September 27, 2021 REGULAR MEETING OF THE CITY COUNCIL OF THE
CITY OF NEDERLAND
4:30 p.m. September. 27, 2021.
1. MEETING
The meeting was called to order at 4:30 p.m. by Mayor Albanese at the Nederland City
Office Building, 207 N. 12th Street, Nederland, Texas. See attached for quorum.
The following statement was posted:
"PURSUANT TO SECTION 30-07, PENAL CODE CTRESPASS BY LICENSE HOLDER
WITH AN OPENLY CARRIED 1iANDGI3143� A PERSON LICENSED UNDER
SUBCHAPTER H, CHAPTER GOVERNMENT CODE (HANDGUN LICENSING
LAW3, 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 Randy Sonnier, Councilmember
Ward III.
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 Mayor Pro Tern Austin
to approve the Consent Agenda Items a-e as presented. MOTION CARRIED_
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier_
Noes: None.
Absent: Councilmember Root.
a. Minutes - September 16, 2021 regular meeting
b_ August 2021 departmental Reports
c. Tax Assessor Collection Report - August 2021
d_ Consider action regarding a request from _Milan Hunt to hold a Goat 'Yoga event at
I7oornbos Park on Sunday, November 7`n_
e. Street Closure Requests:
Consider action authorizing the closure of Boston Avenue between 14t�
Street and 17th Street and all intersections on Tuesday, October S"' for the
National Night Out event and the Nederland Fire IDepartment Open House.
Consider action authorizing the closure of various streets for the Nederland
Heritage Festival activities.
Minutes Continued, September 27, 2021
4. REGULAR AGENDA
a. A motion was made by Mayor Pro Tern Austin and seconded by Councilmember
Sonnier to approve a proclamation in regards to World Teacher Day. MOTION
CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
b. The regular meeting was recessed and a Public Hearing was called to order at 4:34
p.m. by Mayor Albanese for the purpose of receiving comments regarding the
rehabilitation or condemnation and demolition of an abandoned and/or dilapidated
structure at the following address: 118 5th Street (front 50E of Lots 1, 2, 3, Block
12 of Johnson Addition).
Chris Duque, City Manager, said the public hearing was being held for the purpose
of receiving comments regarding the rehabilitation or condemnation and demolition
of property located at 118 5th Street and more particularly describe as 50E of Lots
1, 2, 3, Block 12 of Johnson Addition. The dilapidated residential structure is a
danger to the public health and safety and is considered to be substandard and
unfit for human habilitation. No action was necessary.
Mr. James Bailey, property owner of 118 5th Street, asked for additional time to
bring the house into compliance with city codes. He said he needed electricity and
water in order to make repairs. He also said he is expecting a settlement on
another property which was damaged in the TPC explosion and he planned on using
those funds to repair this home.
George Wheeler, Building Official, reported this case was held before the
Construction Appeals Board on August 14, 2021 and their recommendation to City
Council was to demolish and clear property.
Mr. Bailey's daughter said her boyfriend volunteered to work on the property and
make necessary improvements to satisfy city codes.
Mayor Albanese, Councilmember Austin, and Councilmember Neal said they would
consider giving Mr. Bailey additional time in order to make necessary repairs if the
outside environmental violations were cleared.
There being no further questions and/or comments the Public Hearing was
adjourned and the regular meeting was reconvened at 4:57 p.m. by Mayor
Albanese.
c. A motion was made by Mayor Pro Tern Austin and seconded by Councilmember
Neal to order 14 days for property to be cleared of all rubbish, vehicles, and trailers
on the property and 60 days for improvements to the structure to be made. If the
outside of the property has not been cleared within the 14 days, no additional time
will be given for the structure improvements. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
Minutes Continued, September 27, 2021
d. Contracts/Purchases:
i. A motion was made by Councilmember Neal and seconded by Mayor Pro Tem
Austin to approve a work authorization with Schaumburg & Polk, Inc. for
engineering services related to the 2022 Flexible Pavement Rehabilitation project.
MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
ii. A motion was made by Councilmember Neal and seconded by Councilmember
Sonnier to authorize the purchase of three police investigator units via state-
approved contract. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
iii. A motion was made by Mayor Pro Tern Austin and seconded by Councilmember
Sonnier to authorize the purchase of a garbage truck via state-approved contract.
MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
iv. A motion was made by Councilmember Sonnier and seconded by
Councilmember Neal to authorize the purchase of a street broom sweeper via
state-approved contract. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
e. A motion was made by Mayor Pro Tem Austin and seconded by Councilmember
Sonnier to postpone action on the donation of the Boston Avenue Arch from the
Nederland Economic Development Corporation. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
f. A motion was made by Councilmember Neal and seconded by Councilmember
Sonnier to approve Resolution No. 2021-29, ratifying the action of the Nederland
Economic Development Board of Directors related to the purchase of 1308 Boston
Avenue not to exceed $520,000.00. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
g. A motion was made by Councilmember Sonnier and seconded by Mayor Pro Tern
Austin to approve Ordinance No. 2021-17, declaring certain utility accounts as
uncollectable. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
Minutes Continued, September 27, 2021
h. A motion was made by Mayor Pro Tern Austin and seconded by Councilmember
Neal, to approve Ordinance No. 2021-18, amending the fiscal year 2020 - 2021
budget. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
Absent: Councilmember Root.
5. COMMUNICATION
City Manager's Report:
a. Miscellaneous: Robert Woods gave a summary of construction projects.
• Bourque and Hodgson Roads are 98% complete.
• Hodgson Lift Station is complete.
• WWTP Phase 1 and Phase 2 are on track for completion in January 2022.
• Asphalt Overlay is completed on 23rd Street and contractor is working
on Avenue L and Luling.
• GLO CDBG Disaster Grant- Engineering is approximately 30% complete
on the drainage projects.
b. End of the Fiscal Year is Thursday. City Hall will close a little early to
allow transition into the new budget year.
c. Mr. Duque wanted to recognize the Nederland Bulldogs on their win in
the Mid-County Madness game.
6. ADJOURN
There being no further business a motion was made by Mayor Albanese and seconded
by Councilmember Sonnier to adjourn the meeting at 5:40 p.m. MOTION CARRIED.
Ayes: Mayor Albanese, Councilmembers Austin, Neal, and Sonnier.
Noes: None.
"����/7►J�sent: Councilmember Root.
�F NEDF,�'%/,
'• " z= D n Alban se, Mayor
City of Nederland, Texas
///4f311-ticCO‘\\\
itittitM
ay Fergub, City ClerkO
City of Nederland, 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
Randy Sonnier Council Member-Ward III v
Sylvia Root Council Member-Ward IV \/
Chris City Duque Manager
q9
Gay Ferguson City Clerk V
Jesse Branick City Attorney
Cheryl Dowden Director of Finance V
Gary Porter Police Chief 'v
Terry Morton Fire Chief
V
Robert Woods Director of Public Works V
George Wheeler Building Official
Victoria Klehn Librarian
Holly Guidry Human Resources Director /
Joni Underwood Executive Secretary v
Angela Fanette Parks Director
.1 � J.e.A.1,
__--
Din 'Ibaner'e, Mayor
'alArAt fOInA—
Jay Fe on, City Clerk
September 27, 2021
Date
' 50N co
ALLISON NATHAN GETZ �4, . -< TERRY WUENSCHEL
TAX ASSESSOR-COLLECTOR ', �� !* CHIEF DEPUTY
TERA�
STATE OF TEXAS
COUNTY OF JEFFERSON
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 $30,515.24, represents all taxes collected for CITY OF NEDERLAND
during the month of August 2021.
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.2021-17
AN ORDINANCE ACCEPTING UTILITY ACCOUNTS
RECEIVABLE CHARGE-OFFS IN THE AMOUNT OF
$8,261.71 AS SHOWN IN ATTACHMENT"A"FOR THE
YEAR ENDED 9-30-21 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 2020-21 in the amount of$8,261.71 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 27th day of September
A.D.,2021.
��NEDFR�%o
• Don Albanese,Mayor
•
z= City of Nederland,Texas
BOG . <c<
Arusc9Fi
6 ay Fergu n,City C erk
City of Nederland,Texas
APPROVED AS TO FORM AND LEGALITY:
Je• e B . • ,City Attorney
C • . Nederland,Texas
ATTACBMENT"A"
CITY OF NEDERLAND
ACCOUNTS TO BE WRITTEN OFF FOR FYE 2020-2021
Account Number Amount
01-0080-00-0 58.88
02-0814-10-0 22.12
02-1090-07-0 89.67
02-2760-10-0 33.17
03-0300-07-0 288.00
04-1910-07-0 13.48
05-0450-11-0 16.63
05-1901-13-0 18.39
05-1920-09-0 370.24
05-3530-07-0 104.79
05-3780-12-0 121.40
06-2050-13-0 27.91
06-2770-00-0 51.23
08-2640-02-0 306.06
08-2640-03-0 52.06
09-2530-07-0 146.85
10-0170-01-0 52.46
10-3010-05-0 291.97
11-1610-12-0 23.57
11-3200-16-0 436.36
11-3208-14-0 122.90
13-0890-07-0 12.53
13-0950-31-0 73.10
13-2069-22-0 55.72
13-2290-03-0 79.40
14-1920-05-0 1,190.43
15-1060-04-0 93.69
16-0860-02-0 249.08
16-0940-09-0 31.97
17-0050-08-0 70.60
17-2060-09-0 445.39
18-0790-08-0 1,322.70
18-0820-03-0 39.69
18-2850-00-0 77.63
19-0070-00-0 64.50
19-0900-17-0 56.08
19-1900-11-0 55.20
19-2210-08-0 1,149.82
20-0570-13-0 51.49
20-2180-09-0 37.25
21-1850-02-0 14.78
23-0650-00-0 90.23
23-0900-11-0 48.89
23-1200-00-0 113.49
24-0400-08-0 189.91
TOTAL $8,261.71
ORDINANCE NO.2021-18
AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF
NEDERLAND,TEXAS AMENDING THE FISCAL YEAR 2020-
2021 BUDGET IN ACCORDANCE WITH THE BUDGET AND
THE CHARTER OF THE CITY OF NEDERLAND.
WHEREAS,the City Council previously approved Ordinance No. 2020-22 which adopted
the Fiscal Year 2020-2021 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 2020-2021 City budget states "That any unencumbered funds remaining
on hand at the end of the fiscal year ending September 30, 2021 shall be construed with and
classified with Miscellaneous revenue anticipated during the fiscal year beginning October 1,
2020 and ending September 30,2021,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 2019-2020 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.
nin,
PASSED AND APPROVED BY THE CITY COUNCIL OF THE CITY OF NEDERLAND AT A
u
gTING THIS THE 27th DAY OF SEPTEMBER,2021.
%(� � Don Albanese, ayor
G ;, ,, Iv City of Nederland,Texas
•F .a—r1/1/0/01k---
JEFF`�•
Gay Ferguso0,City er
APPROVED AS TO FORM AND LEGALITY:
arrrC; L1/
a '" ,City Attorney
1
CITY OF NEDERLAND
BUDGET AMENDMENT REQUEST
FISCAL YEAR: 2020-2021
DATE: September 27,2021
DEPARTMENT: Various
FUND: General(01)
AMOUNT
CURRENT INCREASE PROPOSED
ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET
01-0000-4110 Current Taxes 4,490,000 217,334 4,707,334
01-0000-4120 Industrial in lieu of Tax Payments 2,025,000 1,144,156 3,169,156
01-0000-4130 Sales Tax 2,950,000 800,000 3,750,000
01-0000-4424 Inspection Fees 123,000 80,000 203,000
01-1300-6110 Salaries&Wages 341,415 2,500 343,915
01-1300-6115 Extra Help 3,000 (1,500) 1,500
01-1300-6333 Training&Travel 5,000 (2,500) 2,500
01-1300-6337 Advertising/Publications 8,000 2,000 10,000
01-1300-6393 Contractual Services 40,000 (25,000) 15,000
01-1300-6395 Election Services 13,500 (10,500) 3,000
01-1500-6110 Salaries&Wages 194,770 9,000 203,770
01-1500-6124 TMRS 13,072 1,500 14,572
01-1500-6311 Auditing&Accounting 40,000 6,500 46,500
01-1500-6333 Training&Travel 5,000 (3,000) 2,000
01-1500-6393 Contractual Services 82,000 8,000 90,000
01-1600-6110 Salaries&Wages 177,685 4,200 181,885
01-1600-6115 Extra Help 1,000 1,000 2,000
01-1600-6314 Medical Services&Pre-Employ 8,500 2,500 11,000
01-1600-6347 Unemployment Reimbursment 7,000 (5,000) 2,000
01-1900-6341 Insurance General 29,850 (16,500) 13,350
01-1900-6350 Bldg/Structure Improvements 2,000 4,000 6,000
01-2100-6110 Salaries&Wages 2,321,512 40,500 2,362,012
01-2100-6115 Extra Help 52,000 2,500 54,500
01-2100-6128 Workers Compensation 50,594 (6,000) 44,594
01-2100-6265 Supplies/Minor Tools&Equip 15,000 20,000 35,000
01-2100-6341 Insurance General 39,000 (8,000) 31,000
01-2100-6343 Insurance Motor Equipment 12,000 1,500 13,500
01-2100-6393 Contractual Services 40,000 5,000 45,000
01-2101-6115 Extra Help 26,000 (9,000) 17,000
01-2101-6393 Contractual Services 14,000 5,000 19,000
TOTAL 13,129,898 2,270,190 15,400,088
Page of
CITY OF NEDERLAND
BUDGET AMENDMENT REQUEST
FISCAL YEAR: 2020-2021
DATE: September 27,2021
DEPARTMENT: Various
FUND: General (01)
AMOUNT
CURRENT INCREASE PROPOSED
ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET
01-2102-6265 Supplies/Minor Tools&Equipment 2,500 7,000 9,500
01-2102-6393 Contractual Services 65,000 11,500 76,500
01-2200-6110 Salaries&Wages 1,161,506 60,000 1,221,506
01-2200-6111 Overtime 96,400 20,000 116,400
01-2200-6124 TMRS 92,718 4,500 97,218
01-2200-6128 Workers Compensation 30,023 (3,500) 26,523
01-2200-6265 Supplies/Minor Tools&Equipment 30,000 (12,000) 18,000
01-2200-6341 Insurance General 26,550 (6,000) 20,550
01-2201-6393 Contractual Services 13,200 4,800 18,000
01-2400-6110 Salaries&Wages 145,996 2,500 148,496
01-2400-6331 Telephone 1,000 1,500 2,500
01-2400-6350 Bldgs/Structure Improvements - 3,250 3,250
01-2400-6393 Contractual Services 16,000 (10,000) 6,000
01-3000-6110 Salaries&Wages 191,742 5,800 197,542
01-3000-6124 TMRS 12,845 1,300 14,145
01-3000-6331 Telephone 5,000 1,700 6,700
01-3000-6355 Vehicle&Equipment R&M - 1,150 1,150
01-3000-6393 Contractual Services 4,000 1,600 5,600
01-3100-6110 Salaries&Wages 487,040 (8,000) 479,040
01-3100-6111 Overtime 25,000 (7,000) 18,000
01-3100-6222 Motor Vehicle Fuel 30,000 (15,000) 15,000
01-3100-6246 Street&Bridge Supplies 105,000 (35,000) 70,000
01-3100-6341 Insurance General 1,100 1,200 2,300
01-3100-6366 Rental Equipment 8,000 4,000 12,000
01-3100-6730 Street Improvements 275,000 75,000 350,000
01-3100-6744 Miscellaneous Equipment - 14,000 14,000
01-3400-6110 Salaries&Wages 55,208 2,000 57,208
01-3400-6111 Overtime 32,000 2,000 34,000
TOTAL 2,912,828 128,300 3,041,128
Page of
CITY OF NEDERLAND
BUDGET AMENDMENT REQUEST
FISCAL YEAR: 2020-2021
DATE: September 20,2021
DEPARTMENT: Various
FUND: General(01)
AMOUNT
CURRENT INCREASE PROPOSED
ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET
01-5100-6270 Equipment Maintenance&Repair 4,000 3,200 7,200
01-5100-6331 Telephone 2,000 2,500 4,500
01-5100-6341 Insurance General 37,995 (10,000) 27,995
01-5100-6350 Bldgs/Structure Improvements 10,000 5,000 15,000
01-5100-6366 Rental Equipment 750 2,000 2,750
01-5100-6393 Contractual Services 18,000 22,000 40,000
01-5100-6720 Buildings, Fixtures&Grounds - 20,000 20,000
01-5500-6110 Salaries&Wages 247,446 2,000 249,446
01-5500-6115 Extra Help 42,000 (12,000) 30,000
01-5500-6341 Insurance General 42,110 (11,000) 31,110
01-5500-6350 Bldgs/Structure Improvements 8,000 1,500 9,500
01-5500-6380 Janitorial Services - 5,275 5,275
01-9000-6315 Computer System 120,000 30,000 150,000
01-9000-6326 Retiree Insurance 25,000 (5,000) 20,000
01-9000-6336 Retiree Accrued Compensation 25,000 (25,000) -
01-9000-6371 Senior Citizen Center 53,225 5,000 58,225
01-9000-6400 Special Programs 12,000 11,000 23,000
01-9000-6406 Contingency 61,021 23,000 84,021
01-9000-6409 Vacation Buy Back 23,000 (23,000) -
01-9000-6411 Preventive Care Reimbursement 20,000 (20,000) -
01-9000-6904 Transfer to Parks Special Fund 80,000 150,000 230,000
01-9000-6907 Transfer to Capital Outlay Fund - 500,000 500,000
01-9000-6924 Transfer to Fire Special Fund - 20,000 20,000
01-9000-6939 Transfer to Street Improvement Fund - 1,300,000 1,300,000
TOTAL 831,547 1,996,475 2,828,022
Page of
CITY OF NEDERLAND
BUDGET AMENDMENT REQUEST
FISCAL YEAR: 2020-2021
DATE: September 27, 2021
DEPARTMENT: Various
FUND: Court Technology, Hotel Occupancy
Tax, Fire Special, Parks Special,
Capital Outlay, Equip Replacement-
General, Equip Replacement-SW,
Street Improvement Funds
AMOUNT
CURRENT INCREASE PROPOSED
ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET
22-0000-4511 Court Technology Revenue 5,600 2,700 8,300
22-0000-6315 Computer System 5,600 1,400 7,000
23-0000-6720 Bldgs, Fixtures&Grounds - 13,700 13,700
24-0000-4910 Transfer In - 20,000 20,000
25-0000-4910 Transfer In 80,000 150,000 230,000
25-5103-6720 Blgs, Fixtures&Grounds 80,000 40,200 120,200
25-5104-6337 Advertising/Publications - 2,000 2,000
25-5104-6393 Contractual Services 20,000 (2,000) 18,000
31-0000-4901 Transfer In - 500,000 500,000
34-0000-6742 Motor Vehicles 501,008 (7,500) 493,508
34-000-6744 Miscellaneous Equipment - 7,500 7,500
35-0000-4910 Transfer In 300,000 (100,000) 200,000
39-0000-4910 Transfer In - 1,300,000 1,300,000
39-0000-4130 Sales Tax 737,500 225,000 962,500
39-0002-6730 Street Improvements - 785,650 785,650
TOTAL 1,729,708 2,938,650 4,668,358
Page of
CITY OF NEDERLAND
BUDGET AMENDMENT REQUEST
FISCAL YEAR: 2020-2021
DATE: September 27,2021
DEPARTMENT: Various
FUND: Water&Sewer(50)
AMOUNT
CURRENT INCREASE PROPOSED
ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET
50-6000-6110 Salaries&Wages 371,162 10,000 381,162
50-6000-6111 Overtime 60,000 10,000 70,000
50-6000-6331 Telephone 1,500 1,300 2,800
50-6000-6341 Insurance General 155,000 (60,000) 95,000
50-6000-6348 Electricity 120,000 (15,000) 105,000
50-6000-6393 Contractual Services - 26,700 26,700
50-6000-6404 Untreated Water 235,000 18,000 253,000
50-6100-6110 Salaries&Wages 275,657 9,000 284,657
50-6100-6275 Water Meters&Boxes 55,000 56,000 111,000
50-6100-6341 Insurance General 500 3,500 4,000
50-6100-6393 Contractual Services 54,000 5,000 59,000
50-6200-6110 Salaries&Wages 224,232 (8,000) 216,232
50-6200-6256 Chemicals&Insecticides 48,000 4,000 52,000
50-6200-6323 Permitting Fees 32,000 3,000 35,000
50-6200-6341 Insurance General 115,000 25,500 140,500
50-6200-6343 Insurance Motor Equipment 3,200 1,500 4,700
50-6200-6348 Electricity 172,000 40,000 212,000
50-6200-6351 Fixed Plant&Equipment R&M 78,000 (10,000) 68,000
50-6200-6366 Rental Equipment 1,000 35,000 36,000
50-6200-6740 Plant Equipment 15,000 (9,000) 6,000
50-6200-6744 Miscellaneous Equipment - 36,000 36,000
50-6300-6110 Salaries&Wages 507,697 (13,000) 494,697
50-6300-6111 Overtime 48,000 8,000 56,000
50-6300-6247 Water&Sewer Mains 105,000 (5,000) 100,000
50-6300-6366 Rental Equipment 850 5,600 6,450
50-9000-6315 Computer System 15,000 (7,000) 8,000
50-9000-6326 Retiree Insurance Benefits 8,000 (8,000) -
50-9000-6336 Retiree Accrued Compensation 8,000 (8,000) -
50-9000-6406 Contingency 20,000 (20,000) -
50-9000-6409 Vacation Buy Back 20,000 (20,000) -
50-9000-6411 Preventitive Care Reimbursement 10,000 (10,000) -
TOTAL 2,758,798 105,100 2,863,898
Page of
CITY OF NEDERLAND
BUDGET AMENDMENT REQUEST
FISCAL YEAR: 2020-2021
DATE: September 27, 2021
DEPARTMENT: Various
FUND: Solid Waste(52), Dispatch(70)
AMOUNT
CURRENT INCREASE PROPOSED
ACCOUNT NO. ACCOUNT TITLE BUDGET (DECREASE) BUDGET
52-0000-4840 Solid Waste Services 1,625,212 50,000 1,675,212
52-3300-6110 Salaries&Wages 470,731 3,000 473,731
52-3300-6111 Overtime 18,000 5,000 23,000
52-3300-6222 Motor Vehicle Fuel 74,000 (4,000) 70,000
52-3300-6242 Garbage Bags 5,000 (5,000) -
52-3300-6343 Insurance Motor Equipment 26,000 1,700 27,700
52-3300-6355 Vehicle&Equipment R&M 35,000 13,000 48,000
52-3300-6390 Waste Disposal 240,000 35,000 275,000
52-3300-6292 Disaster Debris Expense 100,000 290,000 390,000
52-3300-6397 Green Waste Disposal 22,000 (5,000) 17,000
52-9000-6315 Computer System 1,000 (1,000) -
52-9000-6406 Contingency 25,000 (25,000) -
52-9000-6411 Preventitive Care Reimbursement 4,400 (4,400) -
70-0000-4700 Miscellaneous Income 22,634 4,300 26,934
70-1700-6110 Salaries&Wages 245,209 (10,000) 235,209
70-1700-6355 Vehicle&Equipment R&M 2,500 2,200 4,700
70-2100-6110 Salaries&Wages 585,916 (8,000) 577,916
70-2100-6111 Overtime 46,160 64,000 110,160
70-2100-6115 Extra Help 12,000 (12,000) -
70-2100-6124 TMRS 45,630 3,000 48,630
70-2100-6210 General Office Supplies 5,500 (2,000) 3,500
70-2100-6265 Supplies/Minor Tools&Equipment 550 3,900 4,450
70-2100-6341 Insurance General 9,767 (2,100) 7,667
TOTAL 3,622,209 396,600 4,018,809
JUSTIFICATION
End of year line-item correction
Dept. Head Signature: Date:
Finance Director: Date:
Date Approved: Date Posted:
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