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August 10, 2020 REGULAR MEETING OF THE CITY COUNCIL OF THE CITY OF NEDERLAND 4:30 p.m- August 10, 2020 1_ MEETING The meeting was called to order at 4:30 p.m. by Mayor Albanese at the Nederland City Office Building, 207 N. 12t^ Street, Nederland, Texas. See attached for quorum. This meeting was closed to in-person attendance by the public_ A temporary suspension of the Open Meetings Act to allow telephone or videoconference public meetings has been granted by Governor Abbott. Telephonic and videoconferencing capabilities were utilized to allow individuals to address the City Council_ The following statement was posted: "PURSUANT TO SECTION 30_07, PENAL CODE (TRESPASS BY LICENSE HOLDER WITH AN OPENLY CARRIED HANDGIJN3, A PERSON LICENSED UNDER SUBCHAPTER H, CHAPTER 411, GOVERNMENT CODE (HANDGUN LICENSING LAW), MAY NOT ENTER THIS PROPERTY WITH A HANDGUN THAT IS CARRIED OPENLY." 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 Austin and seconded by Councilmember Root to approve the Consent Agenda Item "a" as presented. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. a. Minutes - July 27, 2019 regular meeting and July 20, 2020 budget workshop. 4. REGULAR AGENDA a. A motion was made by Councilmember Neal and seconded by Mayor Pro Tem Hollier to accept the Quarterly Investment Report from the Finance Department. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. Minutes Continued, August 10, 2020 b. A motion was made by Councilmember Austin and seconded by Mayor Pro Tern Hollier to approve a work authorization with Schaumburg & Polk, Inc. for engineering services related to the Avenue G and Canal Avenue Elevated Water Storage Tanks Rehabilitation project. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. c. Chris Duque, City Manager, reported the number of cases of COVID-19 has not decreased and he recommended not making changes regarding the opening of city buildings and facilities. Councilmember Neal stated he continues to receive numerous complaints about City Hall being closed. d. Fiscal Year 2020-2021 Budget: i. Chris Duque, City Manager, reported there has been an amendment, of$1 in the Water & Sewer Fund to ensure the budget is balanced, to the preliminary budget which was presented at a budget workshop held on July 20, 2020. He said a public hearing must be scheduled to solicit public input/comments regarding the budget. A copy of the budget is available in the City Clerk's Office and will be posted on the City's website. Mr. Duque recommended approval of Resolution No. 2020-13 setting a public hearing date of Monday, August 24th at 4:30 p.m. at the Nederland City Hall. Budget Highlights include: General Fund • Balanced budget by reducing the tax rate to voter-approval tax rate of 0.579708 per $100 assessed taxable value • Balanced budget with revenues and expenditures totaling $11,945,200 • Expenditures represent an increase of 4.81% or $548,142 over last year's adopted budget. Significant portion of increase goes toward salary and benefits increase, which includes one new Streets Maintenance Worker position, a 2% COLA for all full-time employees, steps for employees eligible for a step, steps for police officers and firefighters covered by collective bargaining agreements, as well as increasing the monthly allocation to the Senior Citizen Center, $50,000 for a street light project, and increased Equipment Replacement transfer (34.66% increase) • 2% COLA for all regular, full-time employees; steps for hourly employees affected by 2016 salary survey on October 1, 2020; steps for hourly employees not affected by salary survey on their anniversary date; steps for police and fire fighters per their collective bargaining agreement; steps for salaried employees affected by salary survey on April 1, 2021; steps for salaried employees not affected by salary survey or hired after April 1, 2017 on their anniversary date; pay scale adjustments for Patrol Officers per police CBA; $0.25/hour increase to part-time employee wages (if they have been with the City for two consecutive years). • Continue Health Lifestyle Stipend - $40/month per employee who meet certain physical criteria; this is an effort to manage health insurance costs; continue to fund health insurance's healthy initiatives program • 2020/2021 Street Program budget $1.015M: $275,000 for Street Improvements in Street Department and $740,000 budgeted via the Street Improvement Fund; plan to allocate an additional $300,000 in the Street Improvement Fund after 10/1/2020 to be utilized for street projects. Minutes Continued, August 10, 2020 • Book budget for the Library - $25,000 • $198,000 for street lights • $52,000 for senior citizen center • $12,000 for special programs to pay youth league reimbursements and city events • $2,500 for Spay & Neuter program and $1,500 for feline population control services Water & Sewer Fund • Balanced budget with revenue and expenditures equaling $5,244,293 which is an increase of 1 percent from last year's adopted budget • Water base rate increase $0.25; no recommended sewer rate increase; increase due to majority of new costs are water-related; first water rate increase in several years • 2% COLA for all regular, full-time employees; steps for hourly employees affected by the 2016 salary survey on October 1, 2020; steps for hourly employees not affected by salary survey on their anniversary date; steps for salaried employees affected by salary survey on April 1, 2021; steps for salaried employees not affected by salary survey on their anniversary date; • $235,000 for Untreated Water (updated LNVA water allocation) • $62,000 for Water Treatment Fixed Plant and Equipment R&M and $93,000 for WWTP Equipment - plant repairs/upgrades that may be necessary during fiscal year • $55,000 allocated for water meters due to expired warranty and new accounts; increase in contractual services due to utility bill credit card fees • WWTP budget adjusted to reflect actual costs • $105,000 for Water and Sewer Mains and $5,000 for Water Distribution Lines Solid Waste Fund • Balanced budget with revenue and expenditures equaling $1,650,462 which is an increase of 1.86 percent from last year's adopted budget • $0.50 fee increase proposed; first rate increase in 4 years • 2% COLA for all regular, full-time employees; steps for employees not affected by salary survey on anniversary date; steps for employees affected by salary survey on April 1, 2021 • Waste disposal costs continue to gradually increase due to revised contract with BFI/Allied Waste • Green Waste Disposal reflect chipping contract • $10,000 for contractual services, still no available recycling services Equipment Replacement Funds • General Fund: $458,000 for purchase of 2 police patrol units (Ford Explorers), and an excavator for the Street Department; $132,000 out of reserves • Water & Sewer Fund: $60,000 for purchase of two 1/2 ton pickup trucks for W/S Distribution and WWTP • Solid Waste: $320,000 allocated for the purchase of a trash truck and pickup truck; $19,500 out of reserves A motion was made by Councilmember Root and seconded by Mayor Pro Tern Hollier to approve Resolution No. 2020-13, submitting the City of Nederland Annual Budget for the fiscal year beginning October 1, 2020 and ending September 30, Minutes Continued, August 10, 2020 2021 and calling for a Public Hearing to be held on August 24, 2020 at 4:30 p.m. at Nederland City Hall (207 N. 12th Street) for the purpose of discussing the proposed budget, as per Article VI of the City Charter. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. ii. Chris Duque, City Manager, stated Nederland has a current tax rate of $0.599159 per $100 assessed value which is the lowest tax rate among the mid and south-county cities. Last year, the State Legislature approved Senate Bill 2 that made significant changes to property taxes. Previously, the City discussed adopting a tax rate between the effective tax rate (the benchmark tax rate needed to raise the same amount of maintenance and operations property taxes on existing property as the previous year after taking into account changes in appraised values) and the rollback tax rate (the tax rate necessary to raise precisely 8% more maintenance and operations tax revenue as the year before after taking into account appraisal fluctuations.) Following Senate Bill 2 approval, the term effective tax rate has been changed to no-new-revenue tax rate and rollback tax rate has been changed to voter-approval tax rate. The voter-approval tax rate is calculated utilizing 3.5% instead of 8%. On Friday, Jefferson County Appraisal District submitted the assessed taxable value of $1,236,938,594, an increase of 4.27% or $50,641,065. Mr. Duque recommended the city council consider reducing the tax rate to the voter-approval or rollback tax rate of $0.579708 per $100 assessed valuation, which is $0.004475 or 0.778% greater than the no-new revenue or effective tax rate. He felt it was necessary to utilize the voter-approval or rollback tax rate with the on-going Nederland Avenue project debt, creation of a new streets maintenance worker position, on-going sluggish industrial development, and the continuing sales tax impact of COVID-19. The proposed budget is based on the voter-approval or rollback tax rate. Since the proposed tax rate ($0.579708) is greater than the no-new revenue or effective tax rate, a public hearing is necessary. The subsequent agenda items have been included to satisfy this requirement. A motion was made by Councilmember Root and seconded by Mayor Pro Tern Hollier to approve a proposed tax rate of $0.579708 per $100 assessed valuation for the fiscal year beginning October 1, 2020 and ending September 30, 2021. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. iii. A motion was made by Councilmember Austin and seconded by Councilmember Neal to schedule tax rate adoption dates: • Monday August 24th at 4:30 p.m. at the Nederland City Hall (regular meeting) - 1st Public Hearing • Monday, September 14th at 4:30 p.m. at the Nederland City Hall (regular meeting) - Adopt the tax Rate MOTION CARRIED: Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. iv. A motion was made by Councilmember Austin and seconded by Mayor Pro Tern Hollier regarding the proposed tax rate and establishing the date of August 24, 2020 at 4:30 p.m. for public hearing. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Minutes Continued, August 10, 2020 Noes: None. 5. EXECUTIVE SESSION The regular meeting was recessed at 5:05 p.m. by Mayor Albanese for the purpose of conducting an Executive Session as authorized by Texas Government Code, Chapter 551.074, Discuss Personnel - Annual Evaluation; City Manager, Christopher Duque. 6. RECONVENE The regular meeting was reconvened at 5:14 p.m. by Mayor Albanese. 7. APPOINTMENTS A motion was made by Councilmember Austin and seconded by Councilmember Root to approve an employment agreement between the City of Nederland and Nederland City Manager, Christopher Duque. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. 8. COMMUNICATION a. Miscellaneous: 1. Robert Woods, Director of Public Works, gave a brief update on projects: • Asphalt Street Project and Concrete Street Project are completed. • Sewerline Project is completed and close-out is expected the end of August. • Hodgson and Bourque Road Pre-Construction Conference has been held. • Contracts for the Public Safety Complex Parking Lot Project are being drafted. 2. Plans are being finalized for a COVID testing site in Nederland planned for 2 days next week. 9. ADJOURN There being no further business a motion was made by Mayor Albanese and seconded by Councilmember Hollier to adjourn the meeting at 5:14 p.m. MOTION CARRIED. Ayes: Mayor Albanese, Councilmembers Austin, Neal, Hollier, and Root. Noes: None. , /1// ion Albanese, ayor City of Nederland, Texas Minutes Continued, August 10, 2020 ATTEST: 4 . i 1/ Ai .Ai eay Fetgusn, City Cler' City of Ned-rland, Texas CITY OF NEDERLAND COUNCIL MEETING ATTENDANCE SHEET NAME TITLE PRESENT ABSENT Don Albanese Mayor V Talmadge Austin Council Member-Ward I Billy Neal Council Member-Ward II Emmett Hollier Council Member-Ward III Sylvia Root Council Member-Ward IV Chris Duque City Manager ✓ Gay Ferguson City Clerk ✓ Jesse Branick City Attorney ✓ Cheryl Dowden Director of Finance Gary Porter Police Chief Terry Morton Fire Chief Robert Woods Director of Public Works George Wheeler Building Official Victoria Klehn Librarian Holly Guidry Human Resources Director Joni Underwood Executive Secretary Angela Fanette Parks Director ✓ 1111 ovt aggrAsi on Albanese, Mayor G:y Fergu , City Clerk r Auqust 10, 2020 Date Don Albanese,Mayor ED Billy Neal,Councilmember -F\ Talmadge Austin,Councilmember City of Nederland Emmett Hollier,Mayor Pro-Tem Sylvia Root,Councilmember Christopher Duque,City Manager P.O.Box 967•Nederland,Texas 77627•(409)723-1503•FAX(409)723-1550 �nriu.w�v.Tr ,� Investment Report For the Quarter Ending June 30,2020 This report has been prepared in accordance with the Public Funds Investment Act(Section 2256.023, Government Code),which requires that a quarterly report be submitted to City Council detailing investment transactions and performance for the reporting period. Submitted by the Investment Officers of the City of Nederland s Duqu ,City Manager 3 41F4i0 Cheryl �lr a a - , •erector of Finance "Programmed for Progress" City of Nederland Summary of Account Activity Total Portfolio - All Accounts For Quarter Ending June 30,2020 Investments at Beginning of Period (4-1-20) $ 16,909,627.73 Purchases 15,015,035.62 Maturities 300,000.00 Investments at End of Period(6-30-20) $ 31,624,663.35 Maturity Summary at June 30, 2020 ■Less than 3 months ■3 to 9 months 09 to 12 months ■Greater than 12 months City of Nederland Summary of Account Activity Total Portfolio - All Accounts For Quarter Ending June 30, 2020 Balance Balance 4/1/2020 Purchases Maturities 6/30/2020 General Fund $ 7,843,050.38 $ 9,007,288.37 $ 16,850,338.75 Library Fund 74,006.92 53.70 74,060.62 Library Fund-Zaruk Memorial 10,521.93 12.28 10,534.21 2017 Street Improvement Bond Fund 366,092.76 250.28 100,000.00 266,343.04 Water&Sewer Fund 5,569,180.93 4,274.62 200,000.00 5,373,455.55 Solid Waste Fund 2,459,797.44 1,919.12 2,461,716.56 Street Improvement Fund 51,402.90 40.08 51,442.98 Police Narcotics Fund 110,577.79 86.35 110,664.14 2018 WW Project 239,372.68 6,000,965.99 6,240,338.67 Bond Redemption Fund 185,624.00 144.83 185,768.83 $ 16,909,627.73 $15,015,035.62 $ 300,000.00 $ 31,624,663.35 Fund Allocation at June 30, 2020 Police Narcotics Fund 0.35% Street Improvement Fund 0.16% Solid Waste Fund 7.78% 2017 Street Improvement Bond Fund 0.84% Water&Sewer Fund. 16.99% General Fund Bond Redemption Fund 53.28% 0.59% Library Fund-Zaruk Library Fund Memorial 0.23% 2018 WW Project 0.03% 19.73% Investment Report Schedule Investments for the Quarter ended June 30,2020 INVESTMENT POOL-TEXPOOL Average Days to Interest Interest Period Held Maturity Rate Market Principal Earned Book Value General Fund 04/01/20 06/30/20 1 0.3134% $ 16,843,050.38 7,288.37 $ 16,850,338.75 Water&Sewer 04/01/20 06/30/20 1 0.3134% 5,369,180.93 4,274.62 5,373,455.55 Bond Redemption Fund 04/01/20 06/30/20 1 0.3134% 185,624.00 144.83 185,768.83 Library Special 04/01/20 06/30/20 1 0.3134% 74,006.92 53.70 74,060.62 Library Special-Zaruk Memorial 04/01/20 06/30/20 1 0.3134% 10,521.93 12.28 10,534.21 2017 Street Improvement Bond Fund 04/01/20 06/30/20 1 0.3134% 266,092.76 250.28 266,343.04 Solid Waste Fund 04/01/20 06/30/20 1 0.3134% 2,459,797.44 1,919.12 2,461,716.56 Street Improvement Fund 04/01/20 06/30/20 1 0.3134% 51,402.90 40.08 51,442.98 2018 WW Project 04/01/20 06/30/20 1 0.3134% 6,239,372.68 965.99 6,240,338.67 Police Narcotic Fund 04/01/20 06/30/20 1 0.3134% 110,577.79 86.35 110,664.14 Totals for TEXPOOL Investments $ 31,609,627.73 $ 15,035.62 $31,624,663.35 *Texpool is rated AAAm by Standard&Poor's,which is the highest rating a local government investment pool can achieve Investment Report Schedule Investments for the Quarter ended June 30,2020 INTEREST EARNED ON DEMAND DEPOSITS Average Interest Earned Days to Interest Quarter ended Period Held Maturity Rate June 30,2020 Bond Redemption Fund 04/01/20 06/30/20 1 0.2500% $ 7.86 Capital Outlay Fund 04/01/20 06/30/20 1 0.2500% 612.80 Court Technology Fund 04/01/20 06/30/20 1 0.2500% 0.95 Equipment Replacement Funds 04/01/20 06/30/20 1 0.2500% 715.27 Fire Department Special Fund 04/01/20 06/30/20 1 0.2500% 18.73 General Fund 04/01/20 06/30/20 1 0.2500% 2,860.72 Library Special Fund 04/01/20 06/30/20 1 0.2500% 4.38 MCML Dispatch 04/01/20 06/30/20 1 0.2500% 161.84 Motel Occupancy Tax Fund 04/01/20 06/30/20 1 0.2500% 34.14 2017 Street Improvement Bond Fund 04/01/20 06/30/20 1 0.2500% 43.11 Parks&Recreation Special Fund 04/01/20 06/30/20 1 0.2500% 97.68 Police Narcotic Fund 04/01/20 06/30/20 1 0.2500% 2.39 Solid Waste Fund 04/01/20 06/30/20 1 0.2500% 219.82 Street Improvement Fund 04/01/20 06/30/20 1 0.2500% 790.91 SSES Fund 04/01/20 06/30/20 1 0.2500% 171.79 2018 WW Project 04/01/20 06/30/20 1 0.2500% 1,158.24 Water Plant Construction Fund 04/01/20 06/30/20 1 0.2500% 4.83 Wastewater Construction Fund 04/01/20 06/30/20 1 0.2500% 5.22 W&S Certificate Fund 04/01/20 06/30/20 1 0.2500% 50.11 Water&Sewer Fund 04/01/20 06/30/20 1 0.2500% 161.73 $ 7,122.52 Investment Report Schedule June 30, 2020 Interest Earnings for Quarter Ended June 30, 2020 Bond Redemption Fund $ 152.69 Capital Outlay Fund 612.80 Court Technology Fund 0.95 Equipment Replacement Funds 715.27 Fire Department Special Fund 18.73 General Fund 10,149.09 Library Special Fund 58.08 Library Special Fund-Zaruk Memorial 12.28 MCML Dispatch 161.84 Motel Occupancy Tax Fund 34.14 2017 Street Improvement Bond Fund 293.39 Parks& Recreation Special Fund 97.68 Police Narcotic Account 88.74 Solid Waste Fund 2,138.94 Street Improvement Fund 830.99 SSES Fund 171.79 2018 WW Project 2,124.23 Water Plant Construction Fund 4.83 Wastewater Construction Fund 5.22 W & S Certificate Fund 50.11 Water& Sewer Fund 4,436.35 $ 22,158.14 CITY OF NEDERLAND RESOLUTION 2020-13 A RESOLUTION BY THE CITY COUNCIL ACCEPTING THE BUDGET FOR THE CITY OF NEDERLAND AS PREPARED AND SUBMITTED BY THE CITY MANAGER, SUCH BUDGET COVERING THE FISCAL YEAR BEGINNING OCTOBER 1, 2020 AND ENDING SEPTEMBER 30,2021. WHEREAS, the City Manager has prepared and submitted to the City Council a budget estimate of expenditures and revenues of all City department activities and offices for the fiscal year beginning October 1,2020 and ending September 30,2021; and WHEREAS, such proposed and estimated budget, after due hearing and consideration, should be approved in its proposed or amended form; NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND,TEXAS: That the budget as prepared and submitted by the City Manager for the total expenditures in each of the various departments of the City of Nederland is hereby accepted and a Public Hearing is hereby set for 4:30 p.m.,August 24,2020,to approve this budget in the proposed or amended form in accordance with Article VII of the City Charter. PASSED AND APPROVED this the 10th day of August 2020. aiwiuWi,,,p �F NEDF�'% o "-,•'• ��22' p011 anese, Mayor 't�i�`) 01:z City of Nederland,Texas p day Ferg on, City Cler City of Nederland,Texas APPROVED AS TO FORM ANDLEGALITY: ^ // Jes - Bran' k ity Attorney Cir of N-.e nd,Texas