HomeMy WebLinkAboutO-1128-9-92ORDINANCE NO. 1128-9-92
AN ORDINANCE OF THE CITY OF ALLEN, COLLIN COUNTY, TERAS,
AMENDING THE APPROPRIATIONS FOR THE 1991-1992 FISCAL YEAR BUDGET
AND APPROVING AND ADOPTING THE BUDGET AND SETTING
APPROPRIATIONS FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 1992, AND
TERIVIINATING SEPTEMBER 30,1993; 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 18, 1992, by and before the City Council of the City of Allen, the subject
of which was the amended budget for the 1991-1992 Fiscal Year and the proposed budget of the City
of Allen for Fiscal Year 1992-1993 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 liven 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 1992-1993 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,
1992, and terminating September 30, 1993, and amendments to the appropriations for the 1991-1992
fiscal year budget 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.
DULY PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF ALLEN, TEXAS,
ON THE 3RD DAY OF SEPmEvtRFR , 1992.
APPROVED:
f'1 -c
Farmer, MAYOR
APPROVED AS TO FORM: ATTEST:
A. Don Crowd , CI TTORNEY C4J,'—M&r.., CITY SECRETARY
EXHIBIT "A"
SEE BUDGET ARCHIVES
CITY OF ALLEN
1992- 1993
A & I - __ _ ._
CITY OF ALLEN
April 30, 1993
Honorable Mayor Joe Farmer and Councilmembers
Kevin Lilly, Mayor Pro Tem
Mickey Christakos, Place 2
David Bishop, Place 3
Mike Nichols, Place 4
Steve Terrell, Place 5
Sharon Hamner, Place 6
Councilmembers:
In accordance with Article IV the Allen City Charter and Section 102 of the State of Texas
Local Government Code, submitted herein is the budget and operating program for the
City of Allen for the period October 1, 1992, through September 30, 1993.
This budget and operating program provides appropriations for each of the operating
departments of the General and Water and Sewer Funds and Capital Items funded through
Operating Revenues. In addition, for the upcoming fiscal year two new funds are being
added, the Vehicle Replacement Fund and the Economic Development Corporation Fund and
the Solid Waste Fund will be operational for the full fiscal year.
The information contained in this document includes summary sheets for revenues,
expenditures, debt service, reserves and capital improvements funded through bond proceeds.
In addition, budget figures are provided on each line item for all departments, including the
previous years actual budget expenditures, the approved budget for the current fiscal year,
the amount expended through the first seven months of this fiscal year, the current fiscal year
amended budget, and the proposed budget for the upcoming fiscal year.
Finally, this document contains a listing of all authorized personnel and capital outlay. The
personnel listing also provides historical information for the previous three years and lists
total department personnel based upon Full -Time Equivalents (FTE).
1991-92 FISCAL YEAR STATUS
General Fund. In spite of the continued decline in the total assessed value for the City, the
General Fund will end the year in excellent shape. Some of the highlights of the General
Fund budget are listed below:
■ It is anticipated that at the end of the fiscal year (September 30, 1992) revenues will
exceed original projections by $266,864 or 4.7%. Virtually all of that additional
revenue is the result of delinquent tax collections and a higher than anticipated
collection rate.
ONE BUTLER CIRCLE ALLEN, TEXAS 75002
214/727-0100
Page 2
Honorable Mayor and Council
April 30, 1993
■ Other major revenue categories have fluctuated in amounts that could normally be
expected.
■ To hold down expenditures in the General Fund positions in the Police, Fire and
Parks and Recreations departments were frozen for part or all of the fiscal year.
■ The amended budget shows expenditures of approximately $107,284 greater than was
approved in the 1991-92 fiscal year budget. The reasons for those additional
expenditures include the transfer of $78,014 for the creation of the vehicle
replacement fund (see page 68); and the addition of before end of year capital
expenditures of $52,300 in the City Secretary, Police, Parks and Recreation, ASAP
and Streets departments. Finally, additional expenses were recognized in the
Community Development Department for the printing of the new Comprehensive Plan
and in the Finance Department because of additional bank depository fees.
Water and Sewer Fund. Through September of this year revenues from Water and Sewer
sales are up 8.0% above last year.
On July 20, 1992, the City Council took action to sell Revenue Bonds in the amount of
$8,545,000, which included refunding all outstanding debt of $7,140,000 and funds for new
projects in the amount of $1,405,000. Because of lower interest rates and the resulting
savings on the refinancing of the current debt, new debt service payments are slightly lower
than the previous year, even with repayment of the new debt included.
Finally, the operational budget includes capital expenditures to allow the abandonment of the
Chaparral Sewer Lift Station.
Solid Waste Fund. In early July of 1992 a recycling program was initiated in Allen.
Although there were some problems and complaints, the program must be considered an
overwhelming success.
A significant problem for the North Texas Municipal Water District and the City of Allen is
the availability of appropriate solid waste landfill sites. Presently the request of the District
for approval of the McKinney landfill site as a regional landfill operation is pending before
the Texas Water Commission. If that site is not approved then it can be expected that solid
waste disposal fees will rise dramatically in the ensuing years.
Vehicle Replacement Fund. As stated earlier in this budget message revenues outstripped
expectations. As a result, the amount of the balance forward (general fund reserve) exceeds
the equivalent of 60 days reserve set by Council policy in the amount of $62,241. Also in
accordance with Council policy, it is incumbent upon administration to propose any uses for
those funds. This budget establishes a Vehicle Replacement Fund with the $62,241. This by
no means will cover all of the capital requirements for the General Fund. However, it is a
start and it is an appropriate use of these monies.
Page 3
Honorable Mayor and Council
April 30, 1993
1992-93 FISCAL YEAR BUDGET
General Fund Revenues. For the fifth straight year the City has experienced a decline in
the total assessed value (taxable property value) in the City. That reduction is from
$747,281,691 to $729,240,387 or a 2.4% drop. The tax rate represented by this budget is
76.6 cents.
Although mathematically that represents a 3.5 cent increase, the effective tax rate, according
to the state mandated calculation, is 79 cents which is 2.4 cents higher than proposed. In
other words, if an individual homeowner or business owner's assessed value was reduced a
corresponding amount equal to the percentage of loss in the total assessed value from last
year, it would mean that those property owners would actually see a tax decrease from the
City.
Of course the results will vary widely depending upon the assessed value of each individual
piece of property. Other General Fund Revenue highlights include the following:
► Because of favorable experience last year the collection percentage for ad valorem
taxes has been increased from 96% to 97%.
► The budget reflects a 10% increase in sales tax collection. This is an aggressive
estimate.
► Franchise taxes are expected to increase over 14%, but that primarily is the result of
the new franchise agreement with Southwestern Bell. Other franchise taxes represent
modest growth estimates .supplied by that utility.
► Permits and licenses are expected to increase primarily because of an increase in
building permit fees for single and multi -family units. For single family the cost per
unit will go from $305 to $350. All of our building permit fees are comparable to
area cities, after the increases.
► Revenue in recreation fees is expected to fall. The changing school year and year-
round education has had an impact on revenues for this department.
► Other revenue highlights include increases in the ambulance fees and continued
reductions in interest earning on idle funds.
General Fund Expenditures. In preparation of the proposed operating budgets
Administration directed the Department Heads to prepare their budget based upon a figure
not to exceed the amount approved in the current year budget. Because of increases in other
parts of their budget that the department head had no control of, for a number of departments
deep cuts were required to meet the Administration's mandate. For several departments this
required reductions in personnel.
Page 4
Honorable Mayor and Council
April 30, 1993
At the same time, departments were allowed to propose refilling positions that had been
previously frozen or replacing expenditures that had to be cut as a result of the "zero"
increase budget. These latter expenditures are referred to as the Restoration Budget.
Highlights of the Restoration Budget included in this proposed budget are listed below:
■ In the General Government Department (City Secretary) $1,600 has been added back
for the Citizens Information Interaction Program (CIIP).
■ In the City Manager's Department $500 was returned for conferences and training and
office supplies.
■ In the Police Department $87,173 was placed back in the budget to fund the three
vacant police officer positions.
■ In the Parks and Recreation Department $31,232 was returned to the budget to fund
two vacant maintenance worker positions and $4,000 for sanitation (port -a -pot)
service.
■ In the Fire Department $22,128 was returned to fund a vacant fire fighter position
that was proposed to be vacant for nine months.
■ In the Street Department $11,200 was returned for traffic signs, equipment
maintenance and other materials.
■ In the Community Development Department added back into the budget was $15,812
for a building inspector for two months and $1,422 for liability insurance for the
Planning and Zoning Commission and Board of Adjustment.
■ In the Finance Department an account clerk was returned to the budget for ten months
in the amount of $9,135.
■ The total of personnel costs added back in on the Recovery Budget is $165,480 in
addition to $18,722 for other costs.
In addition to the above recovery items, Department Heads were allowed to propose new
programs. Highlights of those new programs included in this budget are listed below:
City Manager's Department: Upgrade the receptionist position to secretary for
$1,316.
General Items Budget: Upgrade the AS400 Computer for $8,185 and seek consulting
assistance for a salary and job description study in the amount of $15,000.
Page 5
Honorable Mayor and Council
April 30, 1993
► Police Department: Lease purchase three vehicles for a total of $9,000. An
additional three police vehicles are to be purchased from the newly created vehicle
replacement fund for a total of $45,000.
► Parks and Recreation: Fund an equipment operator for ten months for $19,486 in
anticipation of maintenance on Bethany Lakes. Capital outlay cost in the amount of
$24,500 and payment on the Old Library Building for the Senior Citizens of $3,333
are included.
to. Library: Increase the Reference Librarian from 20 to 30 hours per week, $6,316.
P. Finance: Office equipment for $783.
► Total: $27,901 for personnel, $41,685 for capital costs (not including funds spent
from vehicle replacement fund) and $22,173 for other cost associated with the new
programs.
Water and Sewer Fund. Revenue from water and sewer sales are anticipated to increase
approximately 7%, which corresponds with the anticipated population growth rate.
Development fees for new subdivisions are also anticipated to increase. All other revenue
categories are within normal expectations. Total fund revenues are expected to rise $302,657
or 7.3%. No fee increases are being proposed for the Water and Sewer fund but the fund
will be evaluated again at the end of the current Fiscal Year.
Expenditures are proposed to increase $137,935 or 4.4%. Expenditure highlights for the
water and sewer fund are included below:
■ In the Public Works Administration Department, a new utility inspector and a part-
time drafter are budgeted for a personnel cost expenditure of $35,782. Capital outlay
expenditures are proposed at $8,700.
■ In the Water and Sewer Department personnel cost increased by $19,838 recognizing
hiring an equipment operator for ten months. Capital outlay cost is $33,500.
■ Utility Collection added a part-time customer service clerk for $7,847 and related
capital outlay of $2,325.
■ Total additional costs are $63,467 for personnel, $44,525 for capital outlay and
$3,500 for other costs associated with new programs for the water and sewer fund.
Debt Service. Debt service for the Water and Sewer Fund was discussed above in reference
to the refunding of all current outstanding debt for the water and sewer fund.
Page 6
Honorable Mayor and Council
April 30, 1993
In the debt service associated with the General Fund, the proposed tax rate includes an
amount for debt service equal to the amount necessary to service current debt. This fall it is
anticipated that the Council will consider refunding all existing general obligation debt and
sell new additional bonds to fund other projects including FM2170 east from SH5 to Allen
Heights Drive. For the most part, the savings realized from the refunding will be used to
finance the new bonds.
Solid Waste Fund. Again, this is the first full year of operation and the detail for that fund
can be found beginning on page 67. You will note that more detail on revenues and
expenditures is provided on the fund this year.
Economic Development Corporation Fund. Collection of the 1/2 cent sales tax approved
by the voters this past January, began July 1, 1992. Receipt of those revenues began on
September 10, of this year. As a result, several things have happened including:
► A new fund has been created the detail for which begins on page 64. All
expenditures and revenues for Economic Development for the upcoming year are now
shown in that fund.
► As a result of the election certain additional expenditures were incurred this year that
were not anticipated. The Economic Development Corporation budget reflects an
expenditure of $15,790 as part of the amended current year budget to offset those
additional expenditures. Sales tax revenues received during September will more than
offset those expenses.
► The Economic Development Corporation Board of Directors has reviewed this budget.
Vehicle Replacement Fund. Although not yet fully funded this new fund has been created
and made a part of this budget, using excess reserve funds. You will also note that
expenditures of $45,000 have been scheduled to fund the purchase of three police vehicles.
Strategic Plan/Council Initiatives. At the budget planning session the Council decided to
fund a portion of the Strategic Plan elements and to fund certain other initiatives. Those
funded items are listed below:
Council Initiatives:
Street Maintenance
$ 55,910
Parks & Recreation
Ballfield Maintenance
7,500
Street Lights, Building
and Pool Maintenance, etc.
10,906
Library Meeting Room Supplement
4.000
Sub Total
$ 78,316
Page 7
Honorable Mayor and Council
April 30, 1993
Strategic Plan.
Develop Capital Improvement Program Plan $ 10,000
Customer Service
Training and Orientation 10,000
Phone System Improvements 20,000
Job Satisfaction - Salary Plan 209,180
Infrastructure Maintenance - Computer Software 15.000
Sub Total
Total
$264,180
$343,496
Miscellaneous Issues. Listed below are some unrelated item of interest to the Council.
► This budget represents a reduction of $2,626 in the contribution by the City for
purchase of books in the Library. The Library Department also shows a significant
increase in telephone service because of the dedicated lines to Plano for operation of
the yet to be installed computer system.
► Additional but modest expenditures have been recognized in Parks and Recreation and
ASAP Departments because of the move of the Senior Citizen's to the old ASAP
building.
► In the Street Department we have budgeted additional funds for one more Crossing
Guard at a yet to be determined location.
► Car allowances have been deleted . All travel payments to employees using their
personal vehicles for city related business will be at the IRS approved rate.
► Dues and Subscriptions in the General Government (City Secretary) budget has been
reduced by $2,700 in expectation that the City's membership in the North Texas
Commission will be paid by the Economic Development Corporation.
► This budget includes no revenues or expenditures for the Storm Water Utility District
discussed with the Council during the current fiscal year. It is anticipated that the
Council will again need to give serious consideration to the creation of this District
during the upcoming fiscal year.
CONCLUSION
Since 1987 the tax rate for the City of Allen has increased from 50.33 cents to the proposed
rate represented in this budget of 76.6 cents. At face value this appears to represent a
substantial tax increase during that period of time. However, on closer inspection, virtually
all of that increase is the direct result in the loss of assessed value during that same period.
Page 8
Honorable Mayor and Council
April 30, 1993
This budget is very tight and lean. That means that new programs and capital outlay are
extremely limited. Reserves have been drawn down, but maintained within policy level, and
some programs are funded below last years level. Even with those restrictions, this budget
represents an approximation of the service level provided last year. With the expected
increase in population that is no small task. As always, to make this budget work the full
dedication, capabilities and loyalties of the employees will be required. The employees are
the organization's greatest asset.
On behalf of all the employees of the City I would like to express our sincere appreciation
for the opportunity to serve the Citizens of Allen and respectfully request your support for
the programs and services represented herein.
j
fully sCarty
Res
erm
TABLE OF CONTENTS
QT TTRTR A D TUC!
Combined Summary . . . . . . . . . . . .. . . . . . . . . . . . . .
. . . . . 1
Schedule of Revenues - General Fund . . . . . . . . . . . . . . .
. . . . . 2
Schedule of Revenues - Water and Sewer . . . . . . . . . . . . .
. . . . . 5
Expenditure Estimates by Department . . . . . . . . . . . . . . .
. . . . . 6
Expenditure Classification as a Percent of Total Budget
. . . . . . . . . . . 27
GeneralFund . . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . 7
Expenditure Classification as a Percent of Total Budget
. . . . . . . . . . . 34
Water and Sewer . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . 8
ProjectedFund Balances . . . . . . . . . . . . . . . . . . . . . .
. . . . . 9
TaxStructure . . . . . . . . . . . . ... . . . . . . . . . . . . . .
. . . . . 10
Debt Service Requirements . . . . . . . . . . . . . . . . . . . . .
. . . . . 11
List of Bond Purchases . . . . . . . . . . . . . . . . . . . . . . .
. . . . . 12
Other Outstanding Indebtedness . . . . . . . . . . . . . . . . . .
. . . . . 13
Bond Program Budget Summary . . . . . . . . . . . . . . . . . . .
. . . . . 14
DEPARTMENTS
GeneralGovernment . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 15
City Administration . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 18
GeneralItems . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 21
Police......................................24
EconomicDevelopment . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 27
Parksand Recreation . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 30
Library. . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 34
Fire.......................................37
SubstanceAbuse Prevention . . . . . . . . . . . . . .
. . . . . . . . . . . 40
Streets. . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 43
CommunityDevelopment . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 46
BuildingMaintenance . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 49
Finance . . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 52
Public Works Administration . . . . . . . . . . . . . .
. . . . . . . . . . . 55
Water& Sewer . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 58
Utility Collections . . . . . . . . . . . . . . ... . . . .
. . . . . . . . . . . 61
Economic Development Corporation . . . . . . . . . . .
. . . . . . . . . . . 64
Solid Waste . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 67
Vehicle Replacement . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . 68
COMBINED REVENUES:
General Fund
Water & Sewer Fund
Economic Development Corp.
Solid Waste Fund
Vehicle Replacement Fund
TOTAL
COMBINED SUMMARY
1992-93
ACTUAL BUDGETED REVISED PROPOSED
1990-91 1991-92 1991-92 1992-93
5,596,857
5,693,204
5,960,068
6,055,332
3,713,293
4,128,461
4,149,579
4,452,236
0
0
0
549,375
411,094
696,706
685,401
876,799
0
0
62,241
0
9,721,244 10,518,371 10,857,289 11,933,742
COMBINED OPERATING EXPENDITURES/EXPENSES:
General Fund 5,825,437 5,692,278
Water and Sewer Fund 2,765,390 3,075,998
Economic Development Corp. 0 0
Solid Waste Fund 398,820 696,368
Vehicle Replacement Fund 0 0
TOTAL 8,989,647 9,464,644
--------- ---------
--------- ---------
DEBT SERVICE:
General Obligation Debt 2,396,905 2,392,339
Water & Sewer Debt 882,780 878,181
TOTAL 3,279,685 3,270,520
--------- ---------
1
5,799,562 6,054,776
3,102,250 3,250,185
15,790 531,800
610,602 854,578
0 45,000
9,528,204 10,736,339
--------- ---------
--------- ---------
2,392,339
878,181
3,270,520
2,392,589
824,097
3,216,686
TAXES
Current
Delinquent
Penalty & Interest
Miscellaneous
SUBTOTAL
Sales Tax
SUBTOTAL
Franchise Taxes
TU Electric
Lone Star Gas
Southwestern Bell
Cablevision
Bank
SUBTOTAL
PERMITS & LICENSES
Single Family
Multi -Family
Commercial
Building - Other
Sign
Health
Solicitors
Filing Fees
Contractors License
Animal License
SUBTOTAL
FINES & FORFEITURES
Police
Library
SUBTOTAL
CITY OF ALLEN
GENERAL FUND
REVENUES
1991-92
ACTUAL 1991-92 AMENDED 1992-93
1990-91 BUDGET BUDGET BUDGET
2,851,805
2,947,478
3,039,587
3,097,590
101,184
149,719
188,714
54,000
37,103
40,000
80,000
25,000
1,052
0
0
0
2,991,144
3,137,197
3,308,301
3,176,590
852,205
940,500
940,500
1,034,550
852,205
940,500
940,500
1,034,550
361,156
376,920
377,066
405,000
65,729
70,200
77,831
83,124
26,074
28,943
48,000
82,000
26,976
30,773
30,773
40,350
4,066
0
0
0
484,001
506,836
533,670
610,474
126,296
147,720
170,801
210,000
0
14,225
0
20,000
15,180
22,375
91110
91989
20,168
25,383
21,782
23,602
7,705
9,125
8,783
9,977
3,322
4,315
3,755
4,130
377
300
500
500
14,781
18,480
26,460
23,841
5,333
8,218
6,555
7,156
9,874
10,500
9,830
10,500
203,036
260,641
257,576
319,695
136,177
7,728
143,905
2
141,000
7,200
148,200
134,171
12,432
146,603
160,000
13,440
173,440
CITY OF ALLEN
GENERAL FUND
REVENUES
1991-92
ACTUAL 1991-92 AMENDED 1992-93
1990-91 BUDGET BUDGET BUDGET
RECREATION FEES
Baseball
2,576
2,500
2,828
2,500
Soccer
3,778
1,920
1,730
1,920
Basketball
6,103
7,355
7,953
5,900
Football
680
320
0
0
Softball
34,818
24,800
28,467
26,000
Volleyball
1,097
2,156
1,864
1,860
Pool Admissions
32,800
35,000
33,533
27,500
Learn to Swim
13,614
15,840
13,808
13,800
Summer Recreation
27,648
20,072
20,072
20,000
Concessions
2,754
2,500
2,500
2,500
Miscellaneous
7,518
19,560
9,960
10,060
SUBTOTAL
133,386
132,023
122,715
112,040
OTHER REVENUES
Charges for Service
Garbage
215,742
0
0
0
Ambulance Fees
28,640
26,615
28,096
47,160
Reimbursements
Subdivision Sign
4,700
3,000
14,731
12,000
Other Reimbursement
94,305
83,059
84,665
45,018
Grants
County Library
6,500
6,500
6,572
6,644
Miscellaneous
Interest Income
115,151
120,000
83,500
81,056
Auction Revenues
17,750
500
1,896
10,500
Reinspection Fees
2,540
5,140
4,720
5,320
Inspection Fees
1184
27,750
90,416
79,652
Police Reports
4,011
1,500
2,271
2,000
Sale of Materials
2,054
3,217
3,039
3,566
Council Filing Fees
180
120
80
120
Miscellaneous
26,484
5,703
29,759
12,739
Mixed Drink Tax
687
700
769
768
Use of Reserve Fund
0
20,000
0
34,000
Task Force Revenues
38,080
43,003
51,399
50,000
SUBTOTAL
558,008
346,807
401,913
390,543
3
CITY OF ALLEN
GENERAL FUND
REVENUES
n
1991-92
ACTUAL
1991-92
AMENDED
1992-93
1990-91
BUDGET
BUDGET
BUDGET
Economic Dev Transfer
0
0
15,790
0
Solid Waste Transfer
11,422
0
12,000
17,000
Water & Sewer Transfer
219,749
221,000
221,000
221,000
SUBTOTAL
231,171
221,000
248,790
238,000
TOTAL GENERAL FUND
5,596,856
----------
----------
5,693,204
----------
----------
5,960,068
----------
----------
6,055,332
----------
----------
n
WATER AND SEWER FUND
SCHEDULE OF REVENUES
1992-93
NON-OPERATING REVENUES:
Development Fees - Water
0
45,000
REVISED
134,688
Development Fees - Sewer
ACTUAL
BUDGETED
BUDGET
BUDGET
Inspection Fees
1990-91.
1991-92
1991-92
1992-93
OPERATING REVENUES:
75,672
80,000
64,776
59,786
Water Sales
2,371,855
2,640,157
2,640,157
2,824,447
Sewer Charges
1,112,715
1,124,115
1,124,115
1,202,580
Connections
37,930
34,739
45,252
40,000
Penalties
93,663
95,775
85,242
91,209
Reconnections
2,610
3,117
10,100
10,807
Other Reimbursements
11415
0
564
0
Miscellaneous
4,801
3,727
5,913
4,874
TOTAL
3,634,989
3,901,630
3,911,343
4,173,917
NON-OPERATING REVENUES:
Development Fees - Water
0
45,000
92,924
134,688
Development Fees - Sewer
0
45,000
0
0
Inspection Fees
2632
27,750
45,346
36,000
Interest Income
75,672
80,000
64,776
59,786
Transfer from General Fund
0
29,081
29,081
39,526
Transfer from Solid Waste
0
0
6,109
8,319
TOTAL
78,304
226,831
238,236
278,319
TOTAL WATER & SEWER
FUND REVENUES
3,713,293
4,128,461
4,149,579
4,452,236
5
GENERAL FUND
WATER AND SEWER FUND
EXPENDITURE ESTIMATES BY DEPARTMENT
1992-93
GENERAL FUND:
R
AMENDED
ACTUAL
BUDGETED
BUDGET
PROPOSED
DEPARTMENT
1990-91
1991-92
1991-92
1992-93
General Government
90,245
100,389
97,190
98,572
City Administration
233,579
238,560
237,090
238,939
General Items
474,942
213,854
249,176
408,573
Police
1,648,190
1,643,558
1,632,719
1,687,890
Economic Development
76,684
80,346
95,994
0
Parks & Recreation
786,410
757,238
799,405
812,102
Library
305,856
320,382
319,729,
330,210
Fire Protection
1,219,257
1,278,618
1,281,951
1,320,930
Substance Abuse Prevention
92,696
87,401
87,125
90,036
Streets
359,739
375,669
392,217
449,484
Community Development
339,926
385,940
397,479
401,744
Building Maintenance
701880
77,550
70,873
73,783
Finance
127,033
132,773
138,614
142,513
TOTAL
5,825,437
5,692,278
5,799,562
6,054,776
WATER AND SEWER FUND:
Public Works - Water
1,408,217
0
0
0
Public Works - Sewer
1,031,772
0
0
0
Utility Collections
105,652
121,106
125,058
184,282
Public Works Administration
0
241,409
246,427
300,152
Water & Sewer
219,749
2,713,483
2,730,765
2,765,751
TOTAL
2,765,390
3,075,998
3,102,250
3,250,185
R
CLASSIFICATION
Peisonnel Services
Operating Expenditure:
Supplies
Maintenance
Contract Services
City Council Expenses
Miscellaneous
Capital Outlays
TOTAL
GENERAL FUND BUDGET
EXPENDITURE CLASSIFICATION
AS A PERCENT OF TOTAL BUDGET
1990.91
BUDGET
$4,221,473
783,086
146,545 ;
161,316
878,442
9,350
6,340
79,556
$6,286,108
PERCENT OF
BUDGET
67.16
12.46
2.33
2.56
13.97
.15
.10
1.27
7
1991-92
BUDGET
4,339,690
841,544
96,712
168,748
180,115
24,030
2,000
39,439
$5,692,278
PERCENT OF
BUDGET
76.24
14.78
1.71
2.96
3.16
0.43
0.03
0.69
1992-93
BUDGET
$4,642,388
$825,960
$90,450
$240,429
$172,975
$20,985
$1,000
$60,589
$6,054,776
PERCENT OF
BUDGET
76.67
13.65
1.49
3.97
2.85
0.35
0.02
1.00
WATER AND SEWER FUND BUDGET
EXPENSE CLASSIFICATION
AS A PERCENT OF TOTAL BUDGET
PERCENT OF
BUDGET
24.44
65.02
1.68
2.13
6.73
1990-91
PERCENT OF
1991-92
PERCENT OF
1992-93
CLASSIFICATION
BUDGET
BUDGET
BUDGET
BUDGET
BUDGET
Personnel Services
$605,687
21.26
673,663
21.90
$794,469
Operating Expenses
1,874,158
65.78
2,044,412
66.46
$2,113,190
Supplies
51,553
1.80
37,090
1.21
$54,550
Maintenance
45,641
1.60
65,658
2.13
$69,236
Capital Outlays
272,300
9.56
255,175
8.30
$218,740
TOTAL
$2,849,339
$3,075,998
$3,250,185
PERCENT OF
BUDGET
24.44
65.02
1.68
2.13
6.73
PROJECTED FUND BALANCES
1992-93
GENERAL FUND
Projected Fund Balance at 10/1/92 $995,580
Use of Reserves ($34,000)
Proposed Revenues 1992-93 6,055,332
Proposed Expenditures 1992-93 6,054,776 556
Estimated Fund Balance 9/30/92 $962,136
DEBT SERVICE - GENERAL OBLIGATION BONDS
Projected Fund Balance at 10/1/92
Tax Revenue
Interest On Investments
Penalty and Interest Revenue
Total Revenues
1991-92 Debt Service Payments
318,690
2, 320, 811
56,000
7,000
Estimated Fund Balance at September 30, 1993
0
J o V
2,383,811
(2, 392, 339) CQ39 C1 DA -b)
309,912 3(`3`�
CITY OF ALLEN
TAX STRUCTURE
1992-93
ASSESSED VALUE - 1992
REVENUE AT $.766 PER $100 VALUATION
CONTRIBUTION TO DEBT SERVICE
CONTRIBUTION TO GENERAL FUND
97% COLLECTION RATE
GENERAL FUND
DEBT SERVICE FUND
TAX RATE DISTRIBUTION
729,240,387
5,585,981
2,392,589
3,097,590
RATIO
PERCENT
AMOUNT
0.4379
57.17
3,193,392
0.3281
42.83
2,392,589
0.7660 100.00
--------- ---------
10
5,585,981
CITY OF ALLEN
DEBT SERVICE REQUIREMENTS
1992-93
BALANCE
REQUIRED
REQUIRED
TOTAL
OND DATE OF AMOUNT INTEREST MATURITY AS OF
PRINCIPAL
INTEREST
REQUIREMENTS
FRIES ISSUE ISSUED RATE DATE 10.1-92
1992-93
1992-93
1992-93
CITY OF ALLEN WATER & SEWER REVENUE BONDS:
1992 7/15/92 8,545,000 3.25-6.40%
TOTAL 8,545,000 S
CITY OF ALLEN GENERAL OBLIGATION BONDS:
1964
2/1/64
50,000
4.75%
1965
6/1/65
100,000
4.75
1966
11/1/66
100,000
5.75
1976
5/1/76
500,000
7.00
1979
8/1/79
2,000,000
6.50
1981
5/1/81
2,000,000
10.00
1982
11/1/82
910,000
11.00
1984
8/1/84
1,970,000
10-13.00
1985
9/1/85
4,500,000
8.70-11.20
1986
8/1/86
7,000,000
7.50-10.00
1988
4/1/88
2,500,000
6.40-8.90
TOTAL 21,630,000
6/1/12 8,545,000
405,000
419,097
824,097
8,545,000
405,000
419,097
824,097
2/1/94
10,000
5,000
356
5,356
6/1/95
15,000
5,000
713
5,713
11/1/05
100,000
0
5,750
5,750
7/1/96
145,000
35,000
11,238
46,238
8/1/09
1,775,000
30,000
123,138
153,138
5/1/99
1,150,000
125,000
115,000
240,000
11/1/93
275,000
•125,000
19,500
144,500
8/1/99
1,545,000
75,000
165,500
240,500
9/1/00
3,435,000
245,000
317,435
562,435
9/1/06
6,300,000
200,000
509,222
709,222
9/1/01
2,050,000
135,000.
144,737
279,737
16,800,000
980,000
1,412,589
2,392,589
11
CITY OF ALLEN
LIST OF BOND PURCHASES
BOND YEAR AMOUNT ISSUED PURCHASER
CITY OF ALLEN WATER AND SEWER REVENUE BONDS:
1992 $8,545,000 Southwest Securities Inc.
CITY OF ALLEN GENERAL OBLIGATION BONDS:
1964
$50,000
Walker, Austin and Wagoner
1965
100,000
Goodbody and Company
1966
100,000
Goodbody and Company
1976
500,000
Schneider, Bernet and
Hickman
1979
2,000,000
Schneider, Bernet and
Hickman
1981
2,000,000
Schneider, Bernet and
Hickman
1982
910,000
Schneider, Bernet and
Hickman
1984
1,970,000
Schneider, Bernet and
Hickman
1985
4,500,000
Clayton Brown and Associates
1986
7,000,000
Schneider, Bernet and
Hickman
1988
2,500,000
MBank Capital Markets
12
PROPERTY
ASAP BUILDING
CITY OF ALLEN
OTHER OUTSTANDING INDEBTEDNESS
LOAN DATE OF
AMOUNT LOAN
$32,000 11/9/73
13
BALANCE 1992-93
OCTOBER BUDGET
1, 1992 REQMTS
3,913 3,333
CITY OF ALLEN
CAPITAL IMPROVEMENT PROGRAM
AUTHORIZED BOND PROGRAM BUDGET SUMMARY
*1985 General Obligation Bonds authorized but not issued $6,395,000
1985 Sewer Revenue Bonds authorized but not issued 900,000
1985 Water Revenue Bonds authorized but not issued 252,000
1979 Sewer Bonds authorized but not issued 360,000
*Police
0
*Fire
327,000
*Parks
2,650,000
*Library
125,000
*Streets
3,293,000
GENERAL OBLIGATION BONDS:
i,�+��IsLI� ll�L7•�
1985
1986
1987
1988
1989
1990
1991
1992
Police
$295,000
$1,755,000
$0
$0
$0
$0
$0
$0
Fire
190,000
268,000
0
0
0
0
0
0
Parks
1,300,000
965,000
0
150,000
0
0
0
0
Library
300,000
0
0
2,100,000
0
0
0
0
Streets
2,415,000
4,012,000
0
250,000
0
0
0
0
TOTAL
$4,500,000
$7,000,000
$0
$2,500,000
$0
$0
$0
$0
(issued)
(issued)
(issued)
i,�+��IsLI� ll�L7•�
1985
1986
1987
1988
1989
1990
1991
1992
Water
$2,780,000
$2,008,000
$0
$0
$0
$0
$0
$0
Sewer
20,000
22,000
0
0
0
0
0
0
Water & Sewer Imp.
0
0
0
0
0
0
0
1,405,000
TOTAL
$2,800,000
$2,030,000
$0
$0
$0
$0
$0
$1,405,000
(refunded)
(refunded)
14
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
GENERAL GOVERNMENT
PERSONNEL SERVICES
Manager Salaries
32,392
32,517
18,604
32,774
331900
Part Time Salary
9,451
9,003
4,929
8,771,2;:
Longevity
0
460
460
460
FICA Expense
3,339
3,334
1,916
3,294
3,39:t#
TMRS Expense
2,252
2,694
1,490
2,733
2,9-.01::
Workman's Comp.
298
196
148
280
X13
Health Insurance
1,583
1,583
982
1,583
1.,8
Dental Insurance
131
131
84
130
145<
Long -Term Disability
124
124
73
124
161:
SUBTOTAL
49,570
50,042
28,686
50,149
52"11
OPERATING EXPENSES
Conferences & Training
3,618
3,000
1,578
3,000
Car Allowance
11800
1,800
1,052
1,800#
Dues & Subscriptions
6,995
7,494
5,081
7,494
Mileage
0
0
0
0
S47"
Telephone
1,066
1,300
472
1,000
Insurance
1,038
1,036
1,876
1,876
1►?:::
Postage & Freight
1,204
676
126
677
6{3#
Printing & Reproduction
2,535
1,671
765
1,671
Advertising
1,300
1,315
1,042
1,742
Codification - Ord.
1,012
0
0
0
Miscellaneous
346
0
55
85
SUBTOTAL
20,914
18,292
12,047
19,345
15rg1
SUPPLIES
Office
2,479
2,800
857
2,357
2.,$0.0
Miscellaneous
3,680
4,500
2,533
6,500
4.,500
Boards & Commissions
582
600
397
600
SUBTOTAL
6,741
7,900
3,787
9,457
MAINTENANCE
Equipment
117
125
166
166
.6
SUBTOTAL
117
125
166
166
655:
15
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
SUBTOTAL 12,903 24,030 7,763 17,023
CAPITAL OUTLAY
Office Equipment
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
CITY COUNCIL EXPENSES
90,245
100,389
52,449
97,190
Mayor's Salary
630
720
360
720
Council Salaries
1,270
1,480
750
1,480
Mayor/Council Expenses
9,798
7,650
3,521
7,650
4,90.-0
Plaques, Awards, Procl
371
500
344
500
$00
Election Officials
430
1,000
505
1,005
Supplies
199
400
167
334
Advertising
0
50
0
0
Printing & Reproduction
205
400
218
318
Location Rental
0
30
8
16
CIIP
0
11,800
11890
5,000
7.1.5 -0...
SUBTOTAL 12,903 24,030 7,763 17,023
CAPITAL OUTLAY
Office Equipment
0
0
0
1,050
:
0
SUBTOTAL
0
0
0
1,050
DEPARTMENT TOTALS
90,245
100,389
52,449
97,190
16
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
GENERAL GOVERNMENT DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
1F
1P
1FI 1F
1P i 1P
1F
1P
City Secretary
Secretary
1.5
1.5
1 1.5
1.5
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for this department.
17
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
CITY ADMINISTRATION
PERSONNEL SERVICES
Manager Salaries
59'544
59,768
34,196
60,231
--'�'
Clerical Salaries
34,89d
38,785
18,907
31,737
Salary & Wages
74'706
77,163
44,147
77'761
77,14
Overtime
135
261
49
90
Part -Time Salary
O
O
1'164
2'844 �
Longevity
0
I,240
1,308
1,400
FICA Expense
12.048
13,491
7,185
12,884
1����G
oeaS Expense
9,225
11,4I4
6'113
11'252
12...,��
workman's Comp.
508
825
544
932
Health Insurance
9,403
9,303
5'347
9,187
Dental Insurance
646
657
386
663
J.
�-'
Long -Term Disability
646
673
374
�
654
SUBTOTAL
201 757
,757
,
2l3 579
,
1l7 7�O
,
�O9,6�4 �
.�
�
'
.
OPERATING EXPENSES
'
�
,
Conferences a Training
6,308
5,000
3,739
5,000 �
304
1.
Car Allowance
4,800
4,800
2,800
4,800
-
Dues a Subscriptions
4,891
2,000
2,211
2,374
Mileage
541
728
190
440
Telephone
3,517
3,200
1,581
2,710
Insurance
2,377
2,377
3,087
2,155
Professional Services
23
0
2,184
3,452 �
Postage a Freight
' 864
860
540
927
Printing & Reproduction
4,035
4,000
2,032
3,59l0
-
Advertising
I17
150
lO
I50 _
Miscellaneous
41
O
O
O
'
�
SUBTOTAL
27,514
33,115
17,354
24,599 �
}
1.5:°�89
SUPPLIES
.
Office
2,641
1,500
1,581
1'78I
Miscellaneous
301
O
9
9
SUBTOTAL
3"942
11500
1,590
1,790
`
MAINTENANCE
�
Equipment
523
120
166
I90
�
--�
Radio Maintenance
345
246
123
246 `
2-4:6
SUBTOTAL
768
366
289
436
. 496'
^
18
------'---^
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
SUPPLIES
Office Equipment
598
0
221
621
Machinery & Equipment
0
0
0
0
€'
SUBTOTAL
598
0
221
6211
DEPARTMENT TOTALS
233,579
-------
-------
238,560
-------
-------
137,174
-------
-------
237, 0902:0:,:$x:
..
.....................................
-------
-------
........................ .
-------
-------
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
CITY ADMINISTRATION DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
IF
IF
IF
1F
City Manager
1F
1F
1F
1F
Assistant to the City Manager
1F
0
0
0
Administrative Secretary
0
1F
1F
1F
Secretary II
1F
1F
1F
1F
Data Processing Coordinator
1F
1F
1F
0
Receptionist
0
0
0
1F
Secretary I
5
5 I
5
5
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for this department.
20
CLASSIFICATION
GENERAL ITEMS
OPERATING EXPENSES
Miscellaneous
Professional Services
Transfer Economic Dev.
Transfer Veh. Replace
Computer Costs
Recycling Expenses
Printing & Reproduction
SUBTOTAL
SUPPLIES
Computer Supplies
SUBTOTAL
CONTRACT SERVICES
Audit
Tax Service AISD
Tax Service CAD
Retainer
Other Attorney Fees
Sanitation Service
Copier Service
Computer Maintenance
SUBTOTAL
MISCELLANEOUS
Contingency
Payroll Reserve
Insurance Reserve
Unemployment Claims
Employee Recognition
Community Activities
SUBTOTAL
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
580
0
0
0
.......... ..
12,292
5,000
1,500
4,800
17,.E3.0;�#
0
0
0
0
0
0
0
62,241
27,157
17,039
10,074
17,039
3,575
0
429
0
1250
0
0
0#
44,854
22,039
12,003
84,080
4.5...O 5
965
1,200
759
1,200
3,2-25:;
965
1,200
759
1,200
x:25
19,500
19,500
22,500
22,500
54,294
60,000
22,175
56,000
.Q..{
41,444
45,861
20,411
40,822
45.*0-:0 3
21,901
24,000
11,265
21,265 =:
27
190
0
0
0#
240,296
0
0
0
- 0
0
0
0
€ €
25,008
20,254
10,643
20,254
17"* 7's
402,633
169,615
86,994
160,841
1'6
0
2,000
0
0
f}
0
0
0
0
7:a0 $.35
0
19,000
0
0
#}
15,486
0
619
1,219
0
0
0
0
43
0
0
0
#t
15,529
21,000
619
1,219
581t$
21
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
22
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
CAPITAL OUTLAY
Office Equipment
10,961
0
1,002
1,836
€r%.
SUBTOTAL
10,961
0
1,002
1,836,73?
DEPARTMENT TOTAL
474,942
213,854
101,377
249,176 >.
4$$,573'
22
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
GENERAL ITEMS DEPARTMENT
Personnel Authorizations
No personnel in this department.
Capital Outlay
Account No.
4905
4905
4905
Description
AS 400 Computer Upgrade
Telephone Console Lease
Telephone System Upgrade
23
Cost
$8,185
2,003
5,785
CLASSIFICATION
POLICE DEPARTMENT
PERSONNEL SERVICES
Managers Salaries
Clerical Salaries
Public Safety Salaries
Animal Control
Overtime
Part Time Salary
Longevity
FICA Expense
TMRS Expense
Workman's Comp.
Health Insurance
Dental Insurance
Long Term Disability
SUBTOTAL
OPERATING EXPENSES
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92
ACTUAL BUDGETED APRIL 1992 AMENDED
50,944
51,088
29,181
51,435
165,733
165,492
92,604
164,807
721,383
739,310
413,631
716,715
42,723
40,945
24,475
43,291
71,364
63,305
44,402
76,117
6,867
6,552
3,711
6,423
132
11,168
11,192
11,192
79,291
84,202
46,779
79,201
57,385
69,759
38,077
66,993
54,499
56,491
41,314
56,491
76,211
74,853
45,936
74,853
4,577
4,600
2,892
4,600
3687
3,844
2,132
3,844
1,334,796
1,371,609
796,326
1,355,962
Conferences & Training
7,946
9,850
5,354
7,500
Car Allowance
4,200
11,400
6,650
11,400
Dues & Subscriptions
6,355
7,596
4,251
6,701
Mileage
527
780
62
312
Worker Comp. Claims
182
750
8
258
Clothing & Uniforms
5,144
5,700
5,236
5,686
Clothing/Comp Allowance
0
81100
3,950
5450
Electricity
38,477
39,575
17,722
39,575
Gas - Lone Star
6,116
4,500
5,469
6,219
Telephone
18,495
18,000
8,602
15,102
Water Usage
2,031
1,200
0
2,500
Insurance
28,239
29,556
28,915
28,915
Professional Services
3,795
2,000
2,901
3,000
Postage & Freight
1,785
2,100
1,224
2,099
Printing & Reproduction
5,863
5,000
4,972
6,472
Advertising
930
11500
138
388
Rentals
3,031
3,177
1,516
2,779
Crime Prevention
2,692
3,750
1,284
2,034
Prisoners Keep
942
1,200
392
1,002
Jury Fees
0
250
88
188
Miscellaneous
449
500
272
472
24
1992-93
BUDGET
. 5.888
165,395
7 59-, 50-0
�i3:72$
1aa C2,.1rr3-2:
8i.`s
5,1'34
1, 4.21, 472
3,04 ..`:
s`0
2, 50.E
2. DO..
25€#
50�#�
CLASSIFICATION
Tenure Pins
Task Force Expenditures
Gasoline
SUBTOTAL
SUPPLIES
Office
Miscellaneous
Small Tools & Equip.
Animal
SUBTOTAL
MAINTENANCE
Building
Vehicle Maintenance
Equipment
Radio
Miscellaneous
SUBTOTAL
CONTRACT SERVICES
Municipal Judge
SUBTOTAL
CAPITAL OUTLAY
Cars & Trucks
Radio Equipment
Vehicle Video Equipment
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED
ACTUAL BUDGETED APRIL 1992
0 100 0
18,389 14,034 5,055
23,845 20,000 9,855
179,433 190,618 113,916
5,040
119
11,027
3,640
19,826
4,000
500
17,331
4,000
25,831
2,342
0
7,685
1,507
11,534
1991-92
AMENDED
100
11,055
19,705
178,912
3,542
200
16,026
3,957
23,725
1992-93
BUDGET
10�
22.0.0:¢
4, 00*0
i7; 24#3
16,128
11,500
5,513
8, 013
10,0.04
17,700
15,500
13,914
23,854
27,007
20,000
10,333
19,983
23�St1
833
1,500
601
1,601
217
500
45
2953#
61,885
49,000
30,406
53,746
5,395
6,500
4,300
7,375
&#•x.0#1
5,395
6,500
4,300
7,375
6,5-0-.0
45,044
0
0
11,000
11811
0
0
0
�#
0
0
11999
1,999?
46,855
0
11999
12,999
1,648,190
1,643,558
958,481
1,632,719:
1,€87,890
25
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
POLICE DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
1F
1F
1F
1F
Police Chief
IF
1F
! 1F
1F
Secretary
1F
1F
1F
1F
Secretary II
2F
2F
f 2F
2F
Lieutenant
5F
5F
5F
5F
Sergeant
17F
18F
18F
18F
Patrol Officer
4F
5F
5F
5F
Dispatcher
1F
1F
1F
1F
Animal Control Officer II
1F
1F
1F
1F
Animal Control Officer I
1F+1P
1F+1P
1F+1P
1F+1P
Municipal Court Clerk
1F
1F
1F
1F
Clerk
35.5
37.5
37.5
37.5
Full - Time Equivalent (FTE)
Capital Outlay
Account No.
Description
Cost
4903 Lease/Purchase 3 Patrol Cars $9,000
26
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
ECONOMIC DEVELOPMENT
PERSONNEL SERVICES
Manager Salaries
38,810
40,338
23,230
41,484<
Part -Time Salaries
0
3,900
2599
7,927#`
Longevity
0
76
80
80
£i
FICA Expense
3,286
4,025
2,167
4,105
0.
TMRS Expense
2,114
2,628
1,471
3,098
#
Workman's Comp.
109
199
146
199
ff<
Health Insurance
1,583
1,583
982
1,583
Dental Insurance
131
131
84
131':
Long -Term Disability
145
155
90
155
€.1
SUBTOTAL
46,178
53,035
30,849
58,762
##
OPERATING EXPENSES
Conferences & Training
1,824
1,080
150
1,080
#`
Car Allowance
4,200
4,200
2,450
4,200
€'
Dues & Subscriptions
43
655
381
653
fi
Telephone
783
960
608
960
:.f#
Insurance
623
620
697
697
Postage & Freight
573
800
11199
1,629
Printing & Reproduction
7,216
650
3,273
3,273
f3'
Advertising
1,966
3,800
1,390
3,800 .,
E
Travel & Advancements
205
5,000
110
1,200
Maps & Photography
1,896
900
730
900
€#:
Meetings & Receptions
3,570
4,600
424
4,136
Legal & Consulting Sery
0
0
0
10,000
SUBTOTAL
22,899
23,265
11,412
32,528<
SUPPLIES
Office
1,914
1,600
568
1,492
Miscellaneous
1,082
11100
1,208
1,208
€}<
SUBTOTAL
2,996
2,700
1,776
2,700
€#
MAINTENANCE
Equipment Maintenance
0
0
49
49
SUBTOTAL
0
0
49
49
0:
Qr/
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
28
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
CITY COUNCIL/ELECTION
EXPENSES
Plaques & Awards
0
0
0
0
g`
SUBTOTAL
0
0
0
0
t#
CAPITAL OUTLAY
Office Equipment
4,611
1,346
1,582
1,955#
SUBTOTAL
4,611
1,346
1,582
1,955
�#
DEPARTMENT TOTALS
76,684
80,346
45,668
95,994
f#
28
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
ECONOMIC DEVELOPMENT DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
TPosition
0
IF
1F
0
Coordinator
0
0
1P
0
Intern
0
0
1P
0
Secretary I
0
1
2
0
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for this department
29
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
PARKS AND RECREATION
PERSONNEL SERVICES
Manager Salaries
41,897
42,059
24,063
42,709
.......
44,750:
Clerical Salaries
22,418
22,411
12,800
22,736
22,46-4
Salary & Wages
235,798
257,317
140,868
247,745
2-93,32:-6.€
Overtime
14,198
3,000
839
3,000
12
Part Time Salary
72,673
83,416
12,106
86,506
70,6{
Longevity
56
2,196
2,432
2,432
FICA Expense
30,414
31,171
14,836
30,890
3-2,6:32::
TMRS Expense
17,334
21,557
11,279
25,759
23,962::
Workman's Comp.
12,152
15,000
9,346
14,766
19,243:
Health Insurance
25,153
28,103
15,252
27,314
31,-94.1<
Dental Insurance
1,829
2,102
1,157
2,066
2,389.'.
Long -Term Disability
1,116
1,734
644
1,717
11640..:
SUBTOTAL
475,038
510,066
245,622
507,640
5-35,4;'3.:
OPERATING EXPENSES
Conferences & Training
2,002
3,800
2,330
3,630
Car Allowance
6,000
6,000
3,200
6,000
b:
Dues & Subscriptions
712
400
724
724 `.5..
Mileage
4
312
40
40
Worker Comp. Claims
220
500
270
500
3€3Q=
Clothing & Uniforms
5,183
4,860
2,748
4,860
5;1:54::
Electricity
30,202
17,500
9,692
23,000
23,1t#0:
Telephone
4,793
4,500
2,568
4,500 :
4,5.x#0 `
Water Usage
42,581
35,000
90
45,000
45,00•#1:0
Insurance
11,016
10,789
11,921
11,921
11,049
Professional Services
32,612
24,000
3,762
24,000 :'
2-0 -0
Postage & Freight
2,200
1,500
973
1,500
Printing & Reproduction
4,614
11000
2,410
2,410
Advertising
1,795
2,000
609
11000
1..,00.0<
Rentals
2,322
11000
164
464
50
Summer Youth Program
11,443
10,500
2,300
10,500
9100.0
Softball Expenses
24,088
15,000
7,855
15,000
15,000 -
Basketball Expenses
12,483
6,000
5,376
6,376
6.,0€30
Volleyball Expenses
2,104
2,500
1,807
2,807
Pool Instructors
7,246
6,160
0
6,160
61240
Senior Citizen Support
2,799
2,000
1,350
2,000
2x-000-,<
Cemetery Expenditures
0
3,600
2070
3,600
3;>6€34 -
Gasoline
5,351
4,000
1,271
4,000
4.,000"
Oil & Lubricants
407
11000
154
11000
1., 00-0:
SUBTOTAL
212,177
163,921
63,684
180,992
170,979..
E
Czrz OF ALLEN
1903-93 FISCAL YEAR
BUDGET
31
1090-91
1991-92
EXPENDED
1991-92
1992-03
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
SUPPLIES�
Office
2,281
1.500
259
11009
1,808�
Miscellaneous
1,085
500
181
481
Mechanical
23
SOO
42
343
Janitorial
125
11000
731
1,221
Medical & Chemical
4,830
3,500
735
3,235
2^O�
Small Tools & Equip.
2'656
2,000
609
1,609
Boards & Commissions
247
O
O
O '
:0.
Agriculture Supplies
9,341
13,500
48
12,049
11
BalIfieId Minor Equip.
O
500
1,565
1,565
Pool Supplies
2,522
1,500
190
l'IQl
1/����
SD8z8zAL
23,109
24,500
4.351
32'702 '
23,5-00�
8MAINTENANCE
�
Building
O
O
O
O
Vehicle
2,013
2,000
3,117
3,817
2,06-0
Equipment
8,636
6,000
3,918
5,918
Radio
195
901
0
901
Ground Sprinklers
10'080
7,000
310
6,310
:
,0 0`-K
8�
`
Landscaping
6,205
5,000
1119I
4'I9I
5
BalIfield Clay
7,944
6,500
5,250
6.500
:800�
BalIfield Maiot'
6,327
5,000
724
4,724
5,
Pool Maintenance
5,15I
6,850
1,389
4,389
5-,016
Miscellaneous
5,909
I,500
2,883
3,883
1, 50
Park e Open Space
4,805
5,000
1,938
4'438 '
0
Street Lights
I1011
O
O
O '
$
SUBTOTAL
58,366
45,751
18,720
44,071
{
5013.07 �
CONTRACT SERVICES
'
^
Sanitation
5,170
4,000
l, O77
4,000
�
4 00,0'
SDorOzuL
5,170
4,000
~
1,077
4,000
.
' 4,0��-�
�
CAPITAL OUTLAY
�
�
Buildings
O
O
O
0
�
�
Vehicles
8,888
0
U
O
10,04o
Machinery Equip.
2,669
91080
1875
40,000
^ 14,548
31
CLASSIFICATION
Office Equipment
Land Improvements
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED
ACTUAL BUDGETED APRIL 1992
388 0 0
605 0 0
12,550 9,000 1,875
786,410 757,238 335,329
32
1991-92 1992-93
AMENDED -BUDGET
.......... .. .... ... ........ .......
0
0
40,000
799,405 1.
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
PARKS AND RECREATION DEPARTMENT
Personnel Authorizations
1989-90
F1990-91
1991-92
1992-93
Position
1F
1F
i
1F
1F
Director
1F
1F
1F
1F
Secretary II
1F
1F
1F
1F
Program Coordinator
1F
1F
1F
1F
Special Activities Coordinator
1F
1F
1F
1F
Foreman
2F
3F
3F
3F
Crew Chief
7F+6T
8F+6T
8F+6T
8F+6T
Maintenance Worker
0
0
0
1F
Equipment Operator
7T
8T
8T
4T
Recreation Leader
1T
1T
1T
1T
Pool Manager
10T
10T
10T
10T
Lifeguard
1P
1P
1?
1P
Program Supervisor
20.5T
22.75 I
22.75
22.75
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
4902 Senior Citizen Building Mortgage $ 3,333
4903 Pick-up Truck 10,000
4904 4 Hand Operated Mowers, 4 String
Trimmers, Edger 2,500
4904 Tractor and Mowing Apparatus 12,000
33
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
LIBRARY
PERSONNEL SERVICES
Manager Salaries
34,199
34,326
19,640
34,722
3SE6
Clerical Salaries
39,359
40,013
22,713
38,983
Salary & Wages
48,924
51,584
29,881
53,330
54.,186;
Part Time Salary
57,036
64,328
33,978
61,132
Longevity
0
1,372
1,384
1,384 `.
11.07$
FICA Expense
13,836
14,863
8,289
14,533
1. 579-'
TMRS Expense
9,338
11,773
6,404
12,036
13,$21;
Workman's Comp.
1,053
1,057
739
1,269
11I_U
Health Insurance
7,782
7,913
4,908
8,414
$,x+17.4.:.`':
Dental Insurance
646
657
422
723
724
Long -Term Disability
480
487
274
475 :.
72$.,
SUBTOTAL
212,653
228,373
128,632
227,001 `:'
24-1,362
OPERATING EXPENSES
Conferences & Training
1,958
1,600
958
1,558
lE£)€#
Car Allowance
11800
1,800
11050
11800#°
Dues & Subscriptions
410
0
0
0
410
Mileage
207
312
73
273
Worker Comp. Comp. Claims
0
150
0
150
d5
Electricity
39,540
33,000
18,007
33,007
3.3,0:0(#
Telephone
3,095
6,454
2,288
4,288 .:
€.150.€
Water Usage
681
4,000
0
11000
Lone Star Gas
0
0
0
0
0
Insurance
5,101
5,337
5,905
5,905
Postage & Freight
2,273
2,000
1,462
2,462
2,0..0
Professional Services
0
0
110
110
Printing & Reproduction
2,200
2,000
1,194
2,044
2100-.0''
Advertising
373
600
108
600
2.0.0
Rentals
510
0
255
510
0
Miscellaneous
134
150
29
131
1.50
Purchases -Donations
14
0
0
0
€}
Books -City Funds
5,944
3,500
1,375
3,500
1.,2=3.8.
Books -County Funds
6,670
6,500
5,165
6,500
Books -Continuation Fund
4,538
5,000
4,926
5,076
x,00.4:
Special Activities
982
0
(34)
(34)
##
Database Services
0
3,256
3,690
3,690
3,000.€
SUBTOTAL
76,430
75,659
46,561
72,570
10 4$
34 ...... .... ..... ..........:,.
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
35
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET-
. .... .........
SUPPLIES
Office
3,912
4,500
2,600
4,900
Miscellaneous
389
400
259
399
400
Boards & Commissions
0
150
90
150
Periodicals
3,841
4,000
3,018
4,018
4,0-0.0
Computer Supplies
0
300
32
231
3 -
SUBTOTAL
8,142
9,350
5,999
9,698
MAINTENANCE
Building
3,761
4,000
6,024
7,524
0.
Equipment
1,334
11000
618
968
Book Collection
664
500
244
493
SUBTOTAL
5,759
5,500
6,886
8,985
CAPITAL OUTLAY
Office Equipment
2,872
1,500
1,200
1,475
SUBTOTAL
2,872
1,500
1,200
1,475
DEPARTMENT TOTALS
305,856
320,382
189,278
319,729
35
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
LIBRARY
Personnel Authorizations
1989-90
1990-91
( 1991-92
1992-93
Position
1F
1F
( 1F
1F
Director
1F
1F
I 1F
1F
Circulation Coordinator
1F
1F
1F
1F
Children's Librarian
1F
1F
``� 1F
1F
Support Services Librarian
1F
1F
I 1F
1F
Library Technician
4P
4P
4P
4P
Library Clerk
1P
2P
2P
2P
Library Page
1P
1P
1P
1P
Secretary
1P
1P
1P
1P
Reference Librarian
1T
1T
1T
1T
Library Page
8.95 7-9.5
I
9.5
9.5 -7rFull
- Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for the department.
36
Czrr OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-03 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL BUDGETED APRIL 1991 AMENDED BUDGET
FIRE DEPARTMENT
PERSONNEL SERVICES
manager Salaries
48,060
48'417
27,894
48'43I
' 4�����
Clerical Salaries
%I,Ol]
23,006
12,471
2I'075
22^ 6 4
Public Safety Salaries
735,809
816,017
449,280
831,716
8.31,716
Overtime
6I,191
33,860
16,563
31,254
Longevity
O
0,188
9,308
9,308
rzCu Expense
65,133
68,312
38,950
69'121
72-~
TMRS Expense
47^901
58'460
32,810
60'024
-64"506
Workman's Comp'
32.010
32.9I9
23,452
40,203
'
' 2��
� ~~,
Health Insurance
78,503
78,253
48,850
83,743
Dental Insurance
4,008
4,073
3,615
4'483
` � 44.6 -
Long -Term Disability
3249
3,411
1,949
3'341
�
SUBTOTAL
1,097,026
1,164,915
664,141
1,203,509
� 1�_���,���
OPERATING EXPENSES
Conferences Training
3,339
3,500
591
2,091
�
Car Allowance
5,380
5.400
3,150
5,400
Dues a Subscriptions
1,337
1,400
1,209
1,309
' 1"115
Mileage
72
260
22
122
�
Worker Comp' Claims
O
300
O
300
.30D�
Clothing a Uniforms
8,061
9.000
876
8,376
�
Electricity
.10,642
7,400
4,308
7'385
Gas - Looe Star
3.908
4,300
3.147
4,300
' �' too.' ^
Telephone
6,182
6,700
2,619
5,020
water Usage
2,237
3,500
O
2'500
Insurance
35,828
28,801
27,680
27'680
-27,54:�
Professional Services
10,805
O
O
O
0
Postage a Freight
1,097
900
931
1,596
1., .0-00
Printing Reproduction
2,153
2,500
1,861
3,161
Advertising
266
500
10
lO
Rentals
3,686
3,366
1,644
2'819
Code Enforcement
I,612
I^700
335
1'700
Miscellaneous
641
600
283
600
Employee Tenure gioa
O
100
' U
175
Gasoline
5.113
4,800
2,796
4^800
Oil Lubricants
414
500
20
500
�*m
SUBTOTAL
91,763
83,327
51,483
79,753
37
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL BUDGETED APRIL 1991 AMENDED BUDGET
SUPPLIES
Office
1,456
2,200
337
2,200 '.
21€30€3
Miscellaneous
947
11000
353
11000
€#<
Janitorial
1,522
1,700
919
1,700
Medical & Chemical
3,580
3,500
1,420
3,500
Small Tools & Equipment
359
600
220
600 :.
rQf3
Chemical Spills
1,149
1,500
0
1,500
SUBTOTAL
9,013
10,500
3,249
10,500
is,�OE3
MAINTENANCE
Building
5,176
3,500
1,740
3,500
vehicle
7,613
91000
4,243
91000
9;€3QE
Equipment
3,651
4,500
4,552
5,552
Radio
0
2,376
0
2,376
1,5ay.-
Landscaping
197
200
0
200
20#
Miscellaneous
0
300
43
243
SUBTOTAL 16,637 19,876 10,578 20,871 ' . ;: $,x"00
CAPITAL OUTLAY
Machinery & Equip.
4,818
0
0
0#
SUBTOTAL
4,818
0
0
0
€#<
DEPARTMENT TOTALS
1,219,257
1,278,618
729,450
1,314,723EiJ;�':€
38
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
FIRE DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
IF
IF
IF
1F
Fire Chief q
1F
1F
1F
1F
Secretary II
1F
1F
1F
1F
Fire Marshal
3F
6F
6F
6F
Lieutenant
24F
21F
21F
21F
Fire Fighter
1F
1F
1F
1F
Training Officer/EMS Coord.
31
31 I
31
31
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for this department
39
1990-91
CLASSIFICATION ACTUAL
SUBSTANCE ABUSE
PERSONNEL SERVICES
Manager Salaries
36,152
Clerical Salaries
18,558
Longevity
0
FICA Expense
4,070
TMRS Expense
2,981
Workman's Comp.
271
Health Insurance
4,555
Dental Insurance
263
Long -Term Disability
210
SUBTOTAL
67,060
OPERATING EXPENSES
192
Conferences & Training
1,838
Dues & Subscriptions
618
Mileage
1,258
Workers Comp. Claims
35
Electricity
1,058
Lone Star Gas
258
Telephone
1,506
Water Usage
50
Insurance
1,063
Professional Services
1,192
Postage & Freight
477
Printing & Reproduction
6,286
Advertising
90
Rentals
0
Meetings & Receptions
0
SUBTOTAL 15,729
SUPPLIES
Office 804
SUBTOTAL 804
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1991-92 EXPENDED 1991-92 1992-93
BUDGETED APRIL 1992 AMENDED BUDGET
40
36,886
21,103
37,172
36;9'2`
19,666
11,287
20,067
2.1;204
336
336
336
43,2:
4,331
2,433
4,334
4,44d.
3,664
2,052
3,767
4:.0°7.3: '.
270
192
319
1=9-9
4,556
2,823
4,839
263
169
290
2.$9:;
211
125
214.4
70,183
40,520
71,338
7.2-,7`56`'1"
1,250
1,104
1,239
L.050 '.
500
388
4481.:'.
1,638
670
1,520
1,,4.45
0
0
0
{
1,500
514
1,139
600
518
643
1,250
534
916
925 '.
309
0
0
Q
1,439
900
900
8:99
539
336
536:Q
600
399
599
2,500
1,428
2,628
50
10
20
0
0
0Q
12,175
6,801
10,588
16,40.1?
750
492
942
75.0
G
750
492
942
CITY OF ALLEN
I992-93 FISCAL YEAR
BUDGET
1900-91 199I-02 EXPENDED
ACTUAL BUDGETED APRIL 1992AMENDED BUDGET
2,052 500 O
O U 130
3,052 500 129
3,357
3,694
7^O5l
92,696
~~~~~~
41
3,343
450
3.703
87,401
~~~~~~
1,944
445
2"]89
50,331
~~~~~~
1991-92 1993-93
IOO
129
�
229
'
'
3,]33
,
695
4,028
{�
87,125 {
~~~~~~ —'—'-------
~~~~~~
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
SUBSTANCE ABUSE PREVENTION
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
1F
1P
1F
1F
1F
1F
1F
1F
Coordinator
Secretary
1.5
2 1
2
2 1
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for this department.
42
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
I990-01 1991-92 EXPENDED 1901-92 1992-03
CLASSIFICATION ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
STREET DEPARTMENT
PERSONNEL SERVICES
Manager Salaries
I5,800
O
O
O �
----t�-
Salarr a Wages
101,013
96,597
51,742
95,035 ' �
'~,~_~
Overtime
5'922
3.000
2,286
3,000
Longevity
U
688
700
?OU
�00
FICA Expense
9,229
7,966
4,043
7,355
�
TmBS Expense
6,568
6,716
3,440
6,427
7 03.3
Workman's Comp'
18,146
17,357
11,763
17,357
Health Insurance
12,411
13,665
5,944
19,260
Dental Insurance
723
657
374
657 �
,
Long -Term Disability
402
401
201
�
401
SUBTOTAL
170,214
147,048
80,493
�
150'192
OPERATING EXPENSES
Conferences a Training
1,069
940
592
900 �
Car Allowance
l,%OO
O
O
U
Dues a Subscriptions
592
300
30
300
Mileage
1,433
300
180
300
Worker Comp' Claims
105
400
O
400 �
Clothing a Uniforms
1,967
2,074
11515
2,508 �
�
Telephone
1,606
O
lG
l6
Eleo/Street Lights
103,581
I03,000
52.988
107,000
Insurance
6,401
8,820
6,383
6,820
-
Professional Services
3,795
500
84
500
�
Postage a Freight
58
150
39
50
��0.
Printing & Reproduction
778
]OO'
548
548 '
'
280
Advertising
1,025
150
63
63
1.00
Rentals
2^072
3,500
1,687
3,500
3,500
School Crossing Guard
4,585
7,800
3,811
7,000 '
���'
Miscellaneous
522
350
O
100
3- so. i
Operating Transfer Out
O
39'081
U
29,081
3 9�,���i
GaaoIiue
0,162
5,500
2,217
4'718
Oil 6 Lubricants
21
500
O
500 �
S8o �
.
SUBTOTAL
135,972
163,665
70,162
,
}
164,296
.
10:31*63
'
'
CLASSIFICATION
SUPPLIES
Of f ice
Miscellaneous
Mechanical
Medical & Chemical
Small Tools & Equip.
SUBTOTAL
MAINTENANCE
Vehicle
Equipment
Radio
Asphalt
Rock, Sand, Etc.
Sealer & Tac Oil
Street Sign
Miscellaneous
Street Maintenance
Infrastructure Maint.
SUBTOTAL
CAPITAL OUTLAY
Vehicles
Machinery Equipment
Traffic Signs
Street Improvements
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED
ACTUAL BUDGETED APRIL 1992
1991-92 1992-93
AMENDED BUDGET
848
200
38
200
881
656
157
500
198
0
111
111
867
200
81
150
4,073
3,000
472
2,500
6,867
4,056
859
3,461
4,650
31000
466
1,500.
10,776
10,200
11,145
13,666
246
500
123
500
50-0.'s'
2,730
81000
1,394
7,000 "0
6,334
5,600
4,290
5,600
2,530
11000
100
500
2,253
8,000
3,862
4,000
31-0: 4
1,290
11100
78
500.4
0
0
0
7,000
0
0
0
0
30,809
37,400
21,458
40,268
1021-S110
0
22,000
1,867
20,500
€.
9,563
0
0
91000
€}
6,126
1,500
3,007
4,500
188
0
0
0
f#
s
15,877
23,500
4,874
34,000
7,€.0:
359,739
375,669
177,846
392,217 .
44},4$4
...... ............ .
44
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
STREET DEPARTMENT
Personnel Authorizations
1989-90
1990-91 1991-92
1992-93
Position
2F
2F
I
` 0
0
Utilities Inspectors
1F
1F
I 1F
1F
Foreman
1F
1F
1F
1F
Crew Chief
1F
1F
1F
1F
Equipment Operator
2F
2F
2F
2F
Maintenance Worker
7
7 (
5
5
Full - Time Equivalent (FTE)
Capital Outlay
Account No.
Description
Cost
4907 Traffic Signs $7,000
45
CLASSIFICATION
COMMUNITY DEVELOPMENT
PERSONNEL SERVICES
Manager Salaries
Clerical Salaries
Salary & Wages
Overtime
Longevity
FICA Expense
TMRS Expense
Workman's Comp.
Health Insurance
Dental Insurance
Long -Term Disability
SUBTOTAL
OPERATING EXPENSES
Conferences & Training
Car Allowance
Dues & Subscriptions
Mileage
Worker Comp. Claims
Electricity
Gas -Lone Star
Telephone
Insurance
Postage & Freight
Printing & Reproduction
Advertising
Rentals
Planning & Zoning
Miscellaneous
Code Enforcement Startup
SUBTOTAL
SUPPLIES
Office
Miscellaneous
Sm. Tools & Equip.
SUBTOTAL
1990-91
ACTUAL
81,300
37,869
119,341
1,133
0
19,313
13,055
11,105
13,788
1,007
900
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1991-92 EXPENDED
BUDGETED APRIL 1992
81,606
40,589
145,088
1,365
2,700
22,233
17,856
9,846
17,024
1,183
1,029
46,765
22,241
82,912
427
2,696
12,519
9,647
8,304
10,274
711
579
298,811 340,519 197,075
1,178
14,700
1,642
224
0
0
0
3,433
4,029
523
3,299
352
558
150
1,283
0
31,371
2,200
18,600
1,200
650
300
3,375
225
3,951
4,342
500
3,000
200
678
200
750
0
40,171
710
10,850
1,273
57
0
260
260
1,327
5,326
320
3,115
0
326
0
167
1,151
25,142
1991-92 1992-93
AMENDED BUDGET
81,942
2,400
39,977
4.2,071::
149,279
160,-252:.:'
1,365
1137-9.
2,696
31140",
21,644
23,X3`3
17,877
19.4'as
9,846
10,80
17,812
18rxS s
1,183
1,029
l t. -ID ?
344,650
36910$4
2,379
18,600
1,288
257
150
1,260
360
2,577
5,326
500
3,852
59
558.
0 .
368
2,577
40,111
0
1, 35'7 s
3i#0
3 r 000:
too
5�#i?
Q`
28,33'G
2,231
2,400
1,822
2,400
21700
118
300
38
138
3€3Q
35
300
119
269
2,384
3,000
1,979
2,807
46
CLASSIFICATION
MAINTENANCE
Building
Equipment
SUBTOTAL
CONTRACT SERVICES
Master Plan
SUBTOTAL
CAPITAL OUTLAY
Office Equip.& Furn.
SUBTOTALS
DEPARTMENT TOTALS
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED
ACTUAL BUDGETED APRIL 1992
525
800
161
0
1,450
282
525
2,250
443
3,556
0
0
3,556
0
0
3,279
3,279
339,926
47
0
0
385,940
0
0
224,639
1991-92 1992-93
AMENDED BUDGET
461
1,450
1,911
1'.056
8,000
8,000
0
o
0.
397,479
1,4,
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
COMMUNITY DEVELOPMENT DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
1F
1F
1F
1F
Director
1F
IF
1F
1F
Secretary II
1F
1F
1F
0
Secretary
0
0
0
1F
Permit Technician
1F
1F
1F
1F
Development Coordinator
1F
1F
1F
0
Asst. Building Official
1F
1F
' 1F
1F
Environment Health Inspector
3F
3F
3F
2F
Code Enforcement Officer
1F
1F
1F
1F
Planner
0
0
0
1F
Code Compliance Coordinator
0
0
0
1F
Building Official
10
10 I
10
10
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for this department.
48
1990-91
CLASSIFICATION ACTUAL
BUILDING MAINTENANCE
PERSONNEL SERVICES
Salary & Wages
32,013
Overtime
712
Part Time Salary
0
Longevity
0
FICA Expense
2,371
TMRS Expense
1,783
Workman's Comp.
2,394
Health Insurance
4,555
Dental Insurance
263
Long -Term Disability
122
SUBTOTAL
44,213
OPERATING EXPENSES
Mileage
0
Worker's Comp. Claims
0
Clothing & Uniforms
80
Electricity
11,309
Gas - Lone Star
2,224
Water Usage
647
Insurance
765
Professional Services
0
Printing & Reproduction
85
Advertising
124
Miscellaneous
0
SUBTOTAL 15,234
SUPPLIES
Office Office
0
Janitorial
3,252
SUBTOTAL
3,252
MAINTENANCE
Building
7,285
Equipment
340
SUBTOTAL 7,625
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1991-92 EXPENDED
BUDGETED APRIL 1992
49
33,360
500
4,280
248
3,037
2,519
3,030
4,555
263
148
51,940
0
150
420
8,500
3,200
2,500
765
0
150
100
200
15,985
25
4,500
4,525
4,000
800
4,800
18,411
216
0
256
1,363
1,177
1,814
2,823
169
74
26,303
0
0
62
4,148
1,449
0
674
100
54
112
0
6,599
0
2,107
2,107
4,069
101
4,170
1991-92
AMENDED
32,942 -
416
0
256
2,475
2,180
3,110
4,840
290
127
46,636
0
150
262
8,148 :-
2,484
2,500
674
100
150
112
100
14,680
0
3,907
3,907
5,069
3 01
5,370
1992-93
BUDGET
2r 474.
4
44, 605
804
4, 84€x.
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
50
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
. ..... .......
CAPITAL OUTLAY
Machinery R Equip.
556
300
0
280
Office Equip.
0
0
0
0
SUBTOTAL
556
300
0
280
ID
DEPARTMENT TOTALS
70,880
77,550
39,179
70,873
T-1 7
................
50
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
BUILDING MAINTENANCE DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
1F
1F
1F
1F
Lead Custodian
1P
1F
1F
1F
Custodian
0
0
1P
1P
Custodian
1.5
2 I
2.5
2.5
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
No capital items for this department.
51
CLASSIFICATION
FINANCE
PERSONNEL SERVICES
Manager Salaries
Clerical Salaries
Overtime
Longevity
FICA Expense
TMRS Expense
Workman's Comp.
Health Insurance
Dental Insurance
Long Term Disability
SUBTOTAL
OPERATING EXPENSES
Conferences & Training
Car Allowance
Dues & Subscriptions
Mileage
Telephone
Insurance
Postage & Freight
Printing & Reproduction
Advertising
Miscellaneous
SUBTOTAL
SUPPLIES
Office
SUBTOTAL
MAINTENANCE
Equipment
SUBTOTAL
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
48,134
48,273
27,573
48,601
................ .
49, 8-60
48,369
50,730
28,829
51,208
52,65
81
138
0
0
0
0
632
644
644
7$:8
7,524
7,738
4,444
7,822
7,.4.27
5,208
5,885
3,570
6,565
369
465
324
546
4,748
4,748
2,945
5,540
6,522
394
394
253
434
434
364
378
218
375
43
115,191
119,381
68,800
121,735
lfi,.1�32
1,502
750
389
750¢?
11800
11800
1,050
1,800
d`
225
487
361
520
65
95
24
95
57.2
1,394
1,380
793
1,586
11.61
1,382
1,350
1,133
1,223
; 2:2
1,421
1,576
833
1,428
1•;42'
1,705
1,674
11919
1,969
1.F 96x0
72
200
24
24
fl
631
0
1989
3,899
10,197
9,312
8,515
13,294
z
981
900
583
900
981
900
583
900
900
234
3,180
1,772
2,568
2,632 `
234
3,180
1,772
2,568
2,632
52
:......
2
.....................
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
53
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
..........
MISCELLANEOUS
Prior Tax Year Refund
0
0
117
117
ID.
SUBTOTAL
0
0
117
117
CAPITAL OUTLAY
Office Equipment
430
0
0
0
SUBTOTAL
430
0
0
0
DEPARTMENT TOTALS
127,033
132,773
79,787
138,614
53
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
FINANCE DEPARTMENT
Personnel Authorizations
1989-90
1990-91 1991-92
1992-93
Position
1F
1F I 1F
1F
Director
1F
1F 0
0
Accountant
0
0 f 1F
1F
Chief Accountant
1F
1F I 1F
I
1F
Account Clerk II
3
3 3
3
Full - Time Equivalent (FTE)
Capital Outlay
Account No.
Description
Cost
4905 File Cabinet $533
4905 Chair 250
54
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92
CLASSIFICATION ACTUAL BUDGETED APRIL 1992 AMENDED
PUBLIC WORKS - ADMINISTRATION
PERSONNEL SERVICES
Manager Salaries
0
48,249
27,779
48,797
Clerical Salaries
0
21,181
12,000
21,539
Salary & Wages
0
93,311
52,349
94,786
Overtime
0
2,000
11105
2,000
Part -Time Salary
0
0
0
0
Longevity
0
980
996
996
FICA Expense
0
12,623
7,435
13,019
TMRS Expense
0
10,816
5,903
10,939
Workman's Comp.
0
11,052
6,114
11,052
Health Insurance
0
7,913
5,768
7,913 `-
Dental Insurance
0
657
420
657 '
Long -Term Disability
0
625
400
625
SUBTOTAL
0
209,407
120,269
212,323
OPERATING EXPENSES
Conferences & Training
0
2,700
1,876
2,700
Car Allowance
0
7,200
4,200
7,200
Dues & Subscriptions
0
1,515
1,392
1,515
Mileage
0
5,928
2,424
51000
Worker's Comp Claims
0
0
0
0
Telephone
0
2,000
1,744
2,244
Insurance
0
2,259
2,900
2,900
Consultant Fees-Dev.Fee
0
0
3,416
3416
Professional Services
0
3,000
447
1,000
Postage & Freight
0
150
40
150 '.
Printing & Reproduction
0
500
1,004
1,204
Advertising
0
150
10
150
Miscellaneous
0
0
26
25
SUBTOTAL
0
25,402
19,479
27,504
SUPPLIES
Office
0
1,200
1,122
1,200
Miscellaneous
0
400
20
120
Computer Supplies
0
500
116
500
SUBTOTAL
0
2,100
1,258
1,820
55
1992-93
BUDGET
1V6,442
.11.2
1y 2:8:4.::
844-
7
4.47 5#
2:.57 x.9f.2.6
1-2..110
y2r4�� i
kl als
15E3
3,�tI#f
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
56
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
MAINTENANCE
Radio
0
300
0
300
100-"
SUBTOTAL
0
300
0
300
CAPITAL OUTLAY
Machinery & Equipment
0
0
0
0
Office Equipment
0
4,200
4,480
4,480
;05'0-.Q
Radio Equipment
0
0
0
0
-2.
SUBTOTALS
0
4,200
4,480
4,480
DEPARTMENT TOTALS
0
241,409
145,486
246,42730'O
....
... ...... . x -s.,2
56
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
PUBLIC WORKS ADMINISTRATION DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
0
0
1F
1F
Director
0
0
1F
0
Secretary
0
0
i 0
I 1F
Secretary II
0
0
1F
1F
Public Works Superintendent
0
0
1F
2F
Utility Inspector
0
0
1F
1F
Civil Engineer
0
0
0
1P
Drafter
0
0
5
6.5
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
4904 Computer and Laser Printer $3,500
4905 Drafting Table and Stool 2,500
4906 Radio 2,700
57
CITY OF ALLEN
1892-93 FISCAL YEAR
BUDGET
1990-91 1901-03 EXPENDED 1991-92 1992-93
CLASSIFICATION ACTUAL� BUDGETED APRIL 1992 AMENDED BUDGET
PUBLIC WORKS-WATER/SEWER
PERSONNEL SERVICES
Salary & Wages
0
267,144
153,686
273,233
Overtime
O
24,131
13'554
34,121
19018-35
Part Time Salary
O
1,820
I,050
1,820
118.20
Longevity
O
],%%D
3'248
3,248
' -1, '
FICA Expense
D
22,569
12,727
21,872
24 3 �
T083 Expense
O
18,944
10,439
18,688
Workman's Comp.
O
19,453
13,504
19,452
� 2-2.,F 5-:74
Health Insurance
O
26,135
16,673
26'135
�
Dental Insurance
O
1,708
11109
1,708
Long -Term Disability
O
1,041
541
1,041
3naT0T&L
O
386,162
326,531
391,318
422,632
OPERATING EXPENSES�
!
Conferences a Training
O
2,590
,
J 878
'
� 878
,
, ~ �
Dues & Subscriptions
O
3,380
1,883
2,083
4,2.90 -
Mileage
O
%OO
395
495
Worker Comp' Claims
O
300
0
300
Clotbiog a Uniforms
O
4,001
4,017
5'917
Electricity
O
80,000
'
�3 1O8
'
80,000
Telephone
O
],SOO
3,661
4,686
Insurance
O
30,643
25,806
30,642 �
25�0�2
Consultant Fees-Dev
O
O
O
10,000 '
�
Professional Services
O
25,000
O
15,000
Postage a Freight
8
500
158
408
Printing 6 Reproduction
O
%,OOO
563
1'563
2,0:00
Advertising
O
500
80
180
Rentals
O
3.508
1.350
3,508
4°6-0:W!
Propane Gas
U
O
O
O
400:.
Gasoline
O
9,500
3,876
8,879
9. 5:0.0.
Oil a Lubricants
O
500
?
500
Payments to Water Dist
O
785,355
392,832
785,255
Payments to Water Dist
O
812,002
557,317
818,002
Transfer to General Fund
219'749
221,000
U
331'000
221,06-0-
21,06-nSDoTOTAL
SUBTOTAL
219,749
1,985,171
1,037,739
1,991,287
�
2,0-1�8����
SUPPLIESl
�
Office
U
300
615
715
Miscellaneous
0
lOO
0
lOO
Mechanical
O
25,000
35,948
39,948
40~�0-0 �
&tl
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
59
1990-91
1991-92
EXPENDED
1991-92
1992-93
CLASSIFICATION
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
Janitorial
0
150
3
103::
Medical & Chemical
0
1,500
122
1,322
Small Tools & Equip.
0
4,500
1,318
4,500
4.:;00.0
Chlorine Gas
0
2,100
740
2,099,:1:Q
Computer Supplies
0
0
0
0
g€0
SUBTOTAL
0
33,650
38,746
48,787
48,6.5-0
MAINTENANCE
Building
0
6,000
816
2,817
6,0 -fl
Vehicle Maintenance
0
5,000
2,132
4,132
4,0°d#4
Equipment
0
10,500
6,482
10,491
di
Radio
0
31000
776
3,000
Asphalt
0
2,000
118
2,000
Rock, Sand, Etc.
0
4,000
2,181
4,000;0¢#f`
Miscellaneous
0
200
0
200-#-0>
Meter
0
7,500
11910
7,500
7"000-,
Sewer System
0
15,000
3,664
15000
Water System
0
81000
935
8,000
Water Tower Repairs
0
0
0
0
0 -
Infrastructure Maint.
0
0
0
0
7,5-: 0.
SUBTOTAL
0
61,200
19,014
57,140
CAPITAL OUTLAY
Cars & Trucks
0
36,500
0
36,500
17,.'d#Q
Machinery Equipment
0
10,800
9,292
9,292
1.3ri}p
Office Equipment
0
0
1,441
1,441
Radio Equipment
0
15,000
0
10,000
0?
Mains & Connections
0
150,000
0
150,000
Meters
0
35,000
27,729
35,000
10,0'D0.?
SUBTOTAL
0
247,300
38,462
242,233
19.3,,5 #0
DEPARTMENT TOTALS
219,749
2,713,483
1,360,492
2,730,7652.,-7€5.,7!5j
59
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
WATER be SEWER DEPARTMENT
Personnel Authorizations
11989-90
1990-91
1991-92
1992-93
Position
1F
1F
0
0
Director
IF
IF
0
0
Secretary
1F
1F
1F
1F
Foreman
2F
2F
3F
3F
Sr. Maintenance Worker
1F
1F
2F
3F
Equipment Operator
5F
5F
2F
2F
Maintenance Worker
1F
1F
1F
0
Meter Service Representative
2F
2F
1F
0
Meter Readers
0
0
0
2F
Meter Service Technician
3F
3F
3F
3F
Pump Station Operators
0
1F
0
0
Public Works Superintendent
17
18
13
14
Full - Time Equivalent (FTE)
Capital Outlay
Account No.
Description
Cost
4903
One Ton Truck with Utility Bed
$ 17,000
4904
Hand Truck
500
4904
Boring Machine
8,000
4904
2 3" Pumps
3,000
4904
Fork Attachments for Loader Bucket
1,800
4905
Utility Scanning Equipment
3,200
4921
Mains and Connections
130,000
4922
Water Meters
30,000
60
CLASSIFICATION
UTILITY COLLECTIONS
PERSONNEL SERVICES
Clerical Salaries
Overtime ,
Part -Time Salary
Longevity
FICA Expense
TMRS Expense
Workman's Comp.
Health Insurance
Dental Insurance
Long Term Disability
SUBTOTAL
OPERATING EXPENSES
Conferences & Training
Dues & Subscriptions
Mileage
Telephone
Insurance
Professional Services
Postage & Freight
Printing & Reproduction
Advertising
Miscellaneous
SUBTOTAL
SUPPLIES
Office
SUBTOTAL
MAINTENANCE
Equipment
SUBTOTAL
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91
1991-92
EXPENDED
1991-92
1992-93
ACTUAL
.BUDGETED
APRIL 1992
AMENDED
BUDGET
56,033
57,797
32,051
58,007
.... .::..........
4 4,
0
0
0
25
.0
0
0
431
431
6.1 #3:85
0
448
452
452
4,150
4,463
2,405
4,391`:;$
3,031
3,755
2,030
3,820
4.,€ 7o .
369
272
199
332
34'$
5,990
6,138
4,296
7,014
6.,$2.2
372
394
253
434:
206
221
126
220
70,151
73,488
42,243
75,126
1,140
11000
322
11000
1.,1
0
0
0
0
##
48
90
33
90
.220:
1,321
1,320
583
1,166
1:,236
1,612
1,609
996
1,364
700
0
0
0,
20,830
24,700
14,629
25,079
2,6<
4,027
5,000
4,670
4,820
4r-70,0
67
120
10
10
€
578
0
3,541
7,081
30,323
33,839
24,784
40,610
48,29'
1,341
1,340
828
1,340
1,341
1,340
828
1,340
1
2,787 4,158 1,645 3,815,36
2,787 4,158 1,645 3,815 4,236
61
0
CLASSIFICATION
MISCELLANEOUS
Salary Reserve
Insurance Reserve
SUBTOTAL
CAPITAL OUTLAY
Office Equipment
SUBTOTAL
DEPARTMENT TOTALS
CITY OF ALLEN
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED
ACTUAL BUDGETED APRIL 1992
0 306 0
0 4,300 0
0 4,606 0
1,050
1,050
105,652
3,675
3,675
121,106
62
4,167
4,167
73,667
1991-92 1992-93
AMENDED
..........
BUDGET
0
0
0
4,167
4,167
125,058 -2'82'
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
UTILITY COLLECTIONS DEPARTMENT
Personnel Authorizations
1989-90
1990-91
1991-92
1992-93
Position
2F
2F
2F
2F
Account Clerk
1F
1F
1F
1F
Sr. Accounting Clerk
0
0
0
1P
Customer Service Clerk
3
3
3
3.5
Full - Time Equivalent (FTE)
Capital Outlay
Account No.
4905
4905
4905
Description
3 Chairs
Personal Computer with Emulation Board
Telephone System Upgrade
63
Cost
$ 750
1,575
14,215
REVENUES
Sales Tax
Contributions City
Contributions AISD
Contributions Chamber
Interest Earnings
TOTAL
EXPENDITURES
PERSONNEL SERVICES
Manager Salaries
Part -Time Salary
Longevity
FICA Expense
TMRS Expense
Workman's Comp.
Health Insurance
Dental Insurance
Long Term Disability
SUBTOTAL
OPERATING EXPENSES
Conferences & Training
Dues & Subscriptions
Telephone
Insurance
Postage & Freight
Printing & Reproduction
Advertising
Travel Advancements
Maps & Photography
Meetings & Receptions
Transfer Out
SUBTOTAL
CITY OF ALLEN
ECONOMIC DEVELOPMENT CORPORATION FUND
1992-93 FISCAL YEAR
BUDGET
1990-91 1991-92 EXPENDED 1991-92 1992-93
ACTUAL BUDGETED APRIL 1992 AMENDED BUDGET
0
0
0
0
Sii,.2Ts
0
0
0
0
0
0
0
0,
0
0
0
0
2,100:'
0
0
0
0
54:8*37.5
i
0
0
0
0
0
0
0
0
lx;'FO
0
0
0
0
124
0
0
0
0
4F501
0
0
0
0
0
0
0
00:€
0
0
0
0
0
0
0
0
14.5
0
0
0
0 '.
38$ ..
0
0
0
0
0
0
0
0
1, SOD
0
0
0
0
1,17
0
0
0
0
7,5:
0
0
0
0 :'.
57.6
0
0
0
0
2,25##
0
0
0
0
1J,50-0.
0
0
0
05,.30€#
0
0
0
0
9:0€3
0
0
0
0 ':
7; -Q 0
0
0
0
15,790
##`
0
0
0
15,790
51,79-3
79.3
64
CITY OF ALLEN
ECONOMIC DEVELOPMENT CORPORATION FUND
1992-93 FISCAL YEAR
BUDGET
65
1990-91
1991-92
EXPENDED
1991-92
1992-93
ACTUAL
BUDGETED
APRIL 1992
AMENDED
BUDGET
SUPPLIES
Office
0
0
0
0
:L
Miscellaneous
0
0
0
0
SUBTOTAL
0
0
0
0
CONTRACT SERVICES
Economic Development
0
0
0
0
SUBTOTAL
0
0
0
0
MISCELLANEOUS
Loan Guarantees
0
0
0
0
Planning & Design
0
0
0
0
Training Programs
0
0
0
0
5.i0 -:00 -
15.i0-:00#
Cost
Cost Partic. Infrast.
0
0
0
0
Direct Grants
0
0
0
0
Debt Retirement
0
0
0
0
SUBTOTAL
0
0
0
0
:. 0
CAPITAL OUTLAY
Office Equipment
0
0
0
0
SUBTOTAL
0
0
0
0
DEPARTMENT TOTALS
0
0
0
15,790
65
CITY OF ALLEN
FY 1992-93 BUDGET PROPOSED
ECONOMIC DEVELOPMENT CORPORATION
Personnel Authorizations
1989-90
1990-91
1991-92
11992-93
Position
0
0
0
1F
Coordinator
0
0
0
1P
Intern
0
-
0
0
1P
Secretary I
0 I
0
0
2F
Full - Time Equivalent (FTE)
Capital Outlay
Account No. Description Cost
4905 3 Chairs $ 600
4905 Personal Computer 1,500
66
8EvCNDo3
Garbage Fees
aeoroliuu Revenues
Residential Garbage Fees
Commercial Garbage Fees
Residential 8ecyc' Fees
Recycling Materials
Grants
EXPENSES
OPERATING EXPENSES
Operating Transfer Out
Recycling Expenses
Recycling Rebates
Eovioromeutal Grants
SUBTOTAL
.CONTRACT SERVICES
Sanitation Service
Recycling Service
Solid Waste - NTMWD
SUBTOTAL
TOTAL
ACTUAL
1990-91
411,094
~~~~~~~
247,405
O
139,993
387,]98
398,820
~~~~~~~
SOLID WASTE FUND
1992-93 FISCAL YEAR
BUDGET
BUDGET
EXPENDED
I991-92
1992-93
1991-92
APRIL 1992
AMENDED
BUDGET
693,000
364,258
642,544
- -----'��
3,706
1,977
3,857
-0 {
O
O
O
O
O
O
�
O
O
39'000
U
O
O
O
O
0
696,706
366,235
"
`
685 4Ol �
^ i
"^" «R.�
O
O
� '
18,109
5,780
2,176
9,807
U
O
5,665
O
O
O�
�
5,780
2,176
33,641 '
5-1-447.11
460,854
189,278
�
317'071
O
O
34,125
220,734
148,117
225,765 ^
' �
.
~p1°
,
690,588
337,395
�
576,061 �zol
`
.
606,368
~~~~~~~
339"571
~~~~~~~
�
610,602 �
~~~~~~~ ---'------
~~~~~~~
67
VEHICLE REPLACEMENT FUND
1992-93 FISCAL YEAR
BUDGET
68
1991-92 1992-93
AMENDED BUDGET
62,241
62, 241
k .n
4
ACTUAL
BUDGET
EXPENDED
1990-91
1991-92
APRIL 1992
REVENUES
Transfer from Gen. Fund
0
0
0
TOTAL
0
0
0
EXPENSES
CAPITAL OUTLAY
Vehicles
0
0
0
TOTAL
0
0
0
68
1991-92 1992-93
AMENDED BUDGET
62,241
62, 241
k .n
4
AFFIDAVIT AND PROOF OF PUBLICATION
THE STATE OF TEXAS
COUNTY OF COLLIN
BEFORE ME, the undersigned authority, on this day personally appeared DEBBIE
TACKETT, who having been by me duly sworn, on oath deposes and says:
That she is the General Manager of THE ALLEN AMERICAN, a newspaper published
in COLLIN COUNTY, TEXAS, not less frequently than once a week, having a general
circulation in said county, and having been published regularly and continously for more
than twelve (12) months prior to publishing
Public Hearing for August 18, 1992
of which the attached is a true and written copy, and which was published in THE ALLEN
AMERICAN on
Wednesday, August 12, 1992
and which was issued on August 12, 199? ,
by City of Allen of COLLIN COUNTY, TEXAS.
A printed copy of said publication is attached hereto.
SUBSCRIBED AND SWORN to before me this ,/155, day of A.D. 19--M
.....v'. V.A. TODD
yb MY COMMISSION EXPIRES
i Dooember s,1901
Publisher's fee $ 10.13
PUBLIC in and for COLLIN COUNTY, TEXAS
CITY OF ALLEN
NOTICE OF PUBLIC HEARING
Notice is hereby given that the Allen City
Council will conduct a public hearing at a
special called meeting to be held on Tues-
day, August 18, 1992, at 7:00 P.M., in the
Council Chambers of the Allen Municipal
Annex, One Butler Circle, Allen, Texas, to
consider the proposed 1992-1993 budget.
Anyone wishing to speak either FOR or
AGAINST the proposed 1992-1993 budget
is invited to attend this public hearing and
voice their opinion.
For further information, contact the City
Manager, City'of Allen; One Butler Circle,
Allen, Texas, or by telephoning 727-0110.
/s/ Judy Morrison
City Secretary
AFFIDAVIT AND PROOF OF PUBLICATION
THE STATE OF TEXAS
COUNTY OF COLLIN
BEFORE ME, the undersigned authority, on this day personally appeared DEBBIE
TACKETT, who having been by me duly sworn, on oath deposes and says:
That she is the General Manager of THE ALLEN AMERICAN, a newspaper published in
COLLIN COUNTY, TEXAS, not less frequently than once a week, having a general circulation in
said county, and having been published regularly and continously for more than twelve (12)
months prior to publishing
Ordinance #1128-9-92
of which the attached is a true and written copy, and which was published in THE ALLEN
AMERICAN on
Wednesday September 9, 1992 & Sunday September 13, 1992
and which was issued on September 9, 1992 ,
by City of Allen of COLLIN COUNTY, TEXAS.
A printed copy of said publication is attached hereto.
SUBSCRIBED AND SWORN to before me this 45" day of
V.A. TODD
MY COMMISSION EXPIRES
I)mnmM► S. 19p2
Publisher's fee $ 24.76
.D. 19-99
PUBLIC in and for COLLIN COUNTY, TEXAS
CITY OF ALLEN
PUBLIC NOTICE
Notice is hereby given that the Allen City_
Council adopted the following ordinance at
their regular meeting held on Thursday,
September 3, 1992 (Title and Penalty
Clause only):
Ordinance No. 1128-9-92: An Ordinance
of the City of Allen, Collin County, Texas;
Amending the Appropriations for the
1991-1992 Fiscal Year Budget and Ap-
proving and Adopting the Budget and Set-
ting Appropriations for the Fiscal Year Be-
ginning October 1, 1992, and Terminating
September 30, 1993; and Providing for an
Effective Date.
A copy of this ordinance may be read or
purchased in the office of the City Secret=
ary, City of Allen, One Butler Circle, Allen,
Texas 75002.
/s/ Judy Morrison
City Secretary
I CITY OF ALLEN
PUBLIC NOTICE I
Notice is hereby given that the Allen City
Council adopted the following ordinance at
their regular meeting held on Thursday,
I September 3, 1992 (Title and Penalty
Clause only):
Ordinance No. 1128-9-92• An Ordinance
of the City of Allen, Collin County, Texas;
Amending the Appropriations for the
1991-1992 Fiscal Year Budget and Ap-
proving and Adopting the Budget and Set-
ting Appropriations for the Fiscal Year Be-
ginning October 1, 1992, and Terminating
September 30, 1993; and Providing for an
I Effective Date.
A copy of this ordinance may be read or
purchased in the office of the City Secret-
ary, City of Allen, One Butler Circle, Allen;
Texas 75002. ._
/s/ Judy Morrison
City Secretary