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HomeMy WebLinkAbout12/02/1981 Adjourned Meeting 056 ADJOURNED MEETING -- BUDGET REVIEW December 2, 1981 The City Council met in session on this date at 1:30 P.M. in the Council Chambers of City Hall. Council members present were Mayor Betty L. Edmondson, Clarence Barnett, Henry Beauchamp, Lynn Buchanan, Lynn Carmichael, Shirley Doty and Don Hinman. PUBLIC WORKS - STREETS Willis %bite, Director of Public Works, referred the Street Division budget of the Public Works Department to Del Kary, Manager, who reviewed the various service units of his division: Drainage, Street Cleaning, Street Maintenace, Pedestrian and Bikeway Maintenance, Snug and Ice Control, Administration, Insurance and Interfund Payment. He answered questions by the Council members. There was discussion where the Preliminary Budget shaves reduction of one Street Maintenance Specialist I and Mr. Kary stated that they are not laying off that person. There was also discussion on drainage, leaf pickup, the .bid process on gravel and stock piling of certain supplies to save money. Also discussed was reduction of equipment and it was indicated that the one dump truck should be eliminated. Public Works Director White reported that an additional 2 miles of streets is added to the Sealcoat Program, increasing the total mileage from 22 to 24 miles for 1982. This increase will allow the Street Division to eventually recapture a seven year cycle program which fell behind in 1980 due to the volcanic ash clean-up effort. There was further discussion on the Street budget. No action was taken at this time. FINANCE AND BUDGET Finance Director Don Horan reviewed the various service units which include Finance, Treasurer, Auditor, Animal Control, Parking Facilities, Utility Customer Service and Interfund Payment. Under State Auditor, it was noted that there is a reduction in the expenditures for 1982 from 1981. It was explained that in prior years, this expense was included in the Accounting. Division budget. However, commencing in 1981, a separate divisional unit has been created in order to more readily identify and segregate this function. The cost of the audit of grants and enterprise funds will be billed to the applicable fund or grant. The cost of the audits on General Government operations is a General Government expense. This will represent a $5,000 reduction from 1982. Mr. Horan reported that the Treasurer's position has been deleted and explained the whole process of his proposed stiff in the Finance and Budget Department. He further explained that they propose moving the accounting function of Parks and Recreation into an accounting function within the City and add an Accounting Technician position and Budget Analyst position. He stated that the auditor is in concurrence with the proposed action. (Council members Hinman and Buchanan absent after 3:30 p.m.) There was discussion regarding the new Financial Management System, PBIA costs and fees, the Downtown Area Redevelopment Committee (DARC) and the Citizens Committee on City Finances. Regarding this Citizens Committee, they do not want to review or make recommendations at this tie. The general consensus of the Committee was that there should not be new taxes. CUSTOMER SERVICES - ANIMAL CONTROL Walt Feser, Customer Services Manager, reviewed the Animal Control Program and proposed Budget for 1982. There was discussion regarding cutting one-half position from the City Clerk's Office, that handles the animal control work in that office, which would then have to be done in the Customer Services Office. It was explained that this would create a difficult situation in the Customer Services Office. Also, since eliminating cat control, there is a savings of $6,000 that could be used to assist in funding this position. It was recommended that this one-half position should be left in the City Clerk's Office. It was also recommended that the holding time of dogs at the Shelter should be reduced to 48 hours from the current 72, with the exception of weekends. There was a proposal discussed to increase the impound fee from $10.00 to $15.00. 057 ADJOURNED MEETING -- BUDGET REVIEW December 2, 1981 (Council member Doty absent after 4:35 p.m.) PARKING FACILITIES Walt Feser, Customer Services Manager reviewed the proposed Parking Facility Budget and recommended an increase in parking meter rates from 1() to 25 per hour. This increase would necessitate the purchase of new neters at an estimated cost of $86,000, or $27,000 per year on a five-year lease purchase plan. The estimated increase in meter revenue would be $40,000 per year, which would mean a net increase in revenue of $13,000 per year. It was suggested that the parking infraction bail be raised from $2.00 II/ to $5.00 and it was noted that this request should be made to the Court and recommended to the Judge as they are the ones that set the bail. Also, before a final decision is made by the Council on the budget rcquests, requests, that more detail should be given on how much revenue would be generated in increasing the bail. Other matters discussed under the Utility Custaner Service Division was the Contingency Fund, Volcano Fund and Federal Revenue Sharing. No definite decisions were made at this meeting. It was MOVED by Carmichael, seconded by Beauchamp that this meeting be adjourned at the hour of 5:30 p.m. to then meet on Thursday, December 3, 1981, at the hour of 7:30 p.m., with the County Commissioners and Mayor of Union Gap, at the County Court House, for the Joint Urban Area Plan meeting. Unanimously carried; Buchanan, Doty and Hinman absent. READ AND CERTIFIED ACCURATE B DATE.2,- CO0 CIL MEMBEā€¢ - <10 L DATE g Ar. ODUNCIL MEMBER ATTEST: /LT ce:24,907211072) CITY CifK MAYOR