698
OPERATING EXPENSES
Advertising
265
300
210
300
300
Conferences & Training
2,834
5,500
2,469
4,500
7,000
Court Cost/Jury Fees
16,279
500
3,992
4,192
500
Worker's'Comp Claims
-
-
-
-
500
Dues & Subscriptions
139
300
37
187
150
Electricity
3,497
2,700
2,000
4,109
5,500
Gas - Lone Star
284
294
189
239
250
Insurance
12,276
7,107
26,506
28,490
24,867
Mileage
1,546
600
409
709
1,350
Miscellaneous
210
200
452
452
450
Postage & Freight
508
551
447
766
750
Printing & Reproduction
6,334
51000
4,753
6,000
6,000
Rentals
-
100
-
50
-
Telephone
8,304
7,500
4,838
8,293
11,300
Car Allowance
3,600
3,600
2,100
3,600
4,200
Professional Services
1,534
1,200
1,061
1,581
1,500
Police Prof. Liab.
-
4,395
31
31
8,824
Crime Prevention
633
1,500
857
1,500
800
SUBTOTAL
58,243
41,347
50,351
64,999
74,241
- 19 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
- 20 -
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
POLICE DEPARTMENT (Cont.)
SUPPLIES
Office
4,412
4,000
2,905
4,000
5,000
Janitorial
45
100
-
40
100
Animal
8,032
5,467
2,637
4,500
5,000
Clothing & Uniform Allow.
3,368
4,700
4,491
5,491
5,650
Gasoline
-
23,750
10,599
18,169
20,000
Miscellaneous
157
350
-
300
300
Oil & Lubricants
22,056
-
-
-
660
Small Tools & Equip.
4,679
3,000
1,169
2,004
5,963
SUBTOTAL
42,749
41,367
21,801
34,504
42,673
MAINTENANCE
Building
943
500
1,51'_
1,811
2,000
Equipment
5,828
7,000
11,066
18,066
10,969
Miscellaneous
-
100
-
100
100
Radio
-
-
-
-
7,031
SUBTOTAL
6,771
7,600
12,577
19,977
20,100
CONTRACT SERVICES
Janitorial
3,084
3,100
2,454
4,364
4,584
Racal Milgo
1,649
1,200
1,578
2,124
-
SUBTOTAL
4,733
4,300
4,032
6,488
4,584
LEGAL EXPENSE
Municipal Judge
3,600
3,600
2,100
3,600
3,600
SUBTOTAL
3,600
3,600
2,100
3,600
3,600
CITY COUNCIL EXPENSES
Plaques, Awards, Proclam.
-
-
-
-
100
SUBTOTAL
-
-
-
-
100
- 20 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
POLICE DEPARTMENT (Cont.)
OTHER SERVICES
Prisoner's Keep
385
1,200
520
820
1,200
SUBTOTAL
385
1,200
520
320
1,200
VEHICLE MAINTENANCE
Vehicle Maintenance
12,651
11,500
8,312
13,312
13,000
SUBTOTAL
12,651
11,500
8,312
13,312
13,000
CAPITAL OUTLAY
Buildings
-
10,000
10,644
10,644
-
Cars & Trucks
-
-
-
-
54,500
Office Equipment
-
49,804
1,863
49,363
6,451
Radio Equipment
4,444
1,250
1,178
1,178
4,271
SUBTOTAL
4,444
61,054
13,685
61,185
65,222
DEPARTMENT TOTALS
$ 825,999
$1,033,523
$ 586,874
$1,035,096
$1,146,418
- 21 -
I
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - POLICE
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME PART-TIME
TEMPORARY POSITION/TITLE
1
Chief
1
Lieutenant
4
Sergeants
15
Patrolmen
1
Juvenile Officer
1
Court Clerk
4
Communication Technicians
2
Animal Control Officers
1
Secretary
1
Clerk
1
Municipal Judge
NEW PROPOSED
1 Patrolman (4/1/87)
1 Detective (4/1/87)
1 Administrative Assistant
1 Clerk (1/1/87)(11/1/87)
CAPITAL OUTLAY
ACCOUNT NO. DESCRIPTION COST
49012
2 Marked Patrol Cars (Replacement)
$24,000
49012
1 Marked Patrol Car (New)
12,000
49012
1 Marked CID Car (Replacement)
8,500
49012
1 Animal Control Truck (Replacement)
10,000
49016
Desk
400
49016
Chair
255
49016
File Cabinet
231
49016
Office Lease Space
5,565
49017
Radio
2,000
49017
Red Lights & Siren
1,200
49017
Radar
800
49017
Telephone Lease/Purchase
271
- 22 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
ENGINEERING DEPARTMENT
PERSONNEL SERVICES
Manager's Salaries $ -
$ 33,000
$ 4,765
$ 19,515
$ 37,440
Clerical Salaries -
11,530
-
4,955
14,930
Salary and Wages -
13,260
369
8,084
144,300
Overtime -
-
-
801
2,500
Part Time Salary -
-
-
-
9,450
FICA Expense -
4,074
424
2,603
14,915
TMRS Expense -
4,826
148
963
6,362
Workman's Comp. -
1,394
16
32
8,591
Health Insurance -
-
126
1,338
11,376
SUBTOTAL -
68,084
5,848
38,291
249,864
OPERATING EXPENSES
Advertising -
-
237
237
300
Elec./Street Lights -
-
-
-
82,000
Conferences & Training -
500
-
500
2,000
Workman's Comp Claims -
-
-
-
500
Dues & Subscriptions -
250
-
250
307
Electricity -
-
21
21
-
Gas - Lone Star -
-
4
4
-
Insurance -
-
702
752
2,519
Mileage -
4,500
1,400
1,400
100
Miscellaneous -
-
-
-
300
Postage & Freight -
500
95
95
400
Printing & Reproduction -
-
132
132
600
Rentals -
-
-
-
1,100
Telephone -
1,000
316
834
2,100
Car Allowance -
-
-
3,467
10,800
SUBTOTAL -
6,750
2,907
7,692
103,026
SUPPLIES
Office -
650
262
482
700
Medical & Chemical -
-
-
-
100
Clothing & Uniform -
-
-
-
2,600
-
-
4,500
Gasoline -
-
Miscellaneous -
150
6
6
750
-
-
750
Oil-& Lubricants -
-
Small Tools & Equip. -
-
-
-
3,100
SUBTOTAL -
800
268
488
12,500
- 23 -
1984-85
CLASSIFICATION ACTUAL
ENGINEERING DEPARTMENT (Cont.)
u ui iu tt ty
Equipment
Miscellaneous
Radio
Asphalt
Rock, Sand, Etc.
Sealer & Tac Oil
SUBTOTAL
CAPITAL OUTLAY
Office Equipment
Traffic Signs
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1985-86 EXPENDED 1985-86 1986-87
BUDGETED APRIL, 1986 AMENDED PROPOSED
250 37 37 -
250 11 11 5,200
- - - 500
- - 500
- - 13,500
- - 9,000
- - 1,250
500 48 48 29,950
- - 177
- 177
$ - $ 76,134 $ 9,248
- 24 -
4,078 4,000
- 24,735
4,078 28,735
$ 50,597 $424,075
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - ENGINEERING
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME PART-TIME TEMPORARY POSITION/TITLE
1 Engineer
1 Secretary
1 Public Works Inspector
1 * Foreman
1 * Equipment Operator
1 * Crew Chief
4 * Maintenance Workers
1 ** Public Works Inspector
NEW PROPOSED
3 Maintenance Workers
(6/1/87)
CAPITAL OUTLAY
ACCOUNT NO. DESCRIPTION COST
49016 Computer Equipment $ 3,800
49016 Dictaohone 200
49025 Street/Traffic Signs 24,735
* Transferred from Community Development
** Transferred from Public Works
- 25 -
CITY OF ALLEN
1986-87 FISCAL, YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
PARKS AND RECREATION
PERSONNEL SERVICES
Manager's Salaries
$ 31,945
$ 35,542
$ 21,138
$ 35,238
$ 33,840
Clerical Salaries
7,957
20,534
9,292
15,792
17,700
Salary and Wages
85,370
113,979
58,732
103,942
147,800
Overtime
3,732
3,500
145
3,340
5,088
Part -Time Salary
20,062
46,530
674
54,267
75,122
FICA Expense
10,317
14,346
6,519
15,446
20,887
TMRS Expense
3,764
5,346
2,530
4,490
6,206
Workman's Comp.
2,551
6,457
2,074
5,572
6,651
Health Insurance
6,851
9,146
4,176
7,969
11,367
SUBTOTAL
172,549
255,380
105,280
246,056
324,661
OPERATING EXPENSES
Advertising
178
750
179
1,779
2,500
Conferences & Training
1,147
1,600
1,514
1,657
2,685
Workman's Comp Claims
-
-
-
-
250
Dues & Subscriptions
478
500
465
465
725
Electricity
7,892
11,174
3,169
8,669
11,200
Water Usage
2
10,465
-
10,465
13,500
Gas - Lone Star
365
302
246
296
-
Insurance
3,835
4,240
5,188
5,188
6,485
Mileage
398
700
4
304
500
Miscellaneous
162
200
19
169
200
Postage & Freight
608
551
511
1,011
1,200
Printing & Reproduction
11009
1,232
342
1,042
1,500
Rentals
2,418
2,600
225
2,600
2,600
Summer Youth Program
3,021
3,000
45
3,000
3,000
Telephone
2,103
2,062
1,330
2,630
2,750
Car Allowance
3,000
3,000
2,050
3,800
5,400
Professional Services
211
-
25
100
-
Softball Expenses
13,872
15,190
2,556
15,145
15,040
Basketball Expenses
2,628
2,760
3,182
3,182
2,880
Volleyball Expenses
1,084
1,800
1,296
1,752
1,900
Pool Instructors
-
5,000
-
4,500
4,500
Senior Citizens Support
-
-
-
-
2,500
SUBTOTAL
44,411
67,126
22,446
67,754
81,315
owl-=
1984-85
CLASSIFICATION ACTUAL
PARKS AND RECREATION (Cont.)
SUPPLIES
Office
1,371
Janitorial
314
Medical & Chemical
-
Agricultural
2,714
Clothing & Uniforms
1,664
Mechanical
154
Gasoline
4,408
Miscellaneous
285
Oil & Lubricants
-
Small Tools & Equip.
1,363
Ballfield Minor Equip.
-
Recreation Minor Equip.
-
Pool Supplies
-
SUBTOTAL
12,273
MAINTENANCE
5,200
Building
683
Equipment
4,334
Miscellaneous
961
Ground Sprinklers
1,655
Radio
38
Landscaping
1,498
Ballfield Clay
1,577
Ballfield Maintenance
2,127
Pool Maintenance
-
SUBTOTAL
12,873
CONTRACT SERVICES
636
Janitorial
Sanitation
SUBTOTAL
VEHICLE MAINTENANCE
Vehicle Maintenance
SUBTOTAL
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
1,500
ACTUAL
854
400
1985-86
EXPENDED
1985-86
1986-87
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
2,000
966
1,500
507
1,257
1,500
300
108
300
300
4,500
-
4,500
4,500
5,000
919
4,419
5,200
2,710
1,489
2,631
3,457
350
89
350
350
6,855
1,364
3,614
6,500
300
253
300
300
-
-
-
600
11500
636
1,500
1,500
-
-
-
500
-
-
-
500
1,000
24
11000
1,000
24,015
5,389
19,871
26,207
1,500
254
854
400
4,500
2,639
5,687
5,600
1,500
449
1,500
1,500
2,000
966
2,000
2,750
250
446
522
300
1,500
1,648
2,098
3,000
1,800
64
1,800
1,800
2,200
1,764
3,945
3,000
2,500
-
2,500
2,500
17,750
8,230
20,906
20,850
1,770
1,538
945
1,538
-
3,242
4,200
1,346
3,646
3,700
5,012
5,738
2,291
5,184
3,700
2,906
1,600
269
1,119
1,600
2,906
1,600
269
1,119
1,600
- 27 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
- 28 -
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
PARKS AND RECREATION
(Cont.)
CAPITAL OUTLAY
Cars & Trucks
80
81900
8,918
8,918
-
Office Equipment
-
650
336
650
4,408
Radio Equipment
695
750
730
730
-
Implements
6,531
17,327
4,454
17,327
21,174
SUBTOTAL
7,306
27,627
14,438
27,625
25,582
DEPARTMENT TOTALS
$257,330
$399,236
$158,343
$388,515
$483,915
- 28 -
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - PARKS AND RECREATION
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME
PART-TIME
TEMPORARY
POSITION/TITLE
1
Director
1
Recreation Supervisor
1
Foreman
1
Secretary
1
Program Coordinator
5
3
Maintenance Workers
10
Recreation Leaders
1
Pool Manager
8
Lifeguards (Full-time Equiv.);
NEW PROPOSED
3
Maintenance Workers
10/1/86; 4/1,'87 (2)
3
Maintenance Workers 6/1/87
1
Special Activities Coord.
1/1/87
CAPITAL OUTLAY
ACCOUNT NO.
DESCRIPTION
COST
49016
Credenza
$ 408
49016
Computer Software
2,500
49016
Drafting Table, Equipment
1,500
49021
Front End Loader
2,500
49021
Turf Truck
6,500
49021
Mowers, Trimmers,
Chain Saw
2,400
49021
Lease/Purchase Payments (Mowers,
9,774
Tractor)
- 29 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENIDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AM.EMED PROPOSED
LIBRARY
PERSONNEL SERVICES
Manager's Salaries
$ 24,989
$ 31,262
$ 17,536
$ 31,896
$ 36,629
Clerical Salaries
14,681
15,545
10,227
16,737
15,624
Overtime
151
250
81
181
225
Part -Time Salary
9,092
15,567
7,067
13,147
17,015
FICA Expense
3,412
3,861
2,482
4,415
4,969
TMRS Expense
1,339
1,635
947
1,729
2,084
Workman's Comp.
283
200
138
193
187
Health Insurance
2,218
1,534
891
1,527
1,527
SUBTOTAL
56,165
69,854
39,369
69,825
78,260
OPERATING EXPENSES
Advertising
8
100
62
92
100
Conferences & Training
399
750
478
703
900
Worker's Comp. Claims
-
-
-
-
300
Dues & Subscriptions
154
175
245
245
300
Electricity
1,504
900
462
1,462
1,600
Expense Allowance
60
100
-
50
300
Water Usage
-
71
-
71
71
Gas - Lone Star
938
1,000
688
788
1,000
Insurance
7,786
4,318
2,810
2,810
3,565
Mileage
90
200
47
100
-
Miscellaneous
18
100
-
100
150
Postage & Freight
488
551
417
617
500
Printing & Reproduction
286
450
137
437
800
Rentals
242
250
219
219
225
Telephone
1,608
1,662
649
1,149
1,550
Car Allowance
-
50
-
-
1,800
Professional Services
45
-
-
-
-
SUBTOTAL
13,626
10,677
6,214
8,843
13,161
SUPPLIES
Office
1,382
1,000
774
999
1,400
Periodicals
1,269
1,500
1,392
1,500
2,225
Miscellaneous
-
750
172
397
500
SUBTOTAL
2,651
3,250
2,338
2,896
4,125
am$=
CLASSIFICATION
LIBRARY (Cont.)
uuliu iaay
Equipment
Book Collection
SUBTOTAL
CONTRACT SERVICES
Janitorial
SUBTOTAL
LIBRARY BOOKS
City Fund
County Funds
Continuation Funds
SUBTOTAL
CAPITAL OUTLAY
Buildings
Office Equipment
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-35 1985-86 EXPENDED 1985-86 1986-87
ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
1,673
1,200
443
477
300
154
-
100
108
2,150
1,600
705
1,944
1,944
1,296
1,944
1,944
1,296
1,193
3,500
299
600
108
500
1,600
4,600
1,944 1,944
1,944 1,944
4,894 7,400 5,990 7,400 7,000
3,543 5,200 - 5,200 5,200
- - - - 1,000
8,437 12,600 5,990 12,600 13,200
3,610 3,300 1,666
152 750 717
3,762 4,050 2,383
$ 88,735 $103,975 $ 58,295
- 31 -
3,333
3,333
1,692
950
5,025
4,283
$102,733
$119,573
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME
1
1
NEW PROPOSED
CAPITAL OUTLAY
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - LIBRARY
PART-TIME TEMPORARY POSITION/TITLE
Director
Library Technician
2 Library Aides
1 Children's Librarian
1
W3
Library Aide (1/1/87)
ACCOUNT NO.
DESCRIPTION
COST
49011
Mortgage
$ 3,333
49016
Mini -Frig
150
49016
Microwave Oven
150
49016
2 Filing Cabeinets
400
49016
4 Shelving Units
250
- 32 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
'mitm
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
FIRE DEPARTMENT
PERSONNEL SERVICES
Manager's Salaries
$ 26,501
$ 38,440
$ 22,740
$ 38,140
$ 36,960
Clerical Salaries
14,078
18,031
10,112
17,222
17,064
Public Safety Salaries
234,949
372,353
189,642
355,427
470,749
Overtime
6,775
3,000
792
12,792
15,500
Part -Time Salary
7,842
-
171
1,956
-
FICA Expense
20,174
28,202
15,956
30,376
39,473
TMRS Expense
8,370
12,596
6,383
12,131
16,420
Workman's Comp.
2,838
6,088
2,999
5,157
9,022
Health Insurance
16,885
24,422
12,073
22,772
29,845
SUBTOTAL
338,412
503,132
260,868
495,973
635,033
OPERATING EXPENSES
Advertising
106
200
-
200
200
Conferences & Training
3,853
41800
2,212
4,800
6,100
Worker's Comp. Claims
-
-
-
300
300
Dues & Subscriptions
145
500
519
519
645
Electricity
7,962
7,990
2,966
6,766
7,000
Water Usage
-
2,083
-
2,083
2,083
Gas - Lone Star
3,292
31512
2,259
2,602
2,800
Insurance
30,620
21,051
21,416
22,916
27,132
Mileage
-
-
-
500
-
Miscellaneous
768
800
633
800
800
Postage & Freight
488
11000
413
708
800
Printing & Reproduction
748
1,500
447
766
1,800
Elephone
3,583
3,419
1,663
2,850
3,000
Car Allowance
-
2,400
1,400
2,400
3,600
Code Enforcement
-
750
313
750
1,000
Professional Services
18,614
20,000
10,935
17,745
20,500
SUBTOTAL
70,179
70,005
45,176
66,705
77,760
SUPPLIES
Office
891
1,500
625
1,071
1,500
Janitorial
700
900
391
670
1,000
Medical & Chemical
2,331
2,500
854
2,464
2,500
Clothing & Uniforms
2,592
4,500
3,999
4,599
8,500
'mitm
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
VEHICLE MAINTENANCE
Vehicle Maintenance
SUBTOTAL
CAPITAL OUTLAY
Cars & Trucks
Machinery & Equip.
Office Equipment
Radio Equipment
SUBTOTAL
DEPARTMENT TOTALS
6,387 5,000
6,387 5,000
8,608 15,153
- 9,400
2,393
825
8,608 27,771
$444,977 $630,608
- 34 -
2,772 5,466 5,000
2,772 5,466 5,000
8,418 15,153 14,431
370 9,370 38,137
2,637 2,637 700
- 800 -
11,425 27,960 53,268
$332,316 $617,620 $800,035
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
FIRE DEPARTMENT (Cont.)
SUPPLIES (Cont.)
Gasoline
2,999
5,000
2,340
4,011
4,574
Miscellaneous
761
700
411
700
800
Oil & Lubricants
-
-
-
-
500
Chemical Spills
1,918
1,500
-
1,500
1,500
Small Tools & Equip.
607
600
240
540
600
SUBTOTAL
12,799
17,200
8,860
15,555
21,474
MAINTENANCE
Building
6,417
4,500
1,638
2,808
4,500
Equipment
2,111
2,500
1,577
2,703
2,500
Miscellandous
-
250
-
200
250
Landscaping
64
250
-
250
250
SUBTOTAL
8,592
7,500
3,215
5,961
7,500
VEHICLE MAINTENANCE
Vehicle Maintenance
SUBTOTAL
CAPITAL OUTLAY
Cars & Trucks
Machinery & Equip.
Office Equipment
Radio Equipment
SUBTOTAL
DEPARTMENT TOTALS
6,387 5,000
6,387 5,000
8,608 15,153
- 9,400
2,393
825
8,608 27,771
$444,977 $630,608
- 34 -
2,772 5,466 5,000
2,772 5,466 5,000
8,418 15,153 14,431
370 9,370 38,137
2,637 2,637 700
- 800 -
11,425 27,960 53,268
$332,316 $617,620 $800,035
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME
1
1
1
17
NEW PROPOSED
4
3 (delete)
3
CAPITAL OUTLAY
T�ril,im Win
49012
49015
49015
49015
49015
49015
49015
49015
49015
49015
49015
49015
49016
49016
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - FIRE
PART-TIME
roc cnnTnmrnTi
TEMPORARY POSITION/TITLE
Fire Chief
Fire Marshal/Training
Secretary
Fire Fighters
1 Inspector
Ambulance Payment
Generator
Suction
2 Beds
Thumper
SCBP_
Mount Existing Siren
New Siren
Chain Saw
Cellular Phone
Opticon
Ram Tool
VCR
Slide Projector
-35-
Fire Fighters (1/1/87)
Fire Fighters (1/1/87)
Lieutenants (1/1/87)
COST
$14,431
2,250
400
1,000
6,000
3,500
5,000
15,000
837
850
1,500
1,800
400
30Q
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
COMMUNITY DEVELOPMENT
Manager's Salaries
$ 34,906
$ 65,571
$ 21,504
$ 30,549
$ 65,268
Clerical Salaries
8,440
32,948
18,872
32,792
34,104
Salary & Wages
179,531
221,690
98,894
185,983
137,478
Overtime
2,354
2,500
1,032
2,650
1,878
Part -Time Salary
-
-
-
-
9,860
FICA Expense
15,613
21,178
10,346
20,224
20,571
TMRS Expense
6,478
9,324
4,006
7,312
7,514
Workman's Comp.
5,257
16,861
5,381
8,926
8,907
Health Insurance
12,464
19,212
7,371
14,809
11,102
SUBTOTAL
265,043
389,284
167,406
323,745
296,682
OPERATING EXPENSES
Advertising
175
500
100
350
500
Elec./Street Lights
61,039
85,000
41,393
73,393
-
Conferences & Training
1,802
1,750
1,176
1,926
2,600
Worker's Comp. Claims
-
-
-
300
500
Dues & Subscriptions
1,190
11000
632
982
1,200
Electricity
8,177
1,332
719
1,234
-
Water Usage
-
397
-
397
-
Gas - Lone Star
573
471
381
453
0
Insurance
5,817
7,255
8,551
8,551
8,531
Mileage
123
400
34
123
750
Miscellaneous
33
300
118
300
2,000
Postage & Freight
576
551
419
719
750
Printing & Reproduction
2,810
51000
668
2,868
3,500
Rentals
208
-
89
189
Telephone
2,370
1,662
1,995
2,745
1,800
Car Allowance
10,800
16,550
7,050
13,550
18,600
SUBTOTAL
95,693
122,168
63,325
108,080
40,731
SUPPLIES
Office
2,452
2,800
1,319
2,800
3,000
Janitorial
421
350
166
301
-
Medical & Chemical
18
100
31
81
50
Clothing & Uniforms
1,698
2,216
725
1,795
-
Gasoline
4,899
6,923
1,914
3,914
-
Miscellaneous
867
750
201
1,201
500
Small Tools & Equip.
2,971
3,000
304
2,104
500
SUBTOTAL
13,326
16,139
4,660
12,196
4,050
- 36 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
COMMUNITY DEVELOPMENT (Cont.)
Building
1,490
2,028
Equipment
3,198
3,000
Radio
171
300
Asphalt
10,293
7,500
Rock, Sand, Etc.
6,136
6,000
Sealer & Tac Oil
232
2,000
SUBTOTAL
21,520
20,828
CONTRACT SERVICES
Janitorial
2,187
-
Computer
-
-
Sanitation
221,387
420,023
Subdivision Engineering
35,659
-
SUBTOTAL
259,233
420,023
324
1,000 -
567
2,567 400
178
278 250
11,410
12,910 -
6,224
7,424 -
-
500 -
18,703
24,679 650
1,210
2,060 -
-
- 13,750
183,137
384,588 -
131
131 -
184,478
386,779 13,750
PLANNING & ZONING
Conferences 140 350 -
Dues & Subscriptions 50 300 -
Professional Services 51 200 -
SUBTOTAL 241 850 -
VEHICLE MAINTENANCE
225 350
- 200
- 200
225 750
Vehicle Maintenance 4,265 4,000 2,758 3,800 -
SUBTOTAL 4,265 4,000 2,758 3,800 -
MISCELLANEOUS
Copier Costs - - - - 2,300
2,300
- 37 -
1984-85
CLASSIFICATION ACTUAL
COMMUNITY DEVELOPMENT (Cont.)
CAPITAL OUTLAY
Cars & Trucks
Office Equipment
Radio Equipment
Implements
Traffic Signs
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
1985-86
BUDGETED
- 7,000
- 8,226
- 600
- 1,050
889 29,334
889 46,210
$ 660,210 $1,019,502
- 38 -
ACTUAL
EXPENDED 1985-86 1986-87
APRIL, 1986 AMENDED PROPOSED
6,724 6,724 -
8,175 15,961 -
- 600 -
7,032 19,032 -
21,931 42,317 -
$ 463,261 $ 901,821 $ 358,913
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - COMMUNITY DEVELOPMENT
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME PART-TIME TEMPORARY POSITION/TITLE
1 Director
1 Development Coordinator
2 Secretaries
3 Code Inspectors
1 Plans Examiner
1 Health Inspector
NEW PROPOSED
1 (delete) Plans Examiner (1/1/87)
1 Planner (12/1/86)
1 Secretary (1/1/87)
1 Asst. Bldg. Official (1/1/87)
CAPITAL OUTLAY
rnnnrrnrm ern
None
T1-+[ nTnMTnTT
- 39 -
COST
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1985-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
FINANCE DEPARTMENT
Manager's Salaries
$ 24,225
$ 36,690
$ 20,367
$ 36,415
$ 35,400
Clerical Salaries
6,467
31,766
17,221
30,471
34,045
Overtime
160
-
320
373
159
FICA Expense
2,118
4,558
2,698
4,797
4,968
TMRS Expense
874
1,978
11089
1,938
2,085
Workman's Comp.
61
139
67
112
146
Health Insurance
1,700
3,043
1,517
2,781
3,035
SUBTOTAL
35,605
78,174
43,279
76,387
79,838
OPERATING EXPENSES
Advertising
47
50
105
105
100
Conferences & Training
419
1,880
1,517
2,017
1,205
Worker's Comp. Claims
-
-
-
-
150
Dues & Subscriptions
355
675
376
496
418
Electricity
295
282
13
138
-
Water Usage
-
290
-
290
Gas - Lone Star
72
56
46
61
-
Insurance
750
600
1,808
1,806
2,268
Mileage
88
300
37
127
-
Miscellaneous
5
-
24
44
50
Postage & Freight
411
550
414
699
1,007
Printing & Reproduction
321
800
531
681
2,600
Telephone
1,700
1,662
852
1,252
1,362
-
-
-
1,800
Car Allowance
-
Professional Services
1,504
390
-
-
400
SUBTOTAL
5,967
7,535
5,723
7,718
11,360
SUPPLIES
Office
1,192
550
377
550
600
Janitorial
10
-
20
30
-
Miscellaneous
35
-
15
15
-
SUBTOTAL
1,237
550
412
595
600
MAINTENANCE
Building
266
243
210
243
-
Equipment
265
50
60
158
345
SUBTOTAL
531
293
270
401
345
- 40 -
1984-85
CLASSIFICATION ACTUAL
FINANCE DEPARTMENT (Cont.)
CONTRACT SERVICES
Janitorial
Prior Year Tax Refund
SUBTOTAL
CAPITAL OUTLAY
Office Equipment
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1985-86 EXPENDED 1985-86 1986-87
BUDGETED APRIL, 1986 AMENDED PROPOSED
521 288 264 464 -
- - 133 133 -
521 288 397 597 -
$ 43,861 $ 86,840
- 41 -
174 374 -
174 374 -
$ 50,255 $ 86,572 $ 92,143
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME
1
1
1
NEW PROPOSED
None
CAPITAL OUTLAY
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - FINANCE
PART-TIME TEMPORARY
--- I-- wry nVCnnTnMTnM
None
- 42 -
POSITION/TITLE
Finance Director
Account Clerk
Sr. Account Clerk
COST
CLASSIFICATION
BUILDING MAINTENANCE
OPERATING EXPENSES
Electricity
Water Usage
Gas - Lone Star
SUBTOTAL
SUPPLIES
Janitorial
SUBTOTAL
MAINTENANCE
Building
SUBTOTAL
CONTRACT SERVICES
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
Janitorial -
SUBTOTAL -
CAPITAL OUTLAY
Office Equipment -
SUBTOTAL -
DEPARTMENT TOTALS $_
- 43 -
10,000
2,000
1,831
13,831
1,513
1,513
3,000
3,000
- 9,612
- 9,612
- 9,189
- 9,189
$ 37,145
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85 1985-86 EXPENDED 1985-86 1986-87
CLASSIFICATION ACTUAL BUDGETED APRIL, 1986 AMENDED PROPOSED
PUBLIC WORKS - WATER
PERSONNEL SERVICES
Manager's Salaries
$ 21,885
$ 23,668
$ 14,387
$ 23,872
$ 22,764
Clerical Salaries
11,077
11,627
6,241
11,183
11,903
Salary and Wages
110,538
132,596
73,095
112,456
118,958
Overtime
15,443
14,000
7,458
13,858
15,000
Part -Time Salary
1,505
1,820
990
1,820
1,820
FICA Expense
11,252
11,766
7,379
11,801
12,096
TMRS Expense
4,668
4,817
2,895
4,635
4,962
Workman's Comp.
3,968
5,809
2,564
3,535
2,916
Health Insurance
8,115
9,582
5,742
9,715
9,939
SUBTOTAL
188,451
215,685
120,751
192,875
200,358
OPERATING EXPENSES
Capital Improvement Study 28,277
Advertising
179
150
25
75
150
Conferences & Training
921
1,200
577
1,050
1,533
Worker's Comb. Claims
-
-
-
150
840
Dues & Subscriptions
175
400
53
263
1,050
Electricity
70,208
60,000
30,762
62,262
70,562
PAR Gas
860
1,150
557
780
1,100
Water Usage
-
290
-
290
290
Gas - Lone Star
398
350
269
320
-
Insurance
2,933
8,024
12,893
13,245
12,495
Mileage
37
50
46
80
105
Miscellaneous
22
150
-
150
150
Postage & Freight
367
170
283
485
500
Printing & Reproduction
1,211
750
197
600
700
Rentals
943
1,500
364
800
900
Telephone
1,685
1,500
1,361
2,722
1,400
Car Allowance
1,750
11890
2,328
3,990
2,400
Professional Services•
27,802
17,000
8,191
17,000
16,000
Water District Purchases
464,837
474,819
195,864
425,000
510,000
SUBTOTAL
602,605
569,393
253,770
529,262
620,175
SUPPLIES
Office
734
650
535
885 800
Janitorial
292
250
125
250 -
Medical & Chemical
1,663
2,000
283
1,600 2,000
Clothing & Uniforms
2,564
3,400
1,529
3,030 2,407
- 44 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
PUBLIC WORKS - WATER
(Cont.)
SUPPLIES (Cont.)
Mechanical
29,654
27,000
17,231
32,340
29,000
Chlorine Gas
535
11100
265
970
1,100
Gasoline
6,252
81000
2,686
5,200
4,701
Miscellaneous
206
150
44
150
150
Oil & Lubricants
-
-
-
-
455
Small Tools & Equip.
228
500
132
400
570
SUBTOTAL
42,128
43,050
22,830
44,825
41,183
MAINTENANCE
Building
760
1,500
678
1,400
700
Equipment
2,955
4,000
900
3,000
4,900
Miscellaneous
241
550
184
400
490
Radio
-
-
-
-
700
Rock, Sand, Etc.
-
-
-
_ -
225
SUBTOTAL
3,956
6,050
1,762
4,800
7,015
CONTRACT SERVICES
Janitorial
1,822
-
981
1,680
-
SUBTOTAL
1,822
-
981
11680
-
VEHICLE MAINTENANCE
Vehicle Maintenance
4,023
3,200
2,980
51110
3,500
SUBTOTAL
4,023
31200
2,980
5,110
3,500
CAPITAL OUTLAY
Cars & Trucks
4,049
8,050
6,509
6,509
8,400
Machinery & Equip.
5,065
2,370
2,402
2,402
1,400
Office Equipment
-
-
-
-
700
Radio Equipment
652
-
-
-
2,450
Meters
36,290
33,881
24,858
33,881
34,355
SUBTOTAL
46,056
44,301
33,769
42,792
47,305
DEPARTMENT TOTALS
$889,041
$881,679
$436,843
$821,344
$919,536
- 45 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
SUPPLIES
Office
305
250
ACTUAL
325
300
Janitorial
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
PUBLIC WORKS - SEWER
1,156
1,500
654
1,210
1,032
PERSONNEL SERVICES
7,773
7,500
3,365
5,865
7,000
Manager's Salaries
$ 8,892
$ 10,143
$ 5,608
$ 9,673
$ 9,756
Clerical Salaries
4,483
4,982
2,658
4,776
5,101
Salary and Wages
46,328
55,498
29,256
46,125
50,983
Overtime
-
-
-
-
1,000
FICA Expense
4,162
4,948
2,716
4,415
5,185
TMRS Expense
1,727
2,025
1,065
1,731
2,126
Workman's Comp.
1,700
2,434
1,099
1,515
1,249
Health Insurance
3,478
4,106
2,461
4,164
4,260
SUBTOTAL
70,770
84,136
44,863
72,399
79,660
OPERATING EXPENSES
Advertising
113
100
11
50
100
Conferences & Training
248
250
247
247
657
Worker's Comp. Claims
-
-
-
150
360
Dues & Subscriptions
75
100
123
123
450
Electricity
7,696
8,000
4,492
8,300
8,900
Water Usage
-
275
-
275
275
Gas - Lone Star
171
350
115
155
-
Insurance
1,258
7,152
5,516
5,668
5,355
Mileage
3
50
20
50
45
Miscellaneous
2
100
2
100
100
Postage & Freight
148
400
133
240
250
Printing & Reproduction
498
500
148
450
500
Rentals
348
400
74
375
400
Telephone
777
700
536
920
600
Car Allowance
750
810
997
1,710
1,200
Professional Services
3,033
7,500
5,586
7,500
7,500
Water District Purchases
335,135
598,389
294,280
560,000
800,000
SUBTOTAL
350,255
625,076
312,280
586,313
826,692
SUPPLIES
Office
305
250
215
325
300
Janitorial
126
150
52
100
-
Medical & Chemical
698
1,500
118
1,020
1,400
Clothing & Uniforms
1,156
1,500
654
1,210
1,032
Mechanical
7,773
7,500
3,365
5,865
7,000
- 46 -
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
CONTRACT SERVICES
Janitorial
SUBTOTAL
VEHICLE MAINTENANCE
Vehicle Maintenance
SUBTOTAL
CAPITAL OUTLAY
Cars & Trucks
Machinery & Equipment
Office Equipment
Radio Equipment
SUBTOTAL
DEPARTMENT TOTALS
781
-
420
ACTUAL
-
781
-
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
PUBLIC WORKS - SEWER
(Cont.)
1,735
3,450
2,789
2,789
SUPPLIES (Cont.)
2,171
1,016
1,030
1,030
57,600
Gasoline
2,699
3,500
1,556
2,760
2,015
Miscellaneous
83
100
8
100
100
Oil & Lubricants
-
-
-
-
195
Small Tools & Equip.
85
400
52
260
330
SUBTOTAL
12,925
14,900
6,020
11,640
12,372
MAINTENANCE
Building
361
650
100
550
300
Equipment
2,841
2,500
896
1,700
2,600
Miscellaneous
288
150
79
130
210
Radio
-
-
-
-
300
Rock,Sand, Etc.
-
-
-
-
350
SUBTOTAL
3,490
3,300
1,075
2,380
3,760
CONTRACT SERVICES
Janitorial
SUBTOTAL
VEHICLE MAINTENANCE
Vehicle Maintenance
SUBTOTAL
CAPITAL OUTLAY
Cars & Trucks
Machinery & Equipment
Office Equipment
Radio Equipment
SUBTOTAL
DEPARTMENT TOTALS
781
-
420
720
-
781
-
420
720
-
1,716
1,600
1,262
2,165
1,750
1,716
1,600
1,262
2,165
1,750
1,735
3,450
2,789
2,789
3,600
2,171
1,016
1,030
1,030
57,600
-
588
388
588
300
279
-
-
-
1,050
4,185
5,054
4,207
4,407
62,550
$444,122
$734,066
$370,127
$680,024
$986,784
47
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - PUBLIC WORKS - WATER & SEWER COMBINED
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME
1
1
1
3
2
3
1
NEW PROPOSED
CAPITAL OUTLAY
Af'( nTIWT Mn
49012
49015
49015
49016
49017
49028
49028
49028
49028
49028
PART-TIME TEMPORARY POSITION/TITLE
Director
Foreman
Equipment Operator
Meter Readers
Sr. Maintenance Workers
Maintenance Workers
Secretary
nPq('VTDTTnM
1 3/4 Ton Truck
Rock Bucket
Sewer Jet Truck
File Cabinet, Map Rack
1 Base Radio
700 3/4" Meters
4 1" Meters
6 1Y" Meters
15 2" Meters
2 3" F.H. Meters
* Transferred to Engineering
- 48 -
Maintenance Worker (1/1/87)
Meter Services Representative
Meter Reader
* Utility Inspector
COST
$12,000
2,000
57,000
1,000
3,500
27,000
360
1,350
4,455
1,190
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1984-85
1985-86
EXPENDED
1985-86
1986-87
CLASSIFICATION
ACTUAL
BUDGETED
APRIL, 1986
AMENDED
PROPOSED
UTILITY COLLECTIONS
PERSONNEL SERVICES
Clerical Salaries
$ 46,211
$ 45,622
$ 24,511
$ 42,961
$ 45,828
Overtime
2,246
400
345
435
127
Part -Time Salary
509
400
-
-
-
FICA Expense
3,406
3,200
1,766
3,091
3,286
TMRS Expense
1,398
1,310
709
1,245
1,379
Workman's Comp.
134
134
83
130
97
Health Insurance
3,082
3,786
1,705
2,660
2,291
SUBTOTAL
56,986
54,852
29,119
50,522
53,008
OPERATING EXPENSES
Advertising
140
100
105
105
100
Conferences & Training
-
2,250
1,006
11919
1,835
Worker's Comp. Claims
-
-
-
-
150
Electricity
687
650
145
345
-
Gas - Lone Star
162
131
108
198
-
Insurance
415
910
1,596
1,596
1,929
Mileage
-
-
18
18
242
Miscellaneous
-
-
14
14
-
Postage & Freight
9,584
9,480
6,450
10,950
14,800
Printing & Reproduction
417
4,298
2,392
2,992
3,050
Rentals
18,526
18,496
17,737
17,737
5,912
Telephone
1,783
1,662
1,116
1,616
1,392
Professional Services
6,755
3,000
6,722
7,122
3,600
SUBTOTAL
38,469
40,977
37,409
44,612
33,010
SUPPLIES
Office
5,907
1,450
1,892
2,192
2,500
Janitorial
23
-
47
92
-
Miscellaneous
-
-
47
47
-
SUBTOTAL
5,930
1,450
1,986
2,331
2,500
MAINTENANCE
Building
394
568
216
2,871
-
Equipment
8,451
9,000
5,664
9,597
8,886
SUBTOTAL
8,845
9,568
5,880
12,468
8,886
1984-85
CLASSIFICATION ACTUAL
UTILITY COLLECTIONS (Cont.)
CONTRACT SERVICES
Janitorial
SUBTOTAL
MISCELLANEOUS
Salary Reserves
SUBTOTAL
CAPITAL OUTLAY
Office Equipment
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1986-87 FISCAL YEAR
PROPOSED BUDGET
ACTUAL
1985-86 EXPENDED 1985-86 1986-87
BUDGETED APRIL, 1986 AMENDED PROPOSED
833 673 441
333 673 441
761 -
761 -
22,000
- - - - 22,000
1,049 4,295 4,706 5,204 1,363
1,049 4,295 4,706 5,204 1,363
$112,112 $111,815 $ 79,541 $115,898 $120,767
- 50 -
CITY OF ALLEN
1986-87 BUDGET
DEPARTMENT - UTILITY COLLECTIONS
PERSONNEL AUTHORIZATIONS
CURRENT
FULL-TIME
2
1
NEW PROPOSED
None
CAPITAL OUTLAY
ACCOUNT NO
49016
49016
49016
PART-TIME TEMPORARY
MVQrVTDmTnw
Lateral File Cabinet
Executive Chair
Receipt Machine
- 51 -
POSITION/TITLE
Utility Clerks
Computer Operator
COST
$ 750
255
358