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Minutes September 28, 2015REGULAR MEETING OF THE CITY COUNCIL OF THE CITY OF NEDERLAND 4:30 p.m. 1. MEETING September 28, 2015 The meeting was called to order at 4:30 p.m. by Mayor Nugent at the Nederland City Office Building, 207 N. 12th Street, Nederland, Texas. See attached for quorum. 2. INVOCATION AND PLEDGE OF ALLEGIANCE The invocation and pledge of allegiance were led by Gay Ferguson, City Clerk. 3. CONSENT AGENDA, - All consent agenda items listed are considered to be routine by the City Council and will be enacted by one motion. There will be no separate discussion of these items unless a councilmember so requests, in which event the item will be removed from the Consent Agenda and considered separately. A motion was made by Councilmember Neal and seconded by Councilmember Austin to approve the Consent Agenda Items 3 a -e as presented. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. a. Minutes — September 14, 2015 regular meeting and September 8, 2015 special meeting b. August 2015 Departmental Reports c. Tax Assessor Collection Report - August 2015 d. Street Closures • Consider action authorizing the closure of Boston Avenue from 14th Street to 17th Street on Tuesday, October 6th for National Night Out and the NFD Open House. • Consider action authorizing the closure of Boston Avenue from 17th Street to Twin City Highway and all intersections on Saturday, December 5th for the Christmas on the Avenue event. e. Payments: LaBiche Architectural Group, Inc. - $6,050.00, Nederland Service Center project • Schaumburg & Polk, Inc. - $2,341.28, South 121h Street Waterline Relocation project • Schaumburg & Polk, Inc. - $51383.03, 2015 Asphalt Street Rehabilitation project • Schaumburg & Polk, Inc. - $11,192.00, Nederland Avenue Study • Schaumburg & Polk, Inc. - $600.00, South 51h Street Water Tower Rehabilitation project • Bruce's General Construction - $20,058.30, 2015 Concrete Street Rehabilitation project Minutes Continued, September 28, 2015 4. REGULAR AGENDA, a. Recognition of retiree: Clint Wayne Oliver, Solid Waste/City Shop/Animal Control Supervisor. The meeting was recessed from 4:38 - 4:45 to allow for cake and congratulations for Mr. Oliver. b. A motion was made by Mayor Pro Tem Albanese and seconded by Councilmember Neal to declare surplus a vehicle from the Information Technology Department. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. c. A motion was made by Councilmember Austin and seconded by Councilmember Neal to approve Ordinance No. 2015-18, declaring certain utility accounts as uncollectable. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. d. A motion was made by Mayor Pro Tem Albanese and seconded by Councilmember Austin to authorize the solicitation of bids for the Bob Henson building repairs/improvements project. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. e. A motion was made by Councilmember Neal and seconded by Mayor Pro Tem Albanese to authorize the solicitation of bids for the Nederland Service Center City Shop addition project. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. f. A motion was made by Councilmember Austin and seconded by Mayor Pro Tem Albanese to amend the City of Nederland Wage and Position Classification Plan. MOTION CARRIED. Ayes: Mayor Nugent, Councilmember Austin, Neal, Albanese, and Belaire. Noes: None. 9 A motion was made by Councilmember Belaire and seconded by Mayor Pro Tem Albanese to approve revisions to the Nederland Personnel Policy. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. h. A motion was made by Councilmember Belaire and seconded by Councilmember Neal to approve Ordinance No. 2015-19, amending the fiscal year 2014-2015 budget. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. Minutes Continued, September 28, 2015 5. EXECUTIVE SESSION The regular meeting was recessed at 5:05 p.m. by Mayor Nugent for the purpose of conducting an Executive Session as authorized by Texas Government Code, Chapter 551.071, Consultation with City Attorney. 6. RECONVENE The regular meeting was reconvened at 5:26 p.m. by Mayor Nugent. He announced the Executive Session was held for informational purposes only and no action is necessary. 7. COMMUNICATION City Manager's Report: a. National Night Out - Tuesday, October 6tH b. Monsters in the Park - Saturday, October 10tH S. ADJOURN There being no further business a motion was made by Mayor Nugent and seconded by Councilmember Belaire to adjourn the meeting at 5:28 p.m. MOTION CARRIED. Ayes: Mayor Nugent, Councilmembers Austin, Neal, Albanese, and Belaire. Noes: None. R. A. N u g e n , Mor City of Nederland(, Texas A EST: l� ay Fergus ,City Clerk City of Nederland, Texas CITY OF NEDERLAND COUNCIL MEETING ATTENDANCE SHEET R NAME TITLE R. A. Nugent Mayor Talmadge Austin Council Member— Ward I Billy Neal Council Member—Ward II Don Albanese Council Member— Ward III Craig Belaire Council Member—Ward IV Chris Duque City Manager Gay Ferguson City Clerk Jesse Branick City Attorney Cheryl Dowden Director of Finance Darrell Bush Police Chief Gary Collins Fire Chief Steve Hamilton Director of Public Works George Wheeler Building Official Victoria Klehn Librarian Holly Guidry Human Resources Director Joni Underwood Executive Secretary Angela Fanette Parks Director R. Nug nt, or 14 lli7 Gay gdty__tIerr0L"/vL/Fer usq , September 28, 2015 Date PRESENT 4 4/ ABSENT V ALLISON NATHAN GETZ TAX ASSESSOR -COLLECTOR STATE OF TEXAS COUNTY OF JEFFERSON TERRY WUENSCHEL CHIEF DEPUTY I, Allison Nathan Getz, P.C.C., the Tax Assessor -Collector of Jefferson County, Texas and also, by contract or statute, the Tax Assessor -Collector for CITY OF NEDERLAND, affirm, under oath, that this amount $21,128.27, represents all taxes collected for CITY OF NEDERLAND during the month of August 20 15. /11 - - �ata4'�?' ta va-4- )L4/, Allison Nathan Getz, P.C.C. JEFFERSON COUNTY COURTHOUSE • P.O. BOX 2112 • BEAUMONT, TEXAS 77704-2112 PHONE: (409)835-8516 •FAX: (409)835-8589 ORDINANCE NO. 2015-18 AN ORDINANCE ACCEPTING UTILITY ACCOUNTS RECEIVABLE CHARGE-OFFS IN THE AMOUNT OF $ 69136.63 AS SHOWN IN ATTACHMENT "A" FOR THE YEAR ENDED 9-30-15 IN THE CITY OF NEDERLAND. WHEREAS, Generally Accepted Accounting Practices require that uncollectible accounts receivable be written off to reflect accurate revenues; and, WHEREAS, Based on auditor recommendations it is desirable to present uncollectible accounts to be charged off, NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS: Section 1. The City of Nederland's book of accounts of the Water Billing/Collecting Department are hereby corrected to reflect the following charge-offs for fiscal year 2014-15 in the amount of $6,136.63 as set forth in Attachment "A." Section 2. Charge-offs affected by this Ordinance are for accounting purposes only and are not to be construed as a release or forgiveness of indebtedness by the City. This provision shall in no way be construed to waive or discharge or dispense with the continued application of Section 106-32 of the Code of Ordinances concerning the accounts hereby affected. THAT this being an ordinance not requiring publication, it shall be effective from and after its passage. PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND AT A REGULAR MEETING THIS THE 28th day of September A.D., 2015. AA.Nuten ayor City of Nederland, Texas ATTEST: PFergus, City Clerk City of Nederland, Texas APPROVED AS TO FORM AND LEGALITY: Jee Br A, City Attorney Ci of ederland, Texas ATTACHMENT "A" CITY OF NEDERLAND ACCOUNTS TO BE WRITTEN OFF FOR FYE 2014-2015 Account Number Amount 02-0700-01-0 222.60 03-0300-04-0 48.45 03-0480-09-0 135.77 03-1240-09-0 114.25 03-2540-09-0 27.16 04-0500-01-0 47.97 04-0820-02-0 99.71 04-4640-01-0 24.60 05-0045-17-0 26.05 05-0130-12-0 94.51 05-0140-06-0 118.13 05-0490-14-0 8.33 05-0510-04-0 6.86 05-0640-05-0 124.47 05-0780-04-0 138.34 05-1070-05-0 448.07 05-2060-08-0 52.70 05-3920-06-0 30.36 05-3950-20-0 75.43 05-4252-04-0 28.26 06-1280-00-0 30.43 07-0470-12-0 5.03 07-0575-13-0 101.81 08-0670-01-0 9.76 08-0970-02-0 81.72 08-2370-03-0 26.99 09-0170-23-0 67.86 09-0650-05-0 394.43 09-0830-00-0 178.34 09-1065-05-0 30.43 09-1300-01-0 34.70 10-0130-13-0 15.51 10-1120-06-0 73.69 10-2390-00-0 250.15 10-2420-05-0 350.03 11-0950-01-0 229.74 12-1059-05-0 13.36 13-0660-23-0 23.01 13-1160-10-0 9.04 13-1700-13-0 19.95 13-1762-05-0 276.24 13-2070-21-0 5.28 14-0660-06-0 22.85 14-0670-12-0 20.32 14-1350-00-0 23.01 14-2314-01-0 26.20 15-0270-03-0 11.04 15-1840-02-0 30.95 15-2050-03-0 100.00 16-0410-09-0 18.22 16-0530-17-0 35.44 ATTACHMENT "A" PAGE 2 OF 2 16-2090-21-0 5.18 16-2210-03-0 53.11 16-2340-06-0 18.15 16-2470-00-0 190.48 17-0140-02-0 47.25 17-0460-16-0 7.98 17-0710-16-0 68.47 17-1230-08-0 356.17 17-1660-04-0 197.19 17-1780-15-0 54.52 17-1960-00-0 23.07 18-0041-22-0 23.78 18-0700-08-0 153.11 19-0300-05-0 61.79 19-0310-13-0 23.48 19-1680-01-0 103.73 19-1740-07-0 70.01 20-1280-15-0 9.35 20-2190-03-0 10.67 20-2460-23-0 66.71 21-0900-03-0 20.88 23-0270-03-0 16.73 24-0900-02-0 157.64 24-0990-03-0 9.63 TOTAL $ 6,136.63 ORDINANCE NO. 2015-19 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS AMENDING THE FISCAL YEAR 2014- 2015 BUDGET IN ACCORDANCE WITH THE BUDGET AND THE CHARTER OF THE CITY OF NEDERLAND. WHEREAS, the City Council previously approved Ordinance No. 2014-16, which adopted the Fiscal Year 2014-2015 City Budget; and, WHEREAS, the City Council deems it necessary to amend the current budget to adjust revenues and expenditures as set out in Attachment "A" attached hereto; and, WHEREAS, the 2014-2015 City budget states "That any unencumbered funds remaining on hand at the end of the fiscal year ending September 30, 2015 shall be construed with and classified with Miscellaneous revenue anticipated during the fiscal year beginning October 1, 2014 and ending September 30, 2015, and such funds are hereby appropriated as a City Council Contingency Account for purposes approved by the City Council; and, NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND, TEXAS: THAT the budget for the fiscal year 2014-2015 is amended to allow for adjustments in revenues and expenditures as set out in Attachment "A." THAT all ordinances and parts of ordinances in conflict herewith are expressly repealed. THAT the City Clerk shall file a true copy of this ordinance and said budget amendment with the Office of County Clerk of Jefferson County, Texas as provided by Section 102.011 of the Local Government Code. THAT, this being an ordinance not requiring publication, it shall take effect and be in force from and after its passage. PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND AT A REGULAR MEETING THIS THE 28th DAY OF SEPTEMBER, 2015. ell R. A. Nugen , ayor City of Ned Hand, Texas ATTEST: i� ay Fergus i, City Clerk APPROVED AS TO FORM AND LEGALITY: Jes Brani , City Attorney End of year budtet line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of PROPOSED BUDGET 2,675,000 6,000 20,000 272,723 1,300 17,915 21,414 5,000 12,500 95,000 119,266 7,941 9,205 125,439 7,730 9,043 2,000 4,000 6,500 400 500 7,000 13,075 8,000 6,500 3,453,451 CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: General (01) AMOUNT CURRENT INCREASE ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) 01-0000-4130 Sales Tax 21475,000 200,000 01-1100-6333 Training & Travel 11,000 (5,000) 01-1200-6374 City Judge 221200 (2,200) 01-1300-6110 Salaries & Wages 270,983 1,740 01-1300-6115 Extra Help 6,000 (4,700) 01-1300-6124 TMRS 17,808 107 01-1300-6126 Social Security 21,281 133 01-1300-6333 Training & Travel 3,500 1,500 01-1300-6337 Advertising/Publication 10,000 2,500 01-1300-6393 Contractual Services 40,000 55,000 01-1500-6110 Salaries & Wages 1121520 6,746 01-1500-6124 TMRS 7,431 510 01-1500-6126 Social Security 8,689 516 01-1600-6110 Salaries & Wages 116,179 9,260 01-1600-6124 TMRS 7,652 78 01-1600-6126 Social Security 8,947 96 01-1600-6210 General Office Supplies 3,000 (1,000) 01-1600-6347 Unemployment Reimbursement 10,000 (6,000) 01-1900-6111 Overtime 12,000 (5,500) 01-1900-6124 TMRS - 400 01-1900-6126 Social Security - 500 01-1900-6331 Telephone 4,500 2,500 01-1900-6341 Insurance -General 10,000 3,075 01-1900-6348 Electricity 14,000 (6,000) 01-1900-6351 Fixed Plant & Equipment R&M 3,000 31500 TOTAL 31195,690 2571761 JUSTIFICATION End of year budtet line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of PROPOSED BUDGET 2,675,000 6,000 20,000 272,723 1,300 17,915 21,414 5,000 12,500 95,000 119,266 7,941 9,205 125,439 7,730 9,043 2,000 4,000 6,500 400 500 7,000 13,075 8,000 6,500 3,453,451 CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: General (01) AMOUNT CURRENT INCREASE PROPOSED ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET 01-2100-6110 Salaries & Wages 1,615,973 18,000 1,633,973 01-2100-6121 Group Insurance 285,255 5,745 2911000 01-2100-6124 TMRS 124,926 855 125,781 01-2100-6126 Social Security 149,041 19254 150,295 01-2100-6128 Worker's Comp Insurance 59,183 (16,000) 43,183 01-2100-6220 Miscellaneous Supplies 7,000 (1,500) 5,500 01-2100-6265 Supplies/Minor Tools & Equipment 8,700 1,000 9,700 01-2100-6331 Telephone 10,000 11000 11,000 01-2100-6332 Postage & Freight 2,500 800 3,300 01-2100-6341 Insurance -General 25,000 5,952 30,952 01-2100-6393 Contractual Services 13,000 21000 15,000 01-2100-6400 Special Programs 2,000 (1,000) 1,000 01-2101-6115 Extra Help 181000 6,000 24,000 01-2101-6126 Social Security 12377 423 11800 01-2101-6222 Motor Vehicle Fuel 8,500 (2,000) 6,500 01-2101-6236 Foods 13,000 41000 17,000 01-2101-6258 Motor Vehicle Supplies 700 (500) 200 01-2101-6331 Telephone 850 90 940 01-2200-6110 Salaries & Wages 873,068 47,000 920,068 01-2200-6111 Overtime 721000 30,000 102,000 01-2200-6124 TMRS 65,066 7,000 72,066 01-2200-6126 Social Security 76,080 3,000 79,080 01-2200-6341 Insurance -General 12,835 3,786 16,621 01-2200-6343 Insurance Motor Equipment 9,800 80 9,880 01-2200-6348 Electricity 9,500 13500 11,000 01-2200-6350 Bldg/Structure Improvements 1,000 4,600 5,600 01-2200-6355 Vehicle & Equipment R&M 46,000 40,000 86,000 TOTAL 3,510,354 163,085 3,673,439 JUSTIFICATION End of year budtet line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of End of year budget line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of PROPOSED BUDGET 125,364 8,000 8,310 500 436 12,000 161,460 10,730 12,500 5,400 3,700 1,300 2,020 1,100 21,000 376,951 26,000 72,528 27,366 32,000 24,500 42,500 55,000 10,000 1,650 3,000 325,000 1,370,315 CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: General (01) AMOUNT CURRENT INCREASE ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) 01-2400-6110 Salaries & Wages 122,068 3,296 01-2400-6115 Extra Help 14,000 (6,000) 01-2400-6124 TMRS 8,069 241 01-2400-6317 Reimbursement 1,500 (1,000) 01-2400-6341 Insurance -General 2,036 (1,600) 01-2400-6393 Contractual Services 25,000 (13,000) 01-3000-6110 Salaries & Wages 158,628 2,832 01-3000-6124 TMRS 10,529 201 01-3000-6126 Social Security 12,312 188 01-3000-6331 Telephone 3,800 1,600 01-3000-6341 Insurance -General 3,640 60 01-3000-6349 Natural Gas 800 500 01-3000-6351 Fixed Plant & Equipment R&M 1,720 300 01-3000-6393 Contractual Services - 1,100 01-3000-6394 Storm Water Permitting 25,000 (4,000) 01-3100-6110 Salaries & Wages 371,951 5,000 01-3100-6111 Overtime 42,000 (16,000) 01-3100-6115 Extra Help 3,000 (3,000) 01-3100-6121 Group Insurance 77,528 (5,000) 01-3100-6124 TMRS 27,068 298 01-3100-6126 Social Security 31,879 121 01-3100-6222 Motor Vehicle Fuel 38,500 (14,000) 01-3100-6240 Signs & Markers 38,000 4,500 01-3100-6246 Streets & Bridge Supplies 65,000 (10,000) 01-3100-6258 Motor Vehicle Supplies 12,000 (2,000) 01-3100-6341 Insurance -General 5,650 (4,000) 01-3100-6354 Traffic Lights 9,000 (9,000) 01-3100-6357 Street Striping 6,000 (3,000) 01-3100-6730 Street Improvements 275,000 50,000 TOTAL 1,391,678 (21,363) JUSTIFICATION End of year budget line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of PROPOSED BUDGET 125,364 8,000 8,310 500 436 12,000 161,460 10,730 12,500 5,400 3,700 1,300 2,020 1,100 21,000 376,951 26,000 72,528 27,366 32,000 24,500 42,500 55,000 10,000 1,650 3,000 325,000 1,370,315 CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: General (01) End of year budtet line -item adjustments Dept. Head Signature: Finance Director: Date Approved: Page of AMOUNT INCREASE (DECREASE) 6,980 (2,200) 554 503 1,000 (1,000) 648 250 (1,500) 665 435 750 2,000 6,800 (10,000) 1,201 (1,000) (800) (1,000) 500 2,000 9,000 1,000 (1,000) (2,000) 735 6,000 (1,000) 700 20,221 Date: Date: Date Posted: PROPOSED BUDGET 119,310 1,800 8,300 48,000 26,000 9,000 4,800 1,100 , 2,000 665 435 6,500 163,065 15,800 110,000 12,400 7,434 2,700 3,750 11,000 8,000 37,000 6,000 500 18,910 1,700 38,000 7,000 30,700 701,869 CURRENT ACCOUNT NO. ACCOUNT TITLE BUDGET 01-3200-6110 Salaries & Wages 112,330 01-3200-6111 Overtime 4,000 01-3200-6124 TMRS 7,746 01-3400-6110 Salaries & Wages 47,497 01-3400-6111 Overtime 25,000 01-3400-6115 Extra Help 10,000 01-3400-6124 Motor Vehicle Fuel 4,152 01-3400-6265 Supplies, minor tools & equipment 850 01-3400-6333 Training & Travel 3,500 01-3400-6341 Insurance -General - 01-3400-6343 Insurance Motor Equipment - 01-3400-6391 Support of Animal Shelter 5,750 01-5100-6110 Salaries & Wages 161,065 01-5100-6111 Overtime 9,000 01-5100-6115 Extra Help 120,000 01-5100-6124 TMRS 11,199 01-5100-6128 Worker's Compensation 8,434 01-5100-6210 General Office Supplies 3,500 01-5100-6222 Motor Vehicle Fuel 4,750 01-5100-6236 Foods 10,500 01-5100-6243 Special Program Supplies 6,000 01-5100-6256 Chemicals & Insecticides 28,000 01-5100-6333 Training & Travel 5,000 01-5100-6337 Advertising/Publication 1,500 01-5100-6341 Insurance -General 20,910 01-5100-6343 Insurance Motor Equipment 965 01-5100-6348 Electricity 32,000 01-5100-6351 Fixed Plant & Equipment R&M 8,000 01-5100-6720 Buildings, Fixtures, & Grounds 30,000 TOTAL 681,648 JUSTIFICATION End of year budtet line -item adjustments Dept. Head Signature: Finance Director: Date Approved: Page of AMOUNT INCREASE (DECREASE) 6,980 (2,200) 554 503 1,000 (1,000) 648 250 (1,500) 665 435 750 2,000 6,800 (10,000) 1,201 (1,000) (800) (1,000) 500 2,000 9,000 1,000 (1,000) (2,000) 735 6,000 (1,000) 700 20,221 Date: Date: Date Posted: PROPOSED BUDGET 119,310 1,800 8,300 48,000 26,000 9,000 4,800 1,100 , 2,000 665 435 6,500 163,065 15,800 110,000 12,400 7,434 2,700 3,750 11,000 8,000 37,000 6,000 500 18,910 1,700 38,000 7,000 30,700 701,869 CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: General (01) TOTAL) 2,202,672 JUSTIFICATION End of year budget line -item adjustments Dept. Head Signature: Finance Director: Date Approved: Page of AMOUNT INCREASE (DECREASE) (8,000) 71 (5,000) (7,000) 500 160 20 5,000 (12, 000) (12,239) 14,200 (25,000) 10,000 (50,000) (22,000) (35,000) 70,000 50,000 100,000 73,712 Date: Date: Date Posted: PROPOSED BUDGET 3590001 12,400 22,770 18,000 2,000 2,600 380 80,000 18,000 49,200 15,000 25,000 26,034 590,000 180,000 1,200,000 2,276,384 CURRENT ACCOUNT NO. ACCOUNT TITLE r i BUDGET 01-5500-6115 Extra Help 43,000 01-5500-6124 TM RS 12,329 01-5500-6341 Insurance -General 271770 01-5500-6348 Electricity 25,000 01-5500-6349 Natural Gas 11500 01-5500-6366 Rental Equipment 29440 01-5500-6377 Dues & Memberships 360 01-9000-6315 Computer System 75,000 01-9000-6326 Retiree Insurance 30,000 01-9000-6336 Retiree Accrued Insurance 12,239 01-9000-6371 Senior Citizen Center 35,000 01-9000-6393 Contractual Services 409000 01-9000-6400 ,Special Programs 15,000 01-9000-6406 Contingency 76,034 01-9000-6409 Vacation Buy Back 22,000 01-9000-6411 ,Preventive Care Reimbursement 35,000 01-9000-6904 Transfer to Parks Special Fund 520,000 01-9000-6907 Transfer to Capital Outlay 130,000 01-9000-6939 Transfer to Street Improvement Fund 11100,000 TOTAL) 2,202,672 JUSTIFICATION End of year budget line -item adjustments Dept. Head Signature: Finance Director: Date Approved: Page of AMOUNT INCREASE (DECREASE) (8,000) 71 (5,000) (7,000) 500 160 20 5,000 (12, 000) (12,239) 14,200 (25,000) 10,000 (50,000) (22,000) (35,000) 70,000 50,000 100,000 73,712 Date: Date: Date Posted: PROPOSED BUDGET 3590001 12,400 22,770 18,000 2,000 2,600 380 80,000 18,000 49,200 15,000 25,000 26,034 590,000 180,000 1,200,000 2,276,384 CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: Water/Sewer (50) AMOUNT J CURRENT INCREASE PROPOSED ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET 50-6000-6110 Salaries & Wages 325,002 10,138 335,140 50-6000-6124 TMRS 25,316 774 26,090 50-6000-6126 Social Security 29,601 775 30,376 50-6000-6341 Insurance -General 62,000 5,025 67,025 50-6000-6343 Insurance -Motor Equipment 560 440 11000 50-6000-6348 Electricity 135,000 (20,000) 1151000 50-6000-6351 Fixed Plant & Equipment R&M 60,000 (10,000) 50,000 50-6100-6110 Salaries & Wages 209,829 4,546 214,375 50-6100-6124 TMRS 141127 298 141425 50-6100-6126 Social Security 17,398 347 179745 50-6100-6333 Training & Travel 3,000 (3,000) - 50-6100-6341 Insurance -General - 3,550 3,550 50-6100-6343 Insurance -Motor Equipment - 830 830 50-6200-6341 Insurance -General 31,620 2,295 33,915 50-6200-6348 Electricity 15,000 (10,000) 5,000 50-6200-6351 Fixed Plant & Equipment R&M 40,000 10,000 50,000 50-6200-6740 Plant Equipment 20,000 1,000 211000 50-6300-6110 Salaries & Wages 405,359 4,826 410,185 50-6300-6124 TMRS 31,354 336 31,690 50-6300-6126 Social Security 36,662 370 37,032 50-6300-6355 Vehicles & Equipment R&M 2,000 3,000 5,000 50-6300-6393 Contractual Services - 1,300 1,300 50-6300-6756 Sewer Collection Lines - 22,285 22,285 50-9000-6409 Vacation Buy Back 30,000 (30,000) - 50-9000-6411 Preventive Care Reimbursement 10,000 (10,000) - TOTAL 11503,8281 (10,865) _ 11492,963 JUSTIFICATION End of year budget line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: Solid Waste (52) AMOUNT CURRENT INCREASE PROPOSED ACCOUNT NO. IF ACCOUNT TITLE BUDGET (DECREASE) BUDGET 52-3300-6110 Salaries & Wages 309,099 871 309,970 52-3300-6111 Overtime 17,000 1,500 18,500 52-3300-6121 TMRS 21,300 11000 22,300 52-3300-6124 Social Security 24,839 51 241890 52-3300-6222 Motor Vehicle Fuel 91,000 (61000) 85,000 52-3300-6231 Wearing Apparel 1,174 350 11524 52-3300-6242 Garbage Bags 51000 460 5,460 52-3300-6258 Motor Vehicle Supplies 73,000 (3,000) 70,000 52-3300-6343 Insurance -General 18,970 7,490 269460 52-3300-6390 Waste Disposal 260,000 (109000) 250,000 52-3300-6393 Contractual Services 89000 1,500 91500 52-3300-6397 Green Waste Disposal 25,000 (5,000) 20,000 52-9000-6409 Vacation Buy Back 800 (800) - 52-9000-6411 Preventive Care Reimbursement 2,000 (2,000)- - TOTAL 857,182 (13,578) l 843,604 JUSTIFICATION End of year budget line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: MCML Central Dispatch (70) AMOUNT CURRENT INCREASE PROPOSED ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET 70-1700-6110 Salaries & Wages 180,313 2,187 182,500 70-1700-6111 Overtime 2,500 (1,500) 1,000 70-1700-6121 Group Insurance 36,826 (4,000) 32,826 70-1700-6124 TMRS 11,989 161 12,150 70-1700-6126 Social Security 14,018 168 14,186 70-1700-6333 Training & Travel 20,000 (3,000) 17,000 70-1700-6314 Insurance -General 3,700 (3,142) 558 70-1700-6343 Insurance Motor Vehicles 1,000 (550) 450 70-1700-6355 Vehicle Equipment R&M 2,000 (1,000) 1,000 70-1700-6377 Dues & Memberships 1,500 (750) 750 70-1700-6744 Miscellaneous Equipment 13,950 18,925 32,875 70-2100-6110 Salaries & Wages 490,960 1,440 492,400 70-2100-6111 Overtime 51,000 (2,000) 49,000 70-2100-6116 Certification Pay 2,880 820 3,700 70-2100-6124 TMRS 35,504 89 35,593 70-2100-6126 Social Security 41,486 110 41,596 70-2100-6128 Worker's Compensation 1,679 (250) 1,429 70-2100-6210 General Office Supplies 6,500 (2,000) 4,500 70-2100-6212 Books & Publications 500 (500) - 70-2100-6220 Miscellaneous Supplies 1,500 (500) 1,000 70-2100-6331 Telephone 6,000 (1,000) 5,000 70-2100-6333 Training &Travel 800 (800) - 70-2100-6341 Insurance -General 12,010 (7,010) 5,000 70-2100-6348 Electricity 9,000 (3,000) 6,000 70-2100-6366 Rental Equipment 40,600 2,700 43,300 70-2100-6393 Contractual Services 10,000 1,000 11,000 1 TOTAL 998,215 (3,402) 7 994,813 JUSTIFICATION End of year budtet line -item adjustments Dept. Head Signature: Date: Finance Director: Date: Date Approved: Date Posted: Page of CITY OF NEDERLAND BUDGET AMENDMENT REQUEST FISCAL YEAR: 2014-2015 DATE: September 28, 2015 DEPARTMENT: Various FUND: Hotel/Motel (23), Parks Special (25) Port Security (30), Capital Outlay (31) Street Improvement (39) End of year budget line -item adjustments Dept. Head Signature: Finance Director: Date Approved: Page of AMOUNT INCREASE (DECREASE) 31,100 28,000 70,000 (5,000) 1,950 75,000 7,100 150,000 50,000 50,000 100,000 558,150 Date: Date: Date Posted: PROPOSED BUDGET 95,000 81,000 590,000 16,500 1,950 253,000 7,100 150,000 330,000 785,000 1,200,000 31509,5501 CURRENT ACCOUNT NO. ACCOUNT TITLE n BUDGET 23-0000-4393 Hotel Occupany Taxes 63,900 23-0000-6389 Payment to Chamber & Hist. Society 53,000 25-0000-4910 Transfer In 520,000 25-0000-6265 Supplies/Minor Tools & Equip 21,500 25-0000-6393 Contractual Services - 25-0000-6720 Bldgs, Fixtures & Grounds 178,000 T 25-5103-6265 Supplies/Minor Tools & Equip - 30-0000-6907 Transfer to Capital Outlay p Y - 31-0000-4901 Transfers In 280,000 31-0000-6720 Buildinqs, Fixtures & Grounds 735,000 r 39-0000-4910 Transfer In 111001000 l TOTAL 2,951,4001 JUSTIFICATION End of year budget line -item adjustments Dept. Head Signature: Finance Director: Date Approved: Page of AMOUNT INCREASE (DECREASE) 31,100 28,000 70,000 (5,000) 1,950 75,000 7,100 150,000 50,000 50,000 100,000 558,150 Date: Date: Date Posted: PROPOSED BUDGET 95,000 81,000 590,000 16,500 1,950 253,000 7,100 150,000 330,000 785,000 1,200,000 31509,5501